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ALK Alkane Resources Ltd

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  • 0.420
  • 0.0000.00%
20min DelayMarket Closed Aug 16 16:00 AET
253.47MMarket Cap6.00P/E (Static)

Alkane Resources 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
13.85%183.68M
29.58%161.34M
73.57%124.51M
-21.01%71.74M
-27.75%90.82M
9.06%125.71M
7.43%115.26M
7.89%107.3M
279.30%99.45M
215.55%26.22M
Revenue from customers
15.46%190.53M
28.88%165.01M
76.97%128.04M
-21.80%72.35M
-28.17%92.51M
9.77%128.8M
7.52%117.34M
7.06%109.13M
337.87%101.94M
35,716.92%23.28M
Other cash income from operating activities
-86.31%-6.85M
-4.23%-3.67M
-476.92%-3.53M
63.89%-611K
45.30%-1.69M
-49.06%-3.09M
-12.83%-2.08M
26.23%-1.84M
-184.85%-2.49M
-64.36%2.94M
Cash paid
-22.37%-90.03M
-41.80%-73.57M
-17.75%-51.88M
21.24%-44.06M
22.56%-55.94M
-19.90%-72.24M
13.99%-60.25M
1.64%-70.05M
-121.56%-71.22M
-1,606.21%-32.15M
Payments to suppliers for goods and services
-22.37%-90.03M
-41.80%-73.57M
-17.75%-51.88M
21.24%-44.06M
22.56%-55.94M
-19.90%-72.24M
13.99%-60.25M
1.64%-70.05M
-121.56%-71.22M
-1,606.21%-32.15M
Direct dividend received
----
----
----
----
----
----
----
----
----
--452K
Direct interest paid
56.87%-590K
15.24%-1.37M
-1,170.87%-1.61M
7.97%-127K
-25.45%-138K
84.70%-110K
-189.92%-719K
-71.03%-248K
26.77%-145K
---198K
Direct interest received
3,205.33%2.48M
-24.24%75K
-89.96%99K
-33.24%986K
25.70%1.48M
158.81%1.18M
-7.35%454K
-6.84%490K
-70.70%526K
25.96%1.8M
Operating cash flow
10.49%95.55M
21.60%86.48M
149.22%71.12M
-21.21%28.54M
-33.59%36.22M
-0.39%54.53M
46.05%54.75M
31.04%37.49M
837.86%28.61M
-149.39%-3.88M
Investing cash flow
Cash flow from continuing investing activities
-175.07%-91.43M
67.64%-33.24M
-32.89%-102.73M
-100.07%-77.3M
-57.64%-38.64M
39.76%-24.51M
-1.70%-40.69M
-35.91%-40.01M
46.13%-29.44M
-134.85%-54.65M
Capital expenditure reported
-41.94%-58.11M
-53.65%-40.94M
-32.34%-26.64M
-73.88%-20.13M
-5.55%-11.58M
-8.03%-10.97M
-49.57%-10.15M
53.13%-6.79M
-7.03%-14.49M
49.31%-13.53M
Net PPE purchase and sale
19.71%-33.69M
27.60%-41.96M
-25.66%-57.96M
-135.11%-46.12M
-112.67%-19.62M
72.46%-9.22M
0.33%-33.5M
-85.65%-33.61M
77.83%-18.1M
-676.65%-81.65M
Net intangibles purchas and sale
----
----
----
---8.97M
----
----
----
145.88%390K
72.27%-850K
-1,017.66%-3.07M
Net investment purchase and sale
-98.77%637K
451.98%51.61M
-6,657.60%-14.66M
97.15%-217K
-3,651.72%-7.62M
---203K
----
----
-90.82%4M
220.39%43.6M
Net other investing changes
86.24%-269K
43.58%-1.96M
-85.89%-3.47M
-1,171.26%-1.86M
104.23%174K
-238.85%-4.11M
--2.96M
----
----
----
Cash from discontinued investing activities
Investing cash flow
-175.07%-91.43M
67.64%-33.24M
-32.89%-102.73M
-100.07%-77.3M
-57.64%-38.64M
39.76%-24.51M
-1.70%-40.69M
-35.91%-40.01M
46.13%-29.44M
-134.85%-54.65M
Financing cash flow
Cash flow from continuing financing activities
-130.38%-1.72M
150.22%5.67M
-95.08%2.26M
46.06M
-99.68%11K
-71.51%3.46M
10,924.55%12.13M
-98.88%110K
490,100.00%9.8M
Net issuance payments of debt
-125.79%-1.5M
146.22%5.83M
-64.25%2.37M
--6.62M
--0
200.00%16K
85.96%-16K
-200.88%-114K
--113K
----
Net common stock issuance
-400.00%-20K
87.10%-4K
-100.08%-31K
--39.44M
----
-100.14%-5K
-71.64%3.47M
408,133.33%12.24M
-100.03%-3K
490,100.00%9.8M
Net other financing activities
-24.53%-198K
-120.83%-159K
---72K
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-130.38%-1.72M
150.22%5.67M
-95.08%2.26M
--46.06M
----
-99.68%11K
-71.51%3.46M
10,924.55%12.13M
-98.88%110K
490,100.00%9.8M
Net cash flow
Beginning cash position
310.16%77.89M
-71.60%18.99M
-3.88%66.88M
-3.36%69.58M
71.56%72M
71.62%41.97M
64.69%24.46M
-4.62%14.85M
-75.78%15.57M
-19.35%64.29M
Current changes in cash
-95.93%2.4M
300.72%58.9M
-986.49%-29.35M
-11.57%-2.7M
-108.06%-2.42M
71.49%30.03M
82.32%17.51M
1,434.17%9.61M
98.52%-720K
-215.97%-48.73M
Cash adjustments other than cash changes
----
----
---18.54M
----
----
----
----
----
----
----
End cash Position
3.08%80.29M
310.16%77.89M
-71.60%18.99M
-3.88%66.88M
-3.36%69.58M
71.56%72M
71.62%41.97M
64.69%24.46M
-4.62%14.85M
-75.78%15.57M
Free cash from
26.55%3.75M
119.73%2.96M
67.86%-15M
-1,030.52%-46.68M
-85.39%5.02M
210.97%34.34M
317.04%11.04M
36.33%-5.09M
92.26%-7.99M
-251.59%-103.24M
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 13.85%183.68M29.58%161.34M73.57%124.51M-21.01%71.74M-27.75%90.82M9.06%125.71M7.43%115.26M7.89%107.3M279.30%99.45M215.55%26.22M
Revenue from customers 15.46%190.53M28.88%165.01M76.97%128.04M-21.80%72.35M-28.17%92.51M9.77%128.8M7.52%117.34M7.06%109.13M337.87%101.94M35,716.92%23.28M
Other cash income from operating activities -86.31%-6.85M-4.23%-3.67M-476.92%-3.53M63.89%-611K45.30%-1.69M-49.06%-3.09M-12.83%-2.08M26.23%-1.84M-184.85%-2.49M-64.36%2.94M
Cash paid -22.37%-90.03M-41.80%-73.57M-17.75%-51.88M21.24%-44.06M22.56%-55.94M-19.90%-72.24M13.99%-60.25M1.64%-70.05M-121.56%-71.22M-1,606.21%-32.15M
Payments to suppliers for goods and services -22.37%-90.03M-41.80%-73.57M-17.75%-51.88M21.24%-44.06M22.56%-55.94M-19.90%-72.24M13.99%-60.25M1.64%-70.05M-121.56%-71.22M-1,606.21%-32.15M
Direct dividend received --------------------------------------452K
Direct interest paid 56.87%-590K15.24%-1.37M-1,170.87%-1.61M7.97%-127K-25.45%-138K84.70%-110K-189.92%-719K-71.03%-248K26.77%-145K---198K
Direct interest received 3,205.33%2.48M-24.24%75K-89.96%99K-33.24%986K25.70%1.48M158.81%1.18M-7.35%454K-6.84%490K-70.70%526K25.96%1.8M
