SG Stock MarketDetailed Quotes

5GJ AusGroup

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  • 0.009
  • 0.0000.00%
10min DelayMarket Closed Apr 12 09:00 CST
27.66MMarket Cap-900P/E (TTM)

AusGroup Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q3)Mar 31, 2022
(Q2)Dec 31, 2021
(Q1)Sep 30, 2021
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(Q3)Mar 31, 2021
(Q2)Dec 31, 2020
(Q1)Sep 30, 2020
Operating cash flow (Indirect Method)
Cash from operating activities
575.79%6.59M
85.39%-318K
41.94%-2.32M
238.45%7.34M
-21.81%1.89M
-109.64%-1.38M
-112.43%-2.18M
-197.66%-4M
-45.83%2.17M
121.44%2.41M
Net profit before non-cash adjustment
-2,735.86%-31.68M
-27,478.63%-32.03M
-3.92%98K
-91.43%42K
-57.40%210K
102.02%1.2M
100.21%117K
103.17%102K
-8.75%490K
108.02%493K
Total adjustment of non-cash items
138.38%27.68M
423.80%16.04M
20.71%3.82M
49.15%3.79M
53.21%4.03M
-81.40%11.61M
-93.76%3.06M
-46.69%3.16M
-26.86%2.54M
-32.73%2.63M
-Depreciation and amortization
0.12%7.65M
-8.92%1.86M
1.68%1.94M
3.86%1.94M
4.75%1.92M
-13.12%7.64M
6.58%2.04M
-18.15%1.9M
-17.60%1.86M
-20.05%1.83M
-Reversal of impairment losses recognized in profit and loss
5,293.55%11.7M
116,940.00%11.7M
--0
----
----
-99.57%217K
-99.98%10K
-94.92%3K
-42.86%204K
----
-Disposal profit
-1,106.06%-398K
-270.00%-222K
70.92%-57K
---119K
--0
96.42%-33K
87.26%-60K
-68.97%-196K
--0
205.69%223K
-Net exchange gains and losses
187.21%716K
146.37%249K
63.02%-71K
139.66%139K
209.59%400K
75.60%-821K
87.78%-537K
-113.56%-192K
119.08%58K
-461.54%-365K
-Remuneration paid in stock
623.11%1.63M
62.67%366K
--679K
--352K
--230K
-45.12%225K
112.26%225K
--0
----
----
-Deferred income tax
2.42%338K
63.46%85K
-7.53%86K
-45.81%84K
176.67%83K
-64.01%330K
-35.00%52K
-64.64%93K
-44.24%155K
-89.86%30K
-Other non-cash items
49.09%6.05M
50.38%2M
-19.72%1.25M
436.02%1.4M
53.45%1.4M
-28.76%4.06M
-4.03%1.33M
-17.67%1.55M
-71.13%261K
-39.17%913K
Changes in working capital
174.55%10.59M
392.53%15.67M
14.14%-6.24M
507.08%3.51M
-230.76%-2.36M
-224.13%-14.2M
-121.04%-5.36M
-625.52%-7.27M
-12,214.29%-862K
95.38%-712K
-Change in receivables
87.03%-2.75M
77.49%-2.37M
31.31%-4M
1,513.75%9.05M
-29.46%-5.42M
-173.75%-21.17M
-128.81%-10.51M
-134.92%-5.83M
-19.63%-640K
82.50%-4.19M
-Change in inventory
-16.79%1.09M
-22.47%345K
-29.43%247K
129.60%287K
-46.35%206K
160.79%1.3M
-18.50%445K
122.14%350K
-78.37%125K
122.75%384K
-Change in payables
721.29%12.07M
1,062.79%11M
-1.99%1.09M
-156.10%-420K
197.37%408K
115.52%1.47M
115.87%946K
118.62%1.11M
-103.03%-164K
85.97%-419K
-Change in accrued expense
-95.90%172K
77.88%6.69M
-23.20%-3.57M
-2,854.10%-5.41M
-30.13%2.45M
174.30%4.2M
167.18%3.76M
62.80%-2.9M
96.65%-183K
-73.41%3.51M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-80.10%-4.16M
-2,730.91%-1.56M
7.38%-753K
-26.71%-925K
-86.17%-929K
47.18%-2.31M
93.67%-55K
58.03%-813K
-12.31%-730K
45.82%-499K
Interest received (cash flow from operating activities)
-80.30%13K
-50.00%2K
-25.00%6K
-85.71%3K
-93.94%2K
-30.53%66K
-80.95%4K
-73.33%8K
5.00%21K
37.50%33K
Tax refund paid
-92.31%-225K
-83.85%26K
11.83%-82K
-9.03%-169K
90.15%-117K
145.87%161K
64.64%-93K
44.24%-155K
89.86%-30K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
158.95%2.21M
10.64%-1.85M
35.67%-3.15M
378.93%6.25M
-49.95%959K
-142.15%-3.75M
-112.67%-2.07M
-354.07%-4.9M
