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FID Fiducian Group Ltd

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  • 8.630
  • 0.0000.00%
20min DelayTrading Aug 26 12:59 AET
271.65MMarket Cap18.09P/E (Static)

Fiducian Group 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
11.97%88.88M
3.23%79.38M
19.66%76.9M
7.51%64.26M
9.90%59.77M
9.70%54.39M
11.47%49.58M
15.70%44.48M
36.21%38.44M
13.36%28.22M
Cash income from bank and customer deposits
11.42%87.38M
2.30%78.42M
19.67%76.66M
7.72%64.06M
10.31%59.47M
9.70%53.91M
11.31%49.14M
15.89%44.15M
36.51%38.1M
13.56%27.91M
Cash income from loans
56.98%1.5M
305.53%953K
18.09%235K
-33.89%199K
-36.90%301K
9.66%477K
33.44%435K
-4.96%326K
9.58%343K
-2.80%313K
Cash paid
-6.63%-69.42M
-11.82%-65.1M
-20.73%-58.22M
-0.36%-48.22M
-10.59%-48.05M
-10.84%-43.45M
-9.52%-39.2M
-8.80%-35.79M
-51.51%-32.9M
-14.09%-21.71M
Cash paid for bank and customer deposits
-3.62%-61.71M
-15.75%-59.55M
-19.50%-51.44M
-0.98%-43.05M
-12.12%-42.63M
-9.40%-38.02M
-7.67%-34.76M
-9.79%-32.28M
-49.19%-29.4M
-10.63%-19.71M
All taxes paid
-38.88%-7.71M
18.03%-5.55M
-30.99%-6.77M
4.58%-5.17M
0.13%-5.42M
-22.10%-5.43M
-26.55%-4.44M
-0.43%-3.51M
-74.28%-3.5M
-64.56%-2.01M
Operating cash flow
36.32%19.46M
-23.57%14.28M
16.46%18.68M
36.83%16.04M
7.16%11.72M
5.40%10.94M
19.50%10.38M
56.68%8.69M
-14.81%5.54M
10.98%6.51M
Investing cash flow
Cash flow from continuing investing activities
127.80%546K
79.77%-1.96M
-560.27%-9.71M
-18.45%-1.47M
81.57%-1.24M
-1,851.30%-6.73M
92.49%-345K
4.53%-4.59M
-90.15%-4.81M
-214.55%-2.53M
Net PPE purchase and sale
77.60%-84K
35.23%-375K
-451.43%-579K
86.88%-105K
-966.67%-800K
-70.45%-75K
-340.00%-44K
65.52%-10K
0.00%-29K
67.42%-29K
Net business purchase and sale
----
72.46%-2.24M
-1,392.28%-8.12M
21.73%-544K
89.90%-695K
-732.16%-6.88M
52.53%-827K
64.66%-1.74M
-463.31%-4.93M
-8.02%-875K
Net proceeds payment for loan
--630K
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----
----
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Net other investing changes
----
164.12%647K
-22.90%-1.01M
-423.23%-821K
12.89%254K
-57.22%225K
118.53%526K
-2,005.37%-2.84M
109.17%149K
---1.63M
Cash from discontinued investing activities
Investing cash flow
127.80%546K
79.77%-1.96M
-560.27%-9.71M
-18.45%-1.47M
81.57%-1.24M
-1,851.30%-6.73M
92.49%-345K
4.53%-4.59M
-90.15%-4.81M
-214.55%-2.53M
Financing cash flow
Cash flow from continuing financing activities
-28.60%-13.05M
6.07%-10.15M
-17.27%-10.81M
-10.85%-9.21M
-31.94%-8.31M
-10.58%-6.3M
-34.46%-5.7M
-24.00%-4.24M
-22.12%-3.42M
15.34%-2.8M
Net issuance payments of debt
-4.41%-1.66M
6.81%-1.59M
1.62%-1.7M
-51.44%-1.73M
---1.14M
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----
Net commonstock issuance
----
----
--152K
----
----
695.00%595K
-161.35%-100K
--163K
----
114.30%130K
Cash dividends paid
-33.09%-11.4M
7.48%-8.56M
-23.67%-9.25M
-4.38%-7.48M
-3.97%-7.17M
-23.19%-6.9M
-27.20%-5.6M
-28.77%-4.4M
-16.70%-3.42M
-22.20%-2.93M
Cash from discontinued financing activities
Financing cash flow
-28.60%-13.05M
6.07%-10.15M
-17.27%-10.81M
-10.85%-9.21M
-31.94%-8.31M
-10.58%-6.3M
-34.46%-5.7M
-24.00%-4.24M
-22.12%-3.42M
15.34%-2.8M
Net cash flow
Beginning cash position
12.38%19.65M
-9.48%17.48M
38.36%19.32M
18.39%13.96M
-15.07%11.79M
45.42%13.89M
-1.48%9.55M
-21.68%9.69M
10.54%12.37M
18.58%11.19M
Current changes in cash
221.44%6.96M
218.12%2.16M
-134.21%-1.83M
146.89%5.36M
203.63%2.17M
-148.26%-2.09M
3,132.87%4.34M
94.67%-143K
-327.37%-2.68M
-32.73%1.18M
End cash position
35.40%26.6M
12.38%19.65M
-9.48%17.48M
38.36%19.32M
