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DDT DataDot Technology Ltd

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  • 0.005
  • 0.0000.00%
20min DelayNot Open Dec 3 11:20 AET
6.05MMarket Cap0.00P/E (Static)

DataDot Technology 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
8.78%3.11M
-36.73%2.85M
-1.31%4.51M
19.70%4.57M
-5.08%3.82M
-31.04%4.02M
-12.81%5.83M
-17.75%6.69M
3.46%8.13M
-9.40%7.86M
Revenue from customers
12.47%3.08M
-37.78%2.73M
3.77%4.4M
9.25%4.24M
1.22%3.88M
-30.23%3.83M
-11.79%5.49M
-18.27%6.22M
3.29%7.62M
-10.84%7.37M
Income from government grants
-71.15%34.59K
3.39%119.88K
-65.43%115.94K
677.10%335.39K
-130.12%-58.12K
-43.92%192.96K
-26.34%344.11K
-10.01%467.18K
5.98%519.14K
19.90%489.86K
Other cash income from operating activities
---5.17K
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----
----
----
----
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Cash paid
6.03%-2.75M
13.51%-2.92M
-6.02%-3.38M
25.34%-3.19M
21.55%-4.27M
13.94%-5.45M
7.87%-6.33M
27.02%-6.87M
-18.90%-9.41M
12.60%-7.91M
Payments to suppliers for goods and services
6.03%-2.75M
13.51%-2.92M
-6.02%-3.38M
25.34%-3.19M
21.55%-4.27M
13.94%-5.45M
7.87%-6.33M
27.02%-6.87M
-18.90%-9.41M
12.60%-7.91M
Direct interest paid
-41.02%-22.67K
-11.80%-16.07K
27.03%-14.38K
---19.7K
----
84.64%-3.64K
-781.41%-23.71K
-2.16%-2.69K
65.47%-2.63K
54.96%-7.63K
Direct tax refund paid
14.79%-9.91K
-22.71%-11.62K
-15.22%-9.47K
21.21%-8.22K
35.22%-10.44K
4.11%-16.11K
-67.76%-16.8K
-9.36%-10.01K
82.24%-9.16K
-400.57%-51.56K
Operating cash flow
433.55%324.78K
-108.80%-97.37K
-18.29%1.11M
392.42%1.35M
67.88%-463.11K
-170.16%-1.44M
-181.97%-533.61K
85.30%-189.24K
-1,060.02%-1.29M
72.54%-110.98K
Investing cash flow
Cash flow from continuing investing activities
42.18%-441.75K
-216.12%-763.99K
-1,606.54%-241.68K
64.81%-14.16K
37.43%-40.24K
53.87%-64.31K
48.23%-139.41K
33.24%-269.32K
37.91%-403.38K
19.13%-649.64K
Net PPE purchase and sale
76.44%-11.12K
80.52%-47.19K
-1,544.44%-242.21K
63.97%-14.73K
30.00%-40.88K
-305.00%-58.4K
75.52%-14.42K
16.55%-58.9K
67.62%-70.58K
-316.14%-217.95K
Net intangibles purchas and sale
----
----
----
----
----
95.17%-6.93K
38.30%-143.55K
39.58%-232.66K
26.16%-385.08K
34.09%-521.48K
Net investment purchase and sale
33.33%-500K
---750K
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----
----
----
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Interest received (cash flow from investment activities)
108.99%69.37K
6,174.67%33.19K
-6.70%529
-11.27%567
-37.04%639
-94.53%1.02K
-16.53%18.56K
-57.47%22.23K
-41.78%52.28K
122.77%89.8K
Cash from discontinued investing activities
Investing cash flow
42.18%-441.75K
-216.12%-763.99K
-1,606.54%-241.68K
64.81%-14.16K
37.43%-40.24K
53.87%-64.31K
48.23%-139.41K
33.24%-269.32K
37.91%-403.38K
19.13%-649.64K
Financing cash flow
Cash flow from continuing financing activities
-197.5K
138.67%1.31M
30,023.83%550K
47.47%-1.84K
-111.55%-3.5K
-100.06%-1.65K
9.87%2.68M
Net issuance payments of debt
----
----
----
----
-200.42%-552.32K
--550K
----
----
----
99.83%-611
Net common stock issuance
----
---197.5K
----
----
--1.87M
----
47.47%-1.84K
-111.55%-3.5K
-100.06%-1.65K
-3.99%2.73M
Net other financing activities
----
----
----
----
----
----
----
----
----
0.73%-51.2K
Cash from discontinued financing activities
Financing cash flow
----
---197.5K
----
----
138.67%1.31M
30,023.83%550K
47.47%-1.84K
-111.55%-3.5K
-100.06%-1.65K
9.87%2.68M
Net cash flow
Beginning cash position
-33.40%2.12M
36.56%3.18M
131.60%2.33M
416.21%1.01M
-82.69%194.75K
-36.36%1.13M
-24.92%1.77M
-42.07%2.36M
107.74%4.07M
126.37%1.96M
Current changes in cash
88.95%-116.97K
-222.43%-1.06M
-35.46%864.87K
65.58%1.34M
184.66%809.33K
-41.65%-955.92K
-46.06%-674.86K
72.70%-462.06K
-188.29%-1.69M
55.91%1.92M
Effect of exchange rate changes
55.72%-1.41K
76.72%-3.18K
19.66%-13.68K
-1,469.67%-17.03K
-95.11%1.24K
-20.42%25.42K
125.57%31.94K
-594.42%-124.92K
-109.39%-17.99K
239.85%191.61K
End cash Position
