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IPT Impact Minerals Ltd

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  • 0.012
  • 0.0000.00%
20min DelayMarket Closed Oct 18 15:50 AET
36.71MMarket Cap-6000P/E (Static)

Impact Minerals 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
-69.89%444.79K
438.11%1.48M
45.50%274.53K
-42.21%188.67K
-75.94%326.49K
5,246.40%1.36M
-97.64%25.38K
-10.91%1.07M
1.38%1.21M
64.21%1.19M
Other cash income from operating activities
-69.89%444.79K
438.11%1.48M
45.50%274.53K
-42.21%188.67K
-75.94%326.49K
5,246.40%1.36M
-97.64%25.38K
-10.91%1.07M
1.38%1.21M
64.21%1.19M
Cash paid
-37.08%-1.93M
-38.10%-1.41M
0.91%-1.02M
-29.55%-1.03M
22.92%-792.81K
-6.13%-1.03M
7.72%-969.17K
26.52%-1.05M
63.87%-1.43M
27.66%-3.96M
Payments to suppliers for goods and services
-37.08%-1.93M
-38.10%-1.41M
0.91%-1.02M
-29.55%-1.03M
22.92%-792.81K
-6.13%-1.03M
7.72%-969.17K
26.52%-1.05M
-15.40%-1.43M
55.70%-1.24M
Other cash payments from operating activities
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-1.68%-2.72M
Direct interest paid
---36.73K
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Direct interest received
68.08%116.2K
1,630.11%69.14K
-80.59%4K
13.93%20.59K
-61.86%18.07K
-29.55%47.39K
180.24%67.26K
-51.81%24K
232.76%49.8K
-55.65%14.97K
Operating cash flow
-1,095.42%-1.4M
119.06%140.88K
9.61%-739.24K
-82.44%-817.8K
-219.27%-448.26K
142.88%375.85K
-1,943.69%-876.53K
127.28%47.54K
93.67%-174.26K
41.58%-2.75M
Investing cash flow
Cash flow from continuing investing activities
-3.47%-3.34M
9.19%-3.22M
28.59%-3.55M
-343.95%-4.97M
40.67%-1.12M
46.16%-1.89M
-15.17%-3.51M
3.89%-3.04M
-3.17M
Capital expenditure reported
-2.25%-3.32M
6.71%-3.25M
27.99%-3.49M
-298.54%-4.84M
52.97%-1.21M
26.13%-2.58M
-15.03%-3.5M
4.00%-3.04M
---3.17M
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Net PPE purchase and sale
-139.09%-10.9K
-85.37%27.9K
245.99%190.65K
-237.72%-130.59K
-61.68%94.82K
2,852.38%247.44K
-115.74%-8.99K
-319.64%-4.17K
---993
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Net business purchase and sale
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---255K
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Net investment purchase and sale
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--422.58K
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Net other investing changes
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--25.22K
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Cash from discontinued investing activities
Investing cash flow
-3.47%-3.34M
9.19%-3.22M
28.59%-3.55M
-343.95%-4.97M
40.67%-1.12M
46.16%-1.89M
-15.17%-3.51M
3.89%-3.04M
---3.17M
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Financing cash flow
Cash flow from continuing financing activities
-12.24%3.47M
-15.65%3.96M
-30.76%4.69M
239.20%6.77M
2M
508.04%5.98M
-85.32%983.23K
160.34%6.7M
-12.69%2.57M
Net issuance payments of debt
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--2M
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Net common stock issuance
-11.08%3.52M
-15.65%3.96M
-30.76%4.69M
239.20%6.77M
--2M
----
508.04%5.98M
-79.08%983.23K
82.62%4.7M
-12.69%2.57M
Net other financing activities
---45.77K
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Cash from discontinued financing activities
Financing cash flow
-12.24%3.47M
-15.65%3.96M
-30.76%4.69M
239.20%6.77M
--2M
----
508.04%5.98M
-85.32%983.23K
160.34%6.7M
-12.69%2.57M
Net cash flow
Beginning cash position
22.87%4.69M
11.72%3.82M
40.48%3.42M
21.41%2.43M
-43.01%2M
83.29%3.51M
-51.22%1.92M
587.08%3.93M
-23.83%571.98K
-70.14%750.91K
Current changes in cash
-245.13%-1.27M
118.01%872.74K
-59.33%400.31K
