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CYC Cyclopharm Ltd

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  • 1.710
  • 0.0000.00%
20min DelayTrading Jul 17 16:00 AET
189.97MMarket Cap-33529P/E (Static)

Cyclopharm Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(FY)Dec 30, 2022
(FY)Dec 30, 2021
(FY)Dec 30, 2020
(FY)Dec 30, 2019
(FY)Dec 30, 2018
(FY)Dec 30, 2017
(FY)Dec 30, 2016
(FY)Dec 30, 2015
(FY)Dec 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
21.68%29.97M
13.83%24.63M
46.07%21.64M
-4.50%14.81M
9.71%15.51M
-2.56%14.14M
-3.15%14.51M
10.98%14.98M
-11.52%13.5M
26.79%15.26M
Revenue from customers
21.68%29.97M
13.83%24.63M
46.07%21.64M
-4.50%14.81M
9.71%15.51M
-2.56%14.14M
-3.15%14.51M
31.49%14.98M
-9.62%11.39M
4.77%12.61M
Other cash income from operating activities
----
----
----
----
----
----
----
----
-20.58%2.1M
--2.65M
Cash paid
-6.28%-36.73M
-33.37%-34.56M
-11.22%-25.91M
-17.27%-23.3M
-20.86%-19.87M
-12.17%-16.44M
-6.82%-14.65M
-44.32%-13.72M
11.19%-9.5M
1.47%-10.7M
Payments to suppliers for goods and services
-6.28%-36.73M
-33.37%-34.56M
-11.22%-25.91M
-17.27%-23.3M
-20.86%-19.87M
-12.17%-16.44M
-6.82%-14.65M
-44.32%-13.72M
11.19%-9.5M
1.47%-10.7M
Direct interest paid
18.78%-215.99K
-197.74%-265.92K
57.03%-89.31K
25.83%-207.86K
-972.60%-280.26K
-30.13%-26.13K
-11.85%-20.08K
29.37%-17.95K
76.30%-25.42K
60.31%-107.26K
Direct interest received
345.78%489.17K
2,678.05%109.73K
-10.43%3.95K
-82.71%4.41K
-75.33%25.51K
30.03%103.41K
68.11%79.53K
2.38%47.31K
125.30%46.21K
32.85%20.51K
Direct tax refund paid
-120.79%-710.83K
25.27%3.42M
1,205.99%2.73M
-105.99%-246.77K
269.69%4.12M
665.44%1.11M
69.09%-197.18K
-554.15%-638K
12,556.04%140.48K
-99.59%1.11K
Operating cash flow
-8.00%-7.2M
-309.01%-6.66M
81.76%-1.63M
-1,725.90%-8.93M
55.81%-489.34K
-293.11%-1.11M
-143.02%-281.68K
-84.24%654.79K
-7.03%4.15M
277.08%4.47M
Investing cash flow
Cash flow from continuing investing activities
67.16%-508.47K
-33.36%-1.55M
-32.81%-1.16M
-6.54%-874.19K
41.52%-820.49K
8.68%-1.4M
30.82%-1.54M
-240.83%-2.22M
-172.94%-651.65K
80.25%-238.76K
Capital expenditure reported
----
----
----
----
----
----
----
----
-128.86%-639.24K
42.48%-279.32K
Net PPE purchase and sale
81.41%-236.82K
-51.16%-1.27M
-334.91%-842.85K
-407.35%-193.8K
81.47%-38.2K
67.85%-206.1K
64.29%-641.1K
-14,363.54%-1.8M
36.14%-12.41K
97.07%-19.44K
Net intangibles purchas and sale
-9.77%-301.17K
13.77%-274.37K
5.64%-318.18K
23.21%-337.19K
27.17%-439.08K
43.57%-602.88K
---1.07M
----
----
----
Net business purchase and sale
---31.8K
----
----
0.00%-343.21K
49.60%-343.21K
32.11%-680.97K
---1M
----
----
----
Net other investing changes
--61.33K
----
----
----
----
-92.62%86.83K
376.18%1.18M
---425.79K
----
200.00%60K
Cash from discontinued investing activities
Investing cash flow
67.16%-508.47K
-33.36%-1.55M
-32.81%-1.16M
-6.54%-874.19K
41.52%-820.49K
8.68%-1.4M
30.82%-1.54M
-240.83%-2.22M
-172.94%-651.65K
80.25%-238.76K
Financing cash flow
Cash flow from continuing financing activities
-40.39%-1.02M
-102.41%-725.64K
3,160.18%30.17M
-112.19%-985.96K
2,395.70%8.09M
-106.05%-352.45K
873.01%5.83M
-130.82%-753.99K
84.96%-326.66K
-79.82%-2.17M
Net issuance payments of debt
----
----
----
----
-8.65%-58.99K
66.11%-54.29K
18.85%-160.17K
-308.18%-197.38K
97.77%-48.36K
-80.29%-2.17M
Net common stock issuance
----
----
--31.34M
----
--9.36M
----
--6.59M
----
----
91.76%-270
Cash dividends paid
-0.25%-884.83K
-0.14%-882.59K
-17.13%-881.32K
-13.92%-752.42K
-1.39%-660.5K
-8.56%-651.47K
-7.82%-600.12K
-100.00%-556.62K
---278.31K
----
Net other financing activities
-185.34%-133.93K
154.36%156.95K
-23.62%-288.71K
57.63%-233.54K
-256.02%-551.23K
--353.31K
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-40.39%-1.02M
-102.41%-725.64K
3,160.18%30.17M
-112.19%-985.96K
2,395.70%8.09M
-106.05%-352.45K
873.01%5.83M
-130.82%-753.99K
84.96%-326.66K
-79.82%-2.17M
Net cash flow
Beginning cash position
-30.61%20.3M
1,460.56%29.25M
-85.20%1.87M
116.23%12.66M
-32.62%5.85M
89.29%8.69M
-28.77%4.59M
97.19%6.44M
167.76%3.27M
-47.98%1.22M
Current changes in cash
2.39%-8.72M
-132.64%-8.94M
353.65%27.38M
-259.19%-10.8M
336.87%6.78M
-171.39%-2.86M
272.84%4.01M
-173.04%-2.32M
54.31%3.18M
267.14%2.06M
Effect of exchange rate changes
1,165.92%155.11K
-114.28%-14.55K
-175.61%-6.79K
-62.48%8.98K
-15.05%23.94K
-68.22%28.18K
-80.97%88.7K
862,812.96%465.97K
100.50%54
-110.14%-10.72K
End cash Position
-42.22%11.73M
-30.61%20.3M
1,460.56%29.25M
-85.20%1.87M
116.23%12.66M
-32.62%5.85M
89.29%8.69M
-28.77%4.59M
97.19%6.44M
167.76%3.27M
Free cash from
5.81%-7.74M
-194.32%-8.21M
70.52%-2.79M
-879.27%-9.47M
49.56%-966.62K
3.76%-1.92M
-74.60%-1.99M
-132.55%-1.14M
-15.99%3.5M
11,484.37%4.17M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2023(FY)Dec 30, 2022(FY)Dec 30, 2021(FY)Dec 30, 2020(FY)Dec 30, 2019(FY)Dec 30, 2018(FY)Dec 30, 2017(FY)Dec 30, 2016(FY)Dec 30, 2015(FY)Dec 30, 2014
Operating cash flow (direct method)
Cash income from operating activities 21.68%29.97M13.83%24.63M46.07%21.64M-4.50%14.81M9.71%15.51M-2.56%14.14M-3.15%14.51M10.98%14.98M-11.52%13.5M26.79%15.26M
Revenue from customers 21.68%29.97M13.83%24.63M46.07%21.64M-4.50%14.81M9.71%15.51M-2.56%14.14M-3.15%14.51M31.49%14.98M-9.62%11.39M4.77%12.61M
Other cash income from operating activities ---------------------------------20.58%2.1M--2.65M
Cash paid -6.28%-36.73M-33.37%-34.56M-11.22%-25.91M-17.27%-23.3M-20.86%-19.87M-12.17%-16.44M-6.82%-14.65M-44.32%-13.72M11.19%-9.5M1.47%-10.7M
Payments to suppliers for goods and services -6.28%-36.73M-33.37%-34.56M-11.22%-25.91M-17.27%-23.3M-20.86%-19.87M-12.17%-16.44M-6.82%-14.65M-44.32%-13.72M11.19%-9.5M1.47%-10.7M
Direct interest paid 18.78%-215.99K-197.74%-265.92K57.03%-89.31K25.83%-207.86K-972.60%-280.26K-30.13%-26.13K-11.85%-20.08K29.37%-17.95K76.30%-25.42K60.31%-107.26K
Direct interest received 345.78%489.17K2,678.05%109.73K-10.43%3.95K-82.71%4.41K-75.33%25.51K30.03%103.41K68.11%79.53K2.38%47.31K125.30%46.21K32.85%20.51K
Direct tax refund paid -120.79%-710.83K25.27%3.42M1,205.99%2.73M-105.99%-246.77K269.69%4.12M665.44%1.11M69.09%-197.18K-554.15%-638K12,556.04%140.48K-99.59%1.11K
