AU Stock MarketDetailed Quotes

GDF Garda Property Group

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  • 1.110
  • -0.005-0.45%
20min DelayMarket Closed Jul 3 15:58 AET
242.33MMarket Cap-46250P/E (Static)

Garda Property Group 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
Operating cash flow (direct method)
Cash income from operating activities
-7.58%35.18M
20.85%38.07M
-7.97%31.5M
-4.67%34.23M
66.98%35.9M
2.69%21.5M
10.80%20.94M
18.9M
Revenue from customers
-7.43%35.14M
21.09%37.96M
-8.14%31.35M
22.31%34.13M
29.77%27.9M
2.69%21.5M
10.80%20.94M
--18.9M
Other cash income from operating activities
-61.90%40K
-30.00%105K
50.00%150K
-98.75%100K
--8M
----
----
----
Cash paid
21.44%-14.92M
-23.18%-18.99M
-9.02%-15.42M
7.47%-14.14M
-5.77%-15.28M
-75.89%-14.45M
-9.61%-8.22M
-7.5M
Payments to suppliers for goods and services
21.44%-14.92M
-23.18%-18.99M
-9.02%-15.42M
7.47%-14.14M
-5.77%-15.28M
-75.89%-14.45M
-9.61%-8.22M
---7.5M
Direct interest paid
-87.83%-8.95M
-15.68%-4.77M
19.34%-4.12M
-24.98%-5.11M
-221.38%-4.09M
46.44%-1.27M
-40.12%-2.38M
---1.7M
Direct interest received
2,723.08%367K
-18.75%13K
-60.00%16K
-60.40%40K
6.32%101K
55.74%95K
154.17%61K
--24K
Direct tax refund paid
-95.61%159K
1,356.94%3.62M
71.93%-288K
-125.91%-1.03M
-25.62%3.96M
798.69%5.32M
9.50%-762K
---842K
Operating cash flow
-34.03%11.84M
53.49%17.94M
-16.46%11.69M
-32.06%13.99M
83.88%20.59M
16.10%11.2M
8.53%9.65M
--8.89M
Investing cash flow
Cash flow from continuing investing activities
167.34%32.19M
-104.94%-47.8M
70.52%-23.32M
-105.00%-79.13M
52.85%-38.6M
-222.95%-81.86M
-772.23%-25.35M
-2.91M
Net PPE purchase and sale
----
----
-3.57%-29K
99.92%-28K
---33.74M
----
----
----
Net investment purchase and sale
190.89%36.77M
-62.11%-40.45M
69.24%-24.96M
-3,244.31%-81.13M
96.81%-2.43M
-206.40%-75.99M
-840.46%-24.8M
---2.64M
Net other investing changes
37.65%-4.58M
-542.59%-7.35M
-18.47%1.66M
183.75%2.04M
58.60%-2.43M
-973.49%-5.87M
-103.35%-547K
---269K
Cash from discontinued investing activities
Investing cash flow
167.34%32.19M
-104.94%-47.8M
70.52%-23.32M
-105.00%-79.13M
52.85%-38.6M
-222.95%-81.86M
-772.23%-25.35M
---2.91M
Financing cash flow
Cash flow from continuing financing activities
-248.46%-50.65M
410.69%34.12M
-89.79%6.68M
94.12%65.41M
-47.18%33.69M
159.71%63.79M
467.16%24.56M
-6.69M
Net issuance payments of debt
-170.10%-34.95M
129.11%49.86M
-61.01%21.76M
144.65%55.81M
-50.15%22.81M
221.12%45.76M
375.00%14.25M
--3M
Net common stock issuance
---528K
----
----
27.39%30.88M
-16.71%24.24M
46.12%29.1M
702.85%19.92M
---3.3M
Cash dividends paid
-0.08%-15.03M
0.05%-15.02M
11.24%-15.03M
-26.71%-16.93M
-23.60%-13.36M
-12.54%-10.81M
-50.41%-9.61M
---6.39M
Net other financing activities
80.41%-142K
-1,194.64%-725K
98.71%-56K
---4.36M
----
---261K
----
----
Cash from discontinued financing activities
Financing cash flow
-248.46%-50.65M
410.69%34.12M
-89.79%6.68M
94.12%65.41M
-47.18%33.69M
159.71%63.79M
467.16%24.56M
---6.69M
Net cash flow
Beginning cash position
27.42%19.79M
-24.18%15.53M
1.36%20.49M
346.89%20.21M
-60.29%4.52M
350.87%11.39M
-21.87%2.53M
--3.23M
Current changes in cash
-255.63%-6.63M
185.99%4.26M
-1,901.45%-4.95M
-98.25%275K
328.52%15.69M
-177.47%-6.87M
1,353.61%8.86M
---707K
End cash Position
-33.49%13.16M
27.42%19.79M
-24.18%15.53M
1.36%20.49M
346.89%20.21M
-60.29%4.52M
