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AXP AXP Energy Ltd

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  • 0.001
  • 0.0000.00%
20min DelayMarket Closed Aug 19 12:25 AET
5.82MMarket Cap-500P/E (Static)

AXP Energy 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
-15.44%16.33M
347.55%19.31M
1,609.61%4.32M
-37.76%252.43K
-43.04%405.6K
128.58%712.12K
-43.49%311.54K
-69.62%551.34K
29.23%1.81M
-6.07%1.4M
Revenue from customers
-15.44%16.33M
347.55%19.31M
845.87%4.32M
-40.66%456.25K
7.97%768.86K
321.24%712.12K
-69.34%169.05K
-69.62%551.34K
29.23%1.81M
-6.07%1.4M
Other cash income from operating activities
----
----
----
43.89%-203.82K
---363.26K
----
--142.49K
----
----
----
Cash paid
-9.26%-17.45M
-228.72%-15.97M
-436.05%-4.86M
25.68%-906.41K
8.19%-1.22M
-17.99%-1.33M
20.82%-1.13M
46.62%-1.42M
18.99%-2.66M
24.48%-3.29M
Payments to suppliers for goods and services
-9.26%-17.45M
-228.72%-15.97M
-436.05%-4.86M
25.68%-906.41K
8.19%-1.22M
-17.99%-1.33M
20.82%-1.13M
46.62%-1.42M
18.99%-2.66M
24.48%-3.29M
Direct interest paid
-29.10%-140.26K
-155.68%-108.65K
-129.29%-42.49K
19.36%-18.53K
59.58%-22.98K
-510.56%-56.86K
92.21%-9.31K
-370.57%-119.48K
---25.39K
----
Direct interest received
3,095.43%7K
-87.69%219
25.52%1.78K
-30.62%1.42K
298.86%2.04K
-78.58%512.0106
121.69%2.39K
-73.26%1.08K
-63.47%4.03K
-93.79%11.04K
Operating cash flow
-138.73%-1.25M
653.87%3.23M
12.99%-583.9K
19.63%-671.09K
-24.13%-834.96K
18.10%-672.63K
16.96%-821.29K
-13.66%-989.06K
53.54%-870.2K
30.14%-1.87M
Investing cash flow
Cash flow from continuing investing activities
62.88%-991.4K
-99.67%-2.67M
40.17%-1.34M
43.22%-2.24M
-166.43%-3.94M
68.06%-1.48M
-4,561.85%-4.63M
102.58%103.7K
5.57%-4.02M
74.31%-4.26M
Capital expenditure reported
43.91%-967.02K
-264.81%-1.72M
78.71%-472.58K
39.87%-2.22M
-192.87%-3.69M
48.33%-1.26M
-41.29%-2.44M
43.78%-1.73M
35.43%-3.07M
70.95%-4.76M
Net PPE purchase and sale
63.61%-22.68K
20.46%-62.32K
-4,608.06%-78.35K
92.55%-1.66K
-96.29%-22.35K
83.31%-11.39K
-103.48%-68.23K
1,990.33%1.96M
-25.35%-103.79K
14.68%-82.79K
Net business purchase and sale
----
-27.49%-546.84K
---428.93K
----
----
----
----
----
----
----
Net investment purchase and sale
99.46%-1.7K
-8.52%-316.99K
---292.09K
----
----
----
----
----
----
-1,015.05%-990.54K
Net other investing changes
----
68.69%-20.56K
-377.06%-65.65K
93.82%-13.76K
-8.25%-222.67K
90.29%-205.69K
-1,517.10%-2.12M
84.45%-130.99K
-153.46%-842.5K
--1.58M
Cash from discontinued investing activities
Investing cash flow
62.88%-991.4K
-99.67%-2.67M
40.17%-1.34M
43.22%-2.24M
-166.43%-3.94M
68.06%-1.48M
-4,561.85%-4.63M
102.58%103.7K
5.57%-4.02M
74.31%-4.26M
Financing cash flow
Cash flow from continuing financing activities
-132.03%-572.74K
