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HTGO Harvest Technology Group Ltd

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  • 0.025
  • 0.0000.00%
20min DelayNot Open Apr 2 16:00 AET
14.72MMarket Cap0.00P/E (Static)

Harvest Technology Group 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
-44.19%5.73M
157.93%10.27M
-66.94%3.98M
6,258.54%12.04M
-41.08%-195.54K
-182.45%-138.6K
-60.14%168.11K
421.74K
Revenue from customers
-69.16%3.17M
157.93%10.27M
-66.94%3.98M
17,121.14%12.04M
-46.04%69.93K
-78.34%129.58K
41.85%598.25K
--421.74K
Other cash income from operating activities
--2.56M
----
----
----
1.01%-265.46K
37.65%-268.18K
---430.14K
----
Cash paid
46.38%-10M
-48.73%-18.66M
-0.50%-12.54M
-753.92%-12.48M
10.62%-1.46M
-10.06%-1.64M
-141.22%-1.49M
-615.9K
Payments to suppliers for goods and services
46.38%-10M
-48.73%-18.66M
-0.50%-12.54M
-753.92%-12.48M
10.62%-1.46M
-10.06%-1.64M
-141.22%-1.49M
---615.9K
Direct interest paid
27.36%-353.14K
2.49%-486.11K
-1.79%-498.52K
-16,004.41%-489.74K
65.80%-3.04K
-137.73%-8.89K
---3.74K
----
Direct interest received
-2.95%5.73K
-69.78%5.9K
513.19%19.52K
126.46%3.18K
-67.51%1.41K
-77.40%4.33K
249.18%19.15K
--5.48K
Direct tax refund paid
123.26%32.19K
-10,883.49%-138.39K
99.18%-1.26K
-141.31%-152.8K
-41.54%369.92K
6,531.18%632.75K
829.51%9.54K
---1.31K
Operating cash flow
49.07%-4.59M
0.41%-9M
-739.29%-9.04M
16.41%-1.08M
-12.51%-1.29M
11.38%-1.15M
-580.35%-1.29M
---189.99K
Investing cash flow
Cash flow from continuing investing activities
90.21%-149.41K
-13.84%-1.53M
65.50%-1.34M
-3,333.38%-3.89M
-5,595.02%-113.16K
99.76%-1.99K
-177.16%-831.82K
-300.12K
Capital expenditure reported
----
----
----
----
----
96.98%-3.2K
84.74%-105.89K
---693.87K
Net PPE purchase and sale
93.97%-49.41K
-120.49%-819.89K
-319.15%-371.85K
-1,662.42%-88.71K
138.30%5.68K
97.91%-14.83K
-103,653.36%-709.67K
---684
Net business purchase and sale
----
-0.11%-750K
76.90%-749.17K
-13,025.45%-3.24M
--25.09K
----
----
--408.86K
Net investment purchase and sale
----
----
60.41%-219.3K
---553.89K
----
----
----
----
Net other investing changes
-327.20%-100K
--44.02K
----
----
-997.62%-143.93K
198.64%16.03K
-12.72%-16.26K
---14.42K
Cash from discontinued investing activities
Investing cash flow
90.21%-149.41K
-13.84%-1.53M
65.50%-1.34M
-3,333.38%-3.89M
-5,595.02%-113.16K
99.76%-1.99K
-177.16%-831.82K
---300.12K
Financing cash flow
Cash flow from continuing financing activities
-85.11%1.23M
41.70%8.27M
-58.62%5.83M
353.62%14.1M
214.12%3.11M
3,569.75%989.29K
-100.88%-28.51K
3.23M
Net issuance payments of debt
76.40%-184.72K
-743.98%-782.88K
-102.28%-92.76K
4,633.07%4.07M
---89.89K
--0
-207.21%-25.12K
--23.43K
Net common stock issuance
-80.98%1.73M
5.69%9.09M
-24.65%8.6M
257.06%11.42M
206.91%3.2M
31,357.07%1.04M
-100.10%-3.33K
--3.22M
Net other financing activities
-610.17%-313.36K
98.35%-44.13K
-91.91%-2.68M
---1.39M
----
-87,406.67%-52.5K
99.53%-60
---12.75K
Cash from discontinued financing activities
Financing cash flow
-85.11%1.23M
41.70%8.27M
-58.62%5.83M
353.62%14.1M
214.12%3.11M
3,569.75%989.29K
-100.88%-28.51K
--3.23M
Net cash flow
Beginning cash position
-33.44%4.5M
-40.24%6.76M
420.46%11.31M
365.54%2.17M
-25.25%466.64K
-77.52%624.25K
6,980.71%2.78M
--39.22K
Current changes in cash
-54.71%-3.5M
50.21%-2.27M
-149.81%-4.55M
435.52%9.13M
1,178.15%1.71M
92.65%-158.2K
-178.63%-2.15M
--2.74M
Effect of exchange rate changes
-110.25%-578
--5.64K
----
----
--126
----
----
----
Cash adjustments other than cash changes
----
----
----
----
----
--589
----
----
End cash Position
-77.94%992.02K
-33.44%4.5M
-40.24%6.76M
420.46%11.31M