18.39%13.96M
-15.07%11.79M
45.42%13.89M
-1.48%9.55M
-21.68%9.69M
10.54%12.37M
Free cash from
39.39%19.38M
-23.19%13.9M
13.59%18.1M
45.89%15.93M
0.53%10.92M
5.12%10.86M
19.14%10.34M
57.33%8.68M
-14.88%5.51M
12.19%6.48M
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 11.97%88.88M3.23%79.38M19.66%76.9M7.51%64.26M9.90%59.77M9.70%54.39M11.47%49.58M15.70%44.48M36.21%38.44M13.36%28.22M
Cash income from bank and customer deposits 11.42%87.38M2.30%78.42M19.67%76.66M7.72%64.06M10.31%59.47M9.70%53.91M11.31%49.14M15.89%44.15M36.51%38.1M13.56%27.91M
Cash income from loans 56.98%1.5M305.53%953K18.09%235K-33.89%199K-36.90%301K9.66%477K33.44%435K-4.96%326K9.58%343K-2.80%313K
Cash paid -6.63%-69.42M-11.82%-65.1M-20.73%-58.22M-0.36%-48.22M-10.59%-48.05M-10.84%-43.45M-9.52%-39.2M-8.80%-35.79M-51.51%-32.9M-14.09%-21.71M
Cash paid for bank and customer deposits -3.62%-61.71M-15.75%-59.55M-19.50%-51.44M-0.98%-43.05M-12.12%-42.63M-9.40%-38.02M-7.67%-34.76M-9.79%-32.28M-49.19%-29.4M-10.63%-19.71M
All taxes paid -38.88%-7.71M18.03%-5.55M-30.99%-6.77M4.58%-5.17M0.13%-5.42M-22.10%-5.43M-26.55%-4.44M-0.43%-3.51M-74.28%-3.5M-64.56%-2.01M
Operating cash flow 36.32%19.46M-23.57%14.28M16.46%18.68M36.83%16.04M7.16%11.72M5.40%10.94M19.50%10.38M56.68%8.69M-14.81%5.54M10.98%6.51M
Investing cash flow
Cash flow from continuing investing activities 127.80%546K79.77%-1.96M-560.27%-9.71M-18.45%-1.47M81.57%-1.24M-1,851.30%-6.73M92.49%-345K4.53%-4.59M-90.15%-4.81M-214.55%-2.53M
Net PPE purchase and sale 77.60%-84K35.23%-375K-451.43%-579K86.88%-105K-966.67%-800K-70.45%-75K-340.00%-44K65.52%-10K0.00%-29K67.42%-29K
Net business purchase and sale ----72.46%-2.24M-1,392.28%-8.12M21.73%-544K89.90%-695K-732.16%-6.88M52.53%-827K64.66%-1.74M-463.31%-4.93M-8.02%-875K
Net proceeds payment for loan --630K------------------------------------
Net other investing changes ----164.12%647K-22.90%-1.01M-423.23%-821K12.89%254K-57.22%225K118.53%526K-2,005.37%-2.84M109.17%149K---1.63M
Cash from discontinued investing activities
Investing cash flow 127.80%546K79.77%-1.96M-560.27%-9.71M-18.45%-1.47M81.57%-1.24M-1,851.30%-6.73M92.49%-345K4.53%-4.59M-90.15%-4.81M-214.55%-2.53M
Financing cash flow
Cash flow from continuing financing activities -28.60%-13.05M6.07%-10.15M-17.27%-10.81M-10.85%-9.21M-31.94%-8.31M-10.58%-6.3M-34.46%-5.7M-24.00%-4.24M-22.12%-3.42M15.34%-2.8M
Net issuance payments of debt -4.41%-1.66M6.81%-1.59M1.62%-1.7M-51.44%-1.73M---1.14M--------------------
Net commonstock issuance ----------152K--------695.00%595K-161.35%-100K--163K----114.30%130K
Cash dividends paid -33.09%-11.4M7.48%-8.56M-23.67%-9.25M-4.38%-7.48M-3.97%-7.17M-23.19%-6.9M-27.20%-5.6M-28.77%-4.4M-16.70%-3.42M-22.20%-2.93M
Cash from discontinued financing activities
Financing cash flow -28.60%-13.05M6.07%-10.15M-17.27%-10.81M-10.85%-9.21M-31.94%-8.31M-10.58%-6.3M-34.46%-5.7M-24.00%-4.24M-22.12%-3.42M15.34%-2.8M
Net cash flow
Beginning cash position 12.38%19.65M-9.48%17.48M38.36%19.32M18.39%13.96M-15.07%11.79M45.42%13.89M-1.48%9.55M-21.68%9.69M10.54%12.37M18.58%11.19M
Current changes in cash 221.44%6.96M218.12%2.16M-134.21%-1.83M146.89%5.36M203.63%2.17M-148.26%-2.09M3,132.87%4.34M94.67%-143K-327.37%-2.68M-32.73%1.18M
End cash position 35.40%26.6M12.38%19.65M-9.48%17.48M38.36%19.32M18.39%13.96M-15.07%11.79M45.42%13.89M-1.48%9.55M-21.68%9.69M10.54%12.37M
Free cash from 39.39%19.38M-23.19%13.9M13.59%18.1M45.89%15.93M0.53%10.92M5.12%10.86M19.14%10.34M57.33%8.68M-14.88%5.51M12.19%6.48M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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