AU Stock MarketDetailed Quotes

RDX Redox Ltd

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  • 4.050
  • -0.040-0.98%
20min DelayMarket Closed Nov 19 16:00 AET
2.13BMarket Cap23.55P/E (Static)

Redox 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
Operating cash flow (direct method)
Cash income from operating activities
-7.28%1.28B
21.54%1.38B
44.56%1.13B
0.23%783.31M
781.54M
Revenue from customers
-7.28%1.28B
21.54%1.38B
44.56%1.13B
0.23%783.31M
--781.54M
Cash paid
6.41%-1.12B
-4.38%-1.2B
-57.61%-1.15B
2.90%-728.49M
-750.23M
Payments to suppliers for goods and services
6.41%-1.12B
-4.38%-1.2B
-57.61%-1.15B
2.90%-728.49M
---750.23M
Direct interest paid
51.58%-2.32M
33.70%-4.79M
-2.08%-7.22M
-5.31%-7.07M
---6.71M
Direct interest received
1,461.36%4.61M
4,114.29%295K
16.67%7K
-91.26%6K
--68.69K
Direct tax refund paid
-5.65%-40.67M
-48.24%-38.5M
-67.36%-25.97M
5.48%-15.52M
---16.42M
Operating cash flow
-13.99%115.89M
375.11%134.74M
-251.89%-48.98M
290.79%32.24M
--8.25M
Investing cash flow
Cash flow from continuing investing activities
-4,365.38%-125.25M
-130.11%-2.81M
41.70%-1.22M
2.18%-2.09M
-2.14M
Net PPE purchase and sale
-22.60%-3.44M
-130.11%-2.81M
41.70%-1.22M
2.18%-2.09M
---2.14M
Net business purchase and sale
---1.82M
----
----
----
----
Net investment purchase and sale
---120M
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-4,365.38%-125.25M
-130.11%-2.81M
41.70%-1.22M
2.18%-2.09M
---2.14M
Financing cash flow
Cash flow from continuing financing activities
122.53%30.88M
-302.29%-137.05M
365.87%67.75M
-152.07%-25.48M
-10.11M
Net issuance payments of debt
-236.01%-167.12M
-145.25%-49.74M
978.12%109.92M
-217.78%-12.52M
---3.94M
Net common stock issuance
--235.63M
----
----
----
----
Cash dividends paid
61.46%-31.51M
-120.65%-81.76M
-325.93%-37.05M
---8.7M
----
Net other financing activities
-10.17%-6.12M
-8.37%-5.55M
-20.17%-5.12M
30.89%-4.26M
---6.17M
Cash from discontinued financing activities
Financing cash flow
122.53%30.88M
-302.29%-137.05M
365.87%67.75M
-152.07%-25.48M
---10.11M
Net cash flow
Beginning cash position
-13.72%35.03M
74.66%40.6M
21.25%23.24M
-15.55%19.17M
--22.7M
Current changes in cash
521.14%21.51M
-129.10%-5.11M
275.66%17.55M
216.94%4.67M
---4M
Effect of exchange rate changes
126.90%124K
-132.83%-461K
66.94%-198K
-228.84%-599K
--464.91K
End cash Position
61.77%56.66M
-13.72%35.03M
74.66%40.6M
21.25%23.24M
--19.17M
Free cash from
-14.87%112.06M
360.34%131.63M
-269.19%-50.56M
388.83%29.88M
--6.11M
Accounting Standards
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
Operating cash flow (direct method)
Cash income from operating activities -7.28%1.28B21.54%1.38B44.56%1.13B0.23%783.31M781.54M
Revenue from customers -7.28%1.28B21.54%1.38B44.56%1.13B0.23%783.31M--781.54M
Cash paid 6.41%-1.12B-4.38%-1.2B-57.61%-1.15B2.90%-728.49M-750.23M
Payments to suppliers for goods and services 6.41%-1.12B-4.38%-1.2B-57.61%-1.15B2.90%-728.49M---750.23M
Direct interest paid 51.58%-2.32M33.70%-4.79M-2.08%-7.22M-5.31%-7.07M---6.71M
Direct interest received 1,461.36%4.61M4,114.29%295K16.67%7K-91.26%6K--68.69K
Direct tax refund paid -5.65%-40.67M-48.24%-38.5M-67.36%-25.97M5.48%-15.52M---16.42M
Operating cash flow -13.99%115.89M375.11%134.74M-251.89%-48.98M290.79%32.24M--8.25M
Investing cash flow
Cash flow from continuing investing activities -4,365.38%-125.25M-130.11%-2.81M41.70%-1.22M2.18%-2.09M-2.14M
Net PPE purchase and sale -22.60%-3.44M-130.11%-2.81M41.70%-1.22M2.18%-2.09M---2.14M
Net business purchase and sale ---1.82M----------------
Net investment purchase and sale ---120M----------------
Cash from discontinued investing activities
Investing cash flow -4,365.38%-125.25M-130.11%-2.81M41.70%-1.22M2.18%-2.09M---2.14M
Financing cash flow
Cash flow from continuing financing activities 122.53%30.88M-302.29%-137.05M365.87%67.75M-152.07%-25.48M-10.11M
Net issuance payments of debt -236.01%-167.12M-145.25%-49.74M978.12%109.92M-217.78%-12.52M---3.94M
Net common stock issuance --235.63M----------------
Cash dividends paid 61.46%-31.51M-120.65%-81.76M-325.93%-37.05M---8.7M----
Net other financing activities -10.17%-6.12M-8.37%-5.55M-20.17%-5.12M30.89%-4.26M---6.17M
Cash from discontinued financing activities
Financing cash flow 122.53%30.88M-302.29%-137.05M365.87%67.75M-152.07%-25.48M---10.11M
Net cash flow
Beginning cash position -13.72%35.03M74.66%40.6M21.25%23.24M-15.55%19.17M--22.7M
Current changes in cash 521.14%21.51M-129.10%-5.11M275.66%17.55M216.94%4.67M---4M
Effect of exchange rate changes 126.90%124K-132.83%-461K66.94%-198K-228.84%-599K--464.91K
End cash Position 61.77%56.66M-13.72%35.03M74.66%40.6M21.25%23.24M--19.17M
Free cash from -14.87%112.06M360.34%131.63M-269.19%-50.56M388.83%29.88M--6.11M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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