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DVP Develop Global Ltd

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  • 2.000
  • +0.045+2.30%
20min DelayNot Open Aug 7 16:00 AET
488.11MMarket Cap-18691P/E (Static)

Develop Global Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
2,691.09%64.95M
1,060.65%2.33M
103.94%200.5K
-92.88%98.31K
1.38M
344.76%1.09M
-70.41%246.1K
831.58K
Revenue from customers
2,691.09%64.95M
--2.33M
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--1.38M
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Other cash income from operating activities
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----
103.94%200.5K
--98.31K
----
----
----
344.76%1.09M
-70.41%246.1K
--831.58K
Cash paid
-482.07%-52.24M
-265.24%-8.97M
7.38%-2.46M
-19.26%-2.65M
-12.42%-2.22M
-7.17%-1.98M
-53.35%-1.85M
30.72%-1.2M
11.71%-1.74M
37.21%-1.97M
Payments to suppliers for goods and services
-482.07%-52.24M
-265.24%-8.97M
7.38%-2.46M
-19.26%-2.65M
-12.42%-2.22M
-7.17%-1.98M
-53.35%-1.85M
30.72%-1.2M
11.71%-1.74M
37.21%-1.97M
Direct interest paid
-7,495.06%-1.02M
92.54%-13.41K
-1,806.53%-179.86K
85.81%-9.43K
-2,818.80%-66.46K
-12.22%-2.28K
-13.80%-2.03K
-20.88%-1.78K
13.99%-1.48K
-169.23%-1.72K
Direct interest received
1,233.02%570.51K
292.14%42.8K
-38.66%10.91K
-46.77%17.79K
-38.53%33.43K
22.60%54.38K
286.02%44.36K
-80.31%11.49K
-58.89%58.36K
-56.72%141.97K
Direct tax refund paid
---24.04K
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Operating cash flow
284.97%12.24M
-172.84%-6.62M
4.74%-2.43M
-190.17%-2.55M
54.45%-877.53K
-6.80%-1.93M
-1,708.50%-1.8M
93.05%-99.75K
-43.97%-1.43M
52.25%-996.75K
Investing cash flow
Cash flow from continuing investing activities
-51.63%-38.62M
-947.97%-25.47M
36.89%-2.43M
13.53%-3.85M
-17.08%-4.45M
-28.15%-3.8M
-146.95%-2.97M
-190.28%-1.2M
224.24%1.33M
87.34%-1.07M
Capital expenditure reported
-353.94%-31.58M
-172.51%-6.96M
35.24%-2.55M
-16.91%-3.94M
10.44%-3.37M
-28.50%-3.77M
-121.83%-2.93M
32.96%-1.32M
28.61%-1.97M
63.37%-2.76M
Net PPE purchase and sale
-182.49%-5.76M
-1,757.53%-2.04M
1,021.68%122.92K
98.77%-13.34K
-5,541.62%-1.08M
41.31%-19.16K
-2,312.05%-32.64K
-100.07%-1.35K
48,526.92%2.03M
99.55%-4.19K
Net business purchase and sale
92.22%-1.28M
---16.45M
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Net other investing changes
----
---20K
----
26,377.75%105.11K
97.87%-400
-276.00%-18.8K
-104.15%-5K
-90.53%120.5K
-24.80%1.27M
--1.69M
Cash from discontinued investing activities
Investing cash flow
-51.63%-38.62M
-947.97%-25.47M
36.89%-2.43M
13.53%-3.85M
-17.08%-4.45M
-28.15%-3.8M
-146.95%-2.97M
-190.28%-1.2M
224.24%1.33M
87.34%-1.07M
Financing cash flow
Cash flow from continuing financing activities
-91.59%4.92M
201.01%58.49M
419.00%19.43M
-50.86%3.74M
3.07%7.62M
47.70%7.39M
415.53%5M
10,959.49%970.8K
131.77%8.78K
-100.38%-27.63K
Net issuance payments of debt
----
260.61%650.41K
-120.25%-404.96K
0.00%2M
--2M
----
----
-98.41%140
143.77%8.78K
-145.79%-20.06K
Net common stock issuance
-79.59%11.82M
190.71%57.91M
1,033.12%19.92M
-68.69%1.76M
-23.91%5.61M
47.50%7.38M
415.40%5M
--970.66K
----
-100.10%-7.58K
Net other financing activities
-9,759.30%-6.9M
16.71%-69.96K
-499.21%-84K
-407.91%-14.02K
-64.12%4.55K
536.31%12.69K
--1.99K
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Cash from discontinued financing activities
Financing cash flow
-91.59%4.92M
201.01%58.49M
419.00%19.43M
-50.86%3.74M
3.07%7.62M
47.70%7.39M
415.53%5M
10,959.49%970.8K
131.77%8.78K
-100.38%-27.63K
Net cash flow
Beginning cash position
156.70%43.21M
645.91%16.83M
-54.04%2.26M
87.26%4.91M
172.95%2.62M
31.91%960.63K
-31.25%728.23K
-8.64%1.06M
-64.50%1.16M
-50.01%3.27M
Current changes in cash
-181.27%-21.46M
81.14%26.4M
649.26%14.57M
-215.98%-2.65M
37.71%2.29M
614.91%1.66M
170.22%232.4K
-249.06%-330.94K
95.48%-94.81K
35.75%-2.1M
Effect of exchange rate changes
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48.62%-5.35K
-141.79%-10.41K
Cash adjustments other than cash changes
177.33%20.47K
---26.46K
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End cash Position
-49.62%21.77M
156.70%43.21M
645.91%16.83M
-54.04%2.26M
