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DEV DevEx Resources Ltd

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  • 0.130
  • +0.010+8.33%
20min DelayNot Open Nov 27 16:00 AET
57.42MMarket Cap-5000P/E (Static)

DevEx Resources 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
3,429.08%500K
-71.43%14.17K
-57.29%49.6K
53.78%116.13K
269.93%75.52K
76.35%-44.44K
-187.93K
-68.10%260K
Revenue from customers
----
----
----
----
----
----
----
----
----
-68.10%260K
Other cash income from operating activities
3,429.08%500K
-71.43%14.17K
-57.29%49.6K
53.78%116.13K
269.93%75.52K
76.35%-44.44K
---187.93K
----
----
----
Cash paid
-31.10%-16.26M
-33.41%-12.4M
-53.35%-9.3M
-63.36%-6.06M
-117.45%-3.71M
-19.76%-1.71M
-67.83%-1.42M
-228.46%-848.99K
69.26%-258.48K
42.72%-840.98K
Payments to suppliers for goods and services
-59.67%-3.24M
-36.68%-2.03M
-81.32%-1.48M
-15.39%-817.67K
-41.78%-708.61K
-14.42%-499.79K
-77.77%-436.8K
4.94%-245.72K
69.26%-258.48K
42.72%-840.98K
Other cash payments from operating activities
-25.52%-13.02M
-32.79%-10.37M
-48.99%-7.81M
-74.68%-5.24M
-148.79%-3M
-22.13%-1.21M
-63.78%-988.03K
---603.27K
----
----
Direct interest paid
20.65%-18.11K
18.31%-22.82K
1.79%-27.94K
---28.45K
----
----
---7K
----
----
98.64%-463
Direct interest received
143.04%940.06K
1,000.76%386.79K
220.13%35.14K
-62.54%10.98K
-49.94%29.3K
70.96%58.54K
-25.88%34.24K
-28.20%46.2K
42.24%64.34K
-55.76%45.23K
Direct tax refund paid
----
----
----
----
----
----
----
--141.45K
----
-57.79%189.77K
Operating cash flow
-23.40%-14.84M
-30.14%-12.02M
-54.93%-9.24M
-65.37%-5.96M
-113.07%-3.61M
-6.74%-1.69M
-139.74%-1.59M
-240.65%-661.35K
43.96%-194.14K
-155.66%-346.45K
Investing cash flow
Cash flow from continuing investing activities
-464.69%-656.83K
38.22%-116.32K
-1.24%-188.28K
-6,005.32%-185.97K
89.76%-3.05K
-346.12%-29.76K
10.37%-6.67K
98.93%-7.44K
33.45%-695.62K
-95.15%-1.05M
Capital expenditure reported
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----
----
----
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-21.54%-1.19M
-0.75%-979.1K
Net PPE purchase and sale
-142.37%-281.92K
-35.10%-116.32K
53.70%-86.1K
-6,005.32%-185.97K
84.58%-3.05K
-196.19%-19.76K
10.37%-6.67K
-1,357.09%-7.44K
-97.60%592
278.60%24.7K
Net business purchase and sale
---16.35K
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----
----
----
----
----
----
----
----
Net investment purchase and sale
---230.16K
----
---102.18K
----
----
----
----
----
643.04%493.79K
-118.19%-90.93K
Net other investing changes
---128.4K
----
----
----
----
---10K
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-464.69%-656.83K
38.22%-116.32K
-1.24%-188.28K
-6,005.32%-185.97K
89.76%-3.05K
-346.12%-29.76K
10.37%-6.67K
98.93%-7.44K
33.45%-695.62K
-95.15%-1.05M
Financing cash flow
Cash flow from continuing financing activities
15.66%19.59M
2,242.45%16.94M
-96.47%723.19K
339.30%20.51M
232.27%4.67M
-51.89%1.41M
861.42%2.92M
-72.78%303.75K
-18.18%1.12M
965.80%1.36M
Net common stock issuance
17.91%19.94M
1,806.05%16.91M
-95.72%887.21K
378.87%20.75M
191.31%4.33M
-49.41%1.49M
837.15%2.94M
-71.58%313.75K
-19.66%1.1M
33,818.31%1.37M
Net other financing activities
-1,260.51%-345.9K
118.17%29.81K
31.80%-164.01K
-171.68%-240.49K
507.28%335.52K
-311.90%-82.38K
-100.00%-20K
-182.14%-10K
221.74%12.17K
-107.57%-10K
Cash from discontinued financing activities
Financing cash flow
15.66%19.59M
2,242.45%16.94M
-96.47%723.19K
339.30%20.51M
232.27%4.67M
-51.89%1.41M
861.42%2.92M
-72.78%303.75K
-18.18%1.12M
965.80%1.36M
Net cash flow
Beginning cash position
60.98%12.67M
-52.51%7.87M
647.76%16.58M
91.58%2.22M
-21.51%1.16M
909.24%1.47M
-71.42%146.07K
79.47%511.11K
-8.88%284.78K
-63.48%312.54K
Current changes in cash
-14.61%4.1M
155.16%4.8M
-160.61%-8.7M
1,255.09%14.36M
434.25%1.06M
-123.87%-317.04K
463.84%1.33M
-261.29%-365.04K
915.40%226.32K
94.89%-27.76K
End cash Position
32.35%16.77M
60.98%12.67M
-52.51%7.87M
647.76%16.58M
91.58%2.22M
