AU Stock MarketDetailed Quotes

SPK Spark New Zealand Ltd

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  • 2.745
  • +0.015+0.55%
20min DelayClosing Auction Session Oct 15 15:49 AET
4.98BMarket Cap17.37P/E (Static)

Spark New Zealand 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
-2.08%3.71B
3.67%3.79B
3.07%3.66B
-1.31%3.55B
6.02%3.59B
-3.36%3.39B
2.42%3.51B
2.21%3.43B
-0.95%3.35B
-9.57%3.38B
Revenue from customers
-2.08%3.71B
3.67%3.79B
3.07%3.66B
-1.31%3.55B
4.96%3.59B
-2.39%3.42B
2.42%3.51B
2.21%3.43B
-0.95%3.35B
-9.57%3.38B
Other cash income from operating activities
----
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----
----
----
---34M
----
----
----
----
Cash paid
2.82%-2.65B
-4.76%-2.73B
-6.24%-2.61B
1.76%-2.45B
-0.56%-2.5B
4.21%-2.48B
0.65%-2.59B
-1.52%-2.61B
2.21%-2.57B
13.81%-2.63B
Payments to suppliers for goods and services
2.82%-2.65B
-4.76%-2.73B
-6.24%-2.61B
1.76%-2.45B
-0.56%-2.5B
4.21%-2.48B
0.65%-2.59B
-1.52%-2.61B
2.21%-2.57B
13.81%-2.63B
Direct dividend received
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----
----
----
----
-70.00%15M
-24.24%50M
-14.29%66M
102.63%77M
-53.66%38M
Direct interest paid
-34.34%-133M
-35.62%-99M
8.75%-73M
9.09%-80M
-95.56%-88M
-21.62%-45M
-2.78%-37M
12.20%-36M
14.58%-41M
11.11%-48M
Direct interest received
-3.45%28M
20.83%29M
-25.00%24M
-5.88%32M
-2.86%34M
133.33%35M
7.14%15M
-6.67%14M
-40.00%15M
-7.41%25M
Direct tax refund paid
0.53%-189M
-18.75%-190M
14.89%-160M
-34.29%-188M
-3.70%-140M
19.16%-135M
-16.78%-167M
-23.28%-143M
17.14%-116M
-5.26%-140M
Operating cash flow
-4.50%764M
-4.88%800M
-1.98%841M
-4.98%858M
16.22%903M
0.00%777M
8.37%777M
0.14%717M
13.65%716M
2.61%630M
Investing cash flow
Cash flow from continuing investing activities
-229.41%-550M
186.38%425M
-26.80%-492M
5.60%-388M
3.52%-411M
11.98%-426M
-27.37%-484M
22.13%-380M
-7.02%-488M
-4,660.00%-456M
Net PPE purchase and sale
-18.10%-548M
-9.18%-464M
-29.18%-425M
13.42%-329M
8.21%-380M
-0.24%-414M
-11.32%-413M
11.24%-371M
28.67%-418M
-21.58%-586M
Net intangibles purchas and sale
-100.45%-4M
--887M
----
---51M
----
----
----
--6M
----
----
Net business purchase and sale
---5M
----
-240.00%-7M
-58.33%5M
--12M
----
-975.00%-43M
91.49%-4M
-127.81%-47M
-65.86%169M
Net investment purchase and sale
300.00%6M
94.55%-3M
-685.71%-55M
80.00%-7M
-775.00%-35M
80.00%-4M
-300.00%-20M
70.59%-5M
48.48%-17M
-1,000.00%-33M
Interest received (cash flow from investment activities)
----
----
----
----
----
----
----
----
----
14.29%-6M
Net other investing changes
-80.00%1M
200.00%5M
16.67%-5M
25.00%-6M
0.00%-8M
0.00%-8M
-33.33%-8M
0.00%-6M
---6M
----
Cash from discontinued investing activities
Investing cash flow
-229.41%-550M
186.38%425M
-26.80%-492M
5.60%-388M
3.52%-411M
11.98%-426M
-27.37%-484M
