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CCX City Chic Collective Ltd

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  • 0.135
  • 0.0000.00%
20min DelayTrading Nov 8 15:10 AET
52.00MMarket Cap-338P/E (Static)

City Chic Collective 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
-40.06%206.87M
-14.20%345.15M
40.15%402.28M
35.56%287.04M
29.42%211.74M
-80.35%163.6M
-6.34%832.72M
-2.16%889.06M
4.33%908.72M
15.54%871.02M
Revenue from customers
-40.07%206.44M
-14.27%344.46M
42.62%401.8M
34.81%281.72M
27.94%208.98M
-80.34%163.35M
-6.53%831.04M
-2.16%889.06M
4.33%908.72M
15.54%871.02M
Income from government grants
----
-66.67%7K
-99.58%21K
97.77%4.96M
--2.51M
----
----
----
----
----
Other cash income from operating activities
-37.89%423K
50.66%681K
28.41%452K
43.09%352K
-1.60%246K
-85.08%250K
--1.68M
----
----
----
Cash paid
27.70%-224.61M
30.00%-310.66M
-69.23%-443.81M
-44.46%-262.26M
-9.44%-181.54M
79.05%-165.88M
8.57%-791.77M
1.03%-866.04M
-2.40%-875.01M
-14.20%-854.48M
Payments to suppliers for goods and services
27.70%-224.61M
30.00%-310.66M
-69.23%-443.81M
-44.46%-262.26M
-9.44%-181.54M
79.05%-165.88M
8.57%-791.77M
1.03%-866.04M
-2.40%-875.01M
-14.20%-854.48M
Direct interest paid
31.99%-1.28M
-19.27%-1.89M
-148.12%-1.58M
-8.14%-638K
-170.64%-590K
87.06%-218K
23.65%-1.69M
32.05%-2.21M
14.32%-3.25M
-83.23%-3.79M
Direct interest received
229.07%283K
152.94%86K
-86.01%34K
341.82%243K
-90.69%55K
442.20%591K
37.97%109K
-20.20%79K
-13.16%99K
-72.46%114K
Direct tax refund paid
165.42%1.91M
66.82%-2.92M
4.54%-8.81M
-107.93%-9.23M
-129.69%-4.44M
-561.99%-1.93M
10.70%-292K
-294.64%-327K
102.24%168K
-1,629.56%-7.49M
Operating cash flow
-156.56%-16.83M
157.36%29.77M
-442.47%-51.89M
-39.93%15.15M
757.93%25.23M
-109.81%-3.83M
89.97%39.07M
-33.05%20.57M
471.75%30.72M
52.12%5.37M
Investing cash flow
Cash flow from continuing investing activities
346.58%9.56M
75.47%-3.88M
66.23%-15.8M
-50.01%-46.78M
-252.35%-31.19M
239.05%20.47M
5.31%-14.72M
3.11%-15.55M
-27.78%-16.05M
46.23%-12.56M
Net PPE purchase and sale
34.87%-1.49M
74.88%-2.28M
-80.31%-9.08M
-53.34%-5.03M
33.49%-3.28M
42.94%-4.94M
25.91%-8.65M
11.22%-11.68M
-4.73%-13.15M
35.49%-12.56M
Net intangibles purchas and sale
39.81%-960K
35.37%-1.6M
-60.05%-2.47M
31.38%-1.54M
60.52%-2.25M
6.24%-5.69M
-56.79%-6.07M
-33.75%-3.87M
---2.9M
----
Net business purchase and sale
--12M
----
89.42%-4.25M
-56.71%-40.21M
---25.66M
----
----
----
----
----
Net other investing changes
----
----
----
----
----
--31.1M
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
346.58%9.56M
75.47%-3.88M
66.23%-15.8M
-50.01%-46.78M
-252.35%-31.19M
239.05%20.47M
5.31%-14.72M
3.11%-15.55M
-27.78%-16.05M
46.23%-12.56M
Financing cash flow
Cash flow from continuing financing activities
167.30%15.98M
-498.44%-23.75M
-92.84%5.96M
2,650.10%83.27M
113.47%3.03M
-74.82%-22.47M
