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GVF Staude Capital Global Value Fund Ltd

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  • 1.300
  • -0.010-0.76%
20min DelayNot Open Nov 29 16:00 AET
227.35MMarket Cap11.30P/E (Static)

Staude Capital Global Value Fund 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
-32.23%167.71M
-44.49%247.48M
51.17%445.85M
47.46%294.93M
-15.76%200M
30.52%237.41M
-20.62%181.9M
178.20%229.15M
156.72%82.37M
32.09M
Cash income from bank and customer deposits
-34.62%152.95M
-46.52%233.96M
53.98%437.43M
46.58%284.09M
-16.06%193.82M
31.46%230.89M
-20.88%175.64M
179.62%221.98M
175.70%79.39M
--28.79M
Cash income from loans
39.29%3.66M
362.40%2.63M
-18.87%568.99K
-19.56%701.29K
164.59%871.85K
23.74%329.51K
19.53%266.29K
349.00%222.78K
-65.80%49.62K
--145.09K
Cash income from securities-related activities
2.58%11.1M
37.77%10.82M
-22.42%7.85M
91.05%10.12M
-14.39%5.3M
69.48%6.19M
-47.45%3.65M
136.82%6.95M
436.16%2.93M
--547.09K
Other cash income from operating activities
----
1,499.72%81.2K
-73.36%5.08K
17.33%19.06K
62.68%16.24K
-99.57%9.98K
--2.34M
----
----
--2.6M
Cash paid
42.19%-132.06M
44.99%-228.43M
-28.22%-415.26M
-52.85%-323.86M
2.97%-211.89M
6.81%-218.38M
2.81%-234.35M
-133.88%-241.12M
-46.83%-103.1M
-70.21M
Cash paid for bank and customer deposits
45.37%-127.29M
43.91%-232.98M
-15.92%-415.36M
-55.60%-358.3M
-4.57%-230.27M
2.85%-220.2M
2.80%-226.65M
-133.94%-233.18M
-43.47%-99.68M
---69.47M
Cash paid for interest and commission
-31.09%-3.11M
-192.41%-2.37M
-4.31%-811.41K
-72.85%-777.92K
51.05%-450.04K
-8.90%-919.47K
-53.58%-844.29K
-27.68%-549.74K
-334.18%-430.56K
---99.17K
All taxes paid
86.55%-1.11M
-105.17%-8.25M
-125.59%-4.02M
-233.65%-1.78M
55.77%-534.2K
66.12%-1.21M
33.99%-3.56M
-101.67%-5.4M
---2.68M
----
Other cash payments from operating activities
-103.63%-551.26K
208.04%15.18M
-86.68%4.93M
91.04%37M
391.28%19.37M
219.95%3.94M
-65.48%-3.29M
-540.73%-1.99M
51.53%-309.95K
---639.5K
Operating cash flow
87.07%35.65M
-37.70%19.06M
205.72%30.59M
-143.48%-28.93M
-162.43%-11.88M
136.29%19.03M
-338.22%-52.45M
42.25%-11.97M
45.64%-20.73M
---38.13M
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Financing cash flow
Cash flow from continuing financing activities
-7.05%-11.54M
-7.88%-10.78M
-159.06%-10M
300.44%16.92M
4.30%-8.44M
-145.06%-8.82M
43.10%19.58M
-57.85%13.68M
-49.92%32.46M
64.81M
Net commonstock issuance
----
----
----
--25.35M
----
----
36.08%27.09M
-46.19%19.91M
-42.92%36.99M
--64.81M
Cash dividends paid
-7.05%-11.54M
-7.88%-10.78M
-18.57%-10M
0.15%-8.43M
4.30%-8.44M
-17.43%-8.82M
-20.66%-7.51M
-37.36%-6.23M
---4.53M
----
Cash from discontinued financing activities
Financing cash flow
-7.05%-11.54M
-7.88%-10.78M
-159.06%-10M
300.44%16.92M
4.30%-8.44M
-145.06%-8.82M
43.10%19.58M
-57.85%13.68M
-49.92%32.46M
--64.81M
Net cash flow
Beginning cash position
-106.53%-374.94K
137.89%5.74M
-642.37%-15.15M
-111.19%-2.04M
133.20%18.24M
-80.74%7.82M
5.66%40.6M
42.70%38.43M
2,692,847,300.00%26.93M
--1
Current changes in cash
191.33%24.11M
-59.82%8.28M
271.46%20.6M
40.91%-12.01M
-299.05%-20.33M
131.07%10.21M
-2,019.58%-32.87M
-85.41%1.71M
-56.03%11.73M
--26.69M
Effect of exchange rate changes
----
-887.64%-2.28M
126.47%289.63K
-2,436.98%-1.09M
-77.31%46.81K
124.35%206.36K
-80.09%91.98K
296.16%462K
-197.29%-235.52K
--242.07K
End cash position
102.27%23.73M
104.44%11.73M
137.89%5.74M
-642.37%-15.15M
-111.19%-2.04M
133.20%18.24M
-80.74%7.82M
5.66%40.6M
42.70%38.43M
--26.93M