22.13%-380M
-7.02%-488M
-4,660.00%-456M
Financing cash flow
Cash flow from continuing financing activities
78.68%-255M
-241.71%-1.2B
22.39%-350M
8.52%-451M
-40.06%-493M
-21.38%-352M
13.95%-290M
-31.64%-337M
15.79%-256M
42.64%-304M
Net issuance payments of debt
210.15%510M
-316.36%-463M
663.16%214M
-226.67%-38M
-80.52%30M
-11.49%154M
35.94%174M
-32.28%128M
1,281.25%189M
94.44%-16M
Net common stock issuance
-8.90%-159M
---146M
----
----
----
----
----
----
52.17%-11M
---23M
Cash dividends paid
-1.65%-494M
-8.24%-486M
-36.06%-449M
28.10%-330M
0.00%-459M
-0.22%-459M
0.00%-458M
-6.51%-458M
-44.30%-430M
-9.96%-298M
Net other financing activities
-10.89%-112M
12.17%-101M
-38.55%-115M
-29.69%-83M
-36.17%-64M
-683.33%-47M
14.29%-6M
-75.00%-7M
-112.12%-4M
13.79%33M
Cash from discontinued financing activities
Financing cash flow
78.68%-255M
-241.71%-1.2B
22.39%-350M
8.52%-451M
-40.06%-493M
-21.38%-352M
13.95%-290M
-31.64%-337M
15.79%-256M
42.64%-304M
Net cash flow
Beginning cash position
40.85%100M
-1.39%71M
35.85%72M
-1.85%53M
-1.82%54M
5.77%55M
0.00%52M
-35.00%52M
-61.54%80M
76.27%208M
Current changes in cash
-241.38%-41M
3,000.00%29M
-105.26%-1M
2,000.00%19M
0.00%-1M
-133.33%-1M
--3M
----
78.46%-28M
-238.30%-130M
Effect of exchange rate changes
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----
----
----
----
----
----
----
----
200.00%2M
End cash Position
-41.00%59M
40.85%100M
-1.39%71M
35.85%72M
-1.85%53M
-1.82%54M
5.77%55M
0.00%52M
-35.00%52M
-61.54%80M
Free cash from
-45.45%174M
-23.32%319M
-11.86%416M
-7.45%472M
40.88%510M
-0.28%362M
11.69%363M
9.06%325M
577.27%298M
-66.41%44M
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
(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 -2.08%3.71B3.67%3.79B3.07%3.66B-1.31%3.55B6.02%3.59B-3.36%3.39B2.42%3.51B2.21%3.43B-0.95%3.35B-9.57%3.38B
Revenue from customers -2.08%3.71B3.67%3.79B3.07%3.66B-1.31%3.55B4.96%3.59B-2.39%3.42B2.42%3.51B2.21%3.43B-0.95%3.35B-9.57%3.38B
Other cash income from operating activities -----------------------34M----------------
Cash paid 2.82%-2.65B-4.76%-2.73B-6.24%-2.61B1.76%-2.45B-0.56%-2.5B4.21%-2.48B0.65%-2.59B-1.52%-2.61B2.21%-2.57B13.81%-2.63B
Payments to suppliers for goods and services 2.82%-2.65B-4.76%-2.73B-6.24%-2.61B1.76%-2.45B-0.56%-2.5B4.21%-2.48B0.65%-2.59B-1.52%-2.61B2.21%-2.57B13.81%-2.63B
Direct dividend received ---------------------70.00%15M-24.24%50M-14.29%66M102.63%77M-53.66%38M
Direct interest paid -34.34%-133M-35.62%-99M8.75%-73M9.09%-80M-95.56%-88M-21.62%-45M-2.78%-37M12.20%-36M14.58%-41M11.11%-48M
Direct interest received -3.45%28M20.83%29M-25.00%24M-5.88%32M-2.86%34M133.33%35M7.14%15M-6.67%14M-40.00%15M-7.41%25M
Direct tax refund paid 0.53%-189M-18.75%-190M14.89%-160M-34.29%-188M-3.70%-140M19.16%-135M-16.78%-167M-23.28%-143M17.14%-116M-5.26%-140M
