AU Stock MarketDetailed Quotes

AXI Axiom Properties Ltd

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  • 0.061
  • -0.004-6.15%
20min DelayNot Open Nov 27 15:54 AET
26.40MMarket Cap-5083P/E (Static)

Axiom Properties Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(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
Operating cash flow (direct method)
Cash income from operating activities
-124.91%-2.15M
-88.50%8.64M
414.87%75.1M
487.64%14.59M
-3,262.18%-3.76M
-96.68%119K
-34.88%3.59M
232.79%5.51M
27.65%-4.15M
54.11%-5.73M
Revenue from customers
-80.90%3.18M
-77.89%16.62M
48.54%75.19M
8,267.11%50.62M
130.92%605K
-92.89%262K
-34.92%3.68M
23.44%5.66M
3.54%4.59M
-58.73%4.43M
Other cash income from operating activities
33.33%-5.33M
-8,776.67%-7.99M
99.75%-90K
-724.95%-36.03M
-2,954.55%-4.37M
-47.42%-143K
36.60%-97K
98.25%-153K
14.05%-8.73M
56.25%-10.16M
Cash paid
31.89%-2.26M
94.58%-3.32M
-1,244.26%-61.29M
-50.66%-4.56M
11.05%-3.03M
30.67%-3.4M
-3.26%-4.91M
8.55%-4.75M
-1.94%-5.2M
-230.12%-5.1M
Payments to suppliers for goods and services
31.89%-2.26M
94.58%-3.32M
-1,244.26%-61.29M
-50.66%-4.56M
11.05%-3.03M
30.67%-3.4M
-3.26%-4.91M
8.55%-4.75M
-1.94%-5.2M
-230.12%-5.1M
Direct interest paid
50.00%-1K
0.00%-2K
60.00%-2K
91.67%-5K
-5,900.00%-60K
99.89%-1K
36.19%-880K
-25.14%-1.38M
-13.61%-1.1M
-10,677.78%-970K
Direct interest received
300.00%144K
500.00%36K
-85.71%6K
-63.16%42K
-67.05%114K
174.60%346K
193.02%126K
-53.26%43K
-62.14%92K
158.51%243K
Operating cash flow
-179.93%-4.27M
-61.33%5.35M
37.34%13.82M
249.44%10.07M
-129.24%-6.74M
-41.66%-2.94M
-257.59%-2.07M
94.40%-580K
10.41%-10.35M
17.17%-11.56M
Investing cash flow
Cash flow from continuing investing activities
-3,788.35%-7.6M
-54.63%206K
-79.00%454K
57.70%2.16M
-87.60%1.37M
-48.82%11.05M
3,376.78%21.59M
-96.13%-659K
-740.00%-336K
-104.62%-40K
Net PPE purchase and sale
----
----
----
--173K
----
----
----
57.14%-3K
-40.00%-7K
44.44%-5K
Net business purchase and sale
---1.7M
----
----
----
----
----
----
----
----
----
Net investment purchase and sale
-2,964.56%-5.9M
-54.63%206K
-76.17%454K
38.95%1.91M
-87.60%1.37M
-48.82%11.05M
3,391.77%21.59M
-99.39%-656K
-840.00%-329K
---35K
Dividends received (cash flow from investment activities)
----
----
----
--84K
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-3,788.35%-7.6M
-54.63%206K
-79.00%454K
57.70%2.16M
-87.60%1.37M
-48.82%11.05M
3,376.78%21.59M
-96.13%-659K
-740.00%-336K
-104.62%-40K
Financing cash flow
Cash flow from continuing financing activities
744.03%1.73M
98.48%-268K
-160.54%-17.58M
-3,324.37%-6.75M
48.02%-197K
98.11%-379K
-14,010.42%-20.03M
-98.19%144K
5.32%7.94M
-60.59%7.54M
Net issuance payments of debt
744.03%1.73M
-0.37%-268K
-4.71%-267K
-29.44%-255K
41.19%-197K
97.08%-335K
-8,077.78%-11.49M
--144K
----
-51.25%9.32M
Net common stock issuance
----
----
-166.66%-17.31M
---6.49M
----
99.48%-44K
---8.54M
----
544.46%7.94M
---1.79M
Cash from discontinued financing activities
Financing cash flow
744.03%1.73M
98.48%-268K
-160.54%-17.58M
-3,324.37%-6.75M
48.02%-197K
98.11%-379K
-14,010.42%-20.03M
-98.19%144K
5.32%7.94M
-60.59%7.54M
Net cash flow
Beginning cash position
90.65%11.11M
-36.15%5.83M
150.33%9.13M
-60.40%3.65M
525.48%9.21M
-25.77%1.47M
-35.58%1.98M
-47.20%3.08M
-41.05%5.83M
156.82%9.89M
Current changes in cash
-292.01%-10.14M
260.14%5.28M
-160.19%-3.3M
198.56%5.48M
-171.89%-5.56M
1,613.70%7.74M
53.33%-511K
60.21%-1.1M
32.22%-2.75M
-167.23%-4.06M
End cash Position
-91.30%967K
90.65%11.11M
-36.15%5.83M
150.33%9.13M
-60.40%3.65M
525.48%9.21M
-25.77%1.47M
-35.58%1.98M
-47.20%3.08M
-41.05%5.83M
Free cash from