-21.51%1.16M
909.24%1.47M
-71.42%146.07K
79.47%511.11K
-8.88%284.78K
Free cash from
-24.54%-15.12M
-30.18%-12.14M
-51.65%-9.32M
-70.39%-6.15M
-110.78%-3.61M
-7.53%-1.71M
-138.07%-1.59M
51.68%-668.79K
-4.42%-1.38M
-18.23%-1.33M
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 3,429.08%500K-71.43%14.17K-57.29%49.6K53.78%116.13K269.93%75.52K76.35%-44.44K-187.93K-68.10%260K
Revenue from customers -------------------------------------68.10%260K
Other cash income from operating activities 3,429.08%500K-71.43%14.17K-57.29%49.6K53.78%116.13K269.93%75.52K76.35%-44.44K---187.93K------------
Cash paid -31.10%-16.26M-33.41%-12.4M-53.35%-9.3M-63.36%-6.06M-117.45%-3.71M-19.76%-1.71M-67.83%-1.42M-228.46%-848.99K69.26%-258.48K42.72%-840.98K
Payments to suppliers for goods and services -59.67%-3.24M-36.68%-2.03M-81.32%-1.48M-15.39%-817.67K-41.78%-708.61K-14.42%-499.79K-77.77%-436.8K4.94%-245.72K69.26%-258.48K42.72%-840.98K
Other cash payments from operating activities -25.52%-13.02M-32.79%-10.37M-48.99%-7.81M-74.68%-5.24M-148.79%-3M-22.13%-1.21M-63.78%-988.03K---603.27K--------
Direct interest paid 20.65%-18.11K18.31%-22.82K1.79%-27.94K---28.45K-----------7K--------98.64%-463
Direct interest received 143.04%940.06K1,000.76%386.79K220.13%35.14K-62.54%10.98K-49.94%29.3K70.96%58.54K-25.88%34.24K-28.20%46.2K42.24%64.34K-55.76%45.23K
Direct tax refund paid ------------------------------141.45K-----57.79%189.77K
Operating cash flow -23.40%-14.84M-30.14%-12.02M-54.93%-9.24M-65.37%-5.96M-113.07%-3.61M-6.74%-1.69M-139.74%-1.59M-240.65%-661.35K43.96%-194.14K-155.66%-346.45K
Investing cash flow
Cash flow from continuing investing activities -464.69%-656.83K38.22%-116.32K-1.24%-188.28K-6,005.32%-185.97K89.76%-3.05K-346.12%-29.76K10.37%-6.67K98.93%-7.44K33.45%-695.62K-95.15%-1.05M
Capital expenditure reported ---------------------------------21.54%-1.19M-0.75%-979.1K
Net PPE purchase and sale -142.37%-281.92K-35.10%-116.32K53.70%-86.1K-6,005.32%-185.97K84.58%-3.05K-196.19%-19.76K10.37%-6.67K-1,357.09%-7.44K-97.60%592278.60%24.7K
Net business purchase and sale ---16.35K------------------------------------
Net investment purchase and sale ---230.16K-------102.18K--------------------643.04%493.79K-118.19%-90.93K
Net other investing changes ---128.4K-------------------10K----------------
Cash from discontinued investing activities
Investing cash flow -464.69%-656.83K38.22%-116.32K-1.24%-188.28K-6,005.32%-185.97K89.76%-3.05K-346.12%-29.76K10.37%-6.67K98.93%-7.44K33.45%-695.62K-95.15%-1.05M
Financing cash flow
Cash flow from continuing financing activities 15.66%19.59M2,242.45%16.94M-96.47%723.19K339.30%20.51M232.27%4.67M-51.89%1.41M861.42%2.92M-72.78%303.75K-18.18%1.12M965.80%1.36M
Net common stock issuance 17.91%19.94M1,806.05%16.91M-95.72%887.21K378.87%20.75M191.31%4.33M-49.41%1.49M837.15%2.94M-71.58%313.75K-19.66%1.1M33,818.31%1.37M
Net other financing activities -1,260.51%-345.9K118.17%29.81K31.80%-164.01K-171.68%-240.49K507.28%335.52K-311.90%-82.38K-100.00%-20K-182.14%-10K221.74%12.17K-107.57%-10K
Cash from discontinued financing activities
Financing cash flow 15.66%19.59M2,242.45%16.94M-96.47%723.19K339.30%20.51M232.27%4.67M-51.89%1.41M861.42%2.92M-72.78%303.75K-18.18%1.12M965.80%1.36M
Net cash flow
Beginning cash position 60.98%12.67M-52.51%7.87M647.76%16.58M91.58%2.22M-21.51%1.16M909.24%1.47M-71.42%146.07K79.47%511.11K-8.88%284.78K-63.48%312.54K
Current changes in cash -14.61%4.1M155.16%4.8M-160.61%-8.7M1,255.09%14.36M434.25%1.06M-123.87%-317.04K463.84%1.33M-261.29%-365.04K915.40%226.32K94.89%-27.76K
End cash Position 32.35%16.77M60.98%12.67M-52.51%7.87M647.76%16.58M91.58%2.22M-21.51%1.16M909.24%1.47M-71.42%146.07K79.47%511.11K-8.88%284.78K
Free cash from -24.54%-15.12M-30.18%-12.14M-51.65%-9.32M-70.39%-6.15M-110.78%-3.61M-7.53%-1.71M-138.07%-1.59M51.68%-668.79K-4.42%-1.38M-18.23%-1.33M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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