Operating cash flow -4.50%764M-4.88%800M-1.98%841M-4.98%858M16.22%903M0.00%777M8.37%777M0.14%717M13.65%716M2.61%630M
Investing cash flow
Cash flow from continuing investing activities -229.41%-550M186.38%425M-26.80%-492M5.60%-388M3.52%-411M11.98%-426M-27.37%-484M22.13%-380M-7.02%-488M-4,660.00%-456M
Net PPE purchase and sale -18.10%-548M-9.18%-464M-29.18%-425M13.42%-329M8.21%-380M-0.24%-414M-11.32%-413M11.24%-371M28.67%-418M-21.58%-586M
Net intangibles purchas and sale -100.45%-4M--887M-------51M--------------6M--------
Net business purchase and sale ---5M-----240.00%-7M-58.33%5M--12M-----975.00%-43M91.49%-4M-127.81%-47M-65.86%169M
Net investment purchase and sale 300.00%6M94.55%-3M-685.71%-55M80.00%-7M-775.00%-35M80.00%-4M-300.00%-20M70.59%-5M48.48%-17M-1,000.00%-33M
Interest received (cash flow from investment activities) ------------------------------------14.29%-6M
Net other investing changes -80.00%1M200.00%5M16.67%-5M25.00%-6M0.00%-8M0.00%-8M-33.33%-8M0.00%-6M---6M----
Cash from discontinued investing activities
Investing cash flow -229.41%-550M186.38%425M-26.80%-492M5.60%-388M3.52%-411M11.98%-426M-27.37%-484M22.13%-380M-7.02%-488M-4,660.00%-456M
Financing cash flow
Cash flow from continuing financing activities 78.68%-255M-241.71%-1.2B22.39%-350M8.52%-451M-40.06%-493M-21.38%-352M13.95%-290M-31.64%-337M15.79%-256M42.64%-304M
Net issuance payments of debt 210.15%510M-316.36%-463M663.16%214M-226.67%-38M-80.52%30M-11.49%154M35.94%174M-32.28%128M1,281.25%189M94.44%-16M
Net common stock issuance -8.90%-159M---146M------------------------52.17%-11M---23M
Cash dividends paid -1.65%-494M-8.24%-486M-36.06%-449M28.10%-330M0.00%-459M-0.22%-459M0.00%-458M-6.51%-458M-44.30%-430M-9.96%-298M
Net other financing activities -10.89%-112M12.17%-101M-38.55%-115M-29.69%-83M-36.17%-64M-683.33%-47M14.29%-6M-75.00%-7M-112.12%-4M13.79%33M
Cash from discontinued financing activities
Financing cash flow 78.68%-255M-241.71%-1.2B22.39%-350M8.52%-451M-40.06%-493M-21.38%-352M13.95%-290M-31.64%-337M15.79%-256M42.64%-304M
Net cash flow
Beginning cash position 40.85%100M-1.39%71M35.85%72M-1.85%53M-1.82%54M5.77%55M0.00%52M-35.00%52M-61.54%80M76.27%208M
Current changes in cash -241.38%-41M3,000.00%29M-105.26%-1M2,000.00%19M0.00%-1M-133.33%-1M--3M----78.46%-28M-238.30%-130M
Effect of exchange rate changes ------------------------------------200.00%2M
End cash Position -41.00%59M40.85%100M-1.39%71M35.85%72M-1.85%53M-1.82%54M5.77%55M0.00%52M-35.00%52M-61.54%80M
Free cash from -45.45%174M-23.32%319M-11.86%416M-7.45%472M40.88%510M-0.28%362M11.69%363M9.06%325M577.27%298M-66.41%44M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------------Unqualified OpinionUnqualified Opinion

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