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CVW ClearView Wealth Ltd

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  • 0.530
  • 0.0000.00%
20min DelayMarket Closed Oct 4 16:00 AET
348.59MMarket Cap-27894P/E (Static)

ClearView Wealth 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
41.76%439.25M
-68.80%309.85M
18.42%993.13M
2.69%838.64M
28.01%816.69M
-2.84%638M
28.03%656.63M
10.23%512.89M
7.21%465.29M
65.83%434M
Cash received from insurance business
48.35%448.16M
-68.25%302.1M
28.26%951.55M
-5.02%741.89M
22.43%781.08M
-2.84%638M
28.03%656.63M
10.23%512.89M
867.47%465.29M
3.35%48.09M
Other cash income from operating activities
-215.06%-8.91M
-81.38%7.74M
-57.02%41.59M
171.69%96.75M
--35.61M
----
----
----
-100.00%2K
79.34%385.91M
Cash paid
-63.36%-436.35M
59.74%-267.1M
-16.48%-663.37M
8.90%-569.5M
8.88%-625.15M
-5.19%-686.04M
-21.25%-652.17M
-9.96%-537.87M
-4.65%-489.17M
-19.62%-467.41M
Cash paid for insurance business
----
----
-51.48%-366.07M
18.78%-241.67M
13.64%-297.57M
-14.94%-344.56M
-33.22%-299.79M
-21.93%-225.03M
20.86%-184.56M
-5.01%-233.2M
Cash paid on behalf of employees
-64.54%-424.98M
11.92%-258.29M
7.54%-293.25M
0.88%-317.17M
2.27%-320M
5.84%-327.44M
-13.40%-347.75M
-6.31%-306.66M
-30.26%-288.46M
-36.29%-221.45M
All taxes paid
-964.61%-11.36M
603.45%1.31M
95.34%-261K
-4.50%-5.6M
57.39%-5.36M
-259.01%-12.58M
34.52%-3.5M
62.28%-5.35M
-20.28%-14.18M
-90.04%-11.79M
Other cash payments from operating activities
----
-167.21%-10.13M
25.14%-3.79M
-128.21%-5.06M
-51.88%-2.22M
-29.41%-1.46M
-36.52%-1.13M
57.76%-827K
-101.86%-1.96M
---970K
Operating cash flow
-93.21%2.9M
-87.04%42.75M
22.53%329.76M
40.51%269.14M
498.72%191.54M
-1,177.83%-48.04M
117.84%4.46M
-4.62%-24.98M
28.52%-23.88M
74.11%-33.41M
Investing cash flow
Cash flow from continuing investing activities
525.62%137.06M
81.22%-32.2M
15.82%-171.5M
-23.42%-203.72M
-194.33%-165.06M
196.09%174.99M
-55.85%-182.1M
0.27%-116.85M
-110.87%-117.16M
9.41%-55.56M
Net PPE purchase and sale
15.30%-443K
-2,652.63%-523K
97.00%-19K
-126.43%-634K
29.82%-280K
6.34%-399K
-77.50%-426K
85.49%-240K
-265.93%-1.65M
20.70%-452K
Net intangibles purchase and sale
9.90%-11.43M
-1.03%-12.69M
-147.75%-12.56M
-147.56%-5.07M
66.29%-2.05M
40.80%-6.08M
-45.12%-10.26M
-28.35%-7.07M
13.57%-5.51M
-35.58%-6.38M
Net business purchase and sale
---2.52M
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----
----
----
----
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---4.97M
Net investment purchase and sale
111.39%2.28M
87.45%-20M
20.01%-159.37M
-21.22%-199.22M
-190.88%-164.35M
206.82%180.84M
-61.30%-169.29M
3.91%-104.95M
-185.82%-109.22M
31.02%-38.21M
Net proceeds payment for loan
-5,254.00%-2.58M
-51.92%50K
-91.39%104K
-25.15%1.21M
159.07%1.61M
129.33%623K
53.68%-2.12M
-492.38%-4.59M
86.05%-774K
-740.76%-5.55M
Dividends received (cash flow from investment activities)
0.00%960K
300.00%960K
--240K
----
----
----
----
----
----
----
Net other investing changes
--150.8M
----
--104K
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
525.62%137.06M
81.22%-32.2M
15.82%-171.5M
-23.42%-203.72M
-194.33%-165.06M
196.09%174.99M
-55.85%-182.1M
0.27%-116.85M
-110.87%-117.16M
