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EML EML Payments Ltd

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  • 0.995
  • +0.010+1.02%
20min DelayTrading Dec 3 15:17 AET
376.42MMarket Cap-14014P/E (Static)

EML Payments 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
-2.18%201.65M
27.89%206.13M
-14.49%161.18M
74.08%188.49M
14.01%108.28M
58.73%94.97M
22.09%59.83M
179.99%49.01M
82.62%17.5M
100.66%9.58M
Revenue from customers
-0.49%205.49M
6.12%206.5M
1.39%194.59M
58.56%191.92M
26.70%121.04M
58.66%95.53M
22.87%60.21M
192.45%49.01M
81.48%16.76M
112.74%9.23M
Other cash income from operating activities
-955.49%-3.84M
98.91%-364K
-873.89%-33.41M
73.13%-3.43M
-2,151.85%-12.77M
-48.04%-567K
---383K
----
112.51%745.85K
-19.52%350.97K
Cash paid
1.45%-228.85M
-19.37%-232.23M
-35.23%-194.55M
-59.14%-143.87M
-35.57%-90.4M
-20.61%-66.68M
-78.62%-55.28M
-88.07%-30.95M
-53.24%-16.46M
-22.99%-10.74M
Payments to suppliers for goods and services
1.45%-228.85M
-19.37%-232.23M
-35.23%-194.55M
-59.14%-143.87M
-35.57%-90.4M
-20.61%-66.68M
-78.62%-55.28M
-88.07%-30.95M
-53.24%-16.46M
-22.51%-10.74M
Direct interest paid
-210.51%-6.06M
52.52%-1.95M
---4.11M
----
-1,400.00%-270K
---18K
----
----
----
----
Direct interest received
132.64%59.36M
343.82%25.52M
-18.70%5.75M
36.45%7.07M
88.50%5.18M
-0.90%2.75M
100.29%2.77M
48.65%1.39M
16.02%931.74K
4.44%803.1K
Direct tax refund paid
-10,828.18%-12.02M
98.88%-110K
-241.05%-9.81M
-301.82%-2.88M
61.40%-716K
-96.09%-1.86M
-411.35%-946K
---185K
----
----
Operating cash flow
632.43%14.07M
93.64%-2.64M
-185.09%-41.54M
121.20%48.82M
-24.32%22.07M
357.66%29.16M
-66.91%6.37M
873.64%19.26M
661.82%1.98M
88.96%-352K
Investing cash flow
Cash flow from continuing investing activities
-3,797.61%-34.18M
98.77%-877K
-173.72%-71.15M
83.19%-25.99M
-210.36%-154.62M
-650.61%-49.82M
-2.39%-6.64M
81.24%-6.48M
-162.28%-34.56M
-1,682.25%-13.18M
Net PPE purchase and sale
-211.90%-1.36M
74.05%-437K
-53.37%-1.68M
28.61%-1.1M
-18.49%-1.54M
6.82%-1.3M
12.39%-1.39M
-11,293.77%-1.59M
74.73%-13.96K
90.66%-55.23K
Net intangibles purchas and sale
30.43%-7.87M
8.63%-11.31M
-7.41%-12.37M
-21.83%-11.52M
-111.59%-9.46M
-15.54%-4.47M
-202.42%-3.87M
-92.38%-1.28M
0.75%-664.84K
-352.08%-669.85K
Net business purchase and sale
----
----
---57.09M
----
-224.30%-142.53M
-5,945.53%-43.95M
---727K
----
-170.70%-33.7M
---12.45M
Net investment purchase and sale
----
--10.87M
----
---9.83M
----
----
----
218.91%207K
---174.07K
----
Net other investing changes
---24.95M
----
----
-225.14%-3.54M
-990.00%-1.09M
84.59%-100K
83.01%-649K
---3.82M
----
----
Cash from discontinued investing activities
Investing cash flow
-3,797.61%-34.18M
98.77%-877K
-173.72%-71.15M
83.19%-25.99M
-210.36%-154.62M
-650.61%-49.82M
-2.39%-6.64M
81.24%-6.48M
-162.28%-34.56M
