US Stock MarketDetailed Quotes

RCEL Avita Medical

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  • 9.360
  • +0.250+2.74%
Close Aug 30 16:00 ET
  • 9.510
  • +0.150+1.60%
Post 16:17 ET
243.26MMarket Cap-4824P/E (TTM)

Avita Medical Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-40.42%-12.78M
-129.96%-20.86M
-99.11%-38.01M
-216.15%-10.86M
-223.15%-8.97M
-159.51%-9.1M
3.17%-9.07M
-247.03%-19.09M
13.03%-3.44M
67.57%-2.78M
Net income from continuing operations
-48.24%-15.39M
-102.36%-18.66M
-32.69%-35.38M
-31.98%-7.07M
-55.91%-8.71M
-65.85%-10.38M
2.57%-9.22M
-84.83%-26.67M
-13.46%-5.35M
6.82%-5.59M
Operating gains losses
-22,800.00%-2.04M
43,600.00%870K
-10,320.73%-8.55M
-24,050.00%-8.62M
188.61%70K
111.84%9K
-105.41%-2K
-13.89%-82K
-70.25%36K
-1,087.50%-79K
Depreciation and amortization
39.73%204K
50.37%203K
11.27%632K
43.85%187K
18.84%164K
6.57%146K
-17.18%135K
72.12%568K
-25.71%130K
-17.37%138K
Other non cash items
34.20%773K
11.40%889K
284.39%4.61M
1,690.18%2.92M
-27.38%313K
139.00%576K
119.83%798K
359.00%1.2M
-34.01%163K
-43.73%431K
Change In working capital
84.68%-51K
-87.26%-6.25M
-449.67%-6.57M
-98.93%3K
-396.84%-2.91M
-133.43%-333K
3.42%-3.34M
-125.58%-1.2M
123.28%281K
119.92%980K
-Change in receivables
-41.72%-1.71M
165.08%505K
-235.43%-3.3M
-2,838.46%-1.53M
263.78%208K
-1,601.41%-1.21M
-5.58%-776K
-124.77%-985K
97.32%-52K
95.90%-127K
-Change in inventory
225.30%312K
-120.03%-1.66M
-895.42%-3.69M
-411.11%-1.29M
-1,992.54%-1.4M
12.32%-249K
-425.00%-754K
30.00%-371K
-189.36%-252K
-234.00%-67K
-Change in prepaid assets
145.93%141K
-15,633.33%-1.86M
-23.22%-451K
400.75%1.61M
-4,662.16%-1.76M
-322.46%-307K
-82.09%12K
-407.56%-366K
-2,236.00%-534K
93.20%-37K
-Change in payables and accrued expense
-52.76%1.18M
-34.60%-2.93M
38.74%2.16M
0.65%1.7M
-89.43%129K
80.53%2.5M
20.59%-2.18M
-6.05%1.55M
311.44%1.69M
219.02%1.22M
-Change in other current assets
65.71%-72K
58.90%-261K
-36.98%-1.24M
-598.97%-484K
116.42%88K
-29.63%-210K
-108.20%-635K
-161.10%-906K
146.41%97K
-1.32%-536K
-Change in other current liabilities
166.88%424K
-101.90%-25K
48.14%-447K
54.10%-744K
-163.67%-382K
-1,212.28%-634K
1,187.25%1.31M
-155.79%-862K
-1,187.92%-1.62M
440.91%600K
-Change in other working capital
-42.79%-327K
97.47%-8K
-45.14%406K
-22.37%739K
390.41%212K
-231.88%-229K
-351.43%-316K
432.37%740K
1,152.63%952K
-118.11%-73K
Cash from discontinued investing activities
Operating cash flow
-40.42%-12.78M
-129.96%-20.86M
-99.11%-38.01M
-216.15%-10.86M
-223.15%-8.97M
-159.51%-9.1M
3.17%-9.07M
-247.03%-19.09M
13.03%-3.44M
67.57%-2.78M
Investing cash flow
Cash flow from continuing investing activities
-32.30%12.43M
-19.81%15.07M
108.31%1.61M
-1,714.57%-57.3M
361.27%21.76M
24.44%18.36M
183.12%18.79M
61.09%-19.33M
-1,471.14%-3.16M
-2,364.20%-8.33M
Net PPE purchase and sale
-786.96%-2.65M
-303.87%-1.15M
-205.53%-1.38M
-322.86%-296K
-382.69%-502K
-39.72%-299K
-343.75%-284K
-595.38%-452K
41.18%-70K
65.68%-104K
Net intangibles purchase and sale
80.00%-1K
-388.24%-83K
9.59%-66K
-70.00%-34K
52.38%-10K
75.00%-5K
-41.67%-17K
-8.96%-73K
75.61%-20K
40.00%-21K
