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IAM Income Asset Management Group Ltd

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  • 0.070
  • -0.002-2.78%
20min DelayNot Open Jul 24 14:53 AET
23.16MMarket Cap-3181P/E (Static)

Income Asset Management 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
(FY)Jun 30, 2015
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
66.01%14.12M
107.11%8.5M
229.46%4.11M
20.73%1.25M
20.14%1.03M
-78.99%859.06K
-3.04%4.09M
37.58%4.22M
-17.43%3.06M
-41.89%3.71M
Cash income from bank and customer deposits
65.60%14.07M
107.05%8.5M
240.94%4.1M
31.86%1.2M
7.45%912.87K
-79.18%849.57K
-3.03%4.08M
37.83%4.21M
-17.49%3.05M
-41.90%3.7M
Cash income from loans
816.76%43.27K
328.70%4.72K
-97.40%1.1K
-64.52%42.29K
1,156.49%119.18K
41.36%9.49K
-10.94%6.71K
-31.02%7.53K
2.29%10.92K
-41.43%10.68K
Other cash income from operating activities
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--1
Cash paid
2.62%-15.26M
-36.38%-15.67M
-69.53%-11.49M
-11.68%-6.78M
-39.43%-6.07M
12.14%-4.35M
-5.78%-4.95M
-36.78%-4.68M
15.60%-3.42M
9.12%-4.06M
Cash paid for bank and customer deposits
6.88%-14.31M
-36.08%-15.37M
-67.23%-11.29M
-11.28%-6.75M
-39.80%-6.07M
11.97%-4.34M
-5.92%-4.93M
-37.15%-4.66M
13.38%-3.39M
10.38%-3.92M
Cash paid for interest and commission
-211.26%-954.16K
-53.62%-306.55K
-671.67%-199.55K
-1,578.07%-25.86K
87.64%-1.54K
46.73%-12.46K
17.42%-23.39K
5.11%-28.33K
78.47%-29.85K
-51.14%-138.63K
Operating cash flow
83.97%-1.15M
2.92%-7.17M
-33.52%-7.39M
-9.82%-5.53M
-44.18%-5.04M
-1,063.71%-3.49M
-141.86%-300.28K
315.95%717.34K
0.08%-332.17K
-116.58%-332.44K
Investing cash flow
Cash flow from continuing investing activities
181.98%3M
-406.97%-3.66M
-4,940.93%-721.41K
61.35%-14.31K
93.84%-37.03K
-190.65%-600.89K
71.74%-206.74K
-215.19%-731.56K
194.74%635.09K
83.65%-670.34K
Net PPE purchase and sale
49.87%-71.74K
-17.89%-143.12K
-1,028.03%-121.4K
66.15%-10.76K
87.42%-31.8K
-142.46%-252.67K
-150.64%-104.21K
-136.14%-41.58K
67.59%-17.61K
-401.18%-54.33K
Net intangibles purchas and sale
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32.14%-3.55K
93.46%-5.23K
22.03%-79.94K
42.38%-102.53K
46.08%-177.96K
53.70%-330.03K
-185.31%-712.86K
Net business purchase and sale
--2.14M
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97.13%985.64K
-0.34%500K
Net investment purchase and sale
----
-2,899.73%-3M
---100.01K
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----
-17,501.41%-512.03K
99.27%-2.91K
90.85%-396.97K
Net other investing changes
280.14%926.33K
-2.84%-514.21K
---500K
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---268.28K
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Cash from discontinued investing activities
Investing cash flow
181.98%3M
-406.97%-3.66M
-4,940.93%-721.41K
61.35%-14.31K
93.84%-37.03K
-190.65%-600.89K
71.74%-206.74K
-215.19%-731.56K
194.74%635.09K
83.65%-670.34K
Financing cash flow
Cash flow from continuing financing activities
-40.30%4.54M
-23.28%7.6M
113.98%9.9M
-52.90%4.63M
152.32%9.83M
535.70%3.89M
17,892.13%612.63K
-96.21%3.41K
-70.06%89.76K
-89.24%299.82K
Net issuance payments of debt
-77.89%-564.52K
-107.47%-317.34K
2,810.66%4.25M
---156.7K
----
-1,058.02%-548.53K
-1,491.13%-47.37K
-96.21%3.41K
-70.06%89.76K
-89.24%299.82K
Net commonstock issuance
-35.56%5.1M
39.93%7.92M
18.22%5.66M
-51.30%4.79M
121.17%9.83M
--4.44M
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Net other financing activities
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----
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--660K
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Cash from discontinued financing activities
Financing cash flow
-40.30%4.54M
-23.28%7.6M
113.98%9.9M
-52.90%4.63M
152.32%9.83M
535.70%3.89M
17,892.13%612.63K
-96.21%3.41K
-70.06%89.76K
-89.24%299.82K
Net cash flow
Beginning cash position
-52.74%2.85M
42.40%6.03M
-17.83%4.23M
1,182.70%5.15M
-33.33%401.73K
21.25%602.57K
-2.13%496.97K
341.15%507.79K
-85.93%115.1K
546.49%818.06K
Current changes in cash
297.65%6.39M
-279.96%-3.23M
295.39%1.8M
-119.34%-918.83K
2,465.72%4.75M
-290.18%-200.84K
1,076.29%105.61K
-102.75%-10.82K
155.86%392.68K
-201.65%-702.95K
Effect of exchange rate changes
-12.38%44.31K
--50.56K