-10.69%1.79M
-26.80%2M
-51.39%2.73M
126.19%5.63M
-40.33%2.49M
278.40%4.17M
-66.03%1.1M
-59.29%3.24M
487.64%7.97M
Net issuance payments of debt
42.82%-164.47K
-44.28%-287.62K
-111.02%-199.35K
6,336.20%1.81M
95.12%-29.02K
-180.17%-594.82K
148.44%741.98K
-212.02%-1.53M
--1.37M
--0
Net common stock issuance
-100.04%-860
8.99%2.39M
243.55%2.19M
-88.71%638.57K
83.48%5.66M
-10.06%3.08M
30.12%3.43M
40.43%2.63M
-76.46%1.88M
487.64%7.97M
Net other financing activities
-29.11%-407.42K
-4,299.88%-315.55K
-97.38%7.51K
--286.59K
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-132.03%-572.74K
-10.69%1.79M
-26.80%2M
-51.39%2.73M
126.19%5.63M
-40.33%2.49M
278.40%4.17M
-66.03%1.1M
-59.29%3.24M
487.64%7.97M
Net cash flow
Beginning cash position
224.68%3.39M
7.52%1.04M
-9.43%970.04K
197.29%1.07M
577.92%360.25K
-96.63%53.14K
12.82%1.58M
-45.30%1.4M
136.84%2.55M
-94.40%1.08M
Current changes in cash
-219.79%-2.82M
2,821.20%2.35M
146.85%80.49K
-120.12%-171.79K
153.41%853.69K
126.34%336.89K
-691.32%-1.28M
113.15%216.33K
-189.53%-1.65M
110.27%1.84M
Effect of exchange rate changes
-514.53%-48.09K
-39.94%-7.83K
53.78%-5.59K
90.11%-12.1K
-906.40%-122.33K
94.95%-12.16K
-194.71%-240.8K
-115.51%-81.71K
141.96%526.97K
169.89%217.79K
End cash Position
-84.59%521.79K
224.08%3.39M
17.79%1.04M
-18.73%887.13K
188.88%1.09M
579.74%377.87K
-96.37%55.59K
6.75%1.53M
-54.23%1.43M
199.93%3.13M
Free cash from
-282.89%-2.27M
209.14%1.24M
60.77%-1.13M
36.42%-2.89M
-133.95%-4.55M
41.59%-1.94M
-22.28%-3.33M
32.69%-2.72M
39.73%-4.05M
64.96%-6.71M
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 -15.44%16.33M347.55%19.31M1,609.61%4.32M-37.76%252.43K-43.04%405.6K128.58%712.12K-43.49%311.54K-69.62%551.34K29.23%1.81M-6.07%1.4M
Revenue from customers -15.44%16.33M347.55%19.31M845.87%4.32M-40.66%456.25K7.97%768.86K321.24%712.12K-69.34%169.05K-69.62%551.34K29.23%1.81M-6.07%1.4M
Other cash income from operating activities ------------43.89%-203.82K---363.26K------142.49K------------
Cash paid -9.26%-17.45M-228.72%-15.97M-436.05%-4.86M25.68%-906.41K8.19%-1.22M-17.99%-1.33M20.82%-1.13M46.62%-1.42M18.99%-2.66M24.48%-3.29M
Payments to suppliers for goods and services -9.26%-17.45M-228.72%-15.97M-436.05%-4.86M25.68%-906.41K8.19%-1.22M-17.99%-1.33M20.82%-1.13M46.62%-1.42M18.99%-2.66M24.48%-3.29M
Direct interest paid -29.10%-140.26K-155.68%-108.65K-129.29%-42.49K19.36%-18.53K59.58%-22.98K-510.56%-56.86K92.21%-9.31K-370.57%-119.48K---25.39K----
Direct interest received 3,095.43%7K-87.69%21925.52%1.78K-30.62%1.42K298.86%2.04K-78.58%512.0106121.69%2.39K-73.26%1.08K-63.47%4.03K-93.79%11.04K
Operating cash flow -138.73%-1.25M653.87%3.23M12.99%-583.9K19.63%-671.09K-24.13%-834.96K18.10%-672.63K16.96%-821.29K-13.66%-989.06K53.54%-870.2K30.14%-1.87M
