AU Stock MarketDetailed Quotes

QXR QX Resources Ltd

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  • 0.006
  • +0.001+20.00%
20min DelayTrading Oct 17 13:27 AET
6.66MMarket Cap-3000P/E (Static)

QX Resources 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
47.98%1.15M
778.25K
Revenue from customers
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----
----
----
----
----
45.32%1.16M
--801.32K
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----
Other cash income from operating activities
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----
----
----
----
----
44.44%-12.82K
---23.07K
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----
Cash paid
-15.50%-827.73K
-3.73%-716.63K
-56.90%-690.83K
-236.34%-440.31K
73.60%-130.91K
75.51%-495.83K
52.91%-2.02M
-961.77%-4.3M
-407.72%-404.98K
94.37%-79.77K
Payments to suppliers for goods and services
-15.50%-827.73K
-3.73%-716.63K
-56.90%-690.83K
-236.34%-440.31K
73.60%-130.91K
75.51%-495.83K
52.91%-2.02M
-961.77%-4.3M
-407.72%-404.98K
94.37%-79.77K
Direct interest paid
-11.38%-3.01K
-24.07%-2.71K
-25.34%-2.18K
22.77%-1.74K
6.90%-2.25K
75.80%-2.42K
96.28%-10K
---268.95K
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Direct interest received
--7.64K
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----
----
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Operating cash flow
-14.43%-823.11K
-3.80%-719.33K
-56.77%-693.02K
-231.96%-442.05K
73.27%-133.17K
43.59%-498.25K
76.70%-883.2K
-836.01%-3.79M
-407.72%-404.98K
94.36%-79.77K
Investing cash flow
Cash flow from continuing investing activities
-88.47%-3.63M
-87.27%-1.92M
-31.15%-1.03M
-2,499.73%-783.48K
95.52%-30.14K
31.24%-672.77K
-17.39%-978.42K
-226.38%-833.46K
-354.85%-255.37K
86.02%-56.14K
Capital expenditure reported
63.92%-338.41K
-117.10%-938.04K
-272.91%-432.08K
-284.47%-115.87K
55.25%-30.14K
49.88%-67.35K
57.11%-134.39K
---313.33K
----
79.20%-106.88K
Net PPE purchase and sale
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----
----
----
----
----
82.71%-16.12K
-435.12%-93.26K
-45.15%27.83K
-54.83%50.74K
Net business purchase and sale
----
74.96%-87.55K
42.35%-349.59K
---606.39K
----
----
-2,488.51%-692.12K
---26.74K
----
----
Net investment purchase and sale
-3,475.17%-3.29M
139.63%97.43K
-301.60%-245.87K
---61.22K
----
---556.03K
----
----
----
----
Net other investing changes
----
---996.15K
----
----
----
63.63%-49.38K
66.06%-135.8K
-41.29%-400.13K
---283.2K
----
Cash from discontinued investing activities
Investing cash flow
-88.47%-3.63M
-87.27%-1.92M
-31.15%-1.03M
-2,499.73%-783.48K
95.52%-30.14K
31.24%-672.77K
-17.39%-978.42K
-226.38%-833.46K
-354.85%-255.37K
86.02%-56.14K
Financing cash flow
Cash flow from continuing financing activities
280.99%3.17M
-77.03%830.83K
72.26%3.62M
333.90%2.1M
4,630.27%483.83K
-100.30%-10.68K
-24.60%3.53M
624.47%4.69M
638.43%646.87K
-94.34%87.6K
Net issuance payments of debt
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-26.76%500K
309.96%682.66K
-471.16%-325.14K
-94.34%87.6K
Net common stock issuance
280.99%3.17M
-77.03%830.83K
72.26%3.62M
--2.1M
----
-100.36%-10.68K
-26.11%2.96M
311.90%4M
--972K
----
Net other financing activities
----
----
----
----
--483.83K
----
--75K
----
----
----
Cash from discontinued financing activities
Financing cash flow
280.99%3.17M
-77.03%830.83K
72.26%3.62M
333.90%2.1M
4,630.27%483.83K
-100.30%-10.68K
-24.60%3.53M
624.47%4.69M
638.43%646.87K
-94.34%87.6K
Net cash flow
Beginning cash position
-49.84%1.82M
108.84%3.64M
100.68%1.74M
58.56%867.9K
-68.34%547.36K
2,918.76%1.73M
1,145,640.00%57.28K
-100.04%-5
-78.19%13.48K
-81.24%61.79K
Current changes in cash
29.14%-1.28M
-195.63%-1.81M
116.94%1.9M
172.62%873.83K
127.12%320.53K
-170.68%-1.18M
2,587.18%1.67M
561.45%62.21K
72.09%-13.48K
81.95%-48.31K
Effect of exchange rate changes
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----
