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PBH Pointsbet Holdings Ltd

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  • 0.950
  • -0.010-1.04%
20min DelayTrading Dec 16 12:55 AET
314.77MMarket Cap-7.14P/E (Static)

Pointsbet Holdings 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
Operating cash flow (direct method)
Cash income from operating activities
-28.51%266M
8.27%372.09M
49.48%343.67M
179.08%229.91M
140.71%82.38M
34.22M
Revenue from customers
-33.60%267.09M
22.58%402.23M
56.14%328.15M
156.46%210.17M
190.24%81.95M
--28.24M
Income from government grants
----
----
93.78%218K
-40.00%112.5K
--187.5K
----
Other cash income from operating activities
96.39%-1.09M
-297.08%-30.15M
-22.07%15.3M
7,945.47%19.63M
-95.93%243.97K
--5.99M
Cash paid
58.04%-263.72M
-16.12%-628.5M
-54.99%-541.24M
-207.12%-349.21M
-105.38%-113.7M
-55.36M
Payments to suppliers for goods and services
58.04%-263.72M
-16.12%-628.5M
-54.99%-541.24M
-207.12%-349.21M
-105.38%-113.7M
---55.36M
Direct interest paid
75.24%-256K
-20.37%-1.03M
-34.12%-859K
-33.73%-640.48K
---478.92K
----
Direct interest received
-59.81%3.43M
841.35%8.54M
13.67%907K
-46.04%797.9K
1,880.26%1.48M
--74.67K
Operating cash flow
102.19%5.46M
-26.01%-248.91M
-65.79%-197.53M
-292.91%-119.14M
-43.96%-30.32M
---21.06M
Investing cash flow
Cash flow from continuing investing activities
625.57%277.29M
43.39%-52.76M
-19.81%-93.19M
-263.60%-77.78M
-29.70%-21.39M
-16.49M
Net PPE purchase and sale
96.60%-75K
40.61%-2.21M
40.14%-3.72M
-161.56%-6.21M
-19.48%-2.37M
---1.99M
Net intangibles purchas and sale
66.74%-15.86M
43.81%-47.68M
-195.12%-84.86M
-59.61%-28.75M
-28.26%-18.01M
---14.05M
Net business purchase and sale
----
----
99.17%-254K
---30.55M
----
----
Net investment purchase and sale
----
---2.87M
----
----
----
----
Net other investing changes
29,322,400.00%293.23M
100.02%1K
64.43%-4.36M
-1,124.24%-12.27M
-117.94%-1M
---459.84K
Cash from discontinued investing activities
Investing cash flow
625.57%277.29M
43.39%-52.76M
-19.81%-93.19M
-263.60%-77.78M
-29.70%-21.39M
---16.49M
Financing cash flow
Cash flow from continuing financing activities
-9,753.25%-442.61M
-100.87%-4.49M
51.81%515.28M
187.04%339.43M
11.09%118.25M
106.44M
Net common stock issuance
-162,819.56%-441.51M
-100.05%-271K
52.01%519.1M
187.64%341.49M
11.53%118.72M
--106.44M
Net other financing activities
74.03%-1.1M
-10.47%-4.22M
-85.82%-3.82M
-339.46%-2.06M
---467.92K
----
Cash from discontinued financing activities
Financing cash flow
-9,753.25%-442.61M
-100.87%-4.49M
51.81%515.28M
187.04%339.43M
11.09%118.25M
--106.44M
Net cash flow
Beginning cash position
-59.19%212.05M
88.15%519.6M
91.33%276.16M
90.21%144.34M
906.42%75.89M
--7.54M
Current changes in cash
47.79%-159.86M
-236.34%-306.16M
57.57%224.56M
114.18%142.51M
-3.41%66.54M
--68.89M
Effect of exchange rate changes
-625.72%-10.02M
-107.31%-1.38M
276.59%18.88M
-657.96%-10.69M
453.73%1.92M
---541.75K
End cash Position
-80.11%42.18M
-59.19%212.05M
88.15%519.6M
91.33%276.16M
90.21%144.34M
--75.89M
Free cash from
96.49%-10.48M
-4.44%-298.8M
-85.65%-286.1M
-203.88%-154.11M
-36.71%-50.71M
---37.1M
Accounting Standards
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
Operating cash flow (direct method)
Cash income from operating activities -28.51%266M8.27%372.09M49.48%343.67M179.08%229.91M140.71%82.38M34.22M
Revenue from customers -33.60%267.09M22.58%402.23M56.14%328.15M156.46%210.17M190.24%81.95M--28.24M
Income from government grants --------93.78%218K-40.00%112.5K--187.5K----
Other cash income from operating activities 96.39%-1.09M-297.08%-30.15M-22.07%15.3M7,945.47%19.63M-95.93%243.97K--5.99M
Cash paid 58.04%-263.72M-16.12%-628.5M-54.99%-541.24M-207.12%-349.21M-105.38%-113.7M-55.36M
Payments to suppliers for goods and services 58.04%-263.72M-16.12%-628.5M-54.99%-541.24M-207.12%-349.21M-105.38%-113.7M---55.36M
Direct interest paid 75.24%-256K-20.37%-1.03M-34.12%-859K-33.73%-640.48K---478.92K----
Direct interest received -59.81%3.43M841.35%8.54M13.67%907K-46.04%797.9K1,880.26%1.48M--74.67K
Operating cash flow 102.19%5.46M-26.01%-248.91M-65.79%-197.53M-292.91%-119.14M-43.96%-30.32M---21.06M
Investing cash flow
Cash flow from continuing investing activities 625.57%277.29M43.39%-52.76M-19.81%-93.19M-263.60%-77.78M-29.70%-21.39M-16.49M
Net PPE purchase and sale 96.60%-75K40.61%-2.21M40.14%-3.72M-161.56%-6.21M-19.48%-2.37M---1.99M
Net intangibles purchas and sale 66.74%-15.86M43.81%-47.68M-195.12%-84.86M-59.61%-28.75M-28.26%-18.01M---14.05M
Net business purchase and sale --------99.17%-254K---30.55M--------
Net investment purchase and sale -------2.87M----------------
Net other investing changes 29,322,400.00%293.23M100.02%1K64.43%-4.36M-1,124.24%-12.27M-117.94%-1M---459.84K
Cash from discontinued investing activities
Investing cash flow 625.57%277.29M43.39%-52.76M-19.81%-93.19M-263.60%-77.78M-29.70%-21.39M---16.49M
Financing cash flow
Cash flow from continuing financing activities -9,753.25%-442.61M-100.87%-4.49M51.81%515.28M187.04%339.43M11.09%118.25M106.44M
Net common stock issuance -162,819.56%-441.51M-100.05%-271K52.01%519.1M187.64%341.49M11.53%118.72M--106.44M
Net other financing activities 74.03%-1.1M-10.47%-4.22M-85.82%-3.82M-339.46%-2.06M---467.92K----
Cash from discontinued financing activities
Financing cash flow -9,753.25%-442.61M-100.87%-4.49M51.81%515.28M187.04%339.43M11.09%118.25M--106.44M
Net cash flow
Beginning cash position -59.19%212.05M88.15%519.6M91.33%276.16M90.21%144.34M906.42%75.89M--7.54M
Current changes in cash 47.79%-159.86M-236.34%-306.16M57.57%224.56M114.18%142.51M-3.41%66.54M--68.89M
Effect of exchange rate changes -625.72%-10.02M-107.31%-1.38M276.59%18.88M-657.96%-10.69M453.73%1.92M---541.75K
End cash Position -80.11%42.18M-59.19%212.05M88.15%519.6M91.33%276.16M90.21%144.34M--75.89M
Free cash from 96.49%-10.48M-4.44%-298.8M-85.65%-286.1M-203.88%-154.11M-36.71%-50.71M---37.1M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP