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DUI Diversified United Investment Ltd

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  • 5.270
  • 0.0000.00%
20min DelayTrading Oct 2 12:07 AET
1.14BMarket Cap31.75P/E (Static)

Diversified United Investment 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
-11.13%40.59M
-12.88%45.68M
93.11%52.43M
-21.54%27.15M
-25.27%34.6M
25.09%46.31M
6.94%37.02M
3.36%34.62M
-0.61%33.49M
13.64%33.7M
Cash income from loans
30.74%370K
1,389.47%283K
-83.19%19K
-65.55%113K
-39.37%328K
64.44%541K
24.62%329K
9.09%264K
--242K
----
Cash income from securities-related activities
-11.39%40.22M
-13.39%45.39M
93.85%52.41M
-21.12%27.04M
-25.11%34.28M
24.73%45.77M
6.80%36.69M
3.32%34.35M
--33.25M
----
Cash paid
-4.39%-3.81M
-287.60%-3.65M
309.48%1.94M
54.55%-928K
48.55%-2.04M
-10.77%-3.97M
12.40%-3.58M
0.56%-4.09M
-69.47%-4.11M
35.95%-2.43M
Cash paid for interest and commission
2.33%-5.29M
-164.77%-5.41M
22.55%-2.04M
4.25%-2.64M
29.19%-2.76M
1.77%-3.89M
7.90%-3.96M
-4.32%-4.3M
---4.12M
----
All taxes paid
16.36%-583K
69.28%-697K
-11.83%-2.27M
-48.10%-2.03M
12.12%-1.37M
-162.90%-1.56M
33.30%-593K
3.79%-889K
---924K
----
Other cash payments from operating activities
-16.25%2.06M
-60.65%2.46M
67.30%6.26M
79.46%3.74M
40.62%2.08M
52.47%1.48M
-11.72%972K
17.75%1.1M
-55.48%935K
523.39%2.1M
Operating cash flow
-12.47%36.79M
-22.70%42.03M
107.36%54.37M
-19.47%26.22M
-23.09%32.56M
26.62%42.34M
9.53%33.44M
3.91%30.53M
-6.04%29.38M
20.91%31.27M
Investing cash flow
Cash flow from continuing investing activities
-49.59%17.69M
160.50%35.08M
17.94%-57.98M
-221.66%-70.66M
-140.07%-21.97M
328.68%54.82M
-337.27%-23.97M
133.12%10.1M
74.36%-30.51M
-882.72%-118.97M
Net investment purchase and sale
-49.59%17.69M
160.50%35.08M
17.94%-57.98M
-221.66%-70.66M
-140.07%-21.97M
328.68%54.82M
-337.27%-23.97M
133.12%10.1M
74.36%-30.51M
-882.72%-118.97M
Cash from discontinued investing activities
Investing cash flow
-49.59%17.69M
160.50%35.08M
17.94%-57.98M
-221.66%-70.66M
-140.07%-21.97M
328.68%54.82M
-337.27%-23.97M
133.12%10.1M
74.36%-30.51M
-882.72%-118.97M
Financing cash flow
Cash flow from continuing financing activities
30.04%-54.8M
-2,168.34%-78.33M
-77.05%3.79M
132.42%16.5M
-82.47%-50.9M
-7.53%-27.89M
-3.85%-25.94M
-67.54%-24.98M
-114.64%-14.91M
677.85%101.82M
Net issuance payments of debt
79.17%-12.5M
-284.62%-60M
-27.78%32.5M
300.00%45M
---22.5M
----
----
----
-50.00%10M
--20M
Net commonstock issuance
-197.61%-11.49M
--11.77M
----
----
----
----
----
----
----
--102.58M
Cash dividends paid
-2.35%-30.81M
-4.83%-30.1M
-0.75%-28.71M
-0.37%-28.5M
-1.80%-28.4M
-7.53%-27.89M
-3.85%-25.94M
-0.27%-24.98M
-19.97%-24.91M
-17.84%-20.76M
Net other financing activities
----
----
----
----
----
----
----
---1K
----
----
Cash from discontinued financing activities
Financing cash flow
30.04%-54.8M
-2,168.34%-78.33M
-77.05%3.79M
132.42%16.5M
-82.47%-50.9M
-7.53%-27.89M
-3.85%-25.94M
-67.54%-24.98M
-114.64%-14.91M
677.85%101.82M
Net cash flow
Beginning cash position
-22.84%4.12M
3.53%5.34M
-84.42%5.16M
-54.91%33.09M
1,676.62%73.39M
-79.95%4.13M
316.24%20.6M
-76.41%4.95M
205.58%20.99M
-36.00%6.87M
Current changes in cash
73.34%-325K
-769.78%-1.22M
100.65%182K
30.68%-27.94M
-158.19%-40.3M
520.45%69.26M
-205.24%-16.47M
197.61%15.65M
-213.58%-16.04M
465.40%14.12M
Cash adjustments other than cash changes
----
----
----
----
----
----
----
--1K
----
----
End cash position
-7.89%3.79M
-22.84%4.12M
3.53%5.34M
-84.42%5.16M
-54.91%33.09M
1,676.62%73.39M
-79.95%4.13M
316.24%20.6M