-57.85%1.31M
115.40%1.92M
Investing cash flow
Net PPE purchase and sale
54.27%-493K
67.68%-160K
15.48%-262K
145.85%116K
-835.00%-187K
-234.25%-1.08M
-163.38%-495K
8.55%-310K
-194.05%-253K
-121.74%-20K
Net intangibles purchase and sale
71.29%-315K
68.44%-315K
--0
----
----
-76.65%-1.1M
-84.47%-998K
-28.13%-41K
----
---58K
Investing cash flow
62.85%-808K
68.18%-475K
25.36%-262K
145.85%116K
-139.74%-187K
-1,295.05%-2.18M
-722.08%-1.49M
5.39%-351K
-214.48%-253K
-184.78%-78K
Financing cash flow
Net issuance payments of debt
97.01%-140K
-1.18%2.02M
99.01%-6K
65.51%-1.09M
64.17%-1.07M
-1,077.64%-4.69M
163.38%2.04M
87.57%-605K
-161.26%-3.15M
-216.62%-2.98M
Increase or decrease of lease financing
-4.94%-3.68M
14.14%-917K
-5.57%-928K
-15.67%-908K
-19.71%-923K
-12.56%-3.5M
-25.21%-1.07M
-139.51%-879K
17.02%-785K
18.50%-771K
Net other fund-raising expenses
-399.18%-2.54M
---99K
----
---682K
---1.76M
-15.00%850K
----
----
----
----
Financing cash flow
13.37%-6.36M
-45.07%1M
37.06%-934K
31.98%-2.68M
-0.13%-3.75M
-192.43%-7.34M
159.32%1.82M
79.49%-1.48M
-206.50%-3.93M
-191.25%-3.75M
Net cash flow
Beginning cash position
-62.98%7.81M
-56.44%4.16M
-47.77%8.52M
-74.85%4.83M
-62.98%7.81M
45.84%21.09M
24.77%9.56M
23.20%16.32M
207.45%19.2M
45.84%21.09M
Current changes in cash
62.61%-4.96M
23.96%-1.32M
35.44%-4.35M
228.04%3.69M
-56.13%-2.98M
-302.13%-13.26M
-112.88%-1.74M
-18.68%-6.74M
-141.11%-2.88M
76.86%-1.91M
Effect of exchange rate changes
120.00%4K
147.06%8K
60.00%-8K
--2K
-88.24%2K
-129.85%-20K
63.83%-17K
-121.28%-20K
----
-43.33%17K
End cash Position
-63.46%2.85M
-63.46%2.85M
-56.44%4.16M
-47.77%8.52M
-74.85%4.83M
-62.98%7.81M
-62.98%7.81M
24.77%9.56M
23.20%16.32M
207.45%19.2M
Free cash flow
103.85%254K
20.20%-3.01M
35.52%-3.44M
592.88%5.94M
-53.55%772K
-187.39%-6.6M
-123.87%-3.78M
-482.10%-5.34M
-70.47%857K
113.22%1.66M
Currency Unit
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
(FY)Jun 30, 2022(Q4)Jun 30, 2022(Q3)Mar 31, 2022(Q2)Dec 31, 2021(Q1)Sep 30, 2021(FY)Jun 30, 2021(Q4)Jun 30, 2021(Q3)Mar 31, 2021(Q2)Dec 31, 2020(Q1)Sep 30, 2020
Operating cash flow (Indirect Method)
Cash from operating activities 575.79%6.59M85.39%-318K41.94%-2.32M238.45%7.34M-21.81%1.89M-109.64%-1.38M-112.43%-2.18M-197.66%-4M-45.83%2.17M121.44%2.41M
Net profit before non-cash adjustment -2,735.86%-31.68M-27,478.63%-32.03M-3.92%98K-91.43%42K-57.40%210K102.02%1.2M100.21%117K103.17%102K-8.75%490K108.02%493K
Total adjustment of non-cash items 138.38%27.68M423.80%16.04M20.71%3.82M49.15%3.79M53.21%4.03M-81.40%11.61M-93.76%3.06M-46.69%3.16M-26.86%2.54M-32.73%2.63M
-Depreciation and amortization 0.12%7.65M-8.92%1.86M1.68%1.94M3.86%1.94M4.75%1.92M-13.12%7.64M6.58%2.04M-18.15%1.9M-17.60%1.86M-20.05%1.83M
-Reversal of impairment losses recognized in profit and loss 5,293.55%11.7M116,940.00%11.7M--0---------99.57%217K-99.98%10K-94.92%3K-42.86%204K----
-Disposal profit -1,106.06%-398K-270.00%-222K70.92%-57K---119K--096.42%-33K87.26%-60K-68.97%-196K--0205.69%223K
-Net exchange gains and losses 187.21%716K146.37%249K63.02%-71K139.66%139K209.59%400K75.60%-821K87.78%-537K-113.56%-192K119.08%58K-461.54%-365K
-Remuneration paid in stock 623.11%1.63M62.67%366K--679K--352K--230K-45.12%225K112.26%225K--0--------
-Deferred income tax 2.42%338K63.46%85K-7.53%86K-45.81%84K176.67%83K-64.01%330K-35.00%52K-64.64%93K-44.24%155K-89.86%30K
