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EAX Energy Action Ltd

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  • 0.230
  • 0.0000.00%
20min DelayMarket Closed Jul 16 12:16 AET
8.97MMarket Cap-20909P/E (Static)

Energy Action 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
-16.59%11.45M
-20.55%13.73M
-24.50%17.28M
-19.70%22.89M
-21.27%28.5M
14.49%36.2M
-1.42%31.62M
-3.05%32.08M
28.44%33.09M
12.93%25.76M
Revenue from customers
-15.09%11.45M
-19.77%13.49M
-26.79%16.81M
-21.27%22.96M
-19.75%29.17M
3.36%36.35M
-3.37%35.16M
5.29%36.39M
31.90%34.56M
12.44%26.2M
Other cash income from operating activities
----
-48.49%242.14K
731.36%470.06K
88.82%-74.45K
-366.52%-666.09K
95.97%-142.78K
17.86%-3.54M
-192.70%-4.31M
-234.31%-1.47M
10.32%-440.6K
Cash paid
20.19%-10.53M
25.27%-13.2M
9.81%-17.66M
22.37%-19.58M
13.98%-25.23M
6.91%-29.33M
-5.93%-31.5M
-3.86%-29.74M
-41.51%-28.63M
-13.67%-20.23M
Payments to suppliers for goods and services
20.19%-10.53M
25.27%-13.2M
9.81%-17.66M
22.37%-19.58M
13.98%-25.23M
6.91%-29.33M
-5.93%-31.5M
-3.86%-29.74M
-41.51%-28.63M
-25.88%-20.23M
Direct interest paid
-82.17%-442.58K
-16.62%-242.95K
34.13%-208.32K
23.36%-316.27K
13.43%-412.65K
-11.53%-476.66K
-26.40%-427.37K
-48.95%-338.12K
---227K
----
Direct interest received
15,064.23%18.65K
-88.45%123
-76.90%1.07K
-33.88%4.61K
-18.33%6.97K
-0.21%8.54K
-78.09%8.56K
-60.15%39.05K
-43.08%98.01K
-11.74%172.19K
Direct tax refund paid
79.59%274.25K
713.27%152.71K
1.40%18.78K
110.96%18.52K
85.32%-168.95K
-3.02%-1.15M
-2.13%-1.12M
37.88%-1.09M
-41.32%-1.76M
-2.73%-1.25M
Operating cash flow
74.64%768.09K
177.25%439.81K
-118.89%-569.34K
11.51%3.01M
-48.60%2.7M
471.27%5.26M
-249.65%-1.42M
-63.10%946.28K
-42.42%2.56M
11.55%4.45M
Investing cash flow
Cash flow from continuing investing activities
32.65%-663.16K
-19.15%-984.7K
56.56%-826.43K
-2.79%-1.9M
-7.07%-1.85M
-0.42%-1.73M
-5.77%-1.72M
77.98%-1.63M
-80.85%-7.39M
-50.65%-4.09M
Net PPE purchase and sale
81.77%-6.72K
46.81%-36.86K
-89.35%-69.3K
70.19%-36.6K
23.93%-122.76K
51.96%-161.38K
-13.32%-335.93K
25.55%-296.45K
-172.90%-398.2K
60.84%-145.92K
Net intangibles purchas and sale
30.74%-656.44K
-25.19%-947.84K
59.43%-757.13K
-7.97%-1.87M
-10.26%-1.73M
-13.11%-1.57M
-4.09%-1.39M
-26.34%-1.33M
-65.34%-1.05M
-58.96%-637.28K
Net business purchase and sale
----
----
----
----
----
----
----
----
-79.77%-5.94M
-70.34%-3.31M
Cash from discontinued investing activities
Investing cash flow
32.65%-663.16K
-19.15%-984.7K
56.56%-826.43K
-2.79%-1.9M
-7.07%-1.85M
-0.42%-1.73M
-5.77%-1.72M
77.98%-1.63M
-80.85%-7.39M
-50.65%-4.09M
Financing cash flow