365.54%2.17M
-25.25%466.64K
-77.52%624.25K
--2.78M
Free cash from
52.82%-4.64M
-4.21%-9.83M
-703.48%-9.43M
12.01%-1.17M
-14.62%-1.33M
44.81%-1.16M
-138.33%-2.11M
---884.55K
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 -44.19%5.73M157.93%10.27M-66.94%3.98M6,258.54%12.04M-41.08%-195.54K-182.45%-138.6K-60.14%168.11K421.74K
Revenue from customers -69.16%3.17M157.93%10.27M-66.94%3.98M17,121.14%12.04M-46.04%69.93K-78.34%129.58K41.85%598.25K--421.74K
Other cash income from operating activities --2.56M------------1.01%-265.46K37.65%-268.18K---430.14K----
Cash paid 46.38%-10M-48.73%-18.66M-0.50%-12.54M-753.92%-12.48M10.62%-1.46M-10.06%-1.64M-141.22%-1.49M-615.9K
Payments to suppliers for goods and services 46.38%-10M-48.73%-18.66M-0.50%-12.54M-753.92%-12.48M10.62%-1.46M-10.06%-1.64M-141.22%-1.49M---615.9K
Direct interest paid 27.36%-353.14K2.49%-486.11K-1.79%-498.52K-16,004.41%-489.74K65.80%-3.04K-137.73%-8.89K---3.74K----
Direct interest received -2.95%5.73K-69.78%5.9K513.19%19.52K126.46%3.18K-67.51%1.41K-77.40%4.33K249.18%19.15K--5.48K
Direct tax refund paid 123.26%32.19K-10,883.49%-138.39K99.18%-1.26K-141.31%-152.8K-41.54%369.92K6,531.18%632.75K829.51%9.54K---1.31K
Operating cash flow 49.07%-4.59M0.41%-9M-739.29%-9.04M16.41%-1.08M-12.51%-1.29M11.38%-1.15M-580.35%-1.29M---189.99K
Investing cash flow
Cash flow from continuing investing activities 90.21%-149.41K-13.84%-1.53M65.50%-1.34M-3,333.38%-3.89M-5,595.02%-113.16K99.76%-1.99K-177.16%-831.82K-300.12K
Capital expenditure reported --------------------96.98%-3.2K84.74%-105.89K---693.87K
Net PPE purchase and sale 93.97%-49.41K-120.49%-819.89K-319.15%-371.85K-1,662.42%-88.71K138.30%5.68K97.91%-14.83K-103,653.36%-709.67K---684
Net business purchase and sale -----0.11%-750K76.90%-749.17K-13,025.45%-3.24M--25.09K----------408.86K
Net investment purchase and sale --------60.41%-219.3K---553.89K----------------
Net other investing changes -327.20%-100K--44.02K---------997.62%-143.93K198.64%16.03K-12.72%-16.26K---14.42K
Cash from discontinued investing activities
Investing cash flow 90.21%-149.41K-13.84%-1.53M65.50%-1.34M-3,333.38%-3.89M-5,595.02%-113.16K99.76%-1.99K-177.16%-831.82K---300.12K
Financing cash flow
Cash flow from continuing financing activities -85.11%1.23M41.70%8.27M-58.62%5.83M353.62%14.1M214.12%3.11M3,569.75%989.29K-100.88%-28.51K3.23M
Net issuance payments of debt 76.40%-184.72K-743.98%-782.88K-102.28%-92.76K4,633.07%4.07M---89.89K--0-207.21%-25.12K--23.43K
Net common stock issuance -80.98%1.73M5.69%9.09M-24.65%8.6M257.06%11.42M206.91%3.2M31,357.07%1.04M-100.10%-3.33K--3.22M
Net other financing activities -610.17%-313.36K98.35%-44.13K-91.91%-2.68M---1.39M-----87,406.67%-52.5K99.53%-60---12.75K
Cash from discontinued financing activities
Financing cash flow -85.11%1.23M41.70%8.27M-58.62%5.83M353.62%14.1M214.12%3.11M3,569.75%989.29K-100.88%-28.51K--3.23M
Net cash flow
Beginning cash position -33.44%4.5M-40.24%6.76M420.46%11.31M365.54%2.17M-25.25%466.64K-77.52%624.25K6,980.71%2.78M--39.22K
Current changes in cash -54.71%-3.5M50.21%-2.27M-149.81%-4.55M435.52%9.13M1,178.15%1.71M92.65%-158.2K-178.63%-2.15M--2.74M
Effect of exchange rate changes -110.25%-578--5.64K----------126------------
Cash adjustments other than cash changes ----------------------589--------
End cash Position -77.94%992.02K-33.44%4.5M-40.24%6.76M420.46%11.31M365.54%2.17M-25.25%466.64K-77.52%624.25K--2.78M
Free cash from 52.82%-4.64M-4.21%-9.83M-703.48%-9.43M12.01%-1.17M-14.62%-1.33M44.81%-1.16M-138.33%-2.11M---884.55K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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