9.41%-55.56M
Financing cash flow
Cash flow from continuing financing activities
-645.75%-167.24M
82.48%-22.43M
2.54%-128.03M
-226.52%-131.37M
60.98%-40.23M
-178.23%-103.11M
-9.94%131.81M
-7.34%146.35M
48.39%157.94M
-23.98%106.44M
Net issuance payments of debt
567.60%11.98M
10.04%-2.56M
93.66%-2.85M
-199.89%-44.95M
185.79%45M
1,942.28%15.75M
-23.81%771K
102.26%1.01M
-198.57%-44.85M
--45.5M
Net common stock issuance
----
----
----
----
110.30%300K
-157.41%-2.91M
42,383.33%5.07M
-100.02%-12K
20,346.69%49.48M
-99.46%242K
Cash dividends paid
-121.06%-29.23M
-97.77%-13.22M
---6.69M
----
----
-37.44%-8.18M
63.82%-5.95M
-46,920.00%-16.46M
---35K
----
Net other financing charges
-2,158.18%-149.99M
94.39%-6.64M
-37.11%-118.49M
-1.04%-86.42M
20.63%-85.53M
-181.69%-107.76M
-18.47%131.92M
5.52%161.81M
152.65%153.35M
-36.48%60.7M
Cash from discontinued financing activities
Financing cash flow
-645.75%-167.24M
82.48%-22.43M
2.54%-128.03M
-226.52%-131.37M
60.98%-40.23M
-178.23%-103.11M
-9.94%131.81M
-7.34%146.35M
48.39%157.94M
-23.98%106.44M
Net cash flow
Beginning cash position
-7.88%138.85M
25.10%150.74M
-35.37%120.5M
-6.87%186.44M
13.51%200.2M
-20.63%176.36M
2.08%222.2M
8.42%217.67M
9.53%200.77M
-21.55%183.3M
Current changes in cash
-129.50%-27.27M
-139.29%-11.88M
145.85%30.24M
-379.51%-65.95M
-157.70%-13.75M
152.00%23.83M
-1,113.13%-45.83M
-73.24%4.52M
-3.24%16.9M
134.69%17.47M
Cash adjustments other than cash changes
24.71%-33.38M
---44.33M
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End cash Position
-17.26%78.21M
-37.29%94.52M
25.10%150.74M
-35.37%120.5M
-6.87%186.44M
13.51%200.2M
-20.63%176.36M
2.08%222.2M
8.42%217.67M
9.53%200.77M
Free cash flow
-130.39%-8.98M
-90.69%29.53M
20.40%317.18M
39.22%263.43M
447.09%189.21M
-774.74%-54.51M
80.70%-6.23M
-4.03%-32.29M
22.84%-31.04M
70.04%-40.23M
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 41.76%439.25M-68.80%309.85M18.42%993.13M2.69%838.64M28.01%816.69M-2.84%638M28.03%656.63M10.23%512.89M7.21%465.29M65.83%434M
Cash received from insurance business 48.35%448.16M-68.25%302.1M28.26%951.55M-5.02%741.89M22.43%781.08M-2.84%638M28.03%656.63M10.23%512.89M867.47%465.29M3.35%48.09M
Other cash income from operating activities -215.06%-8.91M-81.38%7.74M-57.02%41.59M171.69%96.75M--35.61M-------------100.00%2K79.34%385.91M
Cash paid -63.36%-436.35M59.74%-267.1M-16.48%-663.37M8.90%-569.5M8.88%-625.15M-5.19%-686.04M-21.25%-652.17M-9.96%-537.87M-4.65%-489.17M-19.62%-467.41M
Cash paid for insurance business ---------51.48%-366.07M18.78%-241.67M13.64%-297.57M-14.94%-344.56M-33.22%-299.79M-21.93%-225.03M20.86%-184.56M-5.01%-233.2M
Cash paid on behalf of employees -64.54%-424.98M11.92%-258.29M7.54%-293.25M0.88%-317.17M2.27%-320M5.84%-327.44M-13.40%-347.75M-6.31%-306.66M-30.26%-288.46M-36.29%-221.45M
All taxes paid -964.61%-11.36M603.45%1.31M95.34%-261K-4.50%-5.6M57.39%-5.36M-259.01%-12.58M34.52%-3.5M62.28%-5.35M-20.28%-14.18M-90.04%-11.79M
Other cash payments from operating activities -----167.21%-10.13M25.14%-3.79M-128.21%-5.06M-51.88%-2.22M-29.41%-1.46M-36.52%-1.13M57.76%-827K-101.86%-1.96M---970K
Operating cash flow -93.21%2.9M-87.04%42.75M22.53%329.76M40.51%269.14M498.72%191.54M-1,177.83%-48.04M117.84%4.46M-4.62%-24.98M28.52%-23.88M74.11%-33.41M