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End cash position
225.67%9.28M
-52.74%2.85M
42.40%6.03M
-17.83%4.23M
1,182.70%5.15M
-33.33%401.73K
21.25%602.57K
-2.13%496.97K
341.15%507.79K
-85.93%115.1K
Free cash from
83.31%-1.22M
2.58%-7.32M
-35.36%-7.51M
-9.31%-5.55M
-32.62%-5.08M
-652.17%-3.83M
-202.21%-508.8K
173.23%497.8K
38.18%-679.81K
-163.84%-1.1M
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, 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(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities 66.01%14.12M107.11%8.5M229.46%4.11M20.73%1.25M20.14%1.03M-78.99%859.06K-3.04%4.09M37.58%4.22M-17.43%3.06M-41.89%3.71M
Cash income from bank and customer deposits 65.60%14.07M107.05%8.5M240.94%4.1M31.86%1.2M7.45%912.87K-79.18%849.57K-3.03%4.08M37.83%4.21M-17.49%3.05M-41.90%3.7M
Cash income from loans 816.76%43.27K328.70%4.72K-97.40%1.1K-64.52%42.29K1,156.49%119.18K41.36%9.49K-10.94%6.71K-31.02%7.53K2.29%10.92K-41.43%10.68K
Other cash income from operating activities --------------------------------------1
Cash paid 2.62%-15.26M-36.38%-15.67M-69.53%-11.49M-11.68%-6.78M-39.43%-6.07M12.14%-4.35M-5.78%-4.95M-36.78%-4.68M15.60%-3.42M9.12%-4.06M
Cash paid for bank and customer deposits 6.88%-14.31M-36.08%-15.37M-67.23%-11.29M-11.28%-6.75M-39.80%-6.07M11.97%-4.34M-5.92%-4.93M-37.15%-4.66M13.38%-3.39M10.38%-3.92M
Cash paid for interest and commission -211.26%-954.16K-53.62%-306.55K-671.67%-199.55K-1,578.07%-25.86K87.64%-1.54K46.73%-12.46K17.42%-23.39K5.11%-28.33K78.47%-29.85K-51.14%-138.63K
Operating cash flow 83.97%-1.15M2.92%-7.17M-33.52%-7.39M-9.82%-5.53M-44.18%-5.04M-1,063.71%-3.49M-141.86%-300.28K315.95%717.34K0.08%-332.17K-116.58%-332.44K
Investing cash flow
Cash flow from continuing investing activities 181.98%3M-406.97%-3.66M-4,940.93%-721.41K61.35%-14.31K93.84%-37.03K-190.65%-600.89K71.74%-206.74K-215.19%-731.56K194.74%635.09K83.65%-670.34K
Net PPE purchase and sale 49.87%-71.74K-17.89%-143.12K-1,028.03%-121.4K66.15%-10.76K87.42%-31.8K-142.46%-252.67K-150.64%-104.21K-136.14%-41.58K67.59%-17.61K-401.18%-54.33K
Net intangibles purchas and sale ------------32.14%-3.55K93.46%-5.23K22.03%-79.94K42.38%-102.53K46.08%-177.96K53.70%-330.03K-185.31%-712.86K
Net business purchase and sale --2.14M----------------------------97.13%985.64K-0.34%500K
Net investment purchase and sale -----2,899.73%-3M---100.01K-----------------17,501.41%-512.03K99.27%-2.91K90.85%-396.97K
Net other investing changes 280.14%926.33K-2.84%-514.21K---500K-----------268.28K----------------
Cash from discontinued investing activities
Investing cash flow 181.98%3M-406.97%-3.66M-4,940.93%-721.41K61.35%-14.31K93.84%-37.03K-190.65%-600.89K71.74%-206.74K-215.19%-731.56K194.74%635.09K83.65%-670.34K
Financing cash flow
Cash flow from continuing financing activities -40.30%4.54M-23.28%7.6M113.98%9.9M-52.90%4.63M152.32%9.83M535.70%3.89M17,892.13%612.63K-96.21%3.41K-70.06%89.76K-89.24%299.82K
Net issuance payments of debt -77.89%-564.52K-107.47%-317.34K2,810.66%4.25M---156.7K-----1,058.02%-548.53K-1,491.13%-47.37K-96.21%3.41K-70.06%89.76K-89.24%299.82K
Net commonstock issuance -35.56%5.1M39.93%7.92M18.22%5.66M-51.30%4.79M121.17%9.83M--4.44M----------------
Net other financing activities --------------------------660K------------
Cash from discontinued financing activities
Financing cash flow -40.30%4.54M-23.28%7.6M113.98%9.9M-52.90%4.63M152.32%9.83M535.70%3.89M17,892.13%612.63K-96.21%3.41K-70.06%89.76K-89.24%299.82K
Net cash flow
Beginning cash position -52.74%2.85M42.40%6.03M-17.83%4.23M1,182.70%5.15M-33.33%401.73K21.25%602.57K-2.13%496.97K341.15%507.79K-85.93%115.1K546.49%818.06K
Current changes in cash 297.65%6.39M-279.96%-3.23M295.39%1.8M-119.34%-918.83K2,465.72%4.75M-290.18%-200.84K1,076.29%105.61K-102.75%-10.82K155.86%392.68K-201.65%-702.95K
Effect of exchange rate changes -12.38%44.31K--50.56K--------------------------------
End cash position 225.67%9.28M-52.74%2.85M42.40%6.03M-17.83%4.23M1,182.70%5.15M-33.33%401.73K21.25%602.57K-2.13%496.97K341.15%507.79K-85.93%115.1K
Free cash from 83.31%-1.22M2.58%-7.32M-35.36%-7.51M-9.31%-5.55M-32.62%-5.08M-652.17%-3.83M-202.21%-508.8K173.23%497.8K38.18%-679.81K-163.84%-1.1M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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