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CXM Centrex Ltd

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  • 0.031
  • 0.0000.00%
20min DelayMarket Closed Nov 4 11:13 AET
26.85MMarket Cap-1192P/E (Static)

Centrex 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
36.11%34.22M
10,508.86%25.14M
330.91%237K
10.00%55K
-60.94%50K
313.33%128K
-104.69%-60K
1,006.29%1.28M
68.74%115.66K
94.36%68.54K
Revenue from customers
36.11%34.22M
11,486.64%25.14M
--217K
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Other cash income from operating activities
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-63.64%20K
10.00%55K
-60.94%50K
313.33%128K
-104.69%-60K
1,006.29%1.28M
68.74%115.66K
94.36%68.54K
Cash paid
-31.33%-42.19M
-1,729.33%-32.12M
-79.37%-1.76M
57.67%-979K
-5.81%-2.31M
-281.33%-2.19M
63.43%-573.26K
12.60%-1.57M
37.56%-1.79M
-9.74%-2.87M
Payments to suppliers for goods and services
-31.33%-42.19M
-1,729.33%-32.12M
-79.37%-1.76M
57.67%-979K
-5.81%-2.31M
-281.33%-2.19M
71.68%-573.26K
-12.84%-2.02M
37.56%-1.79M
-9.74%-2.87M
Other cash payments from operating activities
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--456.41K
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Direct interest paid
-2,513.33%-1.18M
---45K
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Direct interest received
19.05%75K
--63K
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Direct tax refund paid
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-153.42%-137.88K
Operating cash flow
-30.21%-9.07M
-358.33%-6.96M
-64.39%-1.52M
59.17%-924K
-9.96%-2.26M
-224.98%-2.06M
-119.70%-633.26K
82.83%-288.24K
42.96%-1.68M
-26.58%-2.94M
Investing cash flow
Cash flow from continuing investing activities
-171.03%-6.73M
63.72%-2.48M
-1,719.41%-6.84M
-126.26%-376K
489.13%1.43M
-114.99%-368K
136.21%2.46M
-1,265.59%-6.78M
112.50%581.68K
-159.08%-4.65M
Capital expenditure reported
33.33%-200K
---300K
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Net PPE purchase and sale
-201.86%-6.49M
71.90%-2.15M
-966.53%-7.65M
44.68%-717K
81.28%-1.3M
-24.88%-6.92M
26.20%-5.54M
-4,048.56%-7.51M
96.93%-181.07K
-115.43%-5.89M
Net investment purchase and sale
-21.21%-40K
-103.85%-33K
158.13%857K
-87.41%332K
-58.67%2.64M
-17.53%6.38M
--7.74M
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--44.89K
Interest received (cash flow from investment activities)
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-55.56%4K
-85.71%9K
-78.79%63K
-33.92%297K
-38.59%449.46K
-4.04%731.9K
-36.14%762.75K
-71.80%1.19M
Net other investing changes
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---55K
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121.60%27K
34.21%-125K
---190K
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Cash from discontinued investing activities
Investing cash flow
-171.03%-6.73M
63.72%-2.48M
-1,719.41%-6.84M
-126.26%-376K
489.13%1.43M
-114.99%-368K
136.21%2.46M
-1,265.59%-6.78M
112.50%581.68K
-159.08%-4.65M
Financing cash flow
Cash flow from continuing financing activities
247.67%11.58M
-83.26%3.33M
806.88%19.9M
2.19M
Net issuance payments of debt
-118.72%-667K
--3.56M
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--1M
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Net common stock issuance
4,862.32%14.09M
-98.57%284K
1,566.42%19.9M
--1.19M
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Net other financing activities
-257.56%-1.85M
---516K
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Cash from discontinued financing activities
Financing cash flow
247.67%11.58M
-83.26%3.33M
806.88%19.9M
--2.19M
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Net cash flow
Beginning cash position
-47.58%6.74M
865.29%12.85M
204.58%1.33M
-65.54%437K
-65.67%1.27M
97.28%3.69M
9.21%1.87M
-80.03%1.71M
170.83%8.59M
-68.32%3.17M
Current changes in cash
31.11%-4.21M
-152.99%-6.11M
1,190.49%11.54M
207.58%894K
65.75%-831K
-233.16%-2.43M
125.78%1.82M
-544.58%-7.07M
85.57%-1.1M
25.15%-7.6M
Effect of exchange rate changes
--9K
