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GTN Gtn Ltd

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  • 0.435
  • 0.0000.00%
20min DelayNot Open Jul 11 15:46 AET
87.08MMarket Cap36.25P/E (Static)

Gtn 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
Operating cash flow (direct method)
Cash income from operating activities
12.46%195.25M
15.31%173.62M
-24.92%150.57M
-4.17%200.55M
-17.42%209.29M
17.15%253.45M
25.55%216.34M
172.3M
Revenue from customers
12.46%195.25M
15.31%173.62M
-24.92%150.57M
-4.17%200.55M
-17.42%209.29M
17.15%253.45M
25.55%216.34M
--172.3M
Cash paid
-8.71%-173.99M
-11.72%-160.05M
13.71%-143.26M
0.68%-166.02M
27.49%-167.15M
-27.96%-230.51M
-16.62%-180.14M
-154.47M
Payments to suppliers for goods and services
-8.71%-173.99M
-11.72%-160.05M
13.71%-143.26M
0.68%-166.02M
27.49%-167.15M
-27.96%-230.51M
-16.62%-180.14M
---154.47M
Direct interest paid
-30.97%-1.67M
34.26%-1.27M
19.44%-1.94M
18.82%-2.4M
27.19%-2.96M
9.02%-4.06M
37.70%-4.47M
---7.17M
Direct interest received
3,537.50%291K
-90.80%8K
-65.48%87K
-2.70%252K
-35.73%259K
-17.25%403K
99.59%487K
--244K
Direct tax refund paid
-7.57%-853K
-166.81%-793K
130.95%1.19M
36.01%-3.84M
35.48%-5.99M
-20.17%-9.29M
-13.04%-7.73M
---6.84M
Operating cash flow
65.39%19.03M
72.99%11.5M
-76.70%6.65M
-14.64%28.55M
234.85%33.44M
-59.21%9.99M
502.21%24.49M
--4.07M
Investing cash flow
Cash flow from continuing investing activities
-36.73%-5.64M
-90.53%-4.13M
30.85%-2.17M
20.31%-3.13M
57.29%-3.93M
64.00%-9.2M
75.01%-25.56M
-102.27M
Net PPE purchase and sale
-36.73%-5.64M
-90.53%-4.13M
30.85%-2.17M
20.31%-3.13M
-13.23%-3.93M
1.67%-3.47M
-55.46%-3.53M
---2.27M
Net business purchase and sale
----
----
----
----
----
73.99%-5.73M
---22.03M
----
Net other investing changes
----
----
----
----
----
----
----
---100M
Cash from discontinued investing activities
Investing cash flow
-36.73%-5.64M
-90.53%-4.13M
30.85%-2.17M
20.31%-3.13M
57.29%-3.93M
64.00%-9.2M
75.01%-25.56M
---102.27M
Financing cash flow
Cash flow from continuing financing activities
12.44%-18.84M
-83.17%-21.52M
36.43%-11.75M
42.86%-18.48M
36.32%-32.34M
-194.75%-50.79M
-56.26%53.6M
122.55M
Net issuance payments of debt
70.00%-6M
-100.00%-20M
---10M
----
----
---40M
----
--49.55M
Net common stock issuance
---5.38M
----
96.02%-260K
-595.00%-6.53M
---940K
----
-17.05%64.07M
--77.24M
Cash dividends paid
---5.78M
----
----
66.19%-10.18M
-179.15%-30.11M
-3.08%-10.79M
---10.47M
----
Interest paid (cash flow from financing activities)
----
----
73.33%-52K
---195K
----
----
----
----
Net other financing activities
-10.47%-1.68M
-5.78%-1.52M
8.59%-1.44M
-21.69%-1.57M
---1.29M
----
----
---4.23M
Cash from discontinued financing activities
Financing cash flow
12.44%-18.84M
-83.17%-21.52M
36.43%-11.75M
42.86%-18.48M
36.32%-32.34M
-194.75%-50.79M
-56.26%53.6M
--122.55M
Net cash flow
Beginning cash position
-29.43%34.84M
-13.44%49.38M
12.44%57.04M
-2.88%50.73M
-48.14%52.23M
105.30%100.73M
89.58%49.06M
--25.88M
Current changes in cash
61.41%-5.46M
-94.69%-14.14M
-204.74%-7.26M
344.93%6.93M
94.34%-2.83M
-195.18%-50M
115.75%52.53M
--24.35M
Effect of exchange rate changes
410.71%1.22M
2.24%-392K
35.53%-401K
-146.87%-622K
-11.83%1.33M
273.19%1.51M
25.47%-869K
---1.17M
End cash Position
-12.16%30.61M
-29.43%34.84M
-13.44%49.38M