-179.93%-4.27M
-61.33%5.35M
37.34%13.82M
249.44%10.07M
-129.24%-6.74M
-41.66%-2.94M
-255.75%-2.07M
94.37%-583K
10.39%-10.36M
17.19%-11.56M
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, 2024(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
Operating cash flow (direct method)
Cash income from operating activities -124.91%-2.15M-88.50%8.64M414.87%75.1M487.64%14.59M-3,262.18%-3.76M-96.68%119K-34.88%3.59M232.79%5.51M27.65%-4.15M54.11%-5.73M
Revenue from customers -80.90%3.18M-77.89%16.62M48.54%75.19M8,267.11%50.62M130.92%605K-92.89%262K-34.92%3.68M23.44%5.66M3.54%4.59M-58.73%4.43M
Other cash income from operating activities 33.33%-5.33M-8,776.67%-7.99M99.75%-90K-724.95%-36.03M-2,954.55%-4.37M-47.42%-143K36.60%-97K98.25%-153K14.05%-8.73M56.25%-10.16M
Cash paid 31.89%-2.26M94.58%-3.32M-1,244.26%-61.29M-50.66%-4.56M11.05%-3.03M30.67%-3.4M-3.26%-4.91M8.55%-4.75M-1.94%-5.2M-230.12%-5.1M
Payments to suppliers for goods and services 31.89%-2.26M94.58%-3.32M-1,244.26%-61.29M-50.66%-4.56M11.05%-3.03M30.67%-3.4M-3.26%-4.91M8.55%-4.75M-1.94%-5.2M-230.12%-5.1M
Direct interest paid 50.00%-1K0.00%-2K60.00%-2K91.67%-5K-5,900.00%-60K99.89%-1K36.19%-880K-25.14%-1.38M-13.61%-1.1M-10,677.78%-970K
Direct interest received 300.00%144K500.00%36K-85.71%6K-63.16%42K-67.05%114K174.60%346K193.02%126K-53.26%43K-62.14%92K158.51%243K
Operating cash flow -179.93%-4.27M-61.33%5.35M37.34%13.82M249.44%10.07M-129.24%-6.74M-41.66%-2.94M-257.59%-2.07M94.40%-580K10.41%-10.35M17.17%-11.56M
Investing cash flow
Cash flow from continuing investing activities -3,788.35%-7.6M-54.63%206K-79.00%454K57.70%2.16M-87.60%1.37M-48.82%11.05M3,376.78%21.59M-96.13%-659K-740.00%-336K-104.62%-40K
Net PPE purchase and sale --------------173K------------57.14%-3K-40.00%-7K44.44%-5K
Net business purchase and sale ---1.7M------------------------------------
Net investment purchase and sale -2,964.56%-5.9M-54.63%206K-76.17%454K38.95%1.91M-87.60%1.37M-48.82%11.05M3,391.77%21.59M-99.39%-656K-840.00%-329K---35K
Dividends received (cash flow from investment activities) --------------84K------------------------
Cash from discontinued investing activities
Investing cash flow -3,788.35%-7.6M-54.63%206K-79.00%454K57.70%2.16M-87.60%1.37M-48.82%11.05M3,376.78%21.59M-96.13%-659K-740.00%-336K-104.62%-40K
Financing cash flow
Cash flow from continuing financing activities 744.03%1.73M98.48%-268K-160.54%-17.58M-3,324.37%-6.75M48.02%-197K98.11%-379K-14,010.42%-20.03M-98.19%144K5.32%7.94M-60.59%7.54M
Net issuance payments of debt 744.03%1.73M-0.37%-268K-4.71%-267K-29.44%-255K41.19%-197K97.08%-335K-8,077.78%-11.49M--144K-----51.25%9.32M
Net common stock issuance ---------166.66%-17.31M---6.49M----99.48%-44K---8.54M----544.46%7.94M---1.79M
Cash from discontinued financing activities
Financing cash flow 744.03%1.73M98.48%-268K-160.54%-17.58M-3,324.37%-6.75M48.02%-197K98.11%-379K-14,010.42%-20.03M-98.19%144K5.32%7.94M-60.59%7.54M
Net cash flow
Beginning cash position 90.65%11.11M-36.15%5.83M150.33%9.13M-60.40%3.65M525.48%9.21M-25.77%1.47M-35.58%1.98M-47.20%3.08M-41.05%5.83M156.82%9.89M
Current changes in cash -292.01%-10.14M260.14%5.28M-160.19%-3.3M198.56%5.48M-171.89%-5.56M1,613.70%7.74M53.33%-511K60.21%-1.1M32.22%-2.75M-167.23%-4.06M
End cash Position -91.30%967K90.65%11.11M-36.15%5.83M150.33%9.13M-60.40%3.65M525.48%9.21M-25.77%1.47M-35.58%1.98M-47.20%3.08M-41.05%5.83M
Free cash from -179.93%-4.27M-61.33%5.35M37.34%13.82M249.44%10.07M-129.24%-6.74M-41.66%-2.94M-255.75%-2.07M94.37%-583K10.39%-10.36M17.19%-11.56M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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