-76.41%4.95M
205.58%20.99M
Free cash from
-12.47%36.79M
-22.70%42.03M
107.36%54.37M
-19.47%26.22M
-23.09%32.56M
26.62%42.34M
9.53%33.44M
3.91%30.53M
-6.04%29.38M
20.91%31.27M
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 -11.13%40.59M-12.88%45.68M93.11%52.43M-21.54%27.15M-25.27%34.6M25.09%46.31M6.94%37.02M3.36%34.62M-0.61%33.49M13.64%33.7M
Cash income from loans 30.74%370K1,389.47%283K-83.19%19K-65.55%113K-39.37%328K64.44%541K24.62%329K9.09%264K--242K----
Cash income from securities-related activities -11.39%40.22M-13.39%45.39M93.85%52.41M-21.12%27.04M-25.11%34.28M24.73%45.77M6.80%36.69M3.32%34.35M--33.25M----
Cash paid -4.39%-3.81M-287.60%-3.65M309.48%1.94M54.55%-928K48.55%-2.04M-10.77%-3.97M12.40%-3.58M0.56%-4.09M-69.47%-4.11M35.95%-2.43M
Cash paid for interest and commission 2.33%-5.29M-164.77%-5.41M22.55%-2.04M4.25%-2.64M29.19%-2.76M1.77%-3.89M7.90%-3.96M-4.32%-4.3M---4.12M----
All taxes paid 16.36%-583K69.28%-697K-11.83%-2.27M-48.10%-2.03M12.12%-1.37M-162.90%-1.56M33.30%-593K3.79%-889K---924K----
Other cash payments from operating activities -16.25%2.06M-60.65%2.46M67.30%6.26M79.46%3.74M40.62%2.08M52.47%1.48M-11.72%972K17.75%1.1M-55.48%935K523.39%2.1M
Operating cash flow -12.47%36.79M-22.70%42.03M107.36%54.37M-19.47%26.22M-23.09%32.56M26.62%42.34M9.53%33.44M3.91%30.53M-6.04%29.38M20.91%31.27M
Investing cash flow
Cash flow from continuing investing activities -49.59%17.69M160.50%35.08M17.94%-57.98M-221.66%-70.66M-140.07%-21.97M328.68%54.82M-337.27%-23.97M133.12%10.1M74.36%-30.51M-882.72%-118.97M
Net investment purchase and sale -49.59%17.69M160.50%35.08M17.94%-57.98M-221.66%-70.66M-140.07%-21.97M328.68%54.82M-337.27%-23.97M133.12%10.1M74.36%-30.51M-882.72%-118.97M
Cash from discontinued investing activities
Investing cash flow -49.59%17.69M160.50%35.08M17.94%-57.98M-221.66%-70.66M-140.07%-21.97M328.68%54.82M-337.27%-23.97M133.12%10.1M74.36%-30.51M-882.72%-118.97M
Financing cash flow
Cash flow from continuing financing activities 30.04%-54.8M-2,168.34%-78.33M-77.05%3.79M132.42%16.5M-82.47%-50.9M-7.53%-27.89M-3.85%-25.94M-67.54%-24.98M-114.64%-14.91M677.85%101.82M
Net issuance payments of debt 79.17%-12.5M-284.62%-60M-27.78%32.5M300.00%45M---22.5M-------------50.00%10M--20M
Net commonstock issuance -197.61%-11.49M--11.77M------------------------------102.58M
Cash dividends paid -2.35%-30.81M-4.83%-30.1M-0.75%-28.71M-0.37%-28.5M-1.80%-28.4M-7.53%-27.89M-3.85%-25.94M-0.27%-24.98M-19.97%-24.91M-17.84%-20.76M
Net other financing activities -------------------------------1K--------
Cash from discontinued financing activities
Financing cash flow 30.04%-54.8M-2,168.34%-78.33M-77.05%3.79M132.42%16.5M-82.47%-50.9M-7.53%-27.89M-3.85%-25.94M-67.54%-24.98M-114.64%-14.91M677.85%101.82M
Net cash flow
Beginning cash position -22.84%4.12M3.53%5.34M-84.42%5.16M-54.91%33.09M1,676.62%73.39M-79.95%4.13M316.24%20.6M-76.41%4.95M205.58%20.99M-36.00%6.87M
Current changes in cash 73.34%-325K-769.78%-1.22M100.65%182K30.68%-27.94M-158.19%-40.3M520.45%69.26M-205.24%-16.47M197.61%15.65M-213.58%-16.04M465.40%14.12M
Cash adjustments other than cash changes ------------------------------1K--------
End cash position -7.89%3.79M-22.84%4.12M3.53%5.34M-84.42%5.16M-54.91%33.09M1,676.62%73.39M-79.95%4.13M316.24%20.6M-76.41%4.95M205.58%20.99M
Free cash from -12.47%36.79M-22.70%42.03M107.36%54.37M-19.47%26.22M-23.09%32.56M26.62%42.34M9.53%33.44M3.91%30.53M-6.04%29.38M20.91%31.27M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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