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KKO Kinetiko Energy Ltd

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  • 0.098
  • 0.0000.00%
20min DelayMarket Closed Oct 17 10:04 AET
140.39MMarket Cap-24500P/E (Static)

Kinetiko Energy 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
92.59%-14.46K
31.08%-195.18K
-283.2K
Other cash income from operating activities
92.59%-14.46K
31.08%-195.18K
---283.2K
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----
----
----
----
----
Cash paid
-5.19%-3.93M
-11.55%-3.74M
-71.59%-3.35M
-15.13%-1.95M
-51.85%-1.7M
-131.57%-1.12M
36.68%-482.52K
-102.77%-762.01K
35.16%-375.8K
64.27%-579.62K
Payments to suppliers for goods and services
-17.92%-2.45M
-100.03%-2.08M
21.61%-1.04M
-7.38%-1.33M
-10.46%-1.23M
-131.57%-1.12M
36.68%-482.52K
-102.77%-762.01K
35.16%-375.8K
64.27%-579.62K
Other cash payments from operating activities
10.73%-1.48M
28.19%-1.66M
-268.22%-2.31M
-35.83%-628.19K
---462.49K
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----
----
----
Direct interest paid
-150.20%-13.47K
-161.77%-5.38K
79.85%-2.06K
-712.91%-10.2K
91.98%-1.26K
-506.75%-15.65K
64.65%-2.58K
-257.12%-7.3K
93.23%-2.04K
-527.92%-30.18K
Direct interest received
239.30%259.46K
10,550.56%76.47K
335.15%718
-94.18%165
-72.94%2.84K
-7.26%10.48K
1.32%11.3K
-11.52%11.16K
-32.31%12.61K
-40.34%18.63K
Direct tax refund paid
---50.15K
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----
----
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Operating cash flow
2.88%-3.75M
-6.23%-3.86M
-85.20%-3.64M
-15.83%-1.96M
-51.01%-1.7M
-136.93%-1.12M
37.51%-473.8K
-107.58%-758.15K
38.22%-365.24K
54.69%-591.16K
Investing cash flow
Cash flow from continuing investing activities
-133.07%-4.03M
-39.06%-1.73M
-430.66%-1.24M
28.05%-234.53K
-325.95K
-14.77%-541.02K
-42.92%-471.41K
74.00%-329.83K
Capital expenditure reported
----
----
----
----
----
----
----
-15.44%-541.02K
-42.34%-468.67K
85.59%-329.26K
Net PPE purchase and sale
72.77%-23.21K
55.77%-85.23K
-3,604.77%-192.69K
---5.2K
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----
----
----
-381.75%-2.75K
99.53%-570
Net business purchase and sale
-119.32%-3.55M
---1.62M
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----
----
----
----
----
----
----
Net other investing changes
-1,738.14%-456.19K
97.64%-24.82K
-358.68%-1.05M
29.64%-229.33K
---325.95K
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----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-133.07%-4.03M
-39.06%-1.73M
-430.66%-1.24M
28.05%-234.53K
---325.95K
----
----
-14.77%-541.02K
-42.92%-471.41K
74.00%-329.83K
Financing cash flow
Cash flow from continuing financing activities
46.48%11.44M
29.30%7.81M
373.87%6.04M
-58.34%1.27M
156.46%3.06M
194.47%1.19M
-66.11%405K
56.16%1.2M
39.14%765.28K
-65.47%550K
Net issuance payments of debt
150.00%125K
-200.00%-250K
--250K
----
151.14%334.02K
-67.16%133K
575.00%405K
-70.00%60K
-63.64%200K
--550K
Net common stock issuance
40.39%11.31M
39.21%8.06M
354.25%5.79M
-53.23%1.27M
157.13%2.72M
--1.06M
----
114.89%1.13M
--527.28K
----
Net other financing activities
----
----
----
----
----
----
----
-94.74%2K
--38K
----
Cash from discontinued financing activities
Financing cash flow
46.48%11.44M
29.30%7.81M
373.87%6.04M
-58.34%1.27M
156.46%3.06M
194.47%1.19M
-66.11%405K
56.16%1.2M
39.14%765.28K
-65.47%550K
Net cash flow
Beginning cash position
164.22%3.56M
606.18%1.35M
-82.88%190.86K
1,341.50%1.11M
958.93%77.33K
-90.40%7.3K
-57.76%76.1K
-28.37%180.17K
-54.16%251.53K
-65.70%548.68K
Current changes in cash
64.94%3.65M
91.31%2.21M
225.22%1.16M
-189.06%-923.91K
1,381.39%1.04M
201.79%70.03K
33.89%-68.8K
-45.83%-104.07K
80.76%-71.36K
62.17%-371K
Effect of exchange rate changes
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204.89%73.85K
End cash Position