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---4.93K
----
----
End cash Position
-70.40%540.04K
-49.84%1.82M
108.84%3.64M
100.68%1.74M
58.56%867.9K
-68.34%547.36K
2,918.76%1.73M
1,145,640.00%57.28K
-100.04%-5
-78.19%13.48K
Free cash from
29.92%-1.16M
-47.31%-1.66M
-101.66%-1.13M
-241.65%-557.92K
71.13%-163.3K
45.28%-565.6K
75.37%-1.03M
-936.40%-4.2M
-116.98%-404.98K
89.72%-186.65K
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 47.98%1.15M778.25K
Revenue from customers ------------------------45.32%1.16M--801.32K--------
Other cash income from operating activities ------------------------44.44%-12.82K---23.07K--------
Cash paid -15.50%-827.73K-3.73%-716.63K-56.90%-690.83K-236.34%-440.31K73.60%-130.91K75.51%-495.83K52.91%-2.02M-961.77%-4.3M-407.72%-404.98K94.37%-79.77K
Payments to suppliers for goods and services -15.50%-827.73K-3.73%-716.63K-56.90%-690.83K-236.34%-440.31K73.60%-130.91K75.51%-495.83K52.91%-2.02M-961.77%-4.3M-407.72%-404.98K94.37%-79.77K
Direct interest paid -11.38%-3.01K-24.07%-2.71K-25.34%-2.18K22.77%-1.74K6.90%-2.25K75.80%-2.42K96.28%-10K---268.95K--------
Direct interest received --7.64K------------------------------------
Operating cash flow -14.43%-823.11K-3.80%-719.33K-56.77%-693.02K-231.96%-442.05K73.27%-133.17K43.59%-498.25K76.70%-883.2K-836.01%-3.79M-407.72%-404.98K94.36%-79.77K
Investing cash flow
Cash flow from continuing investing activities -88.47%-3.63M-87.27%-1.92M-31.15%-1.03M-2,499.73%-783.48K95.52%-30.14K31.24%-672.77K-17.39%-978.42K-226.38%-833.46K-354.85%-255.37K86.02%-56.14K
Capital expenditure reported 63.92%-338.41K-117.10%-938.04K-272.91%-432.08K-284.47%-115.87K55.25%-30.14K49.88%-67.35K57.11%-134.39K---313.33K----79.20%-106.88K
Net PPE purchase and sale ------------------------82.71%-16.12K-435.12%-93.26K-45.15%27.83K-54.83%50.74K
Net business purchase and sale ----74.96%-87.55K42.35%-349.59K---606.39K---------2,488.51%-692.12K---26.74K--------
Net investment purchase and sale -3,475.17%-3.29M139.63%97.43K-301.60%-245.87K---61.22K-------556.03K----------------
Net other investing changes -------996.15K------------63.63%-49.38K66.06%-135.8K-41.29%-400.13K---283.2K----
Cash from discontinued investing activities
Investing cash flow -88.47%-3.63M-87.27%-1.92M-31.15%-1.03M-2,499.73%-783.48K95.52%-30.14K31.24%-672.77K-17.39%-978.42K-226.38%-833.46K-354.85%-255.37K86.02%-56.14K
Financing cash flow
Cash flow from continuing financing activities 280.99%3.17M-77.03%830.83K72.26%3.62M333.90%2.1M4,630.27%483.83K-100.30%-10.68K-24.60%3.53M624.47%4.69M638.43%646.87K-94.34%87.6K
Net issuance payments of debt -------------------------26.76%500K309.96%682.66K-471.16%-325.14K-94.34%87.6K
Net common stock issuance 280.99%3.17M-77.03%830.83K72.26%3.62M--2.1M-----100.36%-10.68K-26.11%2.96M311.90%4M--972K----
Net other financing activities ------------------483.83K------75K------------
Cash from discontinued financing activities
Financing cash flow 280.99%3.17M-77.03%830.83K72.26%3.62M333.90%2.1M4,630.27%483.83K-100.30%-10.68K-24.60%3.53M624.47%4.69M638.43%646.87K-94.34%87.6K
Net cash flow
Beginning cash position -49.84%1.82M108.84%3.64M100.68%1.74M58.56%867.9K-68.34%547.36K2,918.76%1.73M1,145,640.00%57.28K-100.04%-5-78.19%13.48K-81.24%61.79K
Current changes in cash 29.14%-1.28M-195.63%-1.81M116.94%1.9M172.62%873.83K127.12%320.53K-170.68%-1.18M2,587.18%1.67M561.45%62.21K72.09%-13.48K81.95%-48.31K
Effect of exchange rate changes -------------------------------4.93K--------
End cash Position -70.40%540.04K-49.84%1.82M108.84%3.64M100.68%1.74M58.56%867.9K-68.34%547.36K2,918.76%1.73M1,145,640.00%57.28K-100.04%-5-78.19%13.48K
Free cash from 29.92%-1.16M-47.31%-1.66M-101.66%-1.13M-241.65%-557.92K71.13%-163.3K45.28%-565.6K75.37%-1.03M-936.40%-4.2M-116.98%-404.98K89.72%-186.65K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

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