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JAL Jameson Resources Ltd

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  • 0.060
  • 0.0000.00%
20min DelayMarket Closed Oct 18 11:01 AET
36.64MMarket Cap-20000P/E (Static)

Jameson Resources 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
95.49%237.42K
-52.29%121.45K
743.82%254.54K
25.22%30.17K
24.09K
-80.28%127.74K
19.19%647.7K
247.87%543.42K
Other cash income from operating activities
95.49%237.42K
-52.29%121.45K
743.82%254.54K
25.22%30.17K
--24.09K
----
----
-80.28%127.74K
19.19%647.7K
247.87%543.42K
Cash paid
27.33%-1.35M
-86.03%-1.85M
-2.30%-996.66K
11.31%-974.3K
5.29%-1.1M
-24.16%-1.16M
-48.36%-934.2K
-27.51%-629.7K
45.04%-493.86K
42.91%-898.62K
Payments to suppliers for goods and services
27.33%-1.35M
-91.39%-1.85M
-2.20%-968.77K
13.71%-947.88K
5.29%-1.1M
-24.16%-1.16M
-48.36%-934.2K
-27.51%-629.7K
45.04%-493.86K
42.91%-898.62K
Other cash payments from operating activities
----
----
-5.58%-27.89K
---26.42K
----
----
----
----
----
----
Direct interest received
66.67%8.53K
826.81%5.12K
-88.91%552
-77.75%4.98K
10.26%22.37K
-45.55%20.29K
336.25%37.26K
64.42%8.54K
-72.60%5.19K
-26.64%18.96K
Operating cash flow
36.25%-1.1M
-132.96%-1.73M
21.04%-741.57K
10.73%-939.16K
7.68%-1.05M
-27.05%-1.14M
-81.78%-896.94K
-410.25%-493.42K
147.30%159.04K
75.84%-336.24K
Investing cash flow
Cash flow from continuing investing activities
-22.29%-3.63M
22.09%-2.97M
11.98%-3.81M
9.38%-4.33M
40.65%-4.78M
-353.26%-8.05M
-112.27%-1.78M
-11.05%-836.27K
68.04%-753.02K
34.20%-2.36M
Capital expenditure reported
-22.29%-3.63M
22.09%-2.97M
13.26%-3.81M
32.93%-4.39M
15.35%-6.55M
-338.54%-7.73M
-110.90%-1.76M
5.46%-836.27K
62.45%-884.54K
33.29%-2.36M
Net PPE purchase and sale
----
----
----
----
----
47.86%-5.94K
---11.39K
----
----
----
Net investment purchase and sale
----
----
----
----
----
---637.11K
----
----
----
----
Net other investing changes
----
----
----
-96.41%63.62K
433.99%1.77M
--331.89K
----
----
--131.52K
----
Cash from discontinued investing activities
Investing cash flow
-22.29%-3.63M
22.09%-2.97M
11.98%-3.81M
9.38%-4.33M
40.65%-4.78M
-353.26%-8.05M
-112.27%-1.78M
-11.05%-836.27K
68.04%-753.02K
34.20%-2.36M
Financing cash flow
Cash flow from continuing financing activities
-23.41%4.19M
46.89%5.47M
-29.56%3.72M
-8.98%5.29M
-42.61%5.81M
5,517.73%10.12M
-94.98%180.13K
3.59M
-64.38%1.88M
Net common stock issuance
-27.22%3.5M
62.52%4.81M
-34.71%2.96M
--4.53M
----
33.36%745.19K
-84.44%558.79K
--3.59M
----
-64.38%1.88M
Net other financing activities
4.41%687.76K
-13.71%658.72K
1.47%763.38K
-87.05%752.31K
-38.05%5.81M
2,575.58%9.37M
---378.66K
----
----
----
Cash from discontinued financing activities
Financing cash flow
-23.41%4.19M
46.89%5.47M
-29.56%3.72M
-8.98%5.29M
-42.61%5.81M
5,517.73%10.12M
-94.98%180.13K
--3.59M
----
-64.38%1.88M
Net cash flow
Beginning cash position
44.72%2.51M
-33.32%1.74M
-0.38%2.61M
-3.13%2.62M
56.83%2.7M
-58.86%1.72M
121.30%4.18M
-22.26%1.89M
-21.18%2.43M
7.24%3.09M
Current changes in cash
-170.07%-542.11K
193.48%773.62K
-4,431.08%-827.54K
194.72%19.11K
-102.16%-20.17K
137.47%933.77K
-210.18%-2.49M
480.78%2.26M
27.30%-593.98K
-379.81%-817.03K
Effect of exchange rate changes
4.60%3.53K
108.31%3.37K
-40.29%-40.57K
55.10%-28.92K
-244.45%-64.4K
56.57%44.58K
-11.44%28.47K
-38.88%32.15K
19.46%52.61K
152.68%44.04K
Cash adjustments other than cash changes
----
----
----
----
----
----
----
----
----
--119.32K
End cash Position
-21.42%1.98M
44.72%2.51M
-33.32%1.74M
-0.38%2.61M
-3.13%2.62M
56.83%2.7M
-58.86%1.72M
121.30%4.18M
