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PXS Pharmaxis Ltd

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  • 0.027
  • 0.0000.00%
20min DelayMarket Closed Apr 12 10:00 AET
19.51MMarket Cap-1588P/E (Static)

Pharmaxis 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
61.64%19.5M
-56.74%12.06M
98.52%27.88M
104.10%14.05M
-83.81%6.88M
173.24%42.51M
-17.49%15.56M
-68.89%18.85M
486.93%60.61M
22.75%10.33M
Revenue from customers
-37.65%5.83M
29.15%9.35M
-6.86%7.24M
12.80%7.78M
-85.88%6.89M
264.39%48.81M
-28.95%13.4M
-67.05%18.85M
961.26%57.22M
42.80%5.39M
Income from government grants
3,274.50%5.03M
-97.26%149K
-13.36%5.43M
--6.27M
----
----
----
----
-31.33%3.39M
6.43%4.94M
Other cash income from operating activities
237.24%8.64M
-83.15%2.56M
--15.21M
----
99.83%-11K
-392.08%-6.31M
--2.16M
----
----
----
Cash paid
5.04%-26.89M
-13.92%-28.32M
10.23%-24.86M
-0.38%-27.69M
10.73%-27.59M
1.95%-30.91M
1.60%-31.52M
18.69%-32.03M
1.93%-39.4M
13.61%-40.17M
Payments to suppliers for goods and services
5.04%-26.89M
-13.92%-28.32M
10.23%-24.86M
-0.38%-27.69M
10.73%-27.59M
1.95%-30.91M
1.60%-31.52M
18.69%-32.03M
1.93%-39.4M
13.61%-40.17M
Direct interest received
-25.00%117K
212.00%156K
-86.26%50K
-59.96%364K
52.01%909K
-14.94%598K
-42.04%703K
68.24%1.21M
-58.44%721K
-35.62%1.74M
Direct tax refund paid
----
----
----
----
----
--8K
----
85.99%-22K
-613.64%-157K
-344.44%-22K
Operating cash flow
54.81%-7.28M
-624.15%-16.1M
123.13%3.07M
32.90%-13.28M
-262.20%-19.8M
179.98%12.21M
-27.30%-15.26M
-155.05%-11.99M
177.42%21.78M
20.49%-28.13M
Investing cash flow
Cash flow from continuing investing activities
57.19%-131K
52.48%-306K
-12.20%-644K
41.49%-574K
-10.97%-981K
-22.27%-884K
47.65%-723K
-423.11%-1.38M
15.65%-264K
40.83%-313K
Net PPE purchase and sale
-101.54%-131K
80.24%-65K
-27.03%-329K
55.03%-259K
31.26%-576K
-167.73%-838K
77.15%-313K
-466.12%-1.37M
-32.24%-242K
53.67%-183K
Net intangibles purchas and sale
----
23.49%-241K
0.00%-315K
22.22%-315K
-780.43%-405K
88.78%-46K
-3,627.27%-410K
50.00%-11K
83.08%-22K
2.99%-130K
Cash from discontinued investing activities
Investing cash flow
57.19%-131K
52.48%-306K
-12.20%-644K
41.49%-574K
-10.97%-981K
-22.27%-884K
47.65%-723K
-423.11%-1.38M
15.65%-264K
40.83%-313K
Financing cash flow
Cash flow from continuing financing activities
5.22%6.98M
336.38%6.63M
160.75%1.52M
-112.01%-2.5M
1,288.25%20.83M
-1.86%-1.75M
-0.41%-1.72M
4.30%-1.71M
-31.98%-1.79M
-107.39%-1.36M
Net issuance payments of debt
----
----
----
----
----
----
14.98%-227K
31.36%-267K
---389K
----
Net common stock issuance
2.04%9.26M
123.22%9.07M
--4.07M
----
--24M
----
----
----
----
----
Net other financing activities
6.60%-2.28M
4.09%-2.44M
-1.72%-2.55M
21.07%-2.5M
-80.83%-3.17M
-17.34%-1.75M
-3.25%-1.49M
-3.21%-1.45M
-3.32%-1.4M
-107.48%-1.36M
Cash from discontinued financing activities
Financing cash flow
5.22%6.98M
336.38%6.63M
160.75%1.52M
-112.01%-2.5M
1,288.25%20.83M
-1.86%-1.75M
-0.41%-1.72M
4.30%-1.71M
-31.98%-1.79M
-107.39%-1.36M
Net cash flow
Beginning cash position
-52.24%8.94M
26.74%18.71M
-52.56%14.76M
0.16%31.12M
44.50%31.07M
-45.16%21.5M
-27.58%39.21M
58.38%54.14M
-46.54%34.18M
-21.52%63.94M
Current changes in cash
95.61%-429K
-347.59%-9.78M
124.13%3.95M
-32,178.43%-16.36M
-99.47%51K
154.04%9.57M
-17.38%-17.71M
-176.47%-15.08M
166.19%19.73M
-69.87%-29.8M
Effect of exchange rate changes
--722K
----
----
----
----
----
-99.35%1K
-32.90%155K
463.41%231K
241.67%41K
End cash Position
3.28%9.23M
-52.24%8.94M
26.74%18.71M
-52.56%14.76M
0.16%31.12M
44.50%31.07M
-45.16%21.5M
-27.58%39.21M
58.38%54.14M