Free cash from
87.07%35.65M
-37.70%19.06M
205.72%30.59M
-143.48%-28.93M
-162.43%-11.88M
136.29%19.03M
-338.22%-52.45M
42.25%-11.97M
45.64%-20.73M
---38.13M
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 -32.23%167.71M-44.49%247.48M51.17%445.85M47.46%294.93M-15.76%200M30.52%237.41M-20.62%181.9M178.20%229.15M156.72%82.37M32.09M
Cash income from bank and customer deposits -34.62%152.95M-46.52%233.96M53.98%437.43M46.58%284.09M-16.06%193.82M31.46%230.89M-20.88%175.64M179.62%221.98M175.70%79.39M--28.79M
Cash income from loans 39.29%3.66M362.40%2.63M-18.87%568.99K-19.56%701.29K164.59%871.85K23.74%329.51K19.53%266.29K349.00%222.78K-65.80%49.62K--145.09K
Cash income from securities-related activities 2.58%11.1M37.77%10.82M-22.42%7.85M91.05%10.12M-14.39%5.3M69.48%6.19M-47.45%3.65M136.82%6.95M436.16%2.93M--547.09K
Other cash income from operating activities ----1,499.72%81.2K-73.36%5.08K17.33%19.06K62.68%16.24K-99.57%9.98K--2.34M----------2.6M
Cash paid 42.19%-132.06M44.99%-228.43M-28.22%-415.26M-52.85%-323.86M2.97%-211.89M6.81%-218.38M2.81%-234.35M-133.88%-241.12M-46.83%-103.1M-70.21M
Cash paid for bank and customer deposits 45.37%-127.29M43.91%-232.98M-15.92%-415.36M-55.60%-358.3M-4.57%-230.27M2.85%-220.2M2.80%-226.65M-133.94%-233.18M-43.47%-99.68M---69.47M
Cash paid for interest and commission -31.09%-3.11M-192.41%-2.37M-4.31%-811.41K-72.85%-777.92K51.05%-450.04K-8.90%-919.47K-53.58%-844.29K-27.68%-549.74K-334.18%-430.56K---99.17K
All taxes paid 86.55%-1.11M-105.17%-8.25M-125.59%-4.02M-233.65%-1.78M55.77%-534.2K66.12%-1.21M33.99%-3.56M-101.67%-5.4M---2.68M----
Other cash payments from operating activities -103.63%-551.26K208.04%15.18M-86.68%4.93M91.04%37M391.28%19.37M219.95%3.94M-65.48%-3.29M-540.73%-1.99M51.53%-309.95K---639.5K
Operating cash flow 87.07%35.65M-37.70%19.06M205.72%30.59M-143.48%-28.93M-162.43%-11.88M136.29%19.03M-338.22%-52.45M42.25%-11.97M45.64%-20.73M---38.13M
Investing cash flow
Cash flow from continuing investing activities
Cash from discontinued investing activities
Financing cash flow
Cash flow from continuing financing activities -7.05%-11.54M-7.88%-10.78M-159.06%-10M300.44%16.92M4.30%-8.44M-145.06%-8.82M43.10%19.58M-57.85%13.68M-49.92%32.46M64.81M
Net commonstock issuance --------------25.35M--------36.08%27.09M-46.19%19.91M-42.92%36.99M--64.81M
Cash dividends paid -7.05%-11.54M-7.88%-10.78M-18.57%-10M0.15%-8.43M4.30%-8.44M-17.43%-8.82M-20.66%-7.51M-37.36%-6.23M---4.53M----
Cash from discontinued financing activities
Financing cash flow -7.05%-11.54M-7.88%-10.78M-159.06%-10M300.44%16.92M4.30%-8.44M-145.06%-8.82M43.10%19.58M-57.85%13.68M-49.92%32.46M--64.81M
Net cash flow
Beginning cash position -106.53%-374.94K137.89%5.74M-642.37%-15.15M-111.19%-2.04M133.20%18.24M-80.74%7.82M5.66%40.6M42.70%38.43M2,692,847,300.00%26.93M--1
Current changes in cash 191.33%24.11M-59.82%8.28M271.46%20.6M40.91%-12.01M-299.05%-20.33M131.07%10.21M-2,019.58%-32.87M-85.41%1.71M-56.03%11.73M--26.69M
Effect of exchange rate changes -----887.64%-2.28M126.47%289.63K-2,436.98%-1.09M-77.31%46.81K124.35%206.36K-80.09%91.98K296.16%462K-197.29%-235.52K--242.07K
End cash position 102.27%23.73M104.44%11.73M137.89%5.74M-642.37%-15.15M-111.19%-2.04M133.20%18.24M-80.74%7.82M5.66%40.6M42.70%38.43M--26.93M
Free cash from 87.07%35.65M-37.70%19.06M205.72%30.59M-143.48%-28.93M-162.43%-11.88M136.29%19.03M-338.22%-52.45M42.25%-11.97M45.64%-20.73M---38.13M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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