-5.59%2M
-33.40%2.12M
36.56%3.18M
131.60%2.33M
416.21%1.01M
-82.69%194.75K
-36.36%1.13M
-24.92%1.77M
-42.07%2.36M
107.74%4.07M
Free cash from
308.33%301.16K
-116.72%-144.56K
-35.47%864.34K
365.78%1.34M
66.56%-503.99K
-117.90%-1.51M
-43.84%-691.58K
72.42%-480.79K
-104.96%-1.74M
31.85%-850.41K
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 8.78%3.11M-36.73%2.85M-1.31%4.51M19.70%4.57M-5.08%3.82M-31.04%4.02M-12.81%5.83M-17.75%6.69M3.46%8.13M-9.40%7.86M
Revenue from customers 12.47%3.08M-37.78%2.73M3.77%4.4M9.25%4.24M1.22%3.88M-30.23%3.83M-11.79%5.49M-18.27%6.22M3.29%7.62M-10.84%7.37M
Income from government grants -71.15%34.59K3.39%119.88K-65.43%115.94K677.10%335.39K-130.12%-58.12K-43.92%192.96K-26.34%344.11K-10.01%467.18K5.98%519.14K19.90%489.86K
Other cash income from operating activities ---5.17K------------------------------------
Cash paid 6.03%-2.75M13.51%-2.92M-6.02%-3.38M25.34%-3.19M21.55%-4.27M13.94%-5.45M7.87%-6.33M27.02%-6.87M-18.90%-9.41M12.60%-7.91M
Payments to suppliers for goods and services 6.03%-2.75M13.51%-2.92M-6.02%-3.38M25.34%-3.19M21.55%-4.27M13.94%-5.45M7.87%-6.33M27.02%-6.87M-18.90%-9.41M12.60%-7.91M
Direct interest paid -41.02%-22.67K-11.80%-16.07K27.03%-14.38K---19.7K----84.64%-3.64K-781.41%-23.71K-2.16%-2.69K65.47%-2.63K54.96%-7.63K
Direct tax refund paid 14.79%-9.91K-22.71%-11.62K-15.22%-9.47K21.21%-8.22K35.22%-10.44K4.11%-16.11K-67.76%-16.8K-9.36%-10.01K82.24%-9.16K-400.57%-51.56K
Operating cash flow 433.55%324.78K-108.80%-97.37K-18.29%1.11M392.42%1.35M67.88%-463.11K-170.16%-1.44M-181.97%-533.61K85.30%-189.24K-1,060.02%-1.29M72.54%-110.98K
Investing cash flow
Cash flow from continuing investing activities 42.18%-441.75K-216.12%-763.99K-1,606.54%-241.68K64.81%-14.16K37.43%-40.24K53.87%-64.31K48.23%-139.41K33.24%-269.32K37.91%-403.38K19.13%-649.64K
Net PPE purchase and sale 76.44%-11.12K80.52%-47.19K-1,544.44%-242.21K63.97%-14.73K30.00%-40.88K-305.00%-58.4K75.52%-14.42K16.55%-58.9K67.62%-70.58K-316.14%-217.95K
Net intangibles purchas and sale --------------------95.17%-6.93K38.30%-143.55K39.58%-232.66K26.16%-385.08K34.09%-521.48K
Net investment purchase and sale 33.33%-500K---750K--------------------------------
Interest received (cash flow from investment activities) 108.99%69.37K6,174.67%33.19K-6.70%529-11.27%567-37.04%639-94.53%1.02K-16.53%18.56K-57.47%22.23K-41.78%52.28K122.77%89.8K
Cash from discontinued investing activities
Investing cash flow 42.18%-441.75K-216.12%-763.99K-1,606.54%-241.68K64.81%-14.16K37.43%-40.24K53.87%-64.31K48.23%-139.41K33.24%-269.32K37.91%-403.38K19.13%-649.64K
Financing cash flow
Cash flow from continuing financing activities -197.5K138.67%1.31M30,023.83%550K47.47%-1.84K-111.55%-3.5K-100.06%-1.65K9.87%2.68M
Net issuance payments of debt -----------------200.42%-552.32K--550K------------99.83%-611
Net common stock issuance -------197.5K----------1.87M----47.47%-1.84K-111.55%-3.5K-100.06%-1.65K-3.99%2.73M
Net other financing activities ------------------------------------0.73%-51.2K
Cash from discontinued financing activities
Financing cash flow -------197.5K--------138.67%1.31M30,023.83%550K47.47%-1.84K-111.55%-3.5K-100.06%-1.65K9.87%2.68M
Net cash flow
Beginning cash position -33.40%2.12M36.56%3.18M131.60%2.33M416.21%1.01M-82.69%194.75K-36.36%1.13M-24.92%1.77M-42.07%2.36M107.74%4.07M126.37%1.96M
Current changes in cash 88.95%-116.97K-222.43%-1.06M-35.46%864.87K65.58%1.34M184.66%809.33K-41.65%-955.92K-46.06%-674.86K72.70%-462.06K-188.29%-1.69M55.91%1.92M
Effect of exchange rate changes 55.72%-1.41K76.72%-3.18K19.66%-13.68K-1,469.67%-17.03K-95.11%1.24K-20.42%25.42K125.57%31.94K-594.42%-124.92K-109.39%-17.99K239.85%191.61K
End cash Position -5.59%2M-33.40%2.12M36.56%3.18M131.60%2.33M416.21%1.01M-82.69%194.75K-36.36%1.13M-24.92%1.77M-42.07%2.36M107.74%4.07M
Free cash from 308.33%301.16K-116.72%-144.56K-35.47%864.34K365.78%1.34M66.56%-503.99K-117.90%-1.51M-43.84%-691.58K72.42%-480.79K-104.96%-1.74M31.85%-850.41K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP