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PNN Power Minerals Ltd

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  • 0.100
  • 0.0000.00%
20min DelayMarket Closed Nov 4 12:01 AET
11.01MMarket Cap-2272P/E (Static)

Power Minerals Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
-67.78%20.47K
-62.37%63.52K
317.48%168.8K
40.43K
-102.79%-1.67K
-102.50%-824
-87.49%32.99K
-75.83%263.61K
9.80%1.09M
Revenue from customers
-67.78%20.47K
-11.97%63.52K
--72.16K
----
----
358.37%2.13K
-102.50%-824
-87.49%32.99K
-75.83%263.61K
9.80%1.09M
Other cash income from operating activities
----
----
139.00%96.63K
--40.43K
----
---3.8K
----
----
----
----
Cash paid
-104.17%-2.37M
-8.15%-1.16M
-45.94%-1.07M
33.63%-735.38K
26.89%-1.11M
-215.54%-1.52M
54.20%-480.31K
27.72%-1.05M
-20.72%-1.45M
26.41%-1.2M
Payments to suppliers for goods and services
-104.17%-2.37M
-8.15%-1.16M
-45.94%-1.07M
33.63%-735.38K
26.89%-1.11M
-215.54%-1.52M
54.20%-480.31K
27.72%-1.05M
-20.72%-1.45M
26.41%-1.2M
Direct tax refund paid
----
----
----
----
----
----
----
----
-200.00%-75K
314.69%75K
Operating cash flow
-114.13%-2.35M
-21.31%-1.1M
-30.15%-904.44K
37.28%-694.95K
26.97%-1.11M
-215.35%-1.52M
52.63%-481.13K
19.54%-1.02M
-3,371.90%-1.26M
94.15%-36.36K
Investing cash flow
Cash flow from continuing investing activities
-77.09%-4.28M
-348.06%-2.41M
-15.75%-538.87K
36.40%-465.55K
77.93%-731.98K
-157.70%-3.32M
-208.71%-1.29M
-133.72%-416.92K
188.11%1.24M
-74.95%-1.4M
Capital expenditure reported
-96.85%-4.52M
---2.3M
----
34.52%-480.02K
78.33%-733.03K
-153.70%-3.38M
-60.14%-1.33M
27.88%-832.81K
25.05%-1.15M
11.18%-1.54M
Net PPE purchase and sale
96.40%-4.28K
78.00%-118.75K
-4,409.01%-539.79K
4,655.27%12.53K
-100.68%-275
36.19%40.66K
-23.71%29.86K
-98.34%39.13K
1,903.82%2.36M
341.42%117.54K
Interest received (cash flow from investment activities)
1,976.75%51.44K
168.36%2.48K
-52.45%923
46.60%1.94K
-94.90%1.32K
55.20%25.95K
13.80%16.72K
-59.21%14.69K
82.18%36.02K
-64.62%19.77K
Net other investing changes
--201.18K
----
----
----
----
----
----
--362.06K
----
----
Cash from discontinued investing activities
Investing cash flow
-77.09%-4.28M
-348.06%-2.41M
-15.75%-538.87K
36.40%-465.55K
77.93%-731.98K
-157.70%-3.32M
-208.71%-1.29M
-133.72%-416.92K
188.11%1.24M
-74.95%-1.4M
Financing cash flow
Cash flow from continuing financing activities
31.36%5.4M
-3.78%4.11M
988.17%4.28M
-83.65%392.88K
10.60%2.4M
-50.22%2.17M
628.55%4.36M
-0.13%599.13K
-48.67%599.91K
72.82%1.17M
Net issuance payments of debt
----
----
30.56%-50K
-144.44%-72K
-58.55%162K
--390.83K
----
----
-200.00%-200K
--200K
Net common stock issuance
31.10%5.43M
-4.63%4.14M
785.72%4.34M
-78.13%490.15K
25.76%2.24M
-59.17%1.78M
628.55%4.36M
-25.10%599.13K
-17.42%799.91K
43.24%968.63K
Interest paid (cash flow from financing activities)
----
----
-137.87%-2.12K
---890
----
----
----
----
----
----
Net other financing activities
9.30%-24.29K
-90.79%-26.78K
42.43%-14.04K
---24.38K
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
31.36%5.4M
-3.78%4.11M
988.17%4.28M
-83.65%392.88K
10.60%2.4M
-50.22%2.17M
628.55%4.36M
-0.13%599.13K
-48.67%599.91K
72.82%1.17M
Net cash flow
Beginning cash position
20.42%3.59M
1,912.96%2.98M
-83.83%148.03K
160.07%915.66K
-88.31%352.08K
624.78%3.01M
-66.72%415.47K
85.12%1.25M
-28.68%674.37K
-44.17%945.49K
Current changes in cash
-303.03%-1.22M
-78.75%601.74K
468.91%2.83M
-236.24%-767.62K
121.17%563.44K
-202.48%-2.66M
411.52%2.6M
-245.22%-833.57K
311.72%574.01K
63.75%-271.12K
Effect of exchange rate changes
-8.83%6.1K
--6.69K
----
----
-92.74%138
288.49%1.9K
-254.60%-1.01K
--652
----
----
End cash Position
-33.88%2.37M
20.42%3.59M
1,912.96%2.98M
-83.83%148.03K
160.07%915.66K
-88.31%352.08K
624.78%3.01M
-66.72%415.47K
85.12%1.25M
-28.68%674.37K
Free cash from
-95.72%-6.88M
-143.32%-3.51M
-22.92%-1.44M
36.19%-1.17M
62.46%-1.84M
-169.95%-4.9M
1.72%-1.82M
23.52%-1.85M
-53.27%-2.42M
33.08%-1.58M
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, 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(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities -67.78%20.47K-62.37%63.52K317.48%168.8K40.43K-102.79%-1.67K-102.50%-824-87.49%32.99K-75.83%263.61K9.80%1.09M
Revenue from customers -67.78%20.47K-11.97%63.52K--72.16K--------358.37%2.13K-102.50%-824-87.49%32.99K-75.83%263.61K9.80%1.09M
Other cash income from operating activities --------139.00%96.63K--40.43K-------3.8K----------------
Cash paid -104.17%-2.37M-8.15%-1.16M-45.94%-1.07M33.63%-735.38K26.89%-1.11M-215.54%-1.52M54.20%-480.31K27.72%-1.05M-20.72%-1.45M26.41%-1.2M
Payments to suppliers for goods and services -104.17%-2.37M-8.15%-1.16M-45.94%-1.07M33.63%-735.38K26.89%-1.11M-215.54%-1.52M54.20%-480.31K27.72%-1.05M-20.72%-1.45M26.41%-1.2M
Direct tax refund paid ---------------------------------200.00%-75K314.69%75K
Operating cash flow -114.13%-2.35M-21.31%-1.1M-30.15%-904.44K37.28%-694.95K26.97%-1.11M-215.35%-1.52M52.63%-481.13K19.54%-1.02M-3,371.90%-1.26M94.15%-36.36K
Investing cash flow
Cash flow from continuing investing activities -77.09%-4.28M-348.06%-2.41M-15.75%-538.87K36.40%-465.55K77.93%-731.98K-157.70%-3.32M-208.71%-1.29M-133.72%-416.92K188.11%1.24M-74.95%-1.4M
Capital expenditure reported -96.85%-4.52M---2.3M----34.52%-480.02K78.33%-733.03K-153.70%-3.38M-60.14%-1.33M27.88%-832.81K25.05%-1.15M11.18%-1.54M
Net PPE purchase and sale 96.40%-4.28K78.00%-118.75K-4,409.01%-539.79K4,655.27%12.53K-100.68%-27536.19%40.66K-23.71%29.86K-98.34%39.13K1,903.82%2.36M341.42%117.54K
Interest received (cash flow from investment activities) 1,976.75%51.44K168.36%2.48K-52.45%92346.60%1.94K-94.90%1.32K55.20%25.95K13.80%16.72K-59.21%14.69K82.18%36.02K-64.62%19.77K
Net other investing changes --201.18K--------------------------362.06K--------
Cash from discontinued investing activities
Investing cash flow -77.09%-4.28M-348.06%-2.41M-15.75%-538.87K36.40%-465.55K77.93%-731.98K-157.70%-3.32M-208.71%-1.29M-133.72%-416.92K188.11%1.24M-74.95%-1.4M
Financing cash flow
Cash flow from continuing financing activities 31.36%5.4M-3.78%4.11M988.17%4.28M-83.65%392.88K10.60%2.4M-50.22%2.17M628.55%4.36M-0.13%599.13K-48.67%599.91K72.82%1.17M
Net issuance payments of debt --------30.56%-50K-144.44%-72K-58.55%162K--390.83K---------200.00%-200K--200K
Net common stock issuance 31.10%5.43M-4.63%4.14M785.72%4.34M-78.13%490.15K25.76%2.24M-59.17%1.78M628.55%4.36M-25.10%599.13K-17.42%799.91K43.24%968.63K
Interest paid (cash flow from financing activities) ---------137.87%-2.12K---890------------------------
Net other financing activities 9.30%-24.29K-90.79%-26.78K42.43%-14.04K---24.38K------------------------
Cash from discontinued financing activities
Financing cash flow 31.36%5.4M-3.78%4.11M988.17%4.28M-83.65%392.88K10.60%2.4M-50.22%2.17M628.55%4.36M-0.13%599.13K-48.67%599.91K72.82%1.17M
Net cash flow
Beginning cash position 20.42%3.59M1,912.96%2.98M-83.83%148.03K160.07%915.66K-88.31%352.08K624.78%3.01M-66.72%415.47K85.12%1.25M-28.68%674.37K-44.17%945.49K
Current changes in cash -303.03%-1.22M-78.75%601.74K468.91%2.83M-236.24%-767.62K121.17%563.44K-202.48%-2.66M411.52%2.6M-245.22%-833.57K311.72%574.01K63.75%-271.12K
Effect of exchange rate changes -8.83%6.1K--6.69K---------92.74%138288.49%1.9K-254.60%-1.01K--652--------
End cash Position -33.88%2.37M20.42%3.59M1,912.96%2.98M-83.83%148.03K160.07%915.66K-88.31%352.08K624.78%3.01M-66.72%415.47K85.12%1.25M-28.68%674.37K
Free cash from -95.72%-6.88M-143.32%-3.51M-22.92%-1.44M36.19%-1.17M62.46%-1.84M-169.95%-4.9M1.72%-1.82M23.52%-1.85M-53.27%-2.42M33.08%-1.58M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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