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OCL Objective Corp Ltd

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  • 15.240
  • +0.500+3.39%
20min DelayMarket Closed Oct 3 16:00 AET
1.45BMarket Cap47.04P/E (Static)

Objective Corp 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
17.80%137.63M
-3.87%116.83M
14.12%121.53M
18.27%106.49M
14.66%90.04M
8.52%78.53M
4.40%72.36M
30.47%69.31M
-10.40%53.13M
17.36%59.29M
Revenue from customers
16.37%137.63M
-2.68%118.27M
14.12%121.53M
18.27%106.49M
14.66%90.04M
8.52%78.53M
4.40%72.36M
30.47%69.31M
-10.40%53.13M
17.36%59.29M
Other cash income from operating activities
----
---1.44M
----
----
----
----
----
----
----
----
Cash paid
11.67%-81.16M
-6.08%-91.88M
-11.47%-86.61M
-32.73%-77.7M
-8.73%-58.54M
7.56%-53.84M
1.39%-58.24M
-10.07%-59.06M
-7.52%-53.66M
-11.80%-49.9M
Payments to suppliers for goods and services
11.67%-81.16M
-6.08%-91.88M
-11.47%-86.61M
-32.73%-77.7M
-8.73%-58.54M
7.56%-53.84M
1.39%-58.24M
-10.07%-59.06M
-7.52%-53.66M
-11.80%-49.9M
Direct dividend received
----
----
--17K
----
----
----
----
----
----
----
Direct interest paid
-33.68%-647K
-15.79%-484K
18.99%-418K
-6.39%-516K
-5.21%-485K
-9,120.00%-461K
---5K
----
----
----
Direct interest received
73.19%2.22M
864.66%1.28M
43.01%133K
-81.33%93K
12.42%498K
14.18%443K
23.96%388K
-37.27%313K
-12.76%499K
-0.35%572K
Direct tax refund paid
2.63%-2.26M
43.52%-2.32M
-12.00%-4.11M
-55.42%-3.67M
-85.53%-2.36M
60.63%-1.27M
-230.37%-3.23M
41.92%-978K
-11.60%-1.68M
-353.15%-1.51M
Operating cash flow
138.12%55.78M
-23.29%23.43M
23.66%30.54M
-15.29%24.7M
24.59%29.15M
107.53%23.4M
17.61%11.28M
659.01%9.59M
-120.29%-1.72M
37.91%8.45M
Investing cash flow
Cash flow from continuing investing activities
-1,904.62%-15.18M
83.85%-757K
75.78%-4.69M
-312.01%-19.35M
-12.96%-4.7M
-72.53%-4.16M
-134.44%-2.41M
64.12%-1.03M
-548.19%-2.87M
-2.31%-442K
Net PPE purchase and sale
-75.87%-1.01M
46.44%-572K
-0.28%-1.07M
7.31%-1.07M
-31.31%-1.15M
64.86%-875K
42.47%-2.49M
-2,430.99%-4.33M
61.31%-171K
-2.31%-442K
Net intangibles purchas and sale
---14.09M
----
----
94.83%-3K
87.58%-58K
---467K
----
----
----
----
Net business purchase and sale
53.03%-93K
94.61%-198K
80.38%-3.67M
-422.90%-18.73M
-24.21%-3.58M
---2.88M
----
----
----
----
Net investment purchase and sale
----
----
----
----
----
----
----
---23K
----
----
Net other investing changes
-7.69%12K
-75.47%13K
-87.98%53K
384.62%441K
35.82%91K
-16.25%67K
-97.59%80K
223.35%3.32M
---2.69M
----
Cash from discontinued investing activities
Investing cash flow
-1,904.62%-15.18M
83.85%-757K
75.78%-4.69M
-312.01%-19.35M
-12.96%-4.7M
-72.53%-4.16M
-134.44%-2.41M
64.12%-1.03M
-548.19%-2.87M
-2.31%-442K
Financing cash flow
Cash flow from continuing financing activities
-21.67%-17.16M
-35.37%-14.1M
-30.25%-10.42M
-4.29%-8M
-26.08%-7.67M
-50.81%-6.08M
3.54%-4.03M
-21.82%-4.18M
-33.18%-3.43M
70.33%-2.58M
Net common stock issuance
-231.69%-1.82M
-146.25%-549K
-20.60%1.19M
2,041.56%1.5M
-955.56%-77K
-97.98%9K
185.41%445K
-2,165.22%-521K
-104.49%-23K
109.04%512K
Cash dividends paid
-23.12%-12.79M
-22.82%-10.39M
-28.85%-8.46M
-17.59%-6.57M
-21.29%-5.58M
-2.79%-4.6M
-22.35%-4.48M
-7.36%-3.66M
-10.36%-3.41M
-2.18%-3.09M
Net other financing activities
19.58%-2.54M
-0.57%-3.16M
-7.41%-3.14M
-45.77%-2.93M
-34.95%-2.01M
---1.49M
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-21.67%-17.16M
-35.37%-14.1M
-30.25%-10.42M
-4.29%-8M
-26.08%-7.67M
-50.81%-6.08M
3.54%-4.03M
-21.82%-4.18M
-33.18%-3.43M
70.33%-2.58M
Net cash flow
Beginning cash position
13.68%72.52M
31.91%63.79M
-5.27%48.36M
47.73%51.05M
60.80%34.56M
27.52%21.49M
36.21%16.85M
-38.89%12.37M
35.25%20.25M
-16.84%14.97M
Current changes in cash
173.68%23.45M
-44.48%8.57M
681.83%15.44M
-115.80%-2.65M
27.58%16.79M
172.33%13.16M
10.37%4.83M
154.64%4.38M
-247.50%-8.01M
281.73%5.43M
Effect of exchange rate changes
-96.13%6K
7,850.00%155K
94.29%-2K
88.18%-35K
-218.28%-296K
52.06%-93K
-290.20%-194K
-56.60%102K
250.64%235K
-271.43%-156K
End cash Position
32.35%95.98M
13.68%72.52M
31.91%63.79M
-5.27%48.36M
47.73%51.05M
60.80%34.56M
27.52%21.49M
35.16%16.85M
-38.41%12.47M
35.25%20.25M
Free cash from
78.04%40.69M
-22.07%22.86M
24.37%29.33M
-15.56%23.58M
26.60%27.92M
151.08%22.06M
67.05%8.79M
378.84%5.26M
-123.55%-1.89M
40.61%8.01M
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 17.80%137.63M-3.87%116.83M14.12%121.53M18.27%106.49M14.66%90.04M8.52%78.53M4.40%72.36M30.47%69.31M-10.40%53.13M17.36%59.29M
Revenue from customers 16.37%137.63M-2.68%118.27M14.12%121.53M18.27%106.49M14.66%90.04M8.52%78.53M4.40%72.36M30.47%69.31M-10.40%53.13M17.36%59.29M
Other cash income from operating activities -------1.44M--------------------------------
Cash paid 11.67%-81.16M-6.08%-91.88M-11.47%-86.61M-32.73%-77.7M-8.73%-58.54M7.56%-53.84M1.39%-58.24M-10.07%-59.06M-7.52%-53.66M-11.80%-49.9M
Payments to suppliers for goods and services 11.67%-81.16M-6.08%-91.88M-11.47%-86.61M-32.73%-77.7M-8.73%-58.54M7.56%-53.84M1.39%-58.24M-10.07%-59.06M-7.52%-53.66M-11.80%-49.9M
Direct dividend received ----------17K----------------------------
Direct interest paid -33.68%-647K-15.79%-484K18.99%-418K-6.39%-516K-5.21%-485K-9,120.00%-461K---5K------------
Direct interest received 73.19%2.22M864.66%1.28M43.01%133K-81.33%93K12.42%498K14.18%443K23.96%388K-37.27%313K-12.76%499K-0.35%572K
Direct tax refund paid 2.63%-2.26M43.52%-2.32M-12.00%-4.11M-55.42%-3.67M-85.53%-2.36M60.63%-1.27M-230.37%-3.23M41.92%-978K-11.60%-1.68M-353.15%-1.51M
