US Stock MarketDetailed Quotes

REFXF REDFLOW LTD

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  • 0.010
  • -0.068-87.18%
15min DelayClose Nov 27 16:00 ET
2.64MMarket Cap-149P/E (TTM)

REDFLOW LTD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(FY)Jun 30, 2020
(Q4)Jun 30, 2020
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-39.08%5.51M
-39.08%5.51M
-7.73%9.05M
-7.73%9.05M
189.31%9.81M
189.31%9.81M
-68.90%3.39M
-68.90%3.39M
--10.9M
--10.9M
-Cash and cash equivalents
-39.08%5.51M
-39.08%5.51M
-7.73%9.05M
-7.73%9.05M
189.31%9.81M
189.31%9.81M
-68.90%3.39M
-68.90%3.39M
--10.9M
--10.9M
Receivables
72.57%2.56M
72.57%2.56M
57.25%1.49M
57.25%1.49M
598.41%944.79K
598.41%944.79K
120.63%135.28K
120.63%135.28K
--61.31K
--61.31K
-Accounts receivable
-4.61%55.39K
-4.61%55.39K
-78.77%58.07K
-78.77%58.07K
23.07%273.55K
23.07%273.55K
147.76%222.28K
147.76%222.28K
--89.71K
--89.71K
-Other receivables
75.71%2.51M
75.71%2.51M
112.69%1.43M
112.69%1.43M
--671.24K
--671.24K
----
----
----
----
-Recievables adjustments allowances
----
----
----
----
----
----
-206.34%-87K
-206.34%-87K
---28.4K
---28.4K
Inventory
-24.48%2.74M
-24.48%2.74M
8.31%3.62M
8.31%3.62M
-40.28%3.35M
-40.28%3.35M
-28.77%5.6M
-28.77%5.6M
--7.87M
--7.87M
Prepaid assets
-36.43%618.83K
-36.43%618.83K
534.69%973.46K
534.69%973.46K
-46.26%153.38K
-46.26%153.38K
26.96%285.4K
26.96%285.4K
--224.8K
--224.8K
Other current assets
3.66%87.22K
3.66%87.22K
0.70%84.14K
0.70%84.14K
-9.16%83.55K
-9.16%83.55K
0.82%91.98K
0.82%91.98K
--91.23K
--91.23K
Total current assets
-24.30%11.52M
-24.30%11.52M
6.15%15.22M
6.15%15.22M
50.80%14.34M
50.80%14.34M
-50.35%9.51M
-50.35%9.51M
--19.15M
--19.15M
Non current assets
Net PPE
34.18%1.88M
34.18%1.88M
102.51%1.4M
102.51%1.4M
-17.79%692.93K
-17.79%692.93K
-22.65%842.88K
-22.65%842.88K
--1.09M
--1.09M
-Gross PPE
21.72%7.89M
21.72%7.89M
13.90%6.48M
13.90%6.48M
0.63%5.69M
0.63%5.69M
8.68%5.66M
8.68%5.66M
--5.21M
--5.21M
-Accumulated depreciation
-18.28%-6.01M
-18.28%-6.01M
-1.62%-5.08M
-1.62%-5.08M
-3.85%-5M
-3.85%-5M
-16.98%-4.81M
-16.98%-4.81M
---4.12M
---4.12M
Goodwill and other intangible assets
4.91%501.23K
4.91%501.23K
14.94%477.78K
14.94%477.78K
-34.06%415.69K
-34.06%415.69K
3.93%630.45K
3.93%630.45K
--606.61K
--606.61K
-Other intangible assets
4.91%501.23K
4.91%501.23K
14.94%477.78K
14.94%477.78K
-34.06%415.69K
-34.06%415.69K
3.93%630.45K
3.93%630.45K
--606.61K
--606.61K
Total non current assets
26.74%2.38M
26.74%2.38M
69.67%1.88M
69.67%1.88M
-24.75%1.11M
-24.75%1.11M
-13.14%1.47M
-13.14%1.47M
--1.7M
--1.7M
Total assets
-18.68%13.9M
-18.68%13.9M
10.71%17.1M
10.71%17.1M
40.67%15.45M
40.67%15.45M
-47.32%10.98M
-47.32%10.98M
--20.84M
--20.84M
Liabilities
Current liabilities
Payables
-62.82%1.53M
-62.82%1.53M
-33.35%4.12M
-33.35%4.12M
1,155.62%6.18M
1,155.62%6.18M
-53.34%492.1K
-53.34%492.1K
--1.05M
--1.05M
-accounts payable
-21.48%751.29K
-21.48%751.29K
42.64%956.78K
42.64%956.78K
99.54%670.77K
99.54%670.77K
-59.74%336.16K
-59.74%336.16K
--834.99K
--834.99K
-Other payable
-75.33%780.09K
-75.33%780.09K
-42.60%3.16M
-42.60%3.16M
3,432.26%5.51M
3,432.26%5.51M
-29.01%155.94K
-29.01%155.94K
--219.66K
--219.66K
Current provisions
33.99%1.54M
33.99%1.54M
-5.62%1.15M
-5.62%1.15M
17.83%1.22M
17.83%1.22M
8.24%1.03M
8.24%1.03M
--953.23K
--953.23K
Current debt and capital lease obligation
1.01%170.15K
1.01%170.15K
123.51%168.46K
123.51%168.46K
-1.14%75.37K
-1.14%75.37K
--76.24K
--76.24K
----
----
-Current capital lease obligation
1.01%170.15K
1.01%170.15K
123.51%168.46K
123.51%168.46K
-1.14%75.37K
-1.14%75.37K
--76.24K
--76.24K
----
----
Other current liabilities
-40.01%572.8K
-40.01%572.8K
8.73%954.78K
8.73%954.78K
110.24%878.09K
110.24%878.09K
-45.00%417.66K
-45.00%417.66K
--759.4K
--759.4K
Current liabilities
-35.78%4.46M
-35.78%4.46M
-21.51%6.95M
-21.51%6.95M
262.64%8.86M
262.64%8.86M
-21.90%2.44M
-21.90%2.44M
--3.13M
--3.13M
Non current liabilities
Long term debt and capital lease obligation
-70.44%71.4K
-70.44%71.4K
--241.55K
--241.55K
----
----
----
----
----
----
-Long term capital lease obligation
-70.44%71.4K
-70.44%71.4K
--241.55K
--241.55K
----
----
----
----
----
----
Employee benefits
101.96%252.85K
101.96%252.85K
11.54%125.2K
11.54%125.2K
72.64%112.24K
72.64%112.24K
-44.94%65.02K
-44.94%65.02K
--118.08K
--118.08K
Total non current liabilities
-11.59%324.25K
-11.59%324.25K
226.74%366.75K
226.74%366.75K
72.64%112.24K
72.64%112.24K
-44.94%65.02K
-44.94%65.02K
--118.08K
--118.08K
Total liabilities
-34.57%4.79M
-34.57%4.79M
-18.40%7.32M
-18.40%7.32M
257.71%8.97M
257.71%8.97M
-22.74%2.51M
-22.74%2.51M
--3.25M
--3.25M
Shareholders'equity
Share capital
9.24%153.71M
9.24%153.71M
10.99%140.7M
10.99%140.7M
5.94%126.77M
5.94%126.77M
0.07%119.67M
0.07%119.67M
--119.59M
--119.59M
-common stock
9.24%153.71M
9.24%153.71M
10.99%140.7M
10.99%140.7M
5.94%126.77M
5.94%126.77M
0.07%119.67M
0.07%119.67M
--119.59M
--119.59M
Retained earnings
-9.99%-150.44M
-9.99%-150.44M
-9.46%-136.78M
-9.46%-136.78M
-8.27%-124.96M
-8.27%-124.96M
-9.50%-115.42M
-9.50%-115.42M
---105.4M
---105.4M
Gains losses not affecting retained earnings
-0.13%5.85M
-0.13%5.85M
25.61%5.86M
25.61%5.86M
10.57%4.66M
10.57%4.66M
23.71%4.22M
23.71%4.22M
--3.41M
--3.41M
Total stockholders'equity
-6.80%9.12M
-6.80%9.12M
51.02%9.78M
51.02%9.78M
-23.57%6.48M
-23.57%6.48M
-51.85%8.47M
-51.85%8.47M
--17.6M
--17.6M
Total equity
-6.80%9.12M
-6.80%9.12M
51.02%9.78M
51.02%9.78M
-23.57%6.48M
-23.57%6.48M
-51.85%8.47M
-51.85%8.47M
--17.6M
--17.6M
Currency Unit
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
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(Q4)Jun 30, 2023(FY)Jun 30, 2022(Q4)Jun 30, 2022(FY)Jun 30, 2021(Q4)Jun 30, 2021(FY)Jun 30, 2020(Q4)Jun 30, 2020(FY)Jun 30, 2019(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -39.08%5.51M-39.08%5.51M-7.73%9.05M-7.73%9.05M189.31%9.81M189.31%9.81M-68.90%3.39M-68.90%3.39M--10.9M--10.9M
-Cash and cash equivalents -39.08%5.51M-39.08%5.51M-7.73%9.05M-7.73%9.05M189.31%9.81M189.31%9.81M-68.90%3.39M-68.90%3.39M--10.9M--10.9M
Receivables 72.57%2.56M72.57%2.56M57.25%1.49M57.25%1.49M598.41%944.79K598.41%944.79K120.63%135.28K120.63%135.28K--61.31K--61.31K
-Accounts receivable -4.61%55.39K-4.61%55.39K-78.77%58.07K-78.77%58.07K23.07%273.55K23.07%273.55K147.76%222.28K147.76%222.28K--89.71K--89.71K
-Other receivables 75.71%2.51M75.71%2.51M112.69%1.43M112.69%1.43M--671.24K--671.24K----------------
-Recievables adjustments allowances -------------------------206.34%-87K-206.34%-87K---28.4K---28.4K
Inventory -24.48%2.74M-24.48%2.74M8.31%3.62M8.31%3.62M-40.28%3.35M-40.28%3.35M-28.77%5.6M-28.77%5.6M--7.87M--7.87M
Prepaid assets -36.43%618.83K-36.43%618.83K534.69%973.46K534.69%973.46K-46.26%153.38K-46.26%153.38K26.96%285.4K26.96%285.4K--224.8K--224.8K
Other current assets 3.66%87.22K3.66%87.22K0.70%84.14K0.70%84.14K-9.16%83.55K-9.16%83.55K0.82%91.98K0.82%91.98K--91.23K--91.23K
Total current assets -24.30%11.52M-24.30%11.52M6.15%15.22M6.15%15.22M50.80%14.34M50.80%14.34M-50.35%9.51M-50.35%9.51M--19.15M--19.15M
Non current assets
Net PPE 34.18%1.88M34.18%1.88M102.51%1.4M102.51%1.4M-17.79%692.93K-17.79%692.93K-22.65%842.88K-22.65%842.88K--1.09M--1.09M
-Gross PPE 21.72%7.89M21.72%7.89M13.90%6.48M13.90%6.48M0.63%5.69M0.63%5.69M8.68%5.66M8.68%5.66M--5.21M--5.21M
-Accumulated depreciation -18.28%-6.01M-18.28%-6.01M-1.62%-5.08M-1.62%-5.08M-3.85%-5M-3.85%-5M-16.98%-4.81M-16.98%-4.81M---4.12M---4.12M
Goodwill and other intangible assets 4.91%501.23K4.91%501.23K14.94%477.78K14.94%477.78K-34.06%415.69K-34.06%415.69K3.93%630.45K3.93%630.45K--606.61K--606.61K
-Other intangible assets 4.91%501.23K4.91%501.23K14.94%477.78K14.94%477.78K-34.06%415.69K-34.06%415.69K3.93%630.45K3.93%630.45K--606.61K--606.61K
Total non current assets 26.74%2.38M26.74%2.38M69.67%1.88M69.67%1.88M-24.75%1.11M-24.75%1.11M-13.14%1.47M-13.14%1.47M--1.7M--1.7M
Total assets -18.68%13.9M-18.68%13.9M10.71%17.1M10.71%17.1M40.67%15.45M40.67%15.45M-47.32%10.98M-47.32%10.98M--20.84M--20.84M
Liabilities
Current liabilities
Payables -62.82%1.53M-62.82%1.53M-33.35%4.12M-33.35%4.12M1,155.62%6.18M1,155.62%6.18M-53.34%492.1K-53.34%492.1K--1.05M--1.05M
