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GLL Galilee Energy Ltd

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  • 0.014
  • 0.0000.00%
20min DelayTrading Nov 22 15:57 AET
7.80MMarket Cap-1555P/E (Static)

Galilee Energy 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
-35.68%5M
26.42%7.77M
-9.65%6.15M
6,842.75%6.8M
98K
12.33%1.58M
1.4M
-98.07%23K
Other cash income from operating activities
-35.68%5M
26.42%7.77M
-9.65%6.15M
6,842.75%6.8M
--98K
----
12.33%1.58M
--1.4M
----
-98.07%23K
Cash paid
43.59%-10.07M
20.30%-17.86M
1.87%-22.4M
-23.80%-22.83M
-42.51%-18.44M
-57.94%-12.94M
-65.25%-8.19M
18.19%-4.96M
43.16%-6.06M
-89.60%-10.66M
Payments to suppliers for goods and services
3.04%-3.86M
2.77%-3.98M
-11.16%-4.09M
2.16%-3.68M
-72.42%-3.76M
-35.47%-2.18M
-33.44%-1.61M
80.09%-1.21M
43.16%-6.06M
-89.60%-10.66M
Other cash payments from operating activities
55.21%-6.22M
24.21%-13.88M
4.38%-18.31M
-30.45%-19.15M
-36.45%-14.68M
-63.43%-10.76M
-75.48%-6.58M
---3.75M
----
----
Direct interest paid
28.78%-8.73K
-13.55%-12.26K
47.91%-10.8K
-448.85%-20.73K
---3.78K
----
----
----
----
----
Direct interest received
128.48%281.31K
374.68%123.12K
-70.03%25.94K
-68.16%86.55K
-4.47%271.85K
54.75%284.57K
-11.34%183.89K
-56.24%207.41K
-44.30%474K
-14.39%851K
Direct tax refund paid
-49.68%773.87K
-9.66%1.54M
-7.62%1.7M
42.56%1.84M
28.80%1.29M
--1M
----
----
----
----
Operating cash flow
52.26%-4.03M
41.98%-8.44M
-2.97%-14.54M
15.88%-14.12M
-44.04%-16.79M
-81.17%-11.65M
-92.20%-6.43M
40.10%-3.35M
42.93%-5.59M
-476.84%-9.79M
Investing cash flow
Cash flow from continuing investing activities
-184.07%-665.2K
-32.56%-234.17K
-135.96%-176.66K
643.64%491.21K
140.01%66.06K
-228.45%-165.08K
389.71%128.51K
95.38%-44.36K
-1,006.60%-961K
1,160.00%106K
Net PPE purchase and sale
98.96%-3.07K
-758.04%-296.37K
86.12%-34.54K
-226.79%-248.89K
31.36%-76.16K
-7,664.73%-110.96K
98.37%-1.43K
23.11%-87.66K
-223.91%-114K
1,020.00%92K
Net intangibles purchas and sale
----
----
----
----
----
----
----
----
----
--14K
Net investment purchase and sale
---662.13K
----
----
----
----
----
----
----
---847K
----
Net other investing changes
----
143.76%62.2K
-119.20%-142.12K
420.41%740.1K
362.79%142.22K
-141.65%-54.12K
200.09%129.94K
--43.3K
----
----
Cash from discontinued investing activities
Investing cash flow
-184.07%-665.2K
-32.56%-234.17K
-135.96%-176.66K
643.64%491.21K
140.01%66.06K
-228.45%-165.08K
389.71%128.51K
95.38%-44.36K
-1,006.60%-961K
1,160.00%106K
Financing cash flow
Cash flow from continuing financing activities
9.76%-149.84K
-101.31%-166.05K
-8.19%12.64M
-40.83%13.77M
26.12%23.26M
259.34%18.45M
5.13M
Net common stock issuance
----
----
-7.90%13.04M
-39.39%14.16M
26.61%23.35M
259.34%18.45M
--5.13M
----
----
----
Net other financing activities
9.76%-149.84K
58.16%-166.05K
-2.19%-396.83K
-337.07%-388.31K
---88.84K
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
9.76%-149.84K
-101.31%-166.05K
-8.19%12.64M
-40.83%13.77M
26.12%23.26M
259.34%18.45M
--5.13M
----
----
----
Net cash flow
Beginning cash position
-54.71%7.31M
-11.39%16.15M
0.76%18.23M
56.70%18.09M
134.80%11.54M
-19.24%4.92M
-35.78%6.09M
-40.82%9.48M
-37.65%16.02M
-6.23%25.69M
Current changes in cash
45.19%-4.84M
-325.46%-8.84M
-1,608.42%-2.08M
-97.90%137.69K
-1.23%6.55M
666.21%6.63M
65.48%-1.17M
48.21%-3.39M
32.38%-6.55M
-467.25%-9.68M
Effect of exchange rate changes
----
----
----
----
----
----
51.94%-447
-109.30%-930
-16.67%10K
--12K
End cash Position
-66.22%2.47M
-54.71%7.31M
-11.39%16.15M
0.76%18.23M
56.70%18.09M
134.80%11.54M
-19.24%4.92M
-35.78%6.09M
-40.82%9.48M
-37.65%16.02M