Investing cash flow
Cash flow from continuing investing activities 525.62%137.06M81.22%-32.2M15.82%-171.5M-23.42%-203.72M-194.33%-165.06M196.09%174.99M-55.85%-182.1M0.27%-116.85M-110.87%-117.16M9.41%-55.56M
Net PPE purchase and sale 15.30%-443K-2,652.63%-523K97.00%-19K-126.43%-634K29.82%-280K6.34%-399K-77.50%-426K85.49%-240K-265.93%-1.65M20.70%-452K
Net intangibles purchase and sale 9.90%-11.43M-1.03%-12.69M-147.75%-12.56M-147.56%-5.07M66.29%-2.05M40.80%-6.08M-45.12%-10.26M-28.35%-7.07M13.57%-5.51M-35.58%-6.38M
Net business purchase and sale ---2.52M-----------------------------------4.97M
Net investment purchase and sale 111.39%2.28M87.45%-20M20.01%-159.37M-21.22%-199.22M-190.88%-164.35M206.82%180.84M-61.30%-169.29M3.91%-104.95M-185.82%-109.22M31.02%-38.21M
Net proceeds payment for loan -5,254.00%-2.58M-51.92%50K-91.39%104K-25.15%1.21M159.07%1.61M129.33%623K53.68%-2.12M-492.38%-4.59M86.05%-774K-740.76%-5.55M
Dividends received (cash flow from investment activities) 0.00%960K300.00%960K--240K----------------------------
Net other investing changes --150.8M------104K----------------------------
Cash from discontinued investing activities
Investing cash flow 525.62%137.06M81.22%-32.2M15.82%-171.5M-23.42%-203.72M-194.33%-165.06M196.09%174.99M-55.85%-182.1M0.27%-116.85M-110.87%-117.16M9.41%-55.56M
Financing cash flow
Cash flow from continuing financing activities -645.75%-167.24M82.48%-22.43M2.54%-128.03M-226.52%-131.37M60.98%-40.23M-178.23%-103.11M-9.94%131.81M-7.34%146.35M48.39%157.94M-23.98%106.44M
Net issuance payments of debt 567.60%11.98M10.04%-2.56M93.66%-2.85M-199.89%-44.95M185.79%45M1,942.28%15.75M-23.81%771K102.26%1.01M-198.57%-44.85M--45.5M
Net common stock issuance ----------------110.30%300K-157.41%-2.91M42,383.33%5.07M-100.02%-12K20,346.69%49.48M-99.46%242K
Cash dividends paid -121.06%-29.23M-97.77%-13.22M---6.69M---------37.44%-8.18M63.82%-5.95M-46,920.00%-16.46M---35K----
Net other financing charges -2,158.18%-149.99M94.39%-6.64M-37.11%-118.49M-1.04%-86.42M20.63%-85.53M-181.69%-107.76M-18.47%131.92M5.52%161.81M152.65%153.35M-36.48%60.7M
Cash from discontinued financing activities
Financing cash flow -645.75%-167.24M82.48%-22.43M2.54%-128.03M-226.52%-131.37M60.98%-40.23M-178.23%-103.11M-9.94%131.81M-7.34%146.35M48.39%157.94M-23.98%106.44M
Net cash flow
Beginning cash position -7.88%138.85M25.10%150.74M-35.37%120.5M-6.87%186.44M13.51%200.2M-20.63%176.36M2.08%222.2M8.42%217.67M9.53%200.77M-21.55%183.3M
Current changes in cash -129.50%-27.27M-139.29%-11.88M145.85%30.24M-379.51%-65.95M-157.70%-13.75M152.00%23.83M-1,113.13%-45.83M-73.24%4.52M-3.24%16.9M134.69%17.47M
Cash adjustments other than cash changes 24.71%-33.38M---44.33M--------------------------------
End cash Position -17.26%78.21M-37.29%94.52M25.10%150.74M-35.37%120.5M-6.87%186.44M13.51%200.2M-20.63%176.36M2.08%222.2M8.42%217.67M9.53%200.77M
Free cash flow -130.39%-8.98M-90.69%29.53M20.40%317.18M39.22%263.43M447.09%189.21M-774.74%-54.51M80.70%-6.23M-4.03%-32.29M22.84%-31.04M70.04%-40.23M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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