12.44%57.04M
-2.88%50.73M
-48.14%52.23M
105.30%100.73M
--49.06M
Free cash from
81.41%13.39M
64.53%7.38M
-82.35%4.49M
-13.88%25.42M
352.85%29.51M
-68.90%6.52M
1,066.87%20.96M
--1.8M
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 12.46%195.25M15.31%173.62M-24.92%150.57M-4.17%200.55M-17.42%209.29M17.15%253.45M25.55%216.34M172.3M
Revenue from customers 12.46%195.25M15.31%173.62M-24.92%150.57M-4.17%200.55M-17.42%209.29M17.15%253.45M25.55%216.34M--172.3M
Cash paid -8.71%-173.99M-11.72%-160.05M13.71%-143.26M0.68%-166.02M27.49%-167.15M-27.96%-230.51M-16.62%-180.14M-154.47M
Payments to suppliers for goods and services -8.71%-173.99M-11.72%-160.05M13.71%-143.26M0.68%-166.02M27.49%-167.15M-27.96%-230.51M-16.62%-180.14M---154.47M
Direct interest paid -30.97%-1.67M34.26%-1.27M19.44%-1.94M18.82%-2.4M27.19%-2.96M9.02%-4.06M37.70%-4.47M---7.17M
Direct interest received 3,537.50%291K-90.80%8K-65.48%87K-2.70%252K-35.73%259K-17.25%403K99.59%487K--244K
Direct tax refund paid -7.57%-853K-166.81%-793K130.95%1.19M36.01%-3.84M35.48%-5.99M-20.17%-9.29M-13.04%-7.73M---6.84M
Operating cash flow 65.39%19.03M72.99%11.5M-76.70%6.65M-14.64%28.55M234.85%33.44M-59.21%9.99M502.21%24.49M--4.07M
Investing cash flow
Cash flow from continuing investing activities -36.73%-5.64M-90.53%-4.13M30.85%-2.17M20.31%-3.13M57.29%-3.93M64.00%-9.2M75.01%-25.56M-102.27M
Net PPE purchase and sale -36.73%-5.64M-90.53%-4.13M30.85%-2.17M20.31%-3.13M-13.23%-3.93M1.67%-3.47M-55.46%-3.53M---2.27M
Net business purchase and sale --------------------73.99%-5.73M---22.03M----
Net other investing changes -------------------------------100M
Cash from discontinued investing activities
Investing cash flow -36.73%-5.64M-90.53%-4.13M30.85%-2.17M20.31%-3.13M57.29%-3.93M64.00%-9.2M75.01%-25.56M---102.27M
Financing cash flow
Cash flow from continuing financing activities 12.44%-18.84M-83.17%-21.52M36.43%-11.75M42.86%-18.48M36.32%-32.34M-194.75%-50.79M-56.26%53.6M122.55M
Net issuance payments of debt 70.00%-6M-100.00%-20M---10M-----------40M------49.55M
Net common stock issuance ---5.38M----96.02%-260K-595.00%-6.53M---940K-----17.05%64.07M--77.24M
Cash dividends paid ---5.78M--------66.19%-10.18M-179.15%-30.11M-3.08%-10.79M---10.47M----
Interest paid (cash flow from financing activities) --------73.33%-52K---195K----------------
Net other financing activities -10.47%-1.68M-5.78%-1.52M8.59%-1.44M-21.69%-1.57M---1.29M-----------4.23M
Cash from discontinued financing activities
Financing cash flow 12.44%-18.84M-83.17%-21.52M36.43%-11.75M42.86%-18.48M36.32%-32.34M-194.75%-50.79M-56.26%53.6M--122.55M
Net cash flow
Beginning cash position -29.43%34.84M-13.44%49.38M12.44%57.04M-2.88%50.73M-48.14%52.23M105.30%100.73M89.58%49.06M--25.88M
Current changes in cash 61.41%-5.46M-94.69%-14.14M-204.74%-7.26M344.93%6.93M94.34%-2.83M-195.18%-50M115.75%52.53M--24.35M
Effect of exchange rate changes 410.71%1.22M2.24%-392K35.53%-401K-146.87%-622K-11.83%1.33M273.19%1.51M25.47%-869K---1.17M
End cash Position -12.16%30.61M-29.43%34.84M-13.44%49.38M12.44%57.04M-2.88%50.73M-48.14%52.23M105.30%100.73M--49.06M
Free cash from 81.41%13.39M64.53%7.38M-82.35%4.49M-13.88%25.42M352.85%29.51M-68.90%6.52M1,066.87%20.96M--1.8M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

No Data

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