-46.54%34.18M
Free cash from
54.81%-7.42M
-776.66%-16.41M
117.50%2.43M
33.31%-13.86M
-283.56%-20.78M
170.82%11.32M
-19.54%-15.99M
-162.15%-13.37M
175.54%21.51M
20.70%-28.48M
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 61.64%19.5M-56.74%12.06M98.52%27.88M104.10%14.05M-83.81%6.88M173.24%42.51M-17.49%15.56M-68.89%18.85M486.93%60.61M22.75%10.33M
Revenue from customers -37.65%5.83M29.15%9.35M-6.86%7.24M12.80%7.78M-85.88%6.89M264.39%48.81M-28.95%13.4M-67.05%18.85M961.26%57.22M42.80%5.39M
Income from government grants 3,274.50%5.03M-97.26%149K-13.36%5.43M--6.27M-----------------31.33%3.39M6.43%4.94M
Other cash income from operating activities 237.24%8.64M-83.15%2.56M--15.21M----99.83%-11K-392.08%-6.31M--2.16M------------
Cash paid 5.04%-26.89M-13.92%-28.32M10.23%-24.86M-0.38%-27.69M10.73%-27.59M1.95%-30.91M1.60%-31.52M18.69%-32.03M1.93%-39.4M13.61%-40.17M
Payments to suppliers for goods and services 5.04%-26.89M-13.92%-28.32M10.23%-24.86M-0.38%-27.69M10.73%-27.59M1.95%-30.91M1.60%-31.52M18.69%-32.03M1.93%-39.4M13.61%-40.17M
Direct interest received -25.00%117K212.00%156K-86.26%50K-59.96%364K52.01%909K-14.94%598K-42.04%703K68.24%1.21M-58.44%721K-35.62%1.74M
Direct tax refund paid ----------------------8K----85.99%-22K-613.64%-157K-344.44%-22K
Operating cash flow 54.81%-7.28M-624.15%-16.1M123.13%3.07M32.90%-13.28M-262.20%-19.8M179.98%12.21M-27.30%-15.26M-155.05%-11.99M177.42%21.78M20.49%-28.13M
Investing cash flow
Cash flow from continuing investing activities 57.19%-131K52.48%-306K-12.20%-644K41.49%-574K-10.97%-981K-22.27%-884K47.65%-723K-423.11%-1.38M15.65%-264K40.83%-313K
Net PPE purchase and sale -101.54%-131K80.24%-65K-27.03%-329K55.03%-259K31.26%-576K-167.73%-838K77.15%-313K-466.12%-1.37M-32.24%-242K53.67%-183K
Net intangibles purchas and sale ----23.49%-241K0.00%-315K22.22%-315K-780.43%-405K88.78%-46K-3,627.27%-410K50.00%-11K83.08%-22K2.99%-130K
Cash from discontinued investing activities
Investing cash flow 57.19%-131K52.48%-306K-12.20%-644K41.49%-574K-10.97%-981K-22.27%-884K47.65%-723K-423.11%-1.38M15.65%-264K40.83%-313K
Financing cash flow
Cash flow from continuing financing activities 5.22%6.98M336.38%6.63M160.75%1.52M-112.01%-2.5M1,288.25%20.83M-1.86%-1.75M-0.41%-1.72M4.30%-1.71M-31.98%-1.79M-107.39%-1.36M
Net issuance payments of debt ------------------------14.98%-227K31.36%-267K---389K----
Net common stock issuance 2.04%9.26M123.22%9.07M--4.07M------24M--------------------
Net other financing activities 6.60%-2.28M4.09%-2.44M-1.72%-2.55M21.07%-2.5M-80.83%-3.17M-17.34%-1.75M-3.25%-1.49M-3.21%-1.45M-3.32%-1.4M-107.48%-1.36M
Cash from discontinued financing activities
Financing cash flow 5.22%6.98M336.38%6.63M160.75%1.52M-112.01%-2.5M1,288.25%20.83M-1.86%-1.75M-0.41%-1.72M4.30%-1.71M-31.98%-1.79M-107.39%-1.36M
Net cash flow
Beginning cash position -52.24%8.94M26.74%18.71M-52.56%14.76M0.16%31.12M44.50%31.07M-45.16%21.5M-27.58%39.21M58.38%54.14M-46.54%34.18M-21.52%63.94M
Current changes in cash 95.61%-429K-347.59%-9.78M124.13%3.95M-32,178.43%-16.36M-99.47%51K154.04%9.57M-17.38%-17.71M-176.47%-15.08M166.19%19.73M-69.87%-29.8M
Effect of exchange rate changes --722K---------------------99.35%1K-32.90%155K463.41%231K241.67%41K
End cash Position 3.28%9.23M-52.24%8.94M26.74%18.71M-52.56%14.76M0.16%31.12M44.50%31.07M-45.16%21.5M-27.58%39.21M58.38%54.14M-46.54%34.18M
Free cash from 54.81%-7.42M-776.66%-16.41M117.50%2.43M33.31%-13.86M-283.56%-20.78M170.82%11.32M-19.54%-15.99M-162.15%-13.37M175.54%21.51M20.70%-28.48M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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