-1,682.25%-13.18M
Financing cash flow
Cash flow from continuing financing activities
-266.99%-7.97M
-104.70%-2.17M
7,524.40%46.25M
-100.28%-623K
1,364.43%219.87M
57,646.15%15.01M
-87.25%26K
-99.63%204K
316.56%55.38M
88.24%13.29M
Net issuance payments of debt
---6.1M
----
--48.17M
----
-200.00%-15M
--15M
----
----
----
----
Net common stock issuance
----
----
----
-99.76%573K
68,116.71%240.81M
1,257.69%353K
-87.25%26K
-99.63%204K
316.56%55.38M
88.24%13.29M
Net other financing activities
13.67%-1.88M
-13.48%-2.17M
-60.03%-1.91M
79.85%-1.2M
-1,650.74%-5.94M
---339K
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-266.99%-7.97M
-104.70%-2.17M
7,524.40%46.25M
-100.28%-623K
1,364.43%219.87M
57,646.15%15.01M
-87.25%26K
-99.63%204K
316.56%55.38M
88.24%13.29M
Net cash flow
Beginning cash position
-3.17%71.36M
-47.82%73.7M
19.30%141.23M
257.81%118.38M
-15.18%33.09M
-2.17%39.01M
47.99%39.87M
531.90%26.94M
-5.17%4.26M
230.73%4.5M
Current changes in cash
-393.34%-28.08M
91.43%-5.69M
-399.19%-66.43M
-74.57%22.2M
1,647.77%87.33M
-2,260.67%-5.64M
-101.84%-239K
-43.09%12.98M
9,919.48%22.8M
-107.40%-232.22K
Effect of exchange rate changes
-106.59%-221K
405.00%3.36M
-270.81%-1.1M
131.74%644K
-627.24%-2.03M
55.50%-279K
-1,234.04%-627K
62.45%-47K
---125.15K
----
End cash Position
-39.66%43.06M
-3.17%71.36M
-47.82%73.7M
19.30%141.23M
257.81%118.38M
-15.18%33.09M
-2.17%39.01M
47.99%39.87M
531.89%26.94M
-5.17%4.26M
Free cash from
133.66%4.84M
74.12%-14.39M
-253.58%-55.6M
226.83%36.2M
-52.66%11.08M
2,005.76%23.4M
-93.22%1.11M
1,161.58%16.39M
220.59%1.3M
72.91%-1.08M
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 -2.18%201.65M27.89%206.13M-14.49%161.18M74.08%188.49M14.01%108.28M58.73%94.97M22.09%59.83M179.99%49.01M82.62%17.5M100.66%9.58M
Revenue from customers -0.49%205.49M6.12%206.5M1.39%194.59M58.56%191.92M26.70%121.04M58.66%95.53M22.87%60.21M192.45%49.01M81.48%16.76M112.74%9.23M
Other cash income from operating activities -955.49%-3.84M98.91%-364K-873.89%-33.41M73.13%-3.43M-2,151.85%-12.77M-48.04%-567K---383K----112.51%745.85K-19.52%350.97K
Cash paid 1.45%-228.85M-19.37%-232.23M-35.23%-194.55M-59.14%-143.87M-35.57%-90.4M-20.61%-66.68M-78.62%-55.28M-88.07%-30.95M-53.24%-16.46M-22.99%-10.74M
Payments to suppliers for goods and services 1.45%-228.85M-19.37%-232.23M-35.23%-194.55M-59.14%-143.87M-35.57%-90.4M-20.61%-66.68M-78.62%-55.28M-88.07%-30.95M-53.24%-16.46M-22.51%-10.74M
Direct interest paid -210.51%-6.06M52.52%-1.95M---4.11M-----1,400.00%-270K---18K----------------
Direct interest received 132.64%59.36M343.82%25.52M-18.70%5.75M36.45%7.07M88.50%5.18M-0.90%2.75M100.29%2.77M48.65%1.39M16.02%931.74K4.44%803.1K
Direct tax refund paid -10,828.18%-12.02M98.88%-110K-241.05%-9.81M-301.82%-2.88M61.40%-716K-96.09%-1.86M-411.35%-946K---185K--------
Operating cash flow 632.43%14.07M93.64%-2.64M-185.09%-41.54M121.20%48.82M-24.32%22.07M357.66%29.16M-66.91%6.37M873.64%19.26M661.82%1.98M88.96%-352K
Investing cash flow
Cash flow from continuing investing activities -3,797.61%-34.18M98.77%-877K-173.72%-71.15M83.19%-25.99M-210.36%-154.62M-650.61%-49.82M-2.39%-6.64M81.24%-6.48M-162.28%-34.56M-1,682.25%-13.18M
Net PPE purchase and sale -211.90%-1.36M74.05%-437K-53.37%-1.68M28.61%-1.1M-18.49%-1.54M6.82%-1.3M12.39%-1.39M-11,293.77%-1.59M74.73%-13.96K90.66%-55.23K
Net intangibles purchas and sale 30.43%-7.87M8.63%-11.31M-7.41%-12.37M-21.83%-11.52M-111.59%-9.46M-15.54%-4.47M-202.42%-3.87M-92.38%-1.28M0.75%-664.84K-352.08%-669.85K
Net business purchase and sale -----------57.09M-----224.30%-142.53M-5,945.53%-43.95M---727K-----170.70%-33.7M---12.45M
Net investment purchase and sale ------10.87M-------9.83M------------218.91%207K---174.07K----
Net other investing changes ---24.95M---------225.14%-3.54M-990.00%-1.09M84.59%-100K83.01%-649K---3.82M--------
Cash from discontinued investing activities
Investing cash flow -3,797.61%-34.18M98.77%-877K-173.72%-71.15M83.19%-25.99M-210.36%-154.62M-650.61%-49.82M-2.39%-6.64M81.24%-6.48M-162.28%-34.56M-1,682.25%-13.18M
Financing cash flow
Cash flow from continuing financing activities -266.99%-7.97M-104.70%-2.17M7,524.40%46.25M-100.28%-623K1,364.43%219.87M57,646.15%15.01M-87.25%26K-99.63%204K316.56%55.38M88.24%13.29M
Net issuance payments of debt ---6.1M------48.17M-----200.00%-15M--15M----------------
Net common stock issuance -------------99.76%573K68,116.71%240.81M1,257.69%353K-87.25%26K-99.63%204K316.56%55.38M88.24%13.29M
Net other financing activities 13.67%-1.88M-13.48%-2.17M-60.03%-1.91M79.85%-1.2M-1,650.74%-5.94M---339K----------------
Cash from discontinued financing activities
Financing cash flow -266.99%-7.97M-104.70%-2.17M7,524.40%46.25M-100.28%-623K1,364.43%219.87M57,646.15%15.01M-87.25%26K-99.63%204K316.56%55.38M88.24%13.29M
Net cash flow
Beginning cash position -3.17%71.36M-47.82%73.7M19.30%141.23M257.81%118.38M-15.18%33.09M-2.17%39.01M47.99%39.87M531.90%26.94M-5.17%4.26M230.73%4.5M
Current changes in cash -393.34%-28.08M91.43%-5.69M-399.19%-66.43M-74.57%22.2M1,647.77%87.33M-2,260.67%-5.64M-101.84%-239K-43.09%12.98M9,919.48%22.8M-107.40%-232.22K
Effect of exchange rate changes -106.59%-221K405.00%3.36M-270.81%-1.1M131.74%644K-627.24%-2.03M55.50%-279K-1,234.04%-627K62.45%-47K---125.15K----
End cash Position -39.66%43.06M-3.17%71.36M-47.82%73.7M19.30%141.23M257.81%118.38M-15.18%33.09M-2.17%39.01M47.99%39.87M531.89%26.94M-5.17%4.26M
Free cash from 133.66%4.84M74.12%-14.39M-253.58%-55.6M226.83%36.2M-52.66%11.08M2,005.76%23.4M-93.22%1.11M1,161.58%16.39M220.59%1.3M72.91%-1.08M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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