Cash flow from continuing financing activities
-2,972.40%-567.41K
-102.96%-18.47K
30.78%622.88K
214.92%476.28K
90.71%-414.44K
-210.58%-4.46M
573.85%4.04M
-142.32%-851.83K
189.31%2.01M
-41.53%-2.25M
Net issuance payments of debt
-150.00%-250K
54.86%500K
-32.21%322.88K
-23.64%476.28K
115.21%623.72K
-182.83%-4.1M
3,200.00%4.95M
-96.34%150K
--4.1M
----
Net common stock issuance
----
----
--300K
----
----
----
----
----
----
----
Cash dividends paid
----
----
----
----
-185.71%-1.04M
60.23%-363.36K
8.81%-913.59K
37.82%-1M
28.50%-1.61M
-22.99%-2.25M
Net other financing activities
38.78%-317.41K
---518.47K
----
----
----
----
----
----
---475.95K
----
Cash from discontinued financing activities
Financing cash flow
-2,972.40%-567.41K
-102.96%-18.47K
30.78%622.88K
214.92%476.28K
90.71%-414.44K
-210.58%-4.46M
573.85%4.04M
-142.32%-851.83K
189.31%2.01M
-41.53%-2.25M
Net cash flow
Beginning cash position
-23.25%1.86M
-24.18%2.42M
98.69%3.2M
37.33%1.61M
-44.38%1.17M
74.46%2.11M
-55.95%1.21M
-39.86%2.74M
-29.29%4.56M
-4.63%6.44M
Current changes in cash
17.91%-462.48K
27.11%-563.36K
-148.69%-772.89K
263.06%1.59M
146.79%437.23K
-203.98%-934.49K
158.62%898.73K
45.56%-1.53M
-49.18%-2.82M
-502.84%-1.89M
End cash Position
-24.87%1.4M
-23.25%1.86M
-24.18%2.42M
98.69%3.2M
37.33%1.61M
-44.38%1.17M
74.46%2.11M
-30.64%1.21M
-61.81%1.74M
-29.29%4.56M
Free cash from
110.08%54.93K
60.96%-544.89K
-225.62%-1.4M
30.46%1.11M
-75.87%851.67K
212.47%3.53M
-360.47%-3.14M
-161.24%-681.41K
-69.69%1.11M
14.02%3.67M
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 -16.59%11.45M-20.55%13.73M-24.50%17.28M-19.70%22.89M-21.27%28.5M14.49%36.2M-1.42%31.62M-3.05%32.08M28.44%33.09M12.93%25.76M
Revenue from customers -15.09%11.45M-19.77%13.49M-26.79%16.81M-21.27%22.96M-19.75%29.17M3.36%36.35M-3.37%35.16M5.29%36.39M31.90%34.56M12.44%26.2M
Other cash income from operating activities -----48.49%242.14K731.36%470.06K88.82%-74.45K-366.52%-666.09K95.97%-142.78K17.86%-3.54M-192.70%-4.31M-234.31%-1.47M10.32%-440.6K
Cash paid 20.19%-10.53M25.27%-13.2M9.81%-17.66M22.37%-19.58M13.98%-25.23M6.91%-29.33M-5.93%-31.5M-3.86%-29.74M-41.51%-28.63M-13.67%-20.23M
Payments to suppliers for goods and services 20.19%-10.53M25.27%-13.2M9.81%-17.66M22.37%-19.58M13.98%-25.23M6.91%-29.33M-5.93%-31.5M-3.86%-29.74M-41.51%-28.63M-25.88%-20.23M
Direct interest paid -82.17%-442.58K-16.62%-242.95K34.13%-208.32K23.36%-316.27K13.43%-412.65K-11.53%-476.66K-26.40%-427.37K-48.95%-338.12K---227K----
Direct interest received 15,064.23%18.65K-88.45%123-76.90%1.07K-33.88%4.61K-18.33%6.97K-0.21%8.54K-78.09%8.56K-60.15%39.05K-43.08%98.01K-11.74%172.19K