Free cash from
53.84%-4.03M
40.08%-8.73M
-1.43%-14.57M
14.78%-14.37M
-43.32%-16.86M
-82.86%-11.76M
-87.34%-6.43M
39.76%-3.43M
41.98%-5.7M
-475.63%-9.83M
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 -35.68%5M26.42%7.77M-9.65%6.15M6,842.75%6.8M98K12.33%1.58M1.4M-98.07%23K
Other cash income from operating activities -35.68%5M26.42%7.77M-9.65%6.15M6,842.75%6.8M--98K----12.33%1.58M--1.4M-----98.07%23K
Cash paid 43.59%-10.07M20.30%-17.86M1.87%-22.4M-23.80%-22.83M-42.51%-18.44M-57.94%-12.94M-65.25%-8.19M18.19%-4.96M43.16%-6.06M-89.60%-10.66M
Payments to suppliers for goods and services 3.04%-3.86M2.77%-3.98M-11.16%-4.09M2.16%-3.68M-72.42%-3.76M-35.47%-2.18M-33.44%-1.61M80.09%-1.21M43.16%-6.06M-89.60%-10.66M
Other cash payments from operating activities 55.21%-6.22M24.21%-13.88M4.38%-18.31M-30.45%-19.15M-36.45%-14.68M-63.43%-10.76M-75.48%-6.58M---3.75M--------
Direct interest paid 28.78%-8.73K-13.55%-12.26K47.91%-10.8K-448.85%-20.73K---3.78K--------------------
Direct interest received 128.48%281.31K374.68%123.12K-70.03%25.94K-68.16%86.55K-4.47%271.85K54.75%284.57K-11.34%183.89K-56.24%207.41K-44.30%474K-14.39%851K
Direct tax refund paid -49.68%773.87K-9.66%1.54M-7.62%1.7M42.56%1.84M28.80%1.29M--1M----------------
Operating cash flow 52.26%-4.03M41.98%-8.44M-2.97%-14.54M15.88%-14.12M-44.04%-16.79M-81.17%-11.65M-92.20%-6.43M40.10%-3.35M42.93%-5.59M-476.84%-9.79M
Investing cash flow
Cash flow from continuing investing activities -184.07%-665.2K-32.56%-234.17K-135.96%-176.66K643.64%491.21K140.01%66.06K-228.45%-165.08K389.71%128.51K95.38%-44.36K-1,006.60%-961K1,160.00%106K
Net PPE purchase and sale 98.96%-3.07K-758.04%-296.37K86.12%-34.54K-226.79%-248.89K31.36%-76.16K-7,664.73%-110.96K98.37%-1.43K23.11%-87.66K-223.91%-114K1,020.00%92K
Net intangibles purchas and sale --------------------------------------14K
Net investment purchase and sale ---662.13K-------------------------------847K----
Net other investing changes ----143.76%62.2K-119.20%-142.12K420.41%740.1K362.79%142.22K-141.65%-54.12K200.09%129.94K--43.3K--------
Cash from discontinued investing activities
Investing cash flow -184.07%-665.2K-32.56%-234.17K-135.96%-176.66K643.64%491.21K140.01%66.06K-228.45%-165.08K389.71%128.51K95.38%-44.36K-1,006.60%-961K1,160.00%106K
Financing cash flow
Cash flow from continuing financing activities 9.76%-149.84K-101.31%-166.05K-8.19%12.64M-40.83%13.77M26.12%23.26M259.34%18.45M5.13M
Net common stock issuance ---------7.90%13.04M-39.39%14.16M26.61%23.35M259.34%18.45M--5.13M------------
Net other financing activities 9.76%-149.84K58.16%-166.05K-2.19%-396.83K-337.07%-388.31K---88.84K--------------------
Cash from discontinued financing activities
Financing cash flow 9.76%-149.84K-101.31%-166.05K-8.19%12.64M-40.83%13.77M26.12%23.26M259.34%18.45M--5.13M------------
Net cash flow
Beginning cash position -54.71%7.31M-11.39%16.15M0.76%18.23M56.70%18.09M134.80%11.54M-19.24%4.92M-35.78%6.09M-40.82%9.48M-37.65%16.02M-6.23%25.69M
Current changes in cash 45.19%-4.84M-325.46%-8.84M-1,608.42%-2.08M-97.90%137.69K-1.23%6.55M666.21%6.63M65.48%-1.17M48.21%-3.39M32.38%-6.55M-467.25%-9.68M
Effect of exchange rate changes ------------------------51.94%-447-109.30%-930-16.67%10K--12K
End cash Position -66.22%2.47M-54.71%7.31M-11.39%16.15M0.76%18.23M56.70%18.09M134.80%11.54M-19.24%4.92M-35.78%6.09M-40.82%9.48M-37.65%16.02M
Free cash from 53.84%-4.03M40.08%-8.73M-1.43%-14.57M14.78%-14.37M-43.32%-16.86M-82.86%-11.76M-87.34%-6.43M39.76%-3.43M41.98%-5.7M-475.63%-9.83M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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