-Other non-cash items 49.09%6.05M50.38%2M-19.72%1.25M436.02%1.4M53.45%1.4M-28.76%4.06M-4.03%1.33M-17.67%1.55M-71.13%261K-39.17%913K
Changes in working capital 174.55%10.59M392.53%15.67M14.14%-6.24M507.08%3.51M-230.76%-2.36M-224.13%-14.2M-121.04%-5.36M-625.52%-7.27M-12,214.29%-862K95.38%-712K
-Change in receivables 87.03%-2.75M77.49%-2.37M31.31%-4M1,513.75%9.05M-29.46%-5.42M-173.75%-21.17M-128.81%-10.51M-134.92%-5.83M-19.63%-640K82.50%-4.19M
-Change in inventory -16.79%1.09M-22.47%345K-29.43%247K129.60%287K-46.35%206K160.79%1.3M-18.50%445K122.14%350K-78.37%125K122.75%384K
-Change in payables 721.29%12.07M1,062.79%11M-1.99%1.09M-156.10%-420K197.37%408K115.52%1.47M115.87%946K118.62%1.11M-103.03%-164K85.97%-419K
-Change in accrued expense -95.90%172K77.88%6.69M-23.20%-3.57M-2,854.10%-5.41M-30.13%2.45M174.30%4.2M167.18%3.76M62.80%-2.9M96.65%-183K-73.41%3.51M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -80.10%-4.16M-2,730.91%-1.56M7.38%-753K-26.71%-925K-86.17%-929K47.18%-2.31M93.67%-55K58.03%-813K-12.31%-730K45.82%-499K
Interest received (cash flow from operating activities) -80.30%13K-50.00%2K-25.00%6K-85.71%3K-93.94%2K-30.53%66K-80.95%4K-73.33%8K5.00%21K37.50%33K
Tax refund paid -92.31%-225K-83.85%26K11.83%-82K-9.03%-169K90.15%-117K145.87%161K64.64%-93K44.24%-155K89.86%-30K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 158.95%2.21M10.64%-1.85M35.67%-3.15M378.93%6.25M-49.95%959K-142.15%-3.75M-112.67%-2.07M-354.07%-4.9M-57.85%1.31M115.40%1.92M
Investing cash flow
Net PPE purchase and sale 54.27%-493K67.68%-160K15.48%-262K145.85%116K-835.00%-187K-234.25%-1.08M-163.38%-495K8.55%-310K-194.05%-253K-121.74%-20K
Net intangibles purchase and sale 71.29%-315K68.44%-315K--0---------76.65%-1.1M-84.47%-998K-28.13%-41K-------58K
Investing cash flow 62.85%-808K68.18%-475K25.36%-262K145.85%116K-139.74%-187K-1,295.05%-2.18M-722.08%-1.49M5.39%-351K-214.48%-253K-184.78%-78K
Financing cash flow
Net issuance payments of debt 97.01%-140K-1.18%2.02M99.01%-6K65.51%-1.09M64.17%-1.07M-1,077.64%-4.69M163.38%2.04M87.57%-605K-161.26%-3.15M-216.62%-2.98M
Increase or decrease of lease financing -4.94%-3.68M14.14%-917K-5.57%-928K-15.67%-908K-19.71%-923K-12.56%-3.5M-25.21%-1.07M-139.51%-879K17.02%-785K18.50%-771K
Net other fund-raising expenses -399.18%-2.54M---99K-------682K---1.76M-15.00%850K----------------
Financing cash flow 13.37%-6.36M-45.07%1M37.06%-934K31.98%-2.68M-0.13%-3.75M-192.43%-7.34M159.32%1.82M79.49%-1.48M-206.50%-3.93M-191.25%-3.75M
Net cash flow
Beginning cash position -62.98%7.81M-56.44%4.16M-47.77%8.52M-74.85%4.83M-62.98%7.81M45.84%21.09M24.77%9.56M23.20%16.32M207.45%19.2M45.84%21.09M
Current changes in cash 62.61%-4.96M23.96%-1.32M35.44%-4.35M228.04%3.69M-56.13%-2.98M-302.13%-13.26M-112.88%-1.74M-18.68%-6.74M-141.11%-2.88M76.86%-1.91M
Effect of exchange rate changes 120.00%4K147.06%8K60.00%-8K--2K-88.24%2K-129.85%-20K63.83%-17K-121.28%-20K-----43.33%17K
End cash Position -63.46%2.85M-63.46%2.85M-56.44%4.16M-47.77%8.52M-74.85%4.83M-62.98%7.81M-62.98%7.81M24.77%9.56M23.20%16.32M207.45%19.2M
Free cash flow 103.85%254K20.20%-3.01M35.52%-3.44M592.88%5.94M-53.55%772K-187.39%-6.6M-123.87%-3.78M-482.10%-5.34M-70.47%857K113.22%1.66M
Currency Unit AUDAUDAUDAUDAUDAUDAUDAUDAUDAUD

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