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CXOXF CORE LITHIUM LTD

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  • 0.070000
  • 0.0000000.00%
15min DelayTrading Oct 17 16:00 ET
150.01MMarket Cap-1060P/E (TTM)

CORE LITHIUM 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 (Indirect Method)
Cash flow from continuing operating activities
Cash from discontinued investing activities
Investing cash flow
Cash flow from continuing investing activities
48.35%-88.64M
-143.23%-171.62M
-742.51%-70.56M
-706.27%-8.37M
114.36%1.38M
-22.53%-9.62M
-106.24%-7.85M
-201.15%-3.81M
21.61%-1.26M
-39.88%-1.61M
Capital expenditure reported
-77.28%-26.58M
15.88%-15M
-126.81%-17.83M
-40.26%-7.86M
41.46%-5.6M
-23.01%-9.57M
-107.75%-7.78M
-199.74%-3.75M
18.38%-1.25M
-33.75%-1.53M
Net PPE purchase and sale
59.76%-60.61M
-193.07%-150.61M
-36,435.40%-51.39M
-580.48%-140.66K
54.13%-20.67K
32.70%-45.07K
-11.81%-66.97K
-325.63%-59.89K
82.63%-14.07K
-944.28%-81.02K
Net intangibles purchase and sale
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--1.25M
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Net investment purchase and sale
92.70%-530K
-6,509.06%-7.26M
---109.82K
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Net other investing changes
---918K
----
-228.40%-1.23M
-105.35%-374.49K
--7.01M
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Cash from discontinued investing activities
Investing cash flow
48.35%-88.64M
-143.23%-171.62M
-742.51%-70.56M
-706.27%-8.37M
114.36%1.38M
-22.53%-9.62M
-106.24%-7.85M
-201.15%-3.81M
21.61%-1.26M
-39.88%-1.61M
Financing cash flow
Cash flow from continuing financing activities
4.71%102.39M
-43.76%97.79M
332.55%173.87M
430.44%40.2M
24.24%7.58M
-44.61%6.1M
29.14%11.01M
143.59%8.53M
115.12%3.5M
-17.53%1.63M
Net common stock issuance
5.94%107.69M
-41.82%101.65M
333.31%174.72M
436.29%40.32M
23.27%7.52M
-44.61%6.1M
29.14%11.01M
143.59%8.53M
115.12%3.5M
-17.53%1.63M
Net other financing activities
-37.23%-5.3M
-354.68%-3.86M
-574.99%-849.38K
-297.84%-125.84K
--63.61K
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Cash from discontinued financing activities
Financing cash flow
4.71%102.39M
-43.76%97.79M
332.55%173.87M
430.44%40.2M
24.24%7.58M
-44.61%6.1M
29.14%11.01M
143.59%8.53M
115.12%3.5M
-17.53%1.63M
Net cash flow
Beginning cash position
13.01%152.79M
254.78%135.2M
337.53%38.11M
264.78%8.71M
-70.17%2.39M
30.71%8M
153.74%6.12M
352.04%2.41M
-21.86%533.83K
19.79%683.14K
Current changes in cash
-478.01%-64.18M
-82.51%16.98M
229.36%97.09M
366.27%29.48M
212.57%6.32M
-398.62%-5.62M
-49.31%1.88M
97.41%3.71M
1,358.70%1.88M
-232.27%-149.31K
Effect of exchange rate changes
-263.71%-997K
--609K
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End cash Position
-42.66%87.61M
13.01%152.79M
254.03%135.2M
338.45%38.19M
264.78%8.71M
-70.17%2.39M
30.71%8M
153.74%6.12M
352.04%2.41M
-21.86%533.83K
Free cash flow
-120.81%-165.17M
0.84%-74.8M
-629.34%-75.44M
-25.20%-10.34M
29.49%-8.26M
-28.13%-11.72M
-89.86%-9.14M
-197.15%-4.82M
8.75%-1.62M
4.50%-1.78M
Currency Unit
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
(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 (Indirect Method)
Cash flow from continuing operating activities
Cash from discontinued investing activities
Investing cash flow
Cash flow from continuing investing activities 48.35%-88.64M-143.23%-171.62M-742.51%-70.56M-706.27%-8.37M114.36%1.38M-22.53%-9.62M-106.24%-7.85M-201.15%-3.81M21.61%-1.26M-39.88%-1.61M
Capital expenditure reported -77.28%-26.58M15.88%-15M-126.81%-17.83M-40.26%-7.86M41.46%-5.6M-23.01%-9.57M-107.75%-7.78M-199.74%-3.75M18.38%-1.25M-33.75%-1.53M
Net PPE purchase and sale 59.76%-60.61M-193.07%-150.61M-36,435.40%-51.39M-580.48%-140.66K54.13%-20.67K32.70%-45.07K-11.81%-66.97K-325.63%-59.89K82.63%-14.07K-944.28%-81.02K
Net intangibles purchase and sale ------1.25M--------------------------------
Net investment purchase and sale 92.70%-530K-6,509.06%-7.26M---109.82K----------------------------
Net other investing changes ---918K-----228.40%-1.23M-105.35%-374.49K--7.01M--------------------
Cash from discontinued investing activities
Investing cash flow 48.35%-88.64M-143.23%-171.62M-742.51%-70.56M-706.27%-8.37M114.36%1.38M-22.53%-9.62M-106.24%-7.85M-201.15%-3.81M21.61%-1.26M-39.88%-1.61M
Financing cash flow
Cash flow from continuing financing activities 4.71%102.39M-43.76%97.79M332.55%173.87M430.44%40.2M24.24%7.58M-44.61%6.1M29.14%11.01M143.59%8.53M115.12%3.5M-17.53%1.63M
Net common stock issuance 5.94%107.69M-41.82%101.65M333.31%174.72M436.29%40.32M23.27%7.52M-44.61%6.1M29.14%11.01M143.59%8.53M115.12%3.5M-17.53%1.63M
Net other financing activities -37.23%-5.3M-354.68%-3.86M-574.99%-849.38K-297.84%-125.84K--63.61K--------------------
Cash from discontinued financing activities
Financing cash flow 4.71%102.39M-43.76%97.79M332.55%173.87M430.44%40.2M24.24%7.58M-44.61%6.1M29.14%11.01M143.59%8.53M115.12%3.5M-17.53%1.63M
Net cash flow
Beginning cash position 13.01%152.79M254.78%135.2M337.53%38.11M264.78%8.71M-70.17%2.39M30.71%8M153.74%6.12M352.04%2.41M-21.86%533.83K19.79%683.14K
Current changes in cash -478.01%-64.18M-82.51%16.98M229.36%97.09M366.27%29.48M212.57%6.32M-398.62%-5.62M-49.31%1.88M97.41%3.71M1,358.70%1.88M-232.27%-149.31K
Effect of exchange rate changes -263.71%-997K--609K--------------------------------
End cash Position -42.66%87.61M13.01%152.79M254.03%135.2M338.45%38.19M264.78%8.71M-70.17%2.39M30.71%8M153.74%6.12M352.04%2.41M-21.86%533.83K
Free cash flow -120.81%-165.17M0.84%-74.8M-629.34%-75.44M-25.20%-10.34M29.49%-8.26M-28.13%-11.72M-89.86%-9.14M-197.15%-4.82M8.75%-1.62M4.50%-1.78M
Currency Unit AUDAUDAUDAUDAUDAUDAUDAUDAUDAUD

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