MY Stock MarketDetailed Quotes

6888 AXIATA

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  • 2.550
  • +0.010+0.39%
15min DelayMarket Closed Aug 30 16:59 CST
23.41BMarket Cap-18085P/E (TTM)

AXIATA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating cash flow (direct method)
Cash income from operating activities
5.37%5.95B
4.28%5.44B
-8.26%21.98B
44.04%4.98B
-13.41%6.14B
-16.71%5.65B
-21.36%5.21B
-5.12%23.96B
-47.92%3.46B
9.65%7.09B
Revenue from customers
5.37%5.95B
4.28%5.44B
-8.26%21.98B
44.04%4.98B
-13.41%6.14B
-16.71%5.65B
-21.36%5.21B
-5.12%23.96B
-47.92%3.46B
9.65%7.09B
Cash paid
13.80%-2.76B
15.04%-2.57B
11.04%-11.14B
-121.11%-2.11B
30.61%-2.81B
14.78%-3.2B
19.75%-3.02B
13.26%-12.52B
79.77%-954.25M
-35.81%-4.05B
Payments to suppliers for goods and services
13.80%-2.76B
15.04%-2.57B
11.04%-11.14B
-121.11%-2.11B
30.61%-2.81B
14.78%-3.2B
19.75%-3.02B
13.26%-12.52B
79.77%-954.25M
-35.81%-4.05B
Direct dividend paid
Direct dividend received
Direct interest paid
29.22%-469.31M
-38.68%-766.61M
-44.51%-2.3B
-12.13%-377M
-49.90%-703.46M
-162.19%-663.09M
-4.17%-552.78M
-13.66%-1.59B
-47.50%-336.23M
-8.74%-469.29M
Direct interest received
Direct tax refund paid
8.48%-125.75M
3.26%-204.77M
25.51%-676.56M
25.26%-161.73M
46.24%-165.78M
13.91%-137.39M
5.46%-211.66M
-57.61%-908.22M
-78.61%-216.39M
-131.13%-308.34M
Operating cash flow
57.63%2.6B
33.00%1.9B
-12.00%7.86B
19.50%2.33B
8.73%2.46B
-36.96%1.65B
-32.36%1.43B
1.11%8.93B
24.31%1.95B
-22.49%2.26B
Investing cash flow
Net PPE purchase and sale
30.04%-1.44B
16.49%-1.54B
26.03%-7.27B
-3.36%-2.02B
48.60%-1.35B
41.59%-2.06B
-6.77%-1.84B
-57.41%-9.83B
-29.94%-1.95B
-70.31%-2.62B
Net intangibles purchase and sale
-61.38%-195.03M
11.19%-140.89M
-63.96%-733M
-113.73%-256.42M
-9.73%-197.07M
-41.40%-120.85M
-155.85%-158.65M
21.62%-447.06M
9.16%-119.98M
32.60%-179.61M
Net business purchase and sale
155.65%28.82M
--0
133.69%347.67M
-77.29%399.8M
103.40%111K
98.13%-51.79M
97.01%-460K
32.43%-1.03B
218.75%1.76B
78.56%-3.27M
Net investment product transactions
-341.81%-98.57M
-75.89%111.5M
130.95%162.86M
58.91%-210.43M
-265.74%-66.91M
-7.77%-22.31M
1,473.57%462.51M
-870.56%-526.19M
-757.54%-512.19M
-88.92%40.37M
Repayment of advance payments to other parties and cash income from loans
----
104.82%228K
--2.43B
--0
--0
2,064,810.17%2.44B
-678.58%-4.73M
----
----
----
Dividends received (cash flow from investment activities)
9.37%135.91M
12.90%135.91M
2,950.64%497.25M
687.47%128.36M
--124.26M
--124.26M
--120.38M
--16.3M
--16.3M
--0
Interest received (cash flow from investment activities)
-11.27%62.24M
-20.88%72.52M
34.73%308.26M
-21.70%75.02M
31.88%71.43M
68.72%70.15M
146.19%91.66M
52.71%228.79M
125.55%95.82M
42.49%54.16M
Net changes in other investments
----
----
-60,486.11%-660.62M
-59,737.92%-550.46M
---109.87M
----
----
-78.03%1.09M
-81.87%923K
----
Investing cash flow
-491.33%-1.48B
-2.07%-1.36B
57.58%-4.91B
-241.12%-2.43B
43.73%-1.53B
105.95%378.67M
25.95%-1.33B
-42.73%-11.58B
76.20%-713.63M
-91.02%-2.71B
Financing cash flow
Net issuance payments of debt
131.61%445.86M
228.17%189M
-122.71%-1.59B
72.67%299.89M
-118.38%-330.13M
-127.48%-1.41B
-37.27%-147.46M
946.64%6.99B
-83.22%173.68M
943.83%1.8B
Increase or decrease of lease financing