129.56%984.35K
128.37%428.8K
-194.65%-1.51M
179.33%1.6M
-159.94%-2.01M
1,976.73%3.36M
89.86%-178.93K
End cash Position
-27.01%3.42M
22.87%4.69M
11.72%3.82M
40.48%3.42M
21.41%2.43M
-43.01%2M
83.29%3.51M
-51.22%1.92M
587.08%3.93M
-23.83%571.98K
Free cash from
-51.23%-4.74M
26.19%-3.13M
26.68%-4.24M
-247.05%-5.79M
27.48%-1.67M
47.51%-2.3M
-46.25%-4.38M
10.33%-3M
-21.40%-3.34M
41.58%-2.75M
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 -69.89%444.79K438.11%1.48M45.50%274.53K-42.21%188.67K-75.94%326.49K5,246.40%1.36M-97.64%25.38K-10.91%1.07M1.38%1.21M64.21%1.19M
Other cash income from operating activities -69.89%444.79K438.11%1.48M45.50%274.53K-42.21%188.67K-75.94%326.49K5,246.40%1.36M-97.64%25.38K-10.91%1.07M1.38%1.21M64.21%1.19M
Cash paid -37.08%-1.93M-38.10%-1.41M0.91%-1.02M-29.55%-1.03M22.92%-792.81K-6.13%-1.03M7.72%-969.17K26.52%-1.05M63.87%-1.43M27.66%-3.96M
Payments to suppliers for goods and services -37.08%-1.93M-38.10%-1.41M0.91%-1.02M-29.55%-1.03M22.92%-792.81K-6.13%-1.03M7.72%-969.17K26.52%-1.05M-15.40%-1.43M55.70%-1.24M
Other cash payments from operating activities -------------------------------------1.68%-2.72M
Direct interest paid ---36.73K------------------------------------
Direct interest received 68.08%116.2K1,630.11%69.14K-80.59%4K13.93%20.59K-61.86%18.07K-29.55%47.39K180.24%67.26K-51.81%24K232.76%49.8K-55.65%14.97K
Operating cash flow -1,095.42%-1.4M119.06%140.88K9.61%-739.24K-82.44%-817.8K-219.27%-448.26K142.88%375.85K-1,943.69%-876.53K127.28%47.54K93.67%-174.26K41.58%-2.75M
Investing cash flow
Cash flow from continuing investing activities -3.47%-3.34M9.19%-3.22M28.59%-3.55M-343.95%-4.97M40.67%-1.12M46.16%-1.89M-15.17%-3.51M3.89%-3.04M-3.17M
Capital expenditure reported -2.25%-3.32M6.71%-3.25M27.99%-3.49M-298.54%-4.84M52.97%-1.21M26.13%-2.58M-15.03%-3.5M4.00%-3.04M---3.17M----
Net PPE purchase and sale -139.09%-10.9K-85.37%27.9K245.99%190.65K-237.72%-130.59K-61.68%94.82K2,852.38%247.44K-115.74%-8.99K-319.64%-4.17K---993----
Net business purchase and sale -----------255K----------------------------
Net investment purchase and sale ----------------------422.58K----------------
Net other investing changes ----------------------25.22K----------------
Cash from discontinued investing activities
Investing cash flow -3.47%-3.34M9.19%-3.22M28.59%-3.55M-343.95%-4.97M40.67%-1.12M46.16%-1.89M-15.17%-3.51M3.89%-3.04M---3.17M----
Financing cash flow
Cash flow from continuing financing activities -12.24%3.47M-15.65%3.96M-30.76%4.69M239.20%6.77M2M508.04%5.98M-85.32%983.23K160.34%6.7M-12.69%2.57M
Net issuance payments of debt ----------------------------------2M----
Net common stock issuance -11.08%3.52M-15.65%3.96M-30.76%4.69M239.20%6.77M--2M----508.04%5.98M-79.08%983.23K82.62%4.7M-12.69%2.57M
Net other financing activities ---45.77K------------------------------------
Cash from discontinued financing activities
Financing cash flow -12.24%3.47M-15.65%3.96M-30.76%4.69M239.20%6.77M--2M----508.04%5.98M-85.32%983.23K160.34%6.7M-12.69%2.57M
Net cash flow
Beginning cash position 22.87%4.69M11.72%3.82M40.48%3.42M21.41%2.43M-43.01%2M83.29%3.51M-51.22%1.92M587.08%3.93M-23.83%571.98K-70.14%750.91K
Current changes in cash -245.13%-1.27M118.01%872.74K-59.33%400.31K129.56%984.35K128.37%428.8K-194.65%-1.51M179.33%1.6M-159.94%-2.01M1,976.73%3.36M89.86%-178.93K
End cash Position -27.01%3.42M22.87%4.69M11.72%3.82M40.48%3.42M21.41%2.43M-43.01%2M83.29%3.51M-51.22%1.92M587.08%3.93M-23.83%571.98K
Free cash from -51.23%-4.74M26.19%-3.13M26.68%-4.24M-247.05%-5.79M27.48%-1.67M47.51%-2.3M-46.25%-4.38M10.33%-3M-21.40%-3.34M41.58%-2.75M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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