-22.26%1.89M
-21.18%2.43M
Free cash from
-0.75%-4.73M
-3.18%-4.7M
14.63%-4.55M
29.86%-5.33M
14.42%-7.6M
-232.34%-8.88M
-100.95%-2.67M
-83.28%-1.33M
73.05%-725.5K
45.86%-2.69M
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 95.49%237.42K-52.29%121.45K743.82%254.54K25.22%30.17K24.09K-80.28%127.74K19.19%647.7K247.87%543.42K
Other cash income from operating activities 95.49%237.42K-52.29%121.45K743.82%254.54K25.22%30.17K--24.09K---------80.28%127.74K19.19%647.7K247.87%543.42K
Cash paid 27.33%-1.35M-86.03%-1.85M-2.30%-996.66K11.31%-974.3K5.29%-1.1M-24.16%-1.16M-48.36%-934.2K-27.51%-629.7K45.04%-493.86K42.91%-898.62K
Payments to suppliers for goods and services 27.33%-1.35M-91.39%-1.85M-2.20%-968.77K13.71%-947.88K5.29%-1.1M-24.16%-1.16M-48.36%-934.2K-27.51%-629.7K45.04%-493.86K42.91%-898.62K
Other cash payments from operating activities ---------5.58%-27.89K---26.42K------------------------
Direct interest received 66.67%8.53K826.81%5.12K-88.91%552-77.75%4.98K10.26%22.37K-45.55%20.29K336.25%37.26K64.42%8.54K-72.60%5.19K-26.64%18.96K
Operating cash flow 36.25%-1.1M-132.96%-1.73M21.04%-741.57K10.73%-939.16K7.68%-1.05M-27.05%-1.14M-81.78%-896.94K-410.25%-493.42K147.30%159.04K75.84%-336.24K
Investing cash flow
Cash flow from continuing investing activities -22.29%-3.63M22.09%-2.97M11.98%-3.81M9.38%-4.33M40.65%-4.78M-353.26%-8.05M-112.27%-1.78M-11.05%-836.27K68.04%-753.02K34.20%-2.36M
Capital expenditure reported -22.29%-3.63M22.09%-2.97M13.26%-3.81M32.93%-4.39M15.35%-6.55M-338.54%-7.73M-110.90%-1.76M5.46%-836.27K62.45%-884.54K33.29%-2.36M
Net PPE purchase and sale --------------------47.86%-5.94K---11.39K------------
Net investment purchase and sale -----------------------637.11K----------------
Net other investing changes -------------96.41%63.62K433.99%1.77M--331.89K----------131.52K----
Cash from discontinued investing activities
Investing cash flow -22.29%-3.63M22.09%-2.97M11.98%-3.81M9.38%-4.33M40.65%-4.78M-353.26%-8.05M-112.27%-1.78M-11.05%-836.27K68.04%-753.02K34.20%-2.36M
Financing cash flow
Cash flow from continuing financing activities -23.41%4.19M46.89%5.47M-29.56%3.72M-8.98%5.29M-42.61%5.81M5,517.73%10.12M-94.98%180.13K3.59M-64.38%1.88M
Net common stock issuance -27.22%3.5M62.52%4.81M-34.71%2.96M--4.53M----33.36%745.19K-84.44%558.79K--3.59M-----64.38%1.88M
Net other financing activities 4.41%687.76K-13.71%658.72K1.47%763.38K-87.05%752.31K-38.05%5.81M2,575.58%9.37M---378.66K------------
Cash from discontinued financing activities
Financing cash flow -23.41%4.19M46.89%5.47M-29.56%3.72M-8.98%5.29M-42.61%5.81M5,517.73%10.12M-94.98%180.13K--3.59M-----64.38%1.88M
Net cash flow
Beginning cash position 44.72%2.51M-33.32%1.74M-0.38%2.61M-3.13%2.62M56.83%2.7M-58.86%1.72M121.30%4.18M-22.26%1.89M-21.18%2.43M7.24%3.09M
Current changes in cash -170.07%-542.11K193.48%773.62K-4,431.08%-827.54K194.72%19.11K-102.16%-20.17K137.47%933.77K-210.18%-2.49M480.78%2.26M27.30%-593.98K-379.81%-817.03K
Effect of exchange rate changes 4.60%3.53K108.31%3.37K-40.29%-40.57K55.10%-28.92K-244.45%-64.4K56.57%44.58K-11.44%28.47K-38.88%32.15K19.46%52.61K152.68%44.04K
Cash adjustments other than cash changes --------------------------------------119.32K
End cash Position -21.42%1.98M44.72%2.51M-33.32%1.74M-0.38%2.61M-3.13%2.62M56.83%2.7M-58.86%1.72M121.30%4.18M-22.26%1.89M-21.18%2.43M
Free cash from -0.75%-4.73M-3.18%-4.7M14.63%-4.55M29.86%-5.33M14.42%-7.6M-232.34%-8.88M-100.95%-2.67M-83.28%-1.33M73.05%-725.5K45.86%-2.69M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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