44.21%-326.62M
-36.80%-750.27M
-3.15%-1.76B
-11.25%-334.19M
26.81%-291.01M
-33.29%-585.45M
3.46%-548.43M
-12.04%-1.71B
-6.04%-300.39M
-35.10%-397.62M
Cash dividends paid
----
----
-194.47%-2.05B
-299.98%-763.42M
--0
--0
-154.57%-1.28B
32.49%-695.59M
6.79%-190.87M
--0
Cash dividends for minorities
-76.95%-155.39M
99.96%-19K
----
----
-2,457.49%-95.6M
3.07%-87.82M
-47.44%-54.09M
----
----
89.13%-3.74M
Net other fund-raising expenses
985.12%279.57M
-55.10%17.96M
108.45%99.73M
102.80%33.97M
--0
135,500.00%25.76M
28.52%40M
-276.88%-1.18B
-387.85%-1.21B
168.06%49K
Financing cash flow
89.52%-215.68M
72.76%-543.33M
-255.19%-5.3B
62.37%-526.24M
-151.38%-716.74M
-144.72%-2.06B
-68.24%-1.99B
380.49%3.41B
-225.98%-1.4B
253.54%1.4B
Net cash flow
Beginning cash position
-27.76%3.29B
-46.44%3.39B
0.22%6.33B
-26.92%5.18B
-14.47%5.17B
-13.21%4.56B
0.22%6.33B
-6.10%6.31B
6.12%7.08B
1.49%6.05B
Current changes in cash
3,081.59%901.54M
99.67%-6.27M
-407.92%-2.35B
-286.15%-632.15M
-77.09%216.35M
-103.53%-30.24M
-116.94%-1.9B
253.53%762.17M
48.94%-163.71M
60.16%944.54M
Effect of exchange rate changes
-123.89%-156.81M
-155.55%-74.33M
63.52%-266.17M
-13.65%-782.32M
-222.36%-274.08M
1,076.84%656.43M
167.57%133.81M
-942.56%-729.6M
-989.10%-688.37M
69.91%223.99M
Cash adjustments other than cash changes
109.84%1.13M
-750.51%-15.69M
-1,635.68%-324.59M
-490.64%-373.11M
146.47%61.86M
-292.97%-11.5M
-114.25%-1.85M
---18.7M
--95.51M
-2,184.49%-133.12M
End cash Position
-21.92%4.04B
-27.76%3.29B
-46.44%3.39B
-46.44%3.39B
-26.92%5.18B
-14.47%5.17B
-13.21%4.56B
0.22%6.33B
0.22%6.33B
6.12%7.08B
Free cash flow
280.44%963.76M
137.04%215.02M
89.65%-138.48M
517.26%469.79M
193.23%506.34M
46.65%-534.11M
-282.17%-580.51M
-166.30%-1.34B
-562.19%-112.59M
-149.45%-543.13M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating cash flow (direct method)
Cash income from operating activities 5.37%5.95B4.28%5.44B-8.26%21.98B44.04%4.98B-13.41%6.14B-16.71%5.65B-21.36%5.21B-5.12%23.96B-47.92%3.46B9.65%7.09B
Revenue from customers 5.37%5.95B4.28%5.44B-8.26%21.98B44.04%4.98B-13.41%6.14B-16.71%5.65B-21.36%5.21B-5.12%23.96B-47.92%3.46B9.65%7.09B
Cash paid 13.80%-2.76B15.04%-2.57B11.04%-11.14B-121.11%-2.11B30.61%-2.81B14.78%-3.2B19.75%-3.02B13.26%-12.52B79.77%-954.25M-35.81%-4.05B
Payments to suppliers for goods and services 13.80%-2.76B15.04%-2.57B11.04%-11.14B-121.11%-2.11B30.61%-2.81B14.78%-3.2B19.75%-3.02B13.26%-12.52B79.77%-954.25M-35.81%-4.05B
Direct dividend paid
Direct dividend received
Direct interest paid 29.22%-469.31M-38.68%-766.61M-44.51%-2.3B-12.13%-377M-49.90%-703.46M-162.19%-663.09M-4.17%-552.78M-13.66%-1.59B-47.50%-336.23M-8.74%-469.29M
Direct interest received
Direct tax refund paid 8.48%-125.75M3.26%-204.77M25.51%-676.56M25.26%-161.73M46.24%-165.78M13.91%-137.39M5.46%-211.66M-57.61%-908.22M-78.61%-216.39M-131.13%-308.34M
Operating cash flow 57.63%2.6B33.00%1.9B-12.00%7.86B19.50%2.33B8.73%2.46B-36.96%1.65B-32.36%1.43B1.11%8.93B24.31%1.95B-22.49%2.26B
Investing cash flow
Net PPE purchase and sale 30.04%-1.44B16.49%-1.54B26.03%-7.27B-3.36%-2.02B48.60%-1.35B41.59%-2.06B-6.77%-1.84B-57.41%-9.83B-29.94%-1.95B-70.31%-2.62B