Operating cash flow -8.00%-7.2M-309.01%-6.66M81.76%-1.63M-1,725.90%-8.93M55.81%-489.34K-293.11%-1.11M-143.02%-281.68K-84.24%654.79K-7.03%4.15M277.08%4.47M
Investing cash flow
Cash flow from continuing investing activities 67.16%-508.47K-33.36%-1.55M-32.81%-1.16M-6.54%-874.19K41.52%-820.49K8.68%-1.4M30.82%-1.54M-240.83%-2.22M-172.94%-651.65K80.25%-238.76K
Capital expenditure reported ---------------------------------128.86%-639.24K42.48%-279.32K
Net PPE purchase and sale 81.41%-236.82K-51.16%-1.27M-334.91%-842.85K-407.35%-193.8K81.47%-38.2K67.85%-206.1K64.29%-641.1K-14,363.54%-1.8M36.14%-12.41K97.07%-19.44K
Net intangibles purchas and sale -9.77%-301.17K13.77%-274.37K5.64%-318.18K23.21%-337.19K27.17%-439.08K43.57%-602.88K---1.07M------------
Net business purchase and sale ---31.8K--------0.00%-343.21K49.60%-343.21K32.11%-680.97K---1M------------
Net other investing changes --61.33K-----------------92.62%86.83K376.18%1.18M---425.79K----200.00%60K
Cash from discontinued investing activities
Investing cash flow 67.16%-508.47K-33.36%-1.55M-32.81%-1.16M-6.54%-874.19K41.52%-820.49K8.68%-1.4M30.82%-1.54M-240.83%-2.22M-172.94%-651.65K80.25%-238.76K
Financing cash flow
Cash flow from continuing financing activities -40.39%-1.02M-102.41%-725.64K3,160.18%30.17M-112.19%-985.96K2,395.70%8.09M-106.05%-352.45K873.01%5.83M-130.82%-753.99K84.96%-326.66K-79.82%-2.17M
Net issuance payments of debt -----------------8.65%-58.99K66.11%-54.29K18.85%-160.17K-308.18%-197.38K97.77%-48.36K-80.29%-2.17M
Net common stock issuance ----------31.34M------9.36M------6.59M--------91.76%-270
Cash dividends paid -0.25%-884.83K-0.14%-882.59K-17.13%-881.32K-13.92%-752.42K-1.39%-660.5K-8.56%-651.47K-7.82%-600.12K-100.00%-556.62K---278.31K----
Net other financing activities -185.34%-133.93K154.36%156.95K-23.62%-288.71K57.63%-233.54K-256.02%-551.23K--353.31K----------------
Cash from discontinued financing activities
Financing cash flow -40.39%-1.02M-102.41%-725.64K3,160.18%30.17M-112.19%-985.96K2,395.70%8.09M-106.05%-352.45K873.01%5.83M-130.82%-753.99K84.96%-326.66K-79.82%-2.17M
Net cash flow
Beginning cash position -30.61%20.3M1,460.56%29.25M-85.20%1.87M116.23%12.66M-32.62%5.85M89.29%8.69M-28.77%4.59M97.19%6.44M167.76%3.27M-47.98%1.22M
Current changes in cash 2.39%-8.72M-132.64%-8.94M353.65%27.38M-259.19%-10.8M336.87%6.78M-171.39%-2.86M272.84%4.01M-173.04%-2.32M54.31%3.18M267.14%2.06M
Effect of exchange rate changes 1,165.92%155.11K-114.28%-14.55K-175.61%-6.79K-62.48%8.98K-15.05%23.94K-68.22%28.18K-80.97%88.7K862,812.96%465.97K100.50%54-110.14%-10.72K
End cash Position -42.22%11.73M-30.61%20.3M1,460.56%29.25M-85.20%1.87M116.23%12.66M-32.62%5.85M89.29%8.69M-28.77%4.59M97.19%6.44M167.76%3.27M
Free cash from 5.81%-7.74M-194.32%-8.21M70.52%-2.79M-879.27%-9.47M49.56%-966.62K3.76%-1.92M-74.60%-1.99M-132.55%-1.14M-15.99%3.5M11,484.37%4.17M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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