AU Stock MarketDetailed Quotes

RKN Reckon Ltd

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  • 0.525
  • +0.005+0.96%
20min DelayMarket Closed Jul 19 15:36 AET
59.48MMarket Cap10.71P/E (Static)

Reckon Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(FY)Dec 30, 2022
(FY)Dec 30, 2021
(FY)Dec 30, 2020
(FY)Dec 30, 2019
(FY)Dec 30, 2018
(FY)Dec 30, 2017
(FY)Dec 30, 2016
(FY)Dec 30, 2015
(FY)Dec 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
13.58%58.62M
-13.76%51.61M
-9.35%59.85M
-1.87%66.02M
-5.70%67.28M
-11.91%71.35M
-23.56%80.99M
-8.83%105.96M
3.03%116.23M
6.54%112.82M
Revenue from customers
-17.17%58.62M
-11.76%70.77M
-6.22%80.2M
2.33%85.52M
-2.41%83.57M
-12.76%85.63M
-7.37%98.16M
-8.83%105.96M
3.03%116.23M
6.54%112.82M
Other cash income from operating activities
----
5.85%-19.16M
-4.37%-20.35M
-19.70%-19.5M
-14.06%-16.29M
16.80%-14.28M
---17.16M
----
----
----
Cash paid
11.89%-38.36M
8.24%-43.54M
4.46%-47.45M
6.24%-49.66M
6.43%-52.96M
16.59%-56.61M
7.25%-67.86M
5.28%-73.17M
-4.41%-77.24M
0.22%-73.98M
Payments to suppliers for goods and services
11.89%-38.36M
8.24%-43.54M
4.46%-47.45M
6.24%-49.66M
6.43%-52.96M
16.59%-56.61M
7.25%-67.86M
5.28%-73.17M
-4.41%-77.24M
0.22%-73.98M
Direct interest paid
----
----
41.95%-548K
27.72%-944K
14.75%-1.31M
10.20%-1.53M
17.50%-1.71M
1.10%-2.07M
-40.43%-2.09M
-111.21%-1.49M
Direct interest received
-140.59%-151K
--372K
----
----
----
----
----
-30.23%30K
104.76%43K
-34.38%21K
Direct tax refund paid
-28.46%-975K
28.93%-759K
57.37%-1.07M
7.39%-2.51M
-15.95%-2.71M
-31.44%-2.33M
-67.77%-1.78M
68.86%-1.06M
44.09%-3.4M
-33.79%-6.08M
Operating cash flow
148.91%19.13M
-28.73%7.69M
-16.48%10.79M
25.30%12.91M
-5.28%10.31M
12.73%10.88M
-67.50%9.65M
-11.45%29.7M
7.20%33.54M
17.95%31.29M
Investing cash flow
Cash flow from continuing investing activities
-119.56%-15.29M
506.09%78.17M
2,170.60%12.9M
-43.14%568K
175.80%999K
47.39%-1.32M
91.14%-2.51M
5.00%-28.26M
-59.26%-29.75M
-24.76%-18.68M
Capital expenditure reported
---14.36M
----
----
----
----
----
----
----
----
-27.10%-16.68M
Net PPE purchase and sale
22.07%-166K
71.18%-213K
-48.99%-739K
6.24%-496K
44.08%-529K
-37.90%-946K
27.18%-686K
18.23%-942K
-47.50%-1.15M
48.62%-781K
Net intangibles purchas and sale
----
----
----
----
----
---100K
----
-14.05%-24.17M
-10,136.71%-21.19M
33.44%-207K
Net business purchase and sale
-99.85%120K
480.39%78.38M
--13.51M
----
543.86%253K
70.92%-57K
95.68%-196K
49.79%-4.54M
-281.74%-9.03M
-35.20%-2.37M
Net investment purchase and sale
---881K
----
----
----
----
----
----
----
----
----
Net other investing changes
----
----
-87.69%131K
-16.55%1.06M
693.02%1.28M
86.75%-215K
-217.27%-1.62M
-14.94%1.38M
19.72%1.63M
--1.36M
Cash from discontinued investing activities
Investing cash flow
-119.56%-15.29M
506.09%78.17M
2,170.60%12.9M
-43.14%568K
175.80%999K
47.39%-1.32M
91.14%-2.51M
5.00%-28.26M
-59.26%-29.75M
-24.76%-18.68M
Financing cash flow
Cash flow from continuing financing activities
95.22%-4.11M
-266.31%-85.93M
-74.33%-23.46M
-9.03%-13.46M
-30.87%-12.34M
-55.45%-9.43M