-96.72%-12.85M
-127.51%-6.53M
-2.79%-2.87M
-71.41%-2.79M
Net issuance payments of debt
228.00%16M
-189.29%-12.5M
180.00%14M
-200.00%-17.5M
236.08%17.5M
-0.05%-12.86M
-96.72%-12.85M
-144.90%-6.53M
-146.03%-2.67M
228.94%5.8M
Net common stock issuance
--13.36M
----
----
--108.62M
----
----
----
----
----
----
Cash dividends paid
----
----
----
----
70.00%-2.88M
---9.61M
----
----
----
50.00%-3.85M
Net other financing activities
-18.98%-13.38M
-39.89%-11.25M
-2.49%-8.04M
32.30%-7.85M
---11.59M
----
----
----
95.70%-204K
-210.40%-4.75M
Cash from discontinued financing activities
Financing cash flow
167.30%15.98M
-498.44%-23.75M
-92.84%5.96M
2,650.10%83.27M
113.47%3.03M
-74.82%-22.47M
-96.72%-12.85M
-127.51%-6.53M
-2.79%-2.87M
-71.41%-2.79M
Net cash flow
Beginning cash position
24.73%12.41M
-86.07%9.95M
234.19%71.46M
-7.89%21.38M
-19.76%23.21M
65.96%28.93M
-7.99%17.43M
165.19%18.95M
-58.28%7.14M
-55.61%17.12M
Current changes in cash
306.11%8.7M
103.47%2.14M
-219.54%-61.73M
1,859.52%51.64M
49.70%-2.94M
-150.75%-5.84M
859.45%11.5M
-112.83%-1.51M
218.26%11.8M
53.48%-9.98M
Effect of exchange rate changes
-0.31%317K
38.86%318K
114.61%229K
-5,154.84%-1.57M
-74.17%31K
--120K
----
----
----
----
Cash adjustments other than cash changes
----
----
----
----
--1.07M
----
----
----
----
----
End cash Position
72.66%21.43M
24.73%12.41M
-86.07%9.95M
234.19%71.46M
-7.89%21.38M
-19.76%23.21M
65.96%28.93M
-7.99%17.43M
165.19%18.95M
-58.28%7.14M
Free cash from
-174.47%-19.28M
140.81%25.89M
-839.64%-63.44M
-56.45%8.58M
236.18%19.7M
-163.94%-14.46M
387.04%22.62M
-67.61%4.64M
289.58%14.34M
55.94%-7.56M
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 -40.06%206.87M-14.20%345.15M40.15%402.28M35.56%287.04M29.42%211.74M-80.35%163.6M-6.34%832.72M-2.16%889.06M4.33%908.72M15.54%871.02M
Revenue from customers -40.07%206.44M-14.27%344.46M42.62%401.8M34.81%281.72M27.94%208.98M-80.34%163.35M-6.53%831.04M-2.16%889.06M4.33%908.72M15.54%871.02M
Income from government grants -----66.67%7K-99.58%21K97.77%4.96M--2.51M--------------------
Other cash income from operating activities -37.89%423K50.66%681K28.41%452K43.09%352K-1.60%246K-85.08%250K--1.68M------------
Cash paid 27.70%-224.61M30.00%-310.66M-69.23%-443.81M-44.46%-262.26M-9.44%-181.54M79.05%-165.88M8.57%-791.77M1.03%-866.04M-2.40%-875.01M-14.20%-854.48M
Payments to suppliers for goods and services 27.70%-224.61M30.00%-310.66M-69.23%-443.81M-44.46%-262.26M-9.44%-181.54M79.05%-165.88M8.57%-791.77M1.03%-866.04M-2.40%-875.01M-14.20%-854.48M
Direct interest paid 31.99%-1.28M-19.27%-1.89M-148.12%-1.58M-8.14%-638K-170.64%-590K87.06%-218K23.65%-1.69M32.05%-2.21M14.32%-3.25M-83.23%-3.79M
Direct interest received 229.07%283K152.94%86K-86.01%34K341.82%243K-90.69%55K442.20%591K37.97%109K-20.20%79K-13.16%99K-72.46%114K