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Cash adjustments other than cash changes
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225.14%7.23M
-144.38%-5.77M
292.63%13.01M
End cash Position
-62.39%2.53M
-47.66%6.74M
866.79%12.87M
204.58%1.33M
-65.54%437K
-65.68%1.27M
97.30%3.69M
9.21%1.87M
-80.03%1.71M
170.83%8.59M
Free cash from
-67.38%-15.75M
-2.67%-9.41M
-458.56%-9.17M
54.01%-1.64M
65.46%-3.57M
-64.68%-10.33M
19.57%-6.27M
-80.85%-7.8M
51.26%-4.31M
-74.87%-8.85M
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 36.11%34.22M10,508.86%25.14M330.91%237K10.00%55K-60.94%50K313.33%128K-104.69%-60K1,006.29%1.28M68.74%115.66K94.36%68.54K
Revenue from customers 36.11%34.22M11,486.64%25.14M--217K----------------------------
Other cash income from operating activities ---------63.64%20K10.00%55K-60.94%50K313.33%128K-104.69%-60K1,006.29%1.28M68.74%115.66K94.36%68.54K
Cash paid -31.33%-42.19M-1,729.33%-32.12M-79.37%-1.76M57.67%-979K-5.81%-2.31M-281.33%-2.19M63.43%-573.26K12.60%-1.57M37.56%-1.79M-9.74%-2.87M
Payments to suppliers for goods and services -31.33%-42.19M-1,729.33%-32.12M-79.37%-1.76M57.67%-979K-5.81%-2.31M-281.33%-2.19M71.68%-573.26K-12.84%-2.02M37.56%-1.79M-9.74%-2.87M
Other cash payments from operating activities ------------------------------456.41K--------
Direct interest paid -2,513.33%-1.18M---45K--------------------------------
Direct interest received 19.05%75K--63K--------------------------------
Direct tax refund paid -------------------------------------153.42%-137.88K
Operating cash flow -30.21%-9.07M-358.33%-6.96M-64.39%-1.52M59.17%-924K-9.96%-2.26M-224.98%-2.06M-119.70%-633.26K82.83%-288.24K42.96%-1.68M-26.58%-2.94M
Investing cash flow
Cash flow from continuing investing activities -171.03%-6.73M63.72%-2.48M-1,719.41%-6.84M-126.26%-376K489.13%1.43M-114.99%-368K136.21%2.46M-1,265.59%-6.78M112.50%581.68K-159.08%-4.65M
Capital expenditure reported 33.33%-200K---300K--------------------------------
Net PPE purchase and sale -201.86%-6.49M71.90%-2.15M-966.53%-7.65M44.68%-717K81.28%-1.3M-24.88%-6.92M26.20%-5.54M-4,048.56%-7.51M96.93%-181.07K-115.43%-5.89M
Net investment purchase and sale -21.21%-40K-103.85%-33K158.13%857K-87.41%332K-58.67%2.64M-17.53%6.38M--7.74M----------44.89K
Interest received (cash flow from investment activities) ---------55.56%4K-85.71%9K-78.79%63K-33.92%297K-38.59%449.46K-4.04%731.9K-36.14%762.75K-71.80%1.19M
Net other investing changes -----------55K----121.60%27K34.21%-125K---190K------------
Cash from discontinued investing activities
Investing cash flow -171.03%-6.73M63.72%-2.48M-1,719.41%-6.84M-126.26%-376K489.13%1.43M-114.99%-368K136.21%2.46M-1,265.59%-6.78M112.50%581.68K-159.08%-4.65M
Financing cash flow
Cash flow from continuing financing activities 247.67%11.58M-83.26%3.33M806.88%19.9M2.19M
Net issuance payments of debt -118.72%-667K--3.56M------1M------------------------
Net common stock issuance 4,862.32%14.09M-98.57%284K1,566.42%19.9M--1.19M------------------------
Net other financing activities -257.56%-1.85M---516K--------------------------------
Cash from discontinued financing activities
Financing cash flow 247.67%11.58M-83.26%3.33M806.88%19.9M--2.19M------------------------
Net cash flow
Beginning cash position -47.58%6.74M865.29%12.85M204.58%1.33M-65.54%437K-65.67%1.27M97.28%3.69M9.21%1.87M-80.03%1.71M170.83%8.59M-68.32%3.17M
Current changes in cash 31.11%-4.21M-152.99%-6.11M1,190.49%11.54M207.58%894K65.75%-831K-233.16%-2.43M125.78%1.82M-544.58%-7.07M85.57%-1.1M25.15%-7.6M
Effect of exchange rate changes --9K------------------------------------
Cash adjustments other than cash changes ----------------------------225.14%7.23M-144.38%-5.77M292.63%13.01M
End cash Position -62.39%2.53M-47.66%6.74M866.79%12.87M204.58%1.33M-65.54%437K-65.68%1.27M97.30%3.69M9.21%1.87M-80.03%1.71M170.83%8.59M
Free cash from -67.38%-15.75M-2.67%-9.41M-458.56%-9.17M54.01%-1.64M65.46%-3.57M-64.68%-10.33M19.57%-6.27M-80.85%-7.8M51.26%-4.31M-74.87%-8.85M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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