-197.11%-6.07M
54.37%-2.04M
65.54%-4.48M
-21.34%-12.99M
Net issuance payments of debt
97.35%-320K
22.93%-12.06M
-172.14%-15.65M
18.11%-5.75M
-16.20%-7.02M
-509.27%-6.04M
-153.25%-992K
-71.00%1.86M
-75.30%6.42M
280.40%26M
Net common stock issuance
112.14%242K
-9,390.48%-1.99M
---21K
----
----
---1K
----
----
99.22%-215K
-370.45%-27.51M
Cash dividends paid
95.97%-2.83M
-1,139.95%-70.24M
0.00%-5.67M
-66.91%-5.67M
-0.24%-3.39M
-0.33%-3.39M
13.57%-3.38M
60.99%-3.91M
6.58%-10.01M
4.78%-10.72M
Net other financing activities
26.43%-1.2M
23.10%-1.63M
-3.97%-2.12M
-5.97%-2.04M
---1.93M
----
---1.7M
----
11.78%-674K
-74.43%-764K
Cash from discontinued financing activities
Financing cash flow
95.22%-4.11M
-266.31%-85.93M
-74.33%-23.46M
-9.03%-13.46M
-30.87%-12.34M
-55.45%-9.43M
-197.11%-6.07M
54.37%-2.04M
65.54%-4.48M
-21.34%-12.99M
Net cash flow
Beginning cash position
-11.55%1.23M
22.93%1.39M
0.89%1.13M
-47.60%1.12M
9.55%2.15M
111.90%1.96M
-43.69%924K
-27.00%1.64M
-11.98%2.25M
78.35%2.55M
Current changes in cash
-252.00%-264K
-133.48%-75K
796.00%224K
102.41%25K
-891.60%-1.04M
-87.86%131K
278.64%1.08M
11.57%-604K
-80.69%-683K
-144.42%-378K
Effect of exchange rate changes
-14.29%6K
-80.56%7K
340.00%36K
-193.75%-15K
-71.43%16K
224.44%56K
60.18%-45K
-248.68%-113K
5.56%76K
-73.43%72K
Cash adjustments other than cash changes
----
---93K
----
----
----
----
----
----
----
----
End cash Position
-20.92%975K
-11.55%1.23M
22.93%1.39M
0.89%1.13M
-47.60%1.12M
9.55%2.15M
111.90%1.96M
-43.69%924K
-27.00%1.64M
-11.98%2.25M
Free cash from
-38.36%4.61M
-25.60%7.47M
-19.09%10.05M
27.00%12.42M
-0.58%9.78M
9.69%9.83M
95.36%8.97M
-58.87%4.59M
-18.05%11.16M
17.70%13.62M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2023(FY)Dec 30, 2022(FY)Dec 30, 2021(FY)Dec 30, 2020(FY)Dec 30, 2019(FY)Dec 30, 2018(FY)Dec 30, 2017(FY)Dec 30, 2016(FY)Dec 30, 2015(FY)Dec 30, 2014
Operating cash flow (direct method)
Cash income from operating activities 13.58%58.62M-13.76%51.61M-9.35%59.85M-1.87%66.02M-5.70%67.28M-11.91%71.35M-23.56%80.99M-8.83%105.96M3.03%116.23M6.54%112.82M
Revenue from customers -17.17%58.62M-11.76%70.77M-6.22%80.2M2.33%85.52M-2.41%83.57M-12.76%85.63M-7.37%98.16M-8.83%105.96M3.03%116.23M6.54%112.82M
Other cash income from operating activities ----5.85%-19.16M-4.37%-20.35M-19.70%-19.5M-14.06%-16.29M16.80%-14.28M---17.16M------------
Cash paid 11.89%-38.36M8.24%-43.54M4.46%-47.45M6.24%-49.66M6.43%-52.96M16.59%-56.61M7.25%-67.86M5.28%-73.17M-4.41%-77.24M0.22%-73.98M
Payments to suppliers for goods and services 11.89%-38.36M8.24%-43.54M4.46%-47.45M6.24%-49.66M6.43%-52.96M16.59%-56.61M7.25%-67.86M5.28%-73.17M-4.41%-77.24M0.22%-73.98M
Direct interest paid --------41.95%-548K27.72%-944K14.75%-1.31M10.20%-1.53M17.50%-1.71M1.10%-2.07M-40.43%-2.09M-111.21%-1.49M
Direct interest received -140.59%-151K--372K---------------------30.23%30K104.76%43K-34.38%21K
Direct tax refund paid -28.46%-975K28.93%-759K57.37%-1.07M7.39%-2.51M-15.95%-2.71M-31.44%-2.33M-67.77%-1.78M68.86%-1.06M44.09%-3.4M-33.79%-6.08M
Operating cash flow 148.91%19.13M-28.73%7.69M-16.48%10.79M25.30%12.91M-5.28%10.31M12.73%10.88M-67.50%9.65M-11.45%29.7M7.20%33.54M17.95%31.29M
Investing cash flow
Cash flow from continuing investing activities -119.56%-15.29M506.09%78.17M2,170.60%12.9M-43.14%568K175.80%999K47.39%-1.32M91.14%-2.51M5.00%-28.26M-59.26%-29.75M-24.76%-18.68M
Capital expenditure reported ---14.36M---------------------------------27.10%-16.68M
Net PPE purchase and sale 22.07%-166K71.18%-213K-48.99%-739K6.24%-496K44.08%-529K-37.90%-946K27.18%-686K18.23%-942K-47.50%-1.15M48.62%-781K
Net intangibles purchas and sale -----------------------100K-----14.05%-24.17M-10,136.71%-21.19M33.44%-207K
Net business purchase and sale -99.85%120K480.39%78.38M--13.51M----543.86%253K70.92%-57K95.68%-196K49.79%-4.54M-281.74%-9.03M-35.20%-2.37M
Net investment purchase and sale ---881K------------------------------------
Net other investing changes ---------87.69%131K-16.55%1.06M693.02%1.28M86.75%-215K-217.27%-1.62M-14.94%1.38M19.72%1.63M--1.36M
Cash from discontinued investing activities
Investing cash flow -119.56%-15.29M506.09%78.17M2,170.60%12.9M-43.14%568K175.80%999K47.39%-1.32M91.14%-2.51M5.00%-28.26M-59.26%-29.75M-24.76%-18.68M
Financing cash flow
Cash flow from continuing financing activities 95.22%-4.11M-266.31%-85.93M-74.33%-23.46M-9.03%-13.46M-30.87%-12.34M-55.45%-9.43M-197.11%-6.07M54.37%-2.04M65.54%-4.48M-21.34%-12.99M
Net issuance payments of debt 97.35%-320K22.93%-12.06M-172.14%-15.65M18.11%-5.75M-16.20%-7.02M-509.27%-6.04M-153.25%-992K-71.00%1.86M-75.30%6.42M280.40%26M
Net common stock issuance 112.14%242K-9,390.48%-1.99M---21K-----------1K--------99.22%-215K-370.45%-27.51M
Cash dividends paid 95.97%-2.83M-1,139.95%-70.24M0.00%-5.67M-66.91%-5.67M-0.24%-3.39M-0.33%-3.39M13.57%-3.38M60.99%-3.91M6.58%-10.01M4.78%-10.72M
Net other financing activities 26.43%-1.2M23.10%-1.63M-3.97%-2.12M-5.97%-2.04M---1.93M-------1.7M----11.78%-674K-74.43%-764K
Cash from discontinued financing activities
Financing cash flow 95.22%-4.11M-266.31%-85.93M-74.33%-23.46M-9.03%-13.46M-30.87%-12.34M-55.45%-9.43M-197.11%-6.07M54.37%-2.04M65.54%-4.48M-21.34%-12.99M
Net cash flow
Beginning cash position -11.55%1.23M22.93%1.39M0.89%1.13M-47.60%1.12M9.55%2.15M111.90%1.96M-43.69%924K-27.00%1.64M-11.98%2.25M78.35%2.55M
Current changes in cash -252.00%-264K-133.48%-75K796.00%224K102.41%25K-891.60%-1.04M-87.86%131K278.64%1.08M11.57%-604K-80.69%-683K-144.42%-378K
Effect of exchange rate changes -14.29%6K-80.56%7K340.00%36K-193.75%-15K-71.43%16K224.44%56K60.18%-45K-248.68%-113K5.56%76K-73.43%72K
Cash adjustments other than cash changes -------93K--------------------------------
End cash Position -20.92%975K-11.55%1.23M22.93%1.39M0.89%1.13M-47.60%1.12M9.55%2.15M111.90%1.96M-43.69%924K-27.00%1.64M-11.98%2.25M
Free cash from -38.36%4.61M-25.60%7.47M-19.09%10.05M27.00%12.42M-0.58%9.78M9.69%9.83M95.36%8.97M-58.87%4.59M-18.05%11.16M17.70%13.62M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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Price Target

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