Investing cash flow
Cash flow from continuing investing activities 62.88%-991.4K-99.67%-2.67M40.17%-1.34M43.22%-2.24M-166.43%-3.94M68.06%-1.48M-4,561.85%-4.63M102.58%103.7K5.57%-4.02M74.31%-4.26M
Capital expenditure reported 43.91%-967.02K-264.81%-1.72M78.71%-472.58K39.87%-2.22M-192.87%-3.69M48.33%-1.26M-41.29%-2.44M43.78%-1.73M35.43%-3.07M70.95%-4.76M
Net PPE purchase and sale 63.61%-22.68K20.46%-62.32K-4,608.06%-78.35K92.55%-1.66K-96.29%-22.35K83.31%-11.39K-103.48%-68.23K1,990.33%1.96M-25.35%-103.79K14.68%-82.79K
Net business purchase and sale -----27.49%-546.84K---428.93K----------------------------
Net investment purchase and sale 99.46%-1.7K-8.52%-316.99K---292.09K-------------------------1,015.05%-990.54K
Net other investing changes ----68.69%-20.56K-377.06%-65.65K93.82%-13.76K-8.25%-222.67K90.29%-205.69K-1,517.10%-2.12M84.45%-130.99K-153.46%-842.5K--1.58M
Cash from discontinued investing activities
Investing cash flow 62.88%-991.4K-99.67%-2.67M40.17%-1.34M43.22%-2.24M-166.43%-3.94M68.06%-1.48M-4,561.85%-4.63M102.58%103.7K5.57%-4.02M74.31%-4.26M
Financing cash flow
Cash flow from continuing financing activities -132.03%-572.74K-10.69%1.79M-26.80%2M-51.39%2.73M126.19%5.63M-40.33%2.49M278.40%4.17M-66.03%1.1M-59.29%3.24M487.64%7.97M
Net issuance payments of debt 42.82%-164.47K-44.28%-287.62K-111.02%-199.35K6,336.20%1.81M95.12%-29.02K-180.17%-594.82K148.44%741.98K-212.02%-1.53M--1.37M--0
Net common stock issuance -100.04%-8608.99%2.39M243.55%2.19M-88.71%638.57K83.48%5.66M-10.06%3.08M30.12%3.43M40.43%2.63M-76.46%1.88M487.64%7.97M
Net other financing activities -29.11%-407.42K-4,299.88%-315.55K-97.38%7.51K--286.59K------------------------
Cash from discontinued financing activities
Financing cash flow -132.03%-572.74K-10.69%1.79M-26.80%2M-51.39%2.73M126.19%5.63M-40.33%2.49M278.40%4.17M-66.03%1.1M-59.29%3.24M487.64%7.97M
Net cash flow
Beginning cash position 224.68%3.39M7.52%1.04M-9.43%970.04K197.29%1.07M577.92%360.25K-96.63%53.14K12.82%1.58M-45.30%1.4M136.84%2.55M-94.40%1.08M
Current changes in cash -219.79%-2.82M2,821.20%2.35M146.85%80.49K-120.12%-171.79K153.41%853.69K126.34%336.89K-691.32%-1.28M113.15%216.33K-189.53%-1.65M110.27%1.84M
Effect of exchange rate changes -514.53%-48.09K-39.94%-7.83K53.78%-5.59K90.11%-12.1K-906.40%-122.33K94.95%-12.16K-194.71%-240.8K-115.51%-81.71K141.96%526.97K169.89%217.79K
End cash Position -84.59%521.79K224.08%3.39M17.79%1.04M-18.73%887.13K188.88%1.09M579.74%377.87K-96.37%55.59K6.75%1.53M-54.23%1.43M199.93%3.13M
Free cash from -282.89%-2.27M209.14%1.24M60.77%-1.13M36.42%-2.89M-133.95%-4.55M41.59%-1.94M-22.28%-3.33M32.69%-2.72M39.73%-4.05M64.96%-6.71M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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