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3PL 3P Learning Ltd

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  • 1.100
  • +0.020+1.85%
20min DelayNot Open Jul 24 10:00 AET
302.03MMarket Cap47.83P/E (Static)

3P Learning Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
-5.20%104.34M
52.39%110.06M
7.82%72.22M
6.00%66.98M
7.50%63.19M
-1.63%58.78M
0.49%59.76M
8.24%59.47M
18.62%54.94M
46.32M
Revenue from customers
-5.20%104.34M
52.39%110.06M
7.82%72.22M
6.00%66.98M
7.50%63.19M
-1.63%58.78M
0.49%59.76M
8.24%59.47M
18.62%54.94M
--46.32M
Cash paid
-4.60%-95.58M
-31.65%-91.38M
-32.01%-69.41M
-6.31%-52.58M
-12.77%-49.46M
-2.50%-43.86M
5.75%-42.79M
-27.86%-45.4M
-30.02%-35.51M
-27.31M
Payments to suppliers for goods and services
-4.60%-95.58M
-31.65%-91.38M
-32.01%-69.41M
-6.31%-52.58M
-12.77%-49.46M
-2.50%-43.86M
5.75%-42.79M
-27.86%-45.4M
-30.02%-35.51M
---27.31M
Direct interest paid
2.65%-184K
20.25%-189K
16.55%-237K
-105.80%-284K
80.48%-138K
35.67%-707K
-206.13%-1.1M
-360.26%-359K
31.58%-78K
---114K
Direct interest received
135.85%125K
-60.45%53K
-53.63%134K
25.65%289K
900.00%230K
-11.54%23K
-82.43%26K
-75.29%148K
45.74%599K
--411K
Direct tax refund paid
100.26%15K
-308.48%-5.78M
-12.30%-1.42M
23.68%-1.26M
-617.83%-1.65M
80.19%-230K
47.37%-1.16M
-269.56%-2.21M
215.85%1.3M
---1.12M
Operating cash flow
-31.71%8.72M
885.64%12.76M
-90.15%1.3M
8.00%13.15M
-13.10%12.18M
-4.91%14.01M
26.45%14.74M
-45.18%11.65M
16.91%21.26M
--18.18M
Investing cash flow
Cash flow from continuing investing activities
-456.76%-25.21M
-167.14%-4.53M
83.39%-1.7M
-8.25%-10.21M
-163.48%-9.43M
208.24%14.85M
71.03%-13.72M
-251.68%-47.35M
-93.57%-13.47M
-6.96M
Net PPE purchase and sale
-170.45%-1.19M
-37.07%-440K
-136.03%-321K
68.00%-136K
-57.99%-425K
26.10%-269K
60.04%-364K
-182.92%-911K
3.01%-322K
---332K
Net intangibles purchas and sale
38.28%-2.88M
15.53%-4.67M
47.80%-5.53M
-17.72%-10.6M
7.93%-9M
-4.69%-9.78M
14.18%-9.34M
-60.67%-10.88M
-5.70%-6.77M
---6.41M
Net business purchase and sale
-4,401.06%-8.51M
-105.24%-189K
--3.61M
----
----
8,568.03%24.9M
40.61%-294K
53.39%-495K
---1.06M
----
Net investment purchase and sale
---12.69M
----
----
----
----
----
89.38%-3.72M
-560.63%-35.07M
---5.31M
----
Net other investing changes
-92.76%56K
39.96%774K
4.73%553K
--528K
----
----
----
----
----
---216K
Cash from discontinued investing activities
Investing cash flow
-456.76%-25.21M
-167.14%-4.53M
83.39%-1.7M
-8.25%-10.21M
-163.48%-9.43M
208.24%14.85M
71.03%-13.72M
-251.68%-47.35M
-93.57%-13.47M
---6.96M
Financing cash flow
Cash flow from continuing financing activities
69.40%-635K
-14.70%-2.08M
-26.24%-1.81M
-11,841.67%-1.43M
99.87%-12K
-373.37%-9.51M
-122.09%-2.01M
914.32%9.1M
33.59%-1.12M
-1.68M
Net issuance payments of debt
----
----
----
----
99.87%-12K
-373.37%-9.51M
-117.47%-2.01M
--11.5M
----
----
Net common stock issuance
----
----
---115K
----
----
----
----
----
--11.76M
----
Cash dividends paid
----
----
----
----
----
----
----
80.94%-2.4M
---12.62M
----
Net other financing activities
69.40%-635K
-22.49%-2.08M
-18.21%-1.69M
---1.43M
----
----
----
----
84.54%-260K
---1.68M
Cash from discontinued financing activities
Financing cash flow
69.40%-635K
-14.70%-2.08M
-26.24%-1.81M
-11,841.67%-1.43M
99.87%-12K
-373.37%-9.51M
-122.09%-2.01M
914.32%9.1M
33.59%-1.12M
---1.68M
Net cash flow
Beginning cash position
24.98%31.13M
-8.04%24.91M
5.11%27.08M
11.96%25.77M
600.15%23.01M
-23.22%3.29M
-86.14%4.28M
26.36%30.89M
65.35%24.44M
--14.78M
Current changes in cash
-378.02%-17.13M
378.90%6.16M
-246.10%-2.21M
-44.76%1.51M
-85.86%2.74M
2,046.88%19.35M
96.26%-994K
-498.64%-26.61M
-30.06%6.67M
--9.54M
Effect of exchange rate changes
-80.00%12K
87.50%60K
116.41%32K
-1,400.00%-195K
-96.00%15K
--375K
----
----
-296.58%-230K
--117K
End cash Position
-54.99%14.01M
24.98%31.13M
-8.04%24.91M
5.11%27.08M
11.96%25.77M
600.15%23.01M
-23.22%3.29M