Operating cash flow 138.12%55.78M-23.29%23.43M23.66%30.54M-15.29%24.7M24.59%29.15M107.53%23.4M17.61%11.28M659.01%9.59M-120.29%-1.72M37.91%8.45M
Investing cash flow
Cash flow from continuing investing activities -1,904.62%-15.18M83.85%-757K75.78%-4.69M-312.01%-19.35M-12.96%-4.7M-72.53%-4.16M-134.44%-2.41M64.12%-1.03M-548.19%-2.87M-2.31%-442K
Net PPE purchase and sale -75.87%-1.01M46.44%-572K-0.28%-1.07M7.31%-1.07M-31.31%-1.15M64.86%-875K42.47%-2.49M-2,430.99%-4.33M61.31%-171K-2.31%-442K
Net intangibles purchas and sale ---14.09M--------94.83%-3K87.58%-58K---467K----------------
Net business purchase and sale 53.03%-93K94.61%-198K80.38%-3.67M-422.90%-18.73M-24.21%-3.58M---2.88M----------------
Net investment purchase and sale -------------------------------23K--------
Net other investing changes -7.69%12K-75.47%13K-87.98%53K384.62%441K35.82%91K-16.25%67K-97.59%80K223.35%3.32M---2.69M----
Cash from discontinued investing activities
Investing cash flow -1,904.62%-15.18M83.85%-757K75.78%-4.69M-312.01%-19.35M-12.96%-4.7M-72.53%-4.16M-134.44%-2.41M64.12%-1.03M-548.19%-2.87M-2.31%-442K
Financing cash flow
Cash flow from continuing financing activities -21.67%-17.16M-35.37%-14.1M-30.25%-10.42M-4.29%-8M-26.08%-7.67M-50.81%-6.08M3.54%-4.03M-21.82%-4.18M-33.18%-3.43M70.33%-2.58M
Net common stock issuance -231.69%-1.82M-146.25%-549K-20.60%1.19M2,041.56%1.5M-955.56%-77K-97.98%9K185.41%445K-2,165.22%-521K-104.49%-23K109.04%512K
Cash dividends paid -23.12%-12.79M-22.82%-10.39M-28.85%-8.46M-17.59%-6.57M-21.29%-5.58M-2.79%-4.6M-22.35%-4.48M-7.36%-3.66M-10.36%-3.41M-2.18%-3.09M
Net other financing activities 19.58%-2.54M-0.57%-3.16M-7.41%-3.14M-45.77%-2.93M-34.95%-2.01M---1.49M----------------
Cash from discontinued financing activities
Financing cash flow -21.67%-17.16M-35.37%-14.1M-30.25%-10.42M-4.29%-8M-26.08%-7.67M-50.81%-6.08M3.54%-4.03M-21.82%-4.18M-33.18%-3.43M70.33%-2.58M
Net cash flow
Beginning cash position 13.68%72.52M31.91%63.79M-5.27%48.36M47.73%51.05M60.80%34.56M27.52%21.49M36.21%16.85M-38.89%12.37M35.25%20.25M-16.84%14.97M
Current changes in cash 173.68%23.45M-44.48%8.57M681.83%15.44M-115.80%-2.65M27.58%16.79M172.33%13.16M10.37%4.83M154.64%4.38M-247.50%-8.01M281.73%5.43M
Effect of exchange rate changes -96.13%6K7,850.00%155K94.29%-2K88.18%-35K-218.28%-296K52.06%-93K-290.20%-194K-56.60%102K250.64%235K-271.43%-156K
End cash Position 32.35%95.98M13.68%72.52M31.91%63.79M-5.27%48.36M47.73%51.05M60.80%34.56M27.52%21.49M35.16%16.85M-38.41%12.47M35.25%20.25M
Free cash from 78.04%40.69M-22.07%22.86M24.37%29.33M-15.56%23.58M26.60%27.92M151.08%22.06M67.05%8.79M378.84%5.26M-123.55%-1.89M40.61%8.01M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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