(FY)Sep 30, 2024 | (Q4)Sep 30, 2024 | (Q3)Jul 7, 2024 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q3)Jul 9, 2023 | (Q2)Apr 16, 2023 | (Q1)Jan 22, 2023 | (FY)Sep 30, 2022 | (Q4)Sep 30, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -67.99%68.82M | -10.27%29.55M | -48.52%45.28M | 32.00%215.01M | -44.24%32.94M | 144.45%87.96M | -6.34%31.64M | 83.47%62.47M | -19.01%162.88M | 15.28%59.07M |
Net income from continuing operations | -128.05%-36.7M | 0.21%21.94M | -519.30%-122.3M | 12.99%130.83M | -52.25%21.9M | 27.61%29.17M | 240.01%26.51M | 35.61%53.25M | -30.15%115.78M | 17.78%45.86M |
Operating gains losses | 119.65%3.77M | 10.49%-4.55M | 145.94%2.17M | 27.29%-19.2M | 83.57%-5.08M | -115.60%-4.73M | -68.50%2.3M | -1,943.71%-11.69M | -158.65%-26.41M | -410.90%-30.94M |
Depreciation and amortization | -4.03%59.78M | -1.86%13.57M | -4.38%13.83M | 11.03%62.29M | -9.90%13.83M | -13.48%14.46M | 26.44%14.6M | 55.27%19.4M | 20.65%56.1M | 41.52%15.35M |
Deferred tax | 9.82%-10.81M | 96.35%-498K | -5,355.26%-7.99M | -252.59%-11.99M | -6,684.58%-13.64M | -93.99%152K | -158.81%-1.89M | 46.09%3.39M | -1.89%7.86M | -101.89%-201K |
Other non cash items | -292.08%-15.29M | -314.41%-4.06M | -759.24%-2.78M | -124.50%-3.9M | -59.50%1.9M | -93.59%422K | -122.80%-729K | -475.89%-5.49M | 262.58%15.92M | 326.92%4.68M |
Change In working capital | -395.95%-116.87M | -170.07%-7.59M | -104.03%-1.64M | 280.89%39.49M | -41.06%10.84M | 373.16%40.82M | -387.65%-11.61M | 97.59%-551K | -344.10%-21.83M | 414.99%18.39M |
-Change in receivables | 591.72%19.91M | 114.87%2.52M | 15.41%16.57M | 77.69%-4.05M | 9.43%-16.95M | 155.90%14.36M | -718.70%-39.27M | 89.92%37.81M | -457.71%-18.14M | -98.81%-18.71M |
-Change in inventory | -101.83%-25K | -66.57%237K | -113.51%-92K | 349.67%1.37M | 60.77%709K | 386.43%681K | -393.24%-217K | 155.27%194K | 213.01%304K | 2,421.05%441K |
-Change in prepaid assets | 79.11%-297K | 37.81%-4.44M | -718.73%-5.16M | 56.58%-1.42M | -50,871.43%-7.14M | -118.23%-630K | 93.55%-609K | 155.63%6.95M | -18.40%-3.28M | 99.65%-14K |
-Change in payables and accrued expense | -428.98%-150.56M | -147.79%-19.74M | -125.07%-6.89M | 539.03%45.77M | -12.55%41.31M | 151.89%27.49M | 1,484.46%32.93M | -5.46%-55.96M | -72.35%7.16M | 499.06%47.24M |
-Change in other working capital | 749.24%14.11M | 294.91%13.83M | -458.60%-6.07M | 72.42%-2.17M | 32.82%-7.1M | 71.14%-1.09M | -207.55%-4.44M | 32.41%10.45M | 76.01%-7.88M | -3,100.91%-10.56M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -67.99%68.82M | -10.27%29.55M | -48.52%45.28M | 32.00%215.01M | -44.24%32.94M | 144.45%87.96M | -6.34%31.64M | 83.47%62.47M | -19.01%162.88M | 15.28%59.07M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -264.31%-69.37M | -106.47%-1.08M | -178.91%-12.43M | 107.30%42.22M | -35.17%16.73M | 353.63%15.76M | 98.99%-5.95M | 329.40%15.68M | -2,664.53%-578.59M | 404.93%25.81M |
