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KPT Kangaroo Island Plantation Timbers Ltd

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  • 0.000
  • 0.0000.00%
20min DelayMarket Closed Jul 26 10:00 AET
0Market Cap0.00P/E (Static)

Kangaroo Island Plantation Timbers Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2013
Operating cash flow (direct method)
Cash income from operating activities
-88.25%3.97M
-6.70%33.76M
26,701.48%36.18M
-20.59%135K
75.26%170K
-63.12%97K
150.48%263K
-52.27%105K
197.30%220K
-93.88%74K
Revenue from customers
962.00%1.59M
-27.18%150K
52.59%206K
-20.59%135K
75.26%170K
-63.12%97K
150.48%263K
-52.27%105K
-43.59%220K
-67.74%390K
Income from government grants
-194.39%-1.13M
2,290.00%1.2M
--50K
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----
----
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----
Other cash income from operating activities
-89.20%3.5M
-9.78%32.41M
--35.93M
----
----
----
----
----
----
---316K
Cash paid
-10.14%-7.08M
-8.26%-6.43M
-0.58%-5.94M
4.57%-5.91M
-56.55%-6.19M
-301.01%-3.95M
-59.81%-986K
29.49%-617K
58.92%-875K
40.47%-2.13M
Payments to suppliers for goods and services
-10.14%-7.08M
-8.26%-6.43M
-0.58%-5.94M
4.57%-5.91M
-56.55%-6.19M
-301.01%-3.95M
-59.81%-986K
29.49%-617K
58.92%-875K
40.47%-2.13M
Direct interest paid
----
----
18.13%-1.18M
3.47%-1.45M
-438.49%-1.5M
---278K
----
52.17%-11K
-76.92%-23K
13.33%-13K
Direct interest received
-55.17%26K
-10.77%58K
-12.16%65K
-10.84%74K
93.02%83K
330.00%43K
-16.67%10K
50.00%12K
-79.49%8K
-91.48%39K
Direct tax refund paid
----
--43K
----
--209K
----
----
----
----
----
----
Operating cash flow
-111.28%-3.09M
-5.83%27.43M
520.00%29.12M
6.73%-6.93M
-81.67%-7.43M
-473.91%-4.09M
-39.53%-713K
23.73%-511K
67.00%-670K
-5.40%-2.03M
Investing cash flow
Cash flow from continuing investing activities
98.58%-45K
-197.19%-3.17M
77.52%-1.07M
56.23%-4.74M
81.67%-10.83M
-34,874.12%-59.12M
-78.83%170K
3,550.00%803K
112.43%22K
-111.32%-177K
Net PPE purchase and sale
135.29%1.12M
-197.19%-3.17M
77.52%-1.07M
56.61%-4.74M
81.34%-10.93M
---58.57M
----
100.55%4K
-698.90%-727K
33.09%-91K
Net intangibles purchas and sale
---1.16M
----
----
----
----
----
----
----
----
----
Net investment purchase and sale
----
----
----
----
-55.35%96K
26.47%215K
-78.72%170K
6.68%799K
970.93%749K
-105.06%-86K
Net other investing changes
----
----
----
----
----
---763K
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
98.58%-45K
-197.19%-3.17M
77.52%-1.07M
56.23%-4.74M
81.67%-10.83M
-34,874.12%-59.12M
-78.83%170K
3,550.00%803K
112.43%22K
-111.32%-177K
Financing cash flow
Cash flow from continuing financing activities
42,609.09%18.7M
99.85%-44K
-300.88%-29.05M
-23.69%14.46M
-72.28%18.95M
13,571.60%68.36M
962.07%500K
-106.12%-58K
-31.62%947K
13.43%1.39M
Net issuance payments of debt
----
----
-731.91%-29.7M
--4.7M
----
4,800.00%24.5M
962.07%500K
0.00%-58K
4.92%-58K
-221.05%-61K
Net common stock issuance
42,609.09%18.7M
-106.74%-44K
-93.31%653K
-48.50%9.76M
-56.79%18.95M
--43.86M
----
----
-30.50%1.01M
10.80%1.45M
Cash from discontinued financing activities
Financing cash flow
42,609.09%18.7M
99.85%-44K
-300.88%-29.05M
-23.69%14.46M
-72.28%18.95M
13,571.60%68.36M
962.07%500K
-106.12%-58K
-31.62%947K
13.43%1.39M
Net cash flow
Beginning cash position
284.17%32.74M
-10.41%8.52M
41.39%9.51M
11.28%6.73M
575.42%6.05M
-4.58%895K
33.24%938K
73.83%704K
-66.99%405K
233.42%1.23M
Current changes in cash
-35.71%15.57M
2,545.86%24.21M
-135.56%-990K
308.21%2.78M
-86.76%682K
12,076.74%5.15M
-118.38%-43K
-21.74%234K
136.37%299K
-195.69%-822K
End cash Position
47.55%48.3M
284.17%32.74M
-10.41%8.52M
41.39%9.51M
11.28%6.73M
575.42%6.05M
-4.58%895K