-accounts payable -21.48%751.29K-21.48%751.29K42.64%956.78K42.64%956.78K99.54%670.77K99.54%670.77K-59.74%336.16K-59.74%336.16K--834.99K--834.99K
-Other payable -75.33%780.09K-75.33%780.09K-42.60%3.16M-42.60%3.16M3,432.26%5.51M3,432.26%5.51M-29.01%155.94K-29.01%155.94K--219.66K--219.66K
Current provisions 33.99%1.54M33.99%1.54M-5.62%1.15M-5.62%1.15M17.83%1.22M17.83%1.22M8.24%1.03M8.24%1.03M--953.23K--953.23K
Current debt and capital lease obligation 1.01%170.15K1.01%170.15K123.51%168.46K123.51%168.46K-1.14%75.37K-1.14%75.37K--76.24K--76.24K--------
-Current capital lease obligation 1.01%170.15K1.01%170.15K123.51%168.46K123.51%168.46K-1.14%75.37K-1.14%75.37K--76.24K--76.24K--------
Other current liabilities -40.01%572.8K-40.01%572.8K8.73%954.78K8.73%954.78K110.24%878.09K110.24%878.09K-45.00%417.66K-45.00%417.66K--759.4K--759.4K
Current liabilities -35.78%4.46M-35.78%4.46M-21.51%6.95M-21.51%6.95M262.64%8.86M262.64%8.86M-21.90%2.44M-21.90%2.44M--3.13M--3.13M
Non current liabilities
Long term debt and capital lease obligation -70.44%71.4K-70.44%71.4K--241.55K--241.55K------------------------
-Long term capital lease obligation -70.44%71.4K-70.44%71.4K--241.55K--241.55K------------------------
Employee benefits 101.96%252.85K101.96%252.85K11.54%125.2K11.54%125.2K72.64%112.24K72.64%112.24K-44.94%65.02K-44.94%65.02K--118.08K--118.08K
Total non current liabilities -11.59%324.25K-11.59%324.25K226.74%366.75K226.74%366.75K72.64%112.24K72.64%112.24K-44.94%65.02K-44.94%65.02K--118.08K--118.08K
Total liabilities -34.57%4.79M-34.57%4.79M-18.40%7.32M-18.40%7.32M257.71%8.97M257.71%8.97M-22.74%2.51M-22.74%2.51M--3.25M--3.25M
Shareholders'equity
Share capital 9.24%153.71M9.24%153.71M10.99%140.7M10.99%140.7M5.94%126.77M5.94%126.77M0.07%119.67M0.07%119.67M--119.59M--119.59M
-common stock 9.24%153.71M9.24%153.71M10.99%140.7M10.99%140.7M5.94%126.77M5.94%126.77M0.07%119.67M0.07%119.67M--119.59M--119.59M
Retained earnings -9.99%-150.44M-9.99%-150.44M-9.46%-136.78M-9.46%-136.78M-8.27%-124.96M-8.27%-124.96M-9.50%-115.42M-9.50%-115.42M---105.4M---105.4M
Gains losses not affecting retained earnings -0.13%5.85M-0.13%5.85M25.61%5.86M25.61%5.86M10.57%4.66M10.57%4.66M23.71%4.22M23.71%4.22M--3.41M--3.41M
Total stockholders'equity -6.80%9.12M-6.80%9.12M51.02%9.78M51.02%9.78M-23.57%6.48M-23.57%6.48M-51.85%8.47M-51.85%8.47M--17.6M--17.6M
Total equity -6.80%9.12M-6.80%9.12M51.02%9.78M51.02%9.78M-23.57%6.48M-23.57%6.48M-51.85%8.47M-51.85%8.47M--17.6M--17.6M
Currency Unit AUDAUDAUDAUDAUDAUDAUDAUDAUDAUD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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Overall
Symbol
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% Chg

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