Net PPE purchase and sale | -92.70%-88.77M | -0.38%-18.32M | 28.62%-12.61M | -913.35%-46.07M | -195.30%-18.25M | -151.89%-17.67M | 25.85%-8.23M | 65.50%-1.93M | 82.09%-4.55M | 325.14%19.14M |
Net business purchase and sale | -77.24%19.4M | -48.37%17.23M | -99.46%179K | 114.84%85.22M | 569.13%33.38M | 4,068.08%33.43M | 100.14%808K | 36,585.42%17.61M | -31,539.63%-574.4M | 734.11%4.99M |
Net other investing changes | ---- | ---- | ---- | 751.39%3.07M | -4.48%1.6M | --0 | ---- | ---- | -86.29%360K | 16,650.00%1.68M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -264.31%-69.37M | -106.47%-1.08M | -178.91%-12.43M | 107.30%42.22M | -35.17%16.73M | 353.63%15.76M | 98.99%-5.95M | 329.40%15.68M | -2,664.53%-578.59M | 404.93%25.81M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 36.74%-131.19M | 45.26%-25.06M | 30.24%-31.07M | -143.36%-207.36M | -9.65%-45.78M | -107.25%-44.54M | -115.25%-84.46M | -164.52%-32.58M | 239.19%478.18M | 51.01%-41.75M |
Net issuance payments of debt | 70.18%-23.89M | 78.58%-1.6M | 0.82%-7.47M | -114.26%-80.11M | 0.76%-7.49M | 34.84%-7.53M | -109.90%-57.53M | -3,288.79%-7.56M | 616.94%561.94M | -3,892.59%-7.55M |
Net common stock issuance | 22.02%-70M | 49.32%-15M | 45.55%-15M | -259.80%-89.77M | -18.39%-29.6M | ---27.55M | -881,200.00%-17.62M | -30,710.20%-15M | 87.10%-24.95M | 66.93%-25M |
Cash dividends paid | 5.34%-33.97M | 4.06%-8.34M | 5.72%-8.47M | 2.97%-35.89M | 5.50%-8.69M | 3.06%-8.98M | 2.21%-9.06M | 1.11%-9.15M | 0.90%-36.99M | 2.52%-9.2M |
Net other financing activities | -108.60%-3.32M | ---117K | 71.97%-134K | 92.70%-1.59M | --0 | 28.23%-478K | 98.65%-247K | 69.91%-868K | -423.81%-21.82M | ---8K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 36.74%-131.19M | 45.26%-25.06M | 30.24%-31.07M | -143.36%-207.36M | -9.65%-45.78M | -107.25%-44.54M | -115.25%-84.46M | -164.52%-32.58M | 239.19%478.18M | 51.01%-41.75M |
Net cash flow | ||||||||||
Beginning cash position | 36.66%185.91M | -72.11%50.76M | -60.13%48.98M | 84.92%136.04M | 95.90%182.02M | 45.14%122.84M | 105.30%181.62M | 84.92%136.04M | -68.95%73.57M | -9.30%92.92M |
Current changes in cash | -364.18%-131.74M | -12.30%3.41M | -96.99%1.78M | -20.18%49.87M | -90.99%3.89M | 614.61%59.18M | -1,433.58%-58.78M | 205.93%45.58M | 138.24%62.47M | 249.36%43.13M |
End cash Position | -70.86%54.17M | -70.86%54.17M | -72.11%50.76M | 36.66%185.91M | 36.66%185.91M | 95.90%182.02M | 45.14%122.84M | 105.30%181.62M | 84.92%136.04M | 84.92%136.04M |
Free cash flow | -133.31%-46.66M | -101.04%-153K | -69.94%20.59M | 20.31%140.05M | -68.79%14.65M | 205.54%68.49M | -17.54%18.47M | 55.96%38.44M | -27.30%116.41M | 3.42%46.94M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | Unqualified Opinion | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- |
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