Direct tax refund paid 79.59%274.25K713.27%152.71K1.40%18.78K110.96%18.52K85.32%-168.95K-3.02%-1.15M-2.13%-1.12M37.88%-1.09M-41.32%-1.76M-2.73%-1.25M
Operating cash flow 74.64%768.09K177.25%439.81K-118.89%-569.34K11.51%3.01M-48.60%2.7M471.27%5.26M-249.65%-1.42M-63.10%946.28K-42.42%2.56M11.55%4.45M
Investing cash flow
Cash flow from continuing investing activities 32.65%-663.16K-19.15%-984.7K56.56%-826.43K-2.79%-1.9M-7.07%-1.85M-0.42%-1.73M-5.77%-1.72M77.98%-1.63M-80.85%-7.39M-50.65%-4.09M
Net PPE purchase and sale 81.77%-6.72K46.81%-36.86K-89.35%-69.3K70.19%-36.6K23.93%-122.76K51.96%-161.38K-13.32%-335.93K25.55%-296.45K-172.90%-398.2K60.84%-145.92K
Net intangibles purchas and sale 30.74%-656.44K-25.19%-947.84K59.43%-757.13K-7.97%-1.87M-10.26%-1.73M-13.11%-1.57M-4.09%-1.39M-26.34%-1.33M-65.34%-1.05M-58.96%-637.28K
Net business purchase and sale ---------------------------------79.77%-5.94M-70.34%-3.31M
Cash from discontinued investing activities
Investing cash flow 32.65%-663.16K-19.15%-984.7K56.56%-826.43K-2.79%-1.9M-7.07%-1.85M-0.42%-1.73M-5.77%-1.72M77.98%-1.63M-80.85%-7.39M-50.65%-4.09M
Financing cash flow
Cash flow from continuing financing activities -2,972.40%-567.41K-102.96%-18.47K30.78%622.88K214.92%476.28K90.71%-414.44K-210.58%-4.46M573.85%4.04M-142.32%-851.83K189.31%2.01M-41.53%-2.25M
Net issuance payments of debt -150.00%-250K54.86%500K-32.21%322.88K-23.64%476.28K115.21%623.72K-182.83%-4.1M3,200.00%4.95M-96.34%150K--4.1M----
Net common stock issuance ----------300K----------------------------
Cash dividends paid -----------------185.71%-1.04M60.23%-363.36K8.81%-913.59K37.82%-1M28.50%-1.61M-22.99%-2.25M
Net other financing activities 38.78%-317.41K---518.47K---------------------------475.95K----
Cash from discontinued financing activities
Financing cash flow -2,972.40%-567.41K-102.96%-18.47K30.78%622.88K214.92%476.28K90.71%-414.44K-210.58%-4.46M573.85%4.04M-142.32%-851.83K189.31%2.01M-41.53%-2.25M
Net cash flow
Beginning cash position -23.25%1.86M-24.18%2.42M98.69%3.2M37.33%1.61M-44.38%1.17M74.46%2.11M-55.95%1.21M-39.86%2.74M-29.29%4.56M-4.63%6.44M
Current changes in cash 17.91%-462.48K27.11%-563.36K-148.69%-772.89K263.06%1.59M146.79%437.23K-203.98%-934.49K158.62%898.73K45.56%-1.53M-49.18%-2.82M-502.84%-1.89M
End cash Position -24.87%1.4M-23.25%1.86M-24.18%2.42M98.69%3.2M37.33%1.61M-44.38%1.17M74.46%2.11M-30.64%1.21M-61.81%1.74M-29.29%4.56M
Free cash from 110.08%54.93K60.96%-544.89K-225.62%-1.4M30.46%1.11M-75.87%851.67K212.47%3.53M-360.47%-3.14M-161.24%-681.41K-69.69%1.11M14.02%3.67M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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