87.26%4.91M
172.95%2.62M
31.91%960.63K
-31.25%728.23K
-8.64%1.06M
-64.50%1.16M
Free cash from
-77.83%-27.76M
-211.89%-15.61M
23.03%-5.01M
-21.96%-6.5M
6.64%-5.33M
-19.86%-5.71M
-235.08%-4.77M
58.24%-1.42M
10.27%-3.41M
64.41%-3.8M
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, 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(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities 2,691.09%64.95M1,060.65%2.33M103.94%200.5K-92.88%98.31K1.38M344.76%1.09M-70.41%246.1K831.58K
Revenue from customers 2,691.09%64.95M--2.33M----------1.38M--------------------
Other cash income from operating activities --------103.94%200.5K--98.31K------------344.76%1.09M-70.41%246.1K--831.58K
Cash paid -482.07%-52.24M-265.24%-8.97M7.38%-2.46M-19.26%-2.65M-12.42%-2.22M-7.17%-1.98M-53.35%-1.85M30.72%-1.2M11.71%-1.74M37.21%-1.97M
Payments to suppliers for goods and services -482.07%-52.24M-265.24%-8.97M7.38%-2.46M-19.26%-2.65M-12.42%-2.22M-7.17%-1.98M-53.35%-1.85M30.72%-1.2M11.71%-1.74M37.21%-1.97M
Direct interest paid -7,495.06%-1.02M92.54%-13.41K-1,806.53%-179.86K85.81%-9.43K-2,818.80%-66.46K-12.22%-2.28K-13.80%-2.03K-20.88%-1.78K13.99%-1.48K-169.23%-1.72K
Direct interest received 1,233.02%570.51K292.14%42.8K-38.66%10.91K-46.77%17.79K-38.53%33.43K22.60%54.38K286.02%44.36K-80.31%11.49K-58.89%58.36K-56.72%141.97K
Direct tax refund paid ---24.04K------------------------------------
Operating cash flow 284.97%12.24M-172.84%-6.62M4.74%-2.43M-190.17%-2.55M54.45%-877.53K-6.80%-1.93M-1,708.50%-1.8M93.05%-99.75K-43.97%-1.43M52.25%-996.75K
Investing cash flow
Cash flow from continuing investing activities -51.63%-38.62M-947.97%-25.47M36.89%-2.43M13.53%-3.85M-17.08%-4.45M-28.15%-3.8M-146.95%-2.97M-190.28%-1.2M224.24%1.33M87.34%-1.07M
Capital expenditure reported -353.94%-31.58M-172.51%-6.96M35.24%-2.55M-16.91%-3.94M10.44%-3.37M-28.50%-3.77M-121.83%-2.93M32.96%-1.32M28.61%-1.97M63.37%-2.76M
Net PPE purchase and sale -182.49%-5.76M-1,757.53%-2.04M1,021.68%122.92K98.77%-13.34K-5,541.62%-1.08M41.31%-19.16K-2,312.05%-32.64K-100.07%-1.35K48,526.92%2.03M99.55%-4.19K
Net business purchase and sale 92.22%-1.28M---16.45M--------------------------------
Net other investing changes -------20K----26,377.75%105.11K97.87%-400-276.00%-18.8K-104.15%-5K-90.53%120.5K-24.80%1.27M--1.69M
Cash from discontinued investing activities
Investing cash flow -51.63%-38.62M-947.97%-25.47M36.89%-2.43M13.53%-3.85M-17.08%-4.45M-28.15%-3.8M-146.95%-2.97M-190.28%-1.2M224.24%1.33M87.34%-1.07M
Financing cash flow
Cash flow from continuing financing activities -91.59%4.92M201.01%58.49M419.00%19.43M-50.86%3.74M3.07%7.62M47.70%7.39M415.53%5M10,959.49%970.8K131.77%8.78K-100.38%-27.63K
Net issuance payments of debt ----260.61%650.41K-120.25%-404.96K0.00%2M--2M---------98.41%140143.77%8.78K-145.79%-20.06K
Net common stock issuance -79.59%11.82M190.71%57.91M1,033.12%19.92M-68.69%1.76M-23.91%5.61M47.50%7.38M415.40%5M--970.66K-----100.10%-7.58K
Net other financing activities -9,759.30%-6.9M16.71%-69.96K-499.21%-84K-407.91%-14.02K-64.12%4.55K536.31%12.69K--1.99K------------
Cash from discontinued financing activities
Financing cash flow -91.59%4.92M201.01%58.49M419.00%19.43M-50.86%3.74M3.07%7.62M47.70%7.39M415.53%5M10,959.49%970.8K131.77%8.78K-100.38%-27.63K
Net cash flow
Beginning cash position 156.70%43.21M645.91%16.83M-54.04%2.26M87.26%4.91M172.95%2.62M31.91%960.63K-31.25%728.23K-8.64%1.06M-64.50%1.16M-50.01%3.27M
Current changes in cash -181.27%-21.46M81.14%26.4M649.26%14.57M-215.98%-2.65M37.71%2.29M614.91%1.66M170.22%232.4K-249.06%-330.94K95.48%-94.81K35.75%-2.1M
Effect of exchange rate changes --------------------------------48.62%-5.35K-141.79%-10.41K
Cash adjustments other than cash changes 177.33%20.47K---26.46K--------------------------------
End cash Position -49.62%21.77M156.70%43.21M645.91%16.83M-54.04%2.26M87.26%4.91M172.95%2.62M31.91%960.63K-31.25%728.23K-8.64%1.06M-64.50%1.16M
Free cash from -77.83%-27.76M-211.89%-15.61M23.03%-5.01M-21.96%-6.5M6.64%-5.33M-19.86%-5.71M-235.08%-4.77M58.24%-1.42M10.27%-3.41M64.41%-3.8M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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