Direct tax refund paid 165.42%1.91M66.82%-2.92M4.54%-8.81M-107.93%-9.23M-129.69%-4.44M-561.99%-1.93M10.70%-292K-294.64%-327K102.24%168K-1,629.56%-7.49M
Operating cash flow -156.56%-16.83M157.36%29.77M-442.47%-51.89M-39.93%15.15M757.93%25.23M-109.81%-3.83M89.97%39.07M-33.05%20.57M471.75%30.72M52.12%5.37M
Investing cash flow
Cash flow from continuing investing activities 346.58%9.56M75.47%-3.88M66.23%-15.8M-50.01%-46.78M-252.35%-31.19M239.05%20.47M5.31%-14.72M3.11%-15.55M-27.78%-16.05M46.23%-12.56M
Net PPE purchase and sale 34.87%-1.49M74.88%-2.28M-80.31%-9.08M-53.34%-5.03M33.49%-3.28M42.94%-4.94M25.91%-8.65M11.22%-11.68M-4.73%-13.15M35.49%-12.56M
Net intangibles purchas and sale 39.81%-960K35.37%-1.6M-60.05%-2.47M31.38%-1.54M60.52%-2.25M6.24%-5.69M-56.79%-6.07M-33.75%-3.87M---2.9M----
Net business purchase and sale --12M----89.42%-4.25M-56.71%-40.21M---25.66M--------------------
Net other investing changes ----------------------31.1M----------------
Cash from discontinued investing activities
Investing cash flow 346.58%9.56M75.47%-3.88M66.23%-15.8M-50.01%-46.78M-252.35%-31.19M239.05%20.47M5.31%-14.72M3.11%-15.55M-27.78%-16.05M46.23%-12.56M
Financing cash flow
Cash flow from continuing financing activities 167.30%15.98M-498.44%-23.75M-92.84%5.96M2,650.10%83.27M113.47%3.03M-74.82%-22.47M-96.72%-12.85M-127.51%-6.53M-2.79%-2.87M-71.41%-2.79M
Net issuance payments of debt 228.00%16M-189.29%-12.5M180.00%14M-200.00%-17.5M236.08%17.5M-0.05%-12.86M-96.72%-12.85M-144.90%-6.53M-146.03%-2.67M228.94%5.8M
Net common stock issuance --13.36M----------108.62M------------------------
Cash dividends paid ----------------70.00%-2.88M---9.61M------------50.00%-3.85M
Net other financing activities -18.98%-13.38M-39.89%-11.25M-2.49%-8.04M32.30%-7.85M---11.59M------------95.70%-204K-210.40%-4.75M
Cash from discontinued financing activities
Financing cash flow 167.30%15.98M-498.44%-23.75M-92.84%5.96M2,650.10%83.27M113.47%3.03M-74.82%-22.47M-96.72%-12.85M-127.51%-6.53M-2.79%-2.87M-71.41%-2.79M
Net cash flow
Beginning cash position 24.73%12.41M-86.07%9.95M234.19%71.46M-7.89%21.38M-19.76%23.21M65.96%28.93M-7.99%17.43M165.19%18.95M-58.28%7.14M-55.61%17.12M
Current changes in cash 306.11%8.7M103.47%2.14M-219.54%-61.73M1,859.52%51.64M49.70%-2.94M-150.75%-5.84M859.45%11.5M-112.83%-1.51M218.26%11.8M53.48%-9.98M
Effect of exchange rate changes -0.31%317K38.86%318K114.61%229K-5,154.84%-1.57M-74.17%31K--120K----------------
Cash adjustments other than cash changes ------------------1.07M--------------------
End cash Position 72.66%21.43M24.73%12.41M-86.07%9.95M234.19%71.46M-7.89%21.38M-19.76%23.21M65.96%28.93M-7.99%17.43M165.19%18.95M-58.28%7.14M
Free cash from -174.47%-19.28M140.81%25.89M-839.64%-63.44M-56.45%8.58M236.18%19.7M-163.94%-14.46M387.04%22.62M-67.61%4.64M289.58%14.34M55.94%-7.56M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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