102.51%7.21M
164.22%3.56M
606.18%1.35M
-82.88%190.86K
1,341.50%1.11M
958.93%77.33K
-90.40%7.3K
-57.76%76.1K
-28.37%180.17K
-54.16%251.53K
Free cash from
5.50%-3.78M
-4.32%-3.99M
-94.50%-3.83M
-16.14%-1.97M
-51.01%-1.7M
-136.93%-1.12M
63.53%-473.8K
-55.28%-1.3M
9.16%-836.65K
75.19%-921K
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 92.59%-14.46K31.08%-195.18K-283.2K
Other cash income from operating activities 92.59%-14.46K31.08%-195.18K---283.2K----------------------------
Cash paid -5.19%-3.93M-11.55%-3.74M-71.59%-3.35M-15.13%-1.95M-51.85%-1.7M-131.57%-1.12M36.68%-482.52K-102.77%-762.01K35.16%-375.8K64.27%-579.62K
Payments to suppliers for goods and services -17.92%-2.45M-100.03%-2.08M21.61%-1.04M-7.38%-1.33M-10.46%-1.23M-131.57%-1.12M36.68%-482.52K-102.77%-762.01K35.16%-375.8K64.27%-579.62K
Other cash payments from operating activities 10.73%-1.48M28.19%-1.66M-268.22%-2.31M-35.83%-628.19K---462.49K--------------------
Direct interest paid -150.20%-13.47K-161.77%-5.38K79.85%-2.06K-712.91%-10.2K91.98%-1.26K-506.75%-15.65K64.65%-2.58K-257.12%-7.3K93.23%-2.04K-527.92%-30.18K
Direct interest received 239.30%259.46K10,550.56%76.47K335.15%718-94.18%165-72.94%2.84K-7.26%10.48K1.32%11.3K-11.52%11.16K-32.31%12.61K-40.34%18.63K
Direct tax refund paid ---50.15K------------------------------------
Operating cash flow 2.88%-3.75M-6.23%-3.86M-85.20%-3.64M-15.83%-1.96M-51.01%-1.7M-136.93%-1.12M37.51%-473.8K-107.58%-758.15K38.22%-365.24K54.69%-591.16K
Investing cash flow
Cash flow from continuing investing activities -133.07%-4.03M-39.06%-1.73M-430.66%-1.24M28.05%-234.53K-325.95K-14.77%-541.02K-42.92%-471.41K74.00%-329.83K
Capital expenditure reported -----------------------------15.44%-541.02K-42.34%-468.67K85.59%-329.26K
Net PPE purchase and sale 72.77%-23.21K55.77%-85.23K-3,604.77%-192.69K---5.2K-----------------381.75%-2.75K99.53%-570
Net business purchase and sale -119.32%-3.55M---1.62M--------------------------------
Net other investing changes -1,738.14%-456.19K97.64%-24.82K-358.68%-1.05M29.64%-229.33K---325.95K--------------------
Cash from discontinued investing activities
Investing cash flow -133.07%-4.03M-39.06%-1.73M-430.66%-1.24M28.05%-234.53K---325.95K---------14.77%-541.02K-42.92%-471.41K74.00%-329.83K
Financing cash flow
Cash flow from continuing financing activities 46.48%11.44M29.30%7.81M373.87%6.04M-58.34%1.27M156.46%3.06M194.47%1.19M-66.11%405K56.16%1.2M39.14%765.28K-65.47%550K
Net issuance payments of debt 150.00%125K-200.00%-250K--250K----151.14%334.02K-67.16%133K575.00%405K-70.00%60K-63.64%200K--550K
Net common stock issuance 40.39%11.31M39.21%8.06M354.25%5.79M-53.23%1.27M157.13%2.72M--1.06M----114.89%1.13M--527.28K----
Net other financing activities -----------------------------94.74%2K--38K----
Cash from discontinued financing activities
Financing cash flow 46.48%11.44M29.30%7.81M373.87%6.04M-58.34%1.27M156.46%3.06M194.47%1.19M-66.11%405K56.16%1.2M39.14%765.28K-65.47%550K
Net cash flow
Beginning cash position 164.22%3.56M606.18%1.35M-82.88%190.86K1,341.50%1.11M958.93%77.33K-90.40%7.3K-57.76%76.1K-28.37%180.17K-54.16%251.53K-65.70%548.68K
Current changes in cash 64.94%3.65M91.31%2.21M225.22%1.16M-189.06%-923.91K1,381.39%1.04M201.79%70.03K33.89%-68.8K-45.83%-104.07K80.76%-71.36K62.17%-371K
Effect of exchange rate changes ------------------------------------204.89%73.85K
End cash Position 102.51%7.21M164.22%3.56M606.18%1.35M-82.88%190.86K1,341.50%1.11M958.93%77.33K-90.40%7.3K-57.76%76.1K-28.37%180.17K-54.16%251.53K
Free cash from 5.50%-3.78M-4.32%-3.99M-94.50%-3.83M-16.14%-1.97M-51.01%-1.7M-136.93%-1.12M63.53%-473.8K-55.28%-1.3M9.16%-836.65K75.19%-921K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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Price Target

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