33.24%938K
73.83%704K
-66.99%405K
Free cash from
-138.75%-9.36M
-12.99%24.16M
337.57%27.77M
36.36%-11.69M
70.69%-18.37M
-8,688.50%-62.66M
-39.26%-713K
63.82%-512K
33.29%-1.42M
-2.86%-2.12M
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, 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(FY)Jun 30, 2013
Operating cash flow (direct method)
Cash income from operating activities -88.25%3.97M-6.70%33.76M26,701.48%36.18M-20.59%135K75.26%170K-63.12%97K150.48%263K-52.27%105K197.30%220K-93.88%74K
Revenue from customers 962.00%1.59M-27.18%150K52.59%206K-20.59%135K75.26%170K-63.12%97K150.48%263K-52.27%105K-43.59%220K-67.74%390K
Income from government grants -194.39%-1.13M2,290.00%1.2M--50K----------------------------
Other cash income from operating activities -89.20%3.5M-9.78%32.41M--35.93M---------------------------316K
Cash paid -10.14%-7.08M-8.26%-6.43M-0.58%-5.94M4.57%-5.91M-56.55%-6.19M-301.01%-3.95M-59.81%-986K29.49%-617K58.92%-875K40.47%-2.13M
Payments to suppliers for goods and services -10.14%-7.08M-8.26%-6.43M-0.58%-5.94M4.57%-5.91M-56.55%-6.19M-301.01%-3.95M-59.81%-986K29.49%-617K58.92%-875K40.47%-2.13M
Direct interest paid --------18.13%-1.18M3.47%-1.45M-438.49%-1.5M---278K----52.17%-11K-76.92%-23K13.33%-13K
Direct interest received -55.17%26K-10.77%58K-12.16%65K-10.84%74K93.02%83K330.00%43K-16.67%10K50.00%12K-79.49%8K-91.48%39K
Direct tax refund paid ------43K------209K------------------------
Operating cash flow -111.28%-3.09M-5.83%27.43M520.00%29.12M6.73%-6.93M-81.67%-7.43M-473.91%-4.09M-39.53%-713K23.73%-511K67.00%-670K-5.40%-2.03M
Investing cash flow
Cash flow from continuing investing activities 98.58%-45K-197.19%-3.17M77.52%-1.07M56.23%-4.74M81.67%-10.83M-34,874.12%-59.12M-78.83%170K3,550.00%803K112.43%22K-111.32%-177K
Net PPE purchase and sale 135.29%1.12M-197.19%-3.17M77.52%-1.07M56.61%-4.74M81.34%-10.93M---58.57M----100.55%4K-698.90%-727K33.09%-91K
Net intangibles purchas and sale ---1.16M------------------------------------
Net investment purchase and sale -----------------55.35%96K26.47%215K-78.72%170K6.68%799K970.93%749K-105.06%-86K
Net other investing changes -----------------------763K----------------
Cash from discontinued investing activities
Investing cash flow 98.58%-45K-197.19%-3.17M77.52%-1.07M56.23%-4.74M81.67%-10.83M-34,874.12%-59.12M-78.83%170K3,550.00%803K112.43%22K-111.32%-177K
Financing cash flow
Cash flow from continuing financing activities 42,609.09%18.7M99.85%-44K-300.88%-29.05M-23.69%14.46M-72.28%18.95M13,571.60%68.36M962.07%500K-106.12%-58K-31.62%947K13.43%1.39M
Net issuance payments of debt ---------731.91%-29.7M--4.7M----4,800.00%24.5M962.07%500K0.00%-58K4.92%-58K-221.05%-61K
Net common stock issuance 42,609.09%18.7M-106.74%-44K-93.31%653K-48.50%9.76M-56.79%18.95M--43.86M---------30.50%1.01M10.80%1.45M
Cash from discontinued financing activities
Financing cash flow 42,609.09%18.7M99.85%-44K-300.88%-29.05M-23.69%14.46M-72.28%18.95M13,571.60%68.36M962.07%500K-106.12%-58K-31.62%947K13.43%1.39M
Net cash flow
Beginning cash position 284.17%32.74M-10.41%8.52M41.39%9.51M11.28%6.73M575.42%6.05M-4.58%895K33.24%938K73.83%704K-66.99%405K233.42%1.23M
Current changes in cash -35.71%15.57M2,545.86%24.21M-135.56%-990K308.21%2.78M-86.76%682K12,076.74%5.15M-118.38%-43K-21.74%234K136.37%299K-195.69%-822K
End cash Position 47.55%48.3M284.17%32.74M-10.41%8.52M41.39%9.51M11.28%6.73M575.42%6.05M-4.58%895K33.24%938K73.83%704K-66.99%405K
Free cash from -138.75%-9.36M-12.99%24.16M337.57%27.77M36.36%-11.69M70.69%-18.37M-8,688.50%-62.66M-39.26%-713K63.82%-512K33.29%-1.42M-2.86%-2.12M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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