Net investment purchase and sale
-19.19%15.09M
-14.63%16.3M
116.24%3.05M
-1,757.04%-56.97M
371.49%22.27M
24.53%18.67M
184.74%19.09M
62.04%-18.81M
---3.07M
---8.2M
Cash from discontinued investing activities
Investing cash flow
-32.30%12.43M
-19.81%15.07M
108.31%1.61M
-1,714.57%-57.3M
361.27%21.76M
24.44%18.36M
183.12%18.79M
61.09%-19.33M
-1,471.14%-3.16M
-2,364.20%-8.33M
Financing cash flow
Cash flow from continuing financing activities
396.49%849K
269.01%631K
4,386.00%40.37M
4,286.21%39.43M
600K
171K
17,000.00%171K
12,757.14%900K
2,800.00%899K
0
Net issuance payments of debt
----
----
--38.76M
----
----
----
----
--0
----
----
Proceeds from stock option exercised by employees
396.49%849K
269.01%631K
79.11%1.61M
-25.47%670K
--600K
--171K
17,000.00%171K
12,757.14%900K
2,800.00%899K
--0
Cash from discontinued financing activities
Financing cash flow
396.49%849K
269.01%631K
4,386.00%40.37M
4,286.21%39.43M
--600K
--171K
17,000.00%171K
12,757.14%900K
2,800.00%899K
--0
Net cash flow
Beginning cash position
-39.57%16.95M
21.77%22.12M
-67.40%18.16M
113.54%50.85M
7.29%37.49M
18.17%28.05M
-67.40%18.16M
-49.79%55.71M
-79.31%23.82M
-41.74%34.94M
Current changes in cash
-94.69%501K
-152.27%-5.17M
110.58%3.97M
-404.57%-28.74M
220.54%13.39M
-16.14%9.43M
130.92%9.89M
32.00%-37.52M
-38.19%-5.7M
-120.15%-11.11M
Effect of exchange rate changes
--0
--0
38.46%-16K
-102.27%-1K
0.00%-18K
104.35%2K
116.67%1K
55.93%-26K
466.67%44K
-38.46%-18K
End cash Position
-53.44%17.45M
-39.57%16.95M
21.77%22.12M
21.77%22.12M
113.54%50.85M
7.29%37.49M
18.17%28.05M
-67.40%18.16M
-83.63%18.16M
-79.31%23.82M
Free cash flow
-64.09%-15.43M
-135.69%-22.09M
-101.16%-39.46M
-217.44%-11.19M
-226.88%-9.49M
-151.40%-9.41M
0.76%-9.37M
-248.22%-19.62M
15.08%-3.53M
67.39%-2.9M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -40.42%-12.78M-129.96%-20.86M-99.11%-38.01M-216.15%-10.86M-223.15%-8.97M-159.51%-9.1M3.17%-9.07M-247.03%-19.09M13.03%-3.44M67.57%-2.78M
Net income from continuing operations -48.24%-15.39M-102.36%-18.66M-32.69%-35.38M-31.98%-7.07M-55.91%-8.71M-65.85%-10.38M2.57%-9.22M-84.83%-26.67M-13.46%-5.35M6.82%-5.59M
Operating gains losses -22,800.00%-2.04M43,600.00%870K-10,320.73%-8.55M-24,050.00%-8.62M188.61%70K111.84%9K-105.41%-2K-13.89%-82K-70.25%36K-1,087.50%-79K
Depreciation and amortization 39.73%204K50.37%203K11.27%632K43.85%187K18.84%164K6.57%146K-17.18%135K72.12%568K-25.71%130K-17.37%138K
Other non cash items 34.20%773K11.40%889K284.39%4.61M1,690.18%2.92M-27.38%313K139.00%576K119.83%798K359.00%1.2M-34.01%163K-43.73%431K
Change In working capital 84.68%-51K-87.26%-6.25M-449.67%-6.57M-98.93%3K-396.84%-2.91M-133.43%-333K3.42%-3.34M-125.58%-1.2M123.28%281K119.92%980K
-Change in receivables -41.72%-1.71M165.08%505K-235.43%-3.3M-2,838.46%-1.53M263.78%208K-1,601.41%-1.21M-5.58%-776K-124.77%-985K97.32%-52K95.90%-127K
-Change in inventory 225.30%312K-120.03%-1.66M-895.42%-3.69M-411.11%-1.29M-1,992.54%-1.4M12.32%-249K-425.00%-754K30.00%-371K-189.36%-252K-234.00%-67K
-Change in prepaid assets 145.93%141K-15,633.33%-1.86M-23.22%-451K400.75%1.61M-4,662.16%-1.76M-322.46%-307K-82.09%12K-407.56%-366K-2,236.00%-534K93.20%-37K