Net intangibles purchase and sale -61.38%-195.03M11.19%-140.89M-63.96%-733M-113.73%-256.42M-9.73%-197.07M-41.40%-120.85M-155.85%-158.65M21.62%-447.06M9.16%-119.98M32.60%-179.61M
Net business purchase and sale 155.65%28.82M--0133.69%347.67M-77.29%399.8M103.40%111K98.13%-51.79M97.01%-460K32.43%-1.03B218.75%1.76B78.56%-3.27M
Net investment product transactions -341.81%-98.57M-75.89%111.5M130.95%162.86M58.91%-210.43M-265.74%-66.91M-7.77%-22.31M1,473.57%462.51M-870.56%-526.19M-757.54%-512.19M-88.92%40.37M
Repayment of advance payments to other parties and cash income from loans ----104.82%228K--2.43B--0--02,064,810.17%2.44B-678.58%-4.73M------------
Dividends received (cash flow from investment activities) 9.37%135.91M12.90%135.91M2,950.64%497.25M687.47%128.36M--124.26M--124.26M--120.38M--16.3M--16.3M--0
Interest received (cash flow from investment activities) -11.27%62.24M-20.88%72.52M34.73%308.26M-21.70%75.02M31.88%71.43M68.72%70.15M146.19%91.66M52.71%228.79M125.55%95.82M42.49%54.16M
Net changes in other investments ---------60,486.11%-660.62M-59,737.92%-550.46M---109.87M---------78.03%1.09M-81.87%923K----
Investing cash flow -491.33%-1.48B-2.07%-1.36B57.58%-4.91B-241.12%-2.43B43.73%-1.53B105.95%378.67M25.95%-1.33B-42.73%-11.58B76.20%-713.63M-91.02%-2.71B
Financing cash flow
Net issuance payments of debt 131.61%445.86M228.17%189M-122.71%-1.59B72.67%299.89M-118.38%-330.13M-127.48%-1.41B-37.27%-147.46M946.64%6.99B-83.22%173.68M943.83%1.8B
Increase or decrease of lease financing 44.21%-326.62M-36.80%-750.27M-3.15%-1.76B-11.25%-334.19M26.81%-291.01M-33.29%-585.45M3.46%-548.43M-12.04%-1.71B-6.04%-300.39M-35.10%-397.62M
Cash dividends paid ---------194.47%-2.05B-299.98%-763.42M--0--0-154.57%-1.28B32.49%-695.59M6.79%-190.87M--0
Cash dividends for minorities -76.95%-155.39M99.96%-19K---------2,457.49%-95.6M3.07%-87.82M-47.44%-54.09M--------89.13%-3.74M
Net other fund-raising expenses 985.12%279.57M-55.10%17.96M108.45%99.73M102.80%33.97M--0135,500.00%25.76M28.52%40M-276.88%-1.18B-387.85%-1.21B168.06%49K
Financing cash flow 89.52%-215.68M72.76%-543.33M-255.19%-5.3B62.37%-526.24M-151.38%-716.74M-144.72%-2.06B-68.24%-1.99B380.49%3.41B-225.98%-1.4B253.54%1.4B
Net cash flow
Beginning cash position -27.76%3.29B-46.44%3.39B0.22%6.33B-26.92%5.18B-14.47%5.17B-13.21%4.56B0.22%6.33B-6.10%6.31B6.12%7.08B1.49%6.05B
Current changes in cash 3,081.59%901.54M99.67%-6.27M-407.92%-2.35B-286.15%-632.15M-77.09%216.35M-103.53%-30.24M-116.94%-1.9B253.53%762.17M48.94%-163.71M60.16%944.54M
Effect of exchange rate changes -123.89%-156.81M-155.55%-74.33M63.52%-266.17M-13.65%-782.32M-222.36%-274.08M1,076.84%656.43M167.57%133.81M-942.56%-729.6M-989.10%-688.37M69.91%223.99M
Cash adjustments other than cash changes 109.84%1.13M-750.51%-15.69M-1,635.68%-324.59M-490.64%-373.11M146.47%61.86M-292.97%-11.5M-114.25%-1.85M---18.7M--95.51M-2,184.49%-133.12M
End cash Position -21.92%4.04B-27.76%3.29B-46.44%3.39B-46.44%3.39B-26.92%5.18B-14.47%5.17B-13.21%4.56B0.22%6.33B0.22%6.33B6.12%7.08B
Free cash flow 280.44%963.76M137.04%215.02M89.65%-138.48M517.26%469.79M193.23%506.34M46.65%-534.11M-282.17%-580.51M-166.30%-1.34B-562.19%-112.59M-149.45%-543.13M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

Analysis

Analyst Rating

No Data

Price Target

No Data

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