350.87%11.39M
--2.53M
Free cash from
-34.03%11.84M
53.88%17.94M
-16.50%11.66M
206.21%13.96M
-217.38%-13.15M
16.10%11.2M
8.53%9.65M
--8.89M
Accounting Standards
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
Operating cash flow (direct method)
Cash income from operating activities -7.58%35.18M20.85%38.07M-7.97%31.5M-4.67%34.23M66.98%35.9M2.69%21.5M10.80%20.94M18.9M
Revenue from customers -7.43%35.14M21.09%37.96M-8.14%31.35M22.31%34.13M29.77%27.9M2.69%21.5M10.80%20.94M--18.9M
Other cash income from operating activities -61.90%40K-30.00%105K50.00%150K-98.75%100K--8M------------
Cash paid 21.44%-14.92M-23.18%-18.99M-9.02%-15.42M7.47%-14.14M-5.77%-15.28M-75.89%-14.45M-9.61%-8.22M-7.5M
Payments to suppliers for goods and services 21.44%-14.92M-23.18%-18.99M-9.02%-15.42M7.47%-14.14M-5.77%-15.28M-75.89%-14.45M-9.61%-8.22M---7.5M
Direct interest paid -87.83%-8.95M-15.68%-4.77M19.34%-4.12M-24.98%-5.11M-221.38%-4.09M46.44%-1.27M-40.12%-2.38M---1.7M
Direct interest received 2,723.08%367K-18.75%13K-60.00%16K-60.40%40K6.32%101K55.74%95K154.17%61K--24K
Direct tax refund paid -95.61%159K1,356.94%3.62M71.93%-288K-125.91%-1.03M-25.62%3.96M798.69%5.32M9.50%-762K---842K
Operating cash flow -34.03%11.84M53.49%17.94M-16.46%11.69M-32.06%13.99M83.88%20.59M16.10%11.2M8.53%9.65M--8.89M
Investing cash flow
Cash flow from continuing investing activities 167.34%32.19M-104.94%-47.8M70.52%-23.32M-105.00%-79.13M52.85%-38.6M-222.95%-81.86M-772.23%-25.35M-2.91M
Net PPE purchase and sale ---------3.57%-29K99.92%-28K---33.74M------------
Net investment purchase and sale 190.89%36.77M-62.11%-40.45M69.24%-24.96M-3,244.31%-81.13M96.81%-2.43M-206.40%-75.99M-840.46%-24.8M---2.64M
Net other investing changes 37.65%-4.58M-542.59%-7.35M-18.47%1.66M183.75%2.04M58.60%-2.43M-973.49%-5.87M-103.35%-547K---269K
Cash from discontinued investing activities
Investing cash flow 167.34%32.19M-104.94%-47.8M70.52%-23.32M-105.00%-79.13M52.85%-38.6M-222.95%-81.86M-772.23%-25.35M---2.91M
Financing cash flow
Cash flow from continuing financing activities -248.46%-50.65M410.69%34.12M-89.79%6.68M94.12%65.41M-47.18%33.69M159.71%63.79M467.16%24.56M-6.69M
Net issuance payments of debt -170.10%-34.95M129.11%49.86M-61.01%21.76M144.65%55.81M-50.15%22.81M221.12%45.76M375.00%14.25M--3M
Net common stock issuance ---528K--------27.39%30.88M-16.71%24.24M46.12%29.1M702.85%19.92M---3.3M
Cash dividends paid -0.08%-15.03M0.05%-15.02M11.24%-15.03M-26.71%-16.93M-23.60%-13.36M-12.54%-10.81M-50.41%-9.61M---6.39M
Net other financing activities 80.41%-142K-1,194.64%-725K98.71%-56K---4.36M-------261K--------
Cash from discontinued financing activities
Financing cash flow -248.46%-50.65M410.69%34.12M-89.79%6.68M94.12%65.41M-47.18%33.69M159.71%63.79M467.16%24.56M---6.69M
Net cash flow
Beginning cash position 27.42%19.79M-24.18%15.53M1.36%20.49M346.89%20.21M-60.29%4.52M350.87%11.39M-21.87%2.53M--3.23M
Current changes in cash -255.63%-6.63M185.99%4.26M-1,901.45%-4.95M-98.25%275K328.52%15.69M-177.47%-6.87M1,353.61%8.86M---707K
End cash Position -33.49%13.16M27.42%19.79M-24.18%15.53M1.36%20.49M346.89%20.21M-60.29%4.52M350.87%11.39M--2.53M
Free cash from -34.03%11.84M53.88%17.94M-16.50%11.66M206.21%13.96M-217.38%-13.15M16.10%11.2M8.53%9.65M--8.89M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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