-Change in payables and accrued expense -52.76%1.18M-34.60%-2.93M38.74%2.16M0.65%1.7M-89.43%129K80.53%2.5M20.59%-2.18M-6.05%1.55M311.44%1.69M219.02%1.22M
-Change in other current assets 65.71%-72K58.90%-261K-36.98%-1.24M-598.97%-484K116.42%88K-29.63%-210K-108.20%-635K-161.10%-906K146.41%97K-1.32%-536K
-Change in other current liabilities 166.88%424K-101.90%-25K48.14%-447K54.10%-744K-163.67%-382K-1,212.28%-634K1,187.25%1.31M-155.79%-862K-1,187.92%-1.62M440.91%600K
-Change in other working capital -42.79%-327K97.47%-8K-45.14%406K-22.37%739K390.41%212K-231.88%-229K-351.43%-316K432.37%740K1,152.63%952K-118.11%-73K
Cash from discontinued investing activities
Operating cash flow -40.42%-12.78M-129.96%-20.86M-99.11%-38.01M-216.15%-10.86M-223.15%-8.97M-159.51%-9.1M3.17%-9.07M-247.03%-19.09M13.03%-3.44M67.57%-2.78M
Investing cash flow
Cash flow from continuing investing activities -32.30%12.43M-19.81%15.07M108.31%1.61M-1,714.57%-57.3M361.27%21.76M24.44%18.36M183.12%18.79M61.09%-19.33M-1,471.14%-3.16M-2,364.20%-8.33M
Net PPE purchase and sale -786.96%-2.65M-303.87%-1.15M-205.53%-1.38M-322.86%-296K-382.69%-502K-39.72%-299K-343.75%-284K-595.38%-452K41.18%-70K65.68%-104K
Net intangibles purchase and sale 80.00%-1K-388.24%-83K9.59%-66K-70.00%-34K52.38%-10K75.00%-5K-41.67%-17K-8.96%-73K75.61%-20K40.00%-21K
Net investment purchase and sale -19.19%15.09M-14.63%16.3M116.24%3.05M-1,757.04%-56.97M371.49%22.27M24.53%18.67M184.74%19.09M62.04%-18.81M---3.07M---8.2M
Cash from discontinued investing activities
Investing cash flow -32.30%12.43M-19.81%15.07M108.31%1.61M-1,714.57%-57.3M361.27%21.76M24.44%18.36M183.12%18.79M61.09%-19.33M-1,471.14%-3.16M-2,364.20%-8.33M
Financing cash flow
Cash flow from continuing financing activities 396.49%849K269.01%631K4,386.00%40.37M4,286.21%39.43M600K171K17,000.00%171K12,757.14%900K2,800.00%899K0
Net issuance payments of debt ----------38.76M------------------0--------
Proceeds from stock option exercised by employees 396.49%849K269.01%631K79.11%1.61M-25.47%670K--600K--171K17,000.00%171K12,757.14%900K2,800.00%899K--0
Cash from discontinued financing activities
Financing cash flow 396.49%849K269.01%631K4,386.00%40.37M4,286.21%39.43M--600K--171K17,000.00%171K12,757.14%900K2,800.00%899K--0
Net cash flow
Beginning cash position -39.57%16.95M21.77%22.12M-67.40%18.16M113.54%50.85M7.29%37.49M18.17%28.05M-67.40%18.16M-49.79%55.71M-79.31%23.82M-41.74%34.94M
Current changes in cash -94.69%501K-152.27%-5.17M110.58%3.97M-404.57%-28.74M220.54%13.39M-16.14%9.43M130.92%9.89M32.00%-37.52M-38.19%-5.7M-120.15%-11.11M
Effect of exchange rate changes --0--038.46%-16K-102.27%-1K0.00%-18K104.35%2K116.67%1K55.93%-26K466.67%44K-38.46%-18K
End cash Position -53.44%17.45M-39.57%16.95M21.77%22.12M21.77%22.12M113.54%50.85M7.29%37.49M18.17%28.05M-67.40%18.16M-83.63%18.16M-79.31%23.82M
Free cash flow -64.09%-15.43M-135.69%-22.09M-101.16%-39.46M-217.44%-11.19M-226.88%-9.49M-151.40%-9.41M0.76%-9.37M-248.22%-19.62M15.08%-3.53M67.39%-2.9M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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