-86.14%4.28M
26.36%30.89M
--24.44M
Free cash from
-39.33%4.64M
267.86%7.65M
-288.58%-4.56M
-12.08%2.42M
-30.69%2.75M
-21.18%3.97M
885.02%5.03M
-105.15%-641K
8.85%12.45M
--11.44M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities -5.20%104.34M52.39%110.06M7.82%72.22M6.00%66.98M7.50%63.19M-1.63%58.78M0.49%59.76M8.24%59.47M18.62%54.94M46.32M
Revenue from customers -5.20%104.34M52.39%110.06M7.82%72.22M6.00%66.98M7.50%63.19M-1.63%58.78M0.49%59.76M8.24%59.47M18.62%54.94M--46.32M
Cash paid -4.60%-95.58M-31.65%-91.38M-32.01%-69.41M-6.31%-52.58M-12.77%-49.46M-2.50%-43.86M5.75%-42.79M-27.86%-45.4M-30.02%-35.51M-27.31M
Payments to suppliers for goods and services -4.60%-95.58M-31.65%-91.38M-32.01%-69.41M-6.31%-52.58M-12.77%-49.46M-2.50%-43.86M5.75%-42.79M-27.86%-45.4M-30.02%-35.51M---27.31M
Direct interest paid 2.65%-184K20.25%-189K16.55%-237K-105.80%-284K80.48%-138K35.67%-707K-206.13%-1.1M-360.26%-359K31.58%-78K---114K
Direct interest received 135.85%125K-60.45%53K-53.63%134K25.65%289K900.00%230K-11.54%23K-82.43%26K-75.29%148K45.74%599K--411K
Direct tax refund paid 100.26%15K-308.48%-5.78M-12.30%-1.42M23.68%-1.26M-617.83%-1.65M80.19%-230K47.37%-1.16M-269.56%-2.21M215.85%1.3M---1.12M
Operating cash flow -31.71%8.72M885.64%12.76M-90.15%1.3M8.00%13.15M-13.10%12.18M-4.91%14.01M26.45%14.74M-45.18%11.65M16.91%21.26M--18.18M
Investing cash flow
Cash flow from continuing investing activities -456.76%-25.21M-167.14%-4.53M83.39%-1.7M-8.25%-10.21M-163.48%-9.43M208.24%14.85M71.03%-13.72M-251.68%-47.35M-93.57%-13.47M-6.96M
Net PPE purchase and sale -170.45%-1.19M-37.07%-440K-136.03%-321K68.00%-136K-57.99%-425K26.10%-269K60.04%-364K-182.92%-911K3.01%-322K---332K
Net intangibles purchas and sale 38.28%-2.88M15.53%-4.67M47.80%-5.53M-17.72%-10.6M7.93%-9M-4.69%-9.78M14.18%-9.34M-60.67%-10.88M-5.70%-6.77M---6.41M
Net business purchase and sale -4,401.06%-8.51M-105.24%-189K--3.61M--------8,568.03%24.9M40.61%-294K53.39%-495K---1.06M----
Net investment purchase and sale ---12.69M--------------------89.38%-3.72M-560.63%-35.07M---5.31M----
Net other investing changes -92.76%56K39.96%774K4.73%553K--528K-----------------------216K
Cash from discontinued investing activities
Investing cash flow -456.76%-25.21M-167.14%-4.53M83.39%-1.7M-8.25%-10.21M-163.48%-9.43M208.24%14.85M71.03%-13.72M-251.68%-47.35M-93.57%-13.47M---6.96M
Financing cash flow
Cash flow from continuing financing activities 69.40%-635K-14.70%-2.08M-26.24%-1.81M-11,841.67%-1.43M99.87%-12K-373.37%-9.51M-122.09%-2.01M914.32%9.1M33.59%-1.12M-1.68M
Net issuance payments of debt ----------------99.87%-12K-373.37%-9.51M-117.47%-2.01M--11.5M--------
Net common stock issuance -----------115K----------------------11.76M----
Cash dividends paid ----------------------------80.94%-2.4M---12.62M----
Net other financing activities 69.40%-635K-22.49%-2.08M-18.21%-1.69M---1.43M----------------84.54%-260K---1.68M
Cash from discontinued financing activities
Financing cash flow 69.40%-635K-14.70%-2.08M-26.24%-1.81M-11,841.67%-1.43M99.87%-12K-373.37%-9.51M-122.09%-2.01M914.32%9.1M33.59%-1.12M---1.68M
Net cash flow
Beginning cash position 24.98%31.13M-8.04%24.91M5.11%27.08M11.96%25.77M600.15%23.01M-23.22%3.29M-86.14%4.28M26.36%30.89M65.35%24.44M--14.78M
Current changes in cash -378.02%-17.13M378.90%6.16M-246.10%-2.21M-44.76%1.51M-85.86%2.74M2,046.88%19.35M96.26%-994K-498.64%-26.61M-30.06%6.67M--9.54M
Effect of exchange rate changes -80.00%12K87.50%60K116.41%32K-1,400.00%-195K-96.00%15K--375K---------296.58%-230K--117K
End cash Position -54.99%14.01M24.98%31.13M-8.04%24.91M5.11%27.08M11.96%25.77M600.15%23.01M-23.22%3.29M-86.14%4.28M26.36%30.89M--24.44M
Free cash from -39.33%4.64M267.86%7.65M-288.58%-4.56M-12.08%2.42M-30.69%2.75M-21.18%3.97M885.02%5.03M-105.15%-641K8.85%12.45M--11.44M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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