Operating cash flow 10.49%95.55M21.60%86.48M149.22%71.12M-21.21%28.54M-33.59%36.22M-0.39%54.53M46.05%54.75M31.04%37.49M837.86%28.61M-149.39%-3.88M
Investing cash flow
Cash flow from continuing investing activities -175.07%-91.43M67.64%-33.24M-32.89%-102.73M-100.07%-77.3M-57.64%-38.64M39.76%-24.51M-1.70%-40.69M-35.91%-40.01M46.13%-29.44M-134.85%-54.65M
Capital expenditure reported -41.94%-58.11M-53.65%-40.94M-32.34%-26.64M-73.88%-20.13M-5.55%-11.58M-8.03%-10.97M-49.57%-10.15M53.13%-6.79M-7.03%-14.49M49.31%-13.53M
Net PPE purchase and sale 19.71%-33.69M27.60%-41.96M-25.66%-57.96M-135.11%-46.12M-112.67%-19.62M72.46%-9.22M0.33%-33.5M-85.65%-33.61M77.83%-18.1M-676.65%-81.65M
Net intangibles purchas and sale ---------------8.97M------------145.88%390K72.27%-850K-1,017.66%-3.07M
Net investment purchase and sale -98.77%637K451.98%51.61M-6,657.60%-14.66M97.15%-217K-3,651.72%-7.62M---203K---------90.82%4M220.39%43.6M
Net other investing changes 86.24%-269K43.58%-1.96M-85.89%-3.47M-1,171.26%-1.86M104.23%174K-238.85%-4.11M--2.96M------------
Cash from discontinued investing activities
Investing cash flow -175.07%-91.43M67.64%-33.24M-32.89%-102.73M-100.07%-77.3M-57.64%-38.64M39.76%-24.51M-1.70%-40.69M-35.91%-40.01M46.13%-29.44M-134.85%-54.65M
Financing cash flow
Cash flow from continuing financing activities -130.38%-1.72M150.22%5.67M-95.08%2.26M46.06M-99.68%11K-71.51%3.46M10,924.55%12.13M-98.88%110K490,100.00%9.8M
Net issuance payments of debt -125.79%-1.5M146.22%5.83M-64.25%2.37M--6.62M--0200.00%16K85.96%-16K-200.88%-114K--113K----
Net common stock issuance -400.00%-20K87.10%-4K-100.08%-31K--39.44M-----100.14%-5K-71.64%3.47M408,133.33%12.24M-100.03%-3K490,100.00%9.8M
Net other financing activities -24.53%-198K-120.83%-159K---72K----------------------------
Cash from discontinued financing activities
Financing cash flow -130.38%-1.72M150.22%5.67M-95.08%2.26M--46.06M-----99.68%11K-71.51%3.46M10,924.55%12.13M-98.88%110K490,100.00%9.8M
Net cash flow
Beginning cash position 310.16%77.89M-71.60%18.99M-3.88%66.88M-3.36%69.58M71.56%72M71.62%41.97M64.69%24.46M-4.62%14.85M-75.78%15.57M-19.35%64.29M
Current changes in cash -95.93%2.4M300.72%58.9M-986.49%-29.35M-11.57%-2.7M-108.06%-2.42M71.49%30.03M82.32%17.51M1,434.17%9.61M98.52%-720K-215.97%-48.73M
Cash adjustments other than cash changes -----------18.54M----------------------------
End cash Position 3.08%80.29M310.16%77.89M-71.60%18.99M-3.88%66.88M-3.36%69.58M71.56%72M71.62%41.97M64.69%24.46M-4.62%14.85M-75.78%15.57M
Free cash from 26.55%3.75M119.73%2.96M67.86%-15M-1,030.52%-46.68M-85.39%5.02M210.97%34.34M317.04%11.04M36.33%-5.09M92.26%-7.99M-251.59%-103.24M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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