US Stock MarketDetailed Quotes

TRT Trio-Tech International

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  • 5.938
  • -0.172-2.82%
Close Feb 14 16:00 ET
  • 5.938
  • 0.0000.00%
Post 20:01 ET
25.25MMarket Cap45.68P/E (TTM)

Trio-Tech International Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
57.19%2.11M
-7,837.50%-1.86M
-68.46%2.56M
-97.35%45K
-56.46%1.15M
-39.45%1.34M
-98.46%24K
282.01%8.11M
10.04%1.7M
1,120.16%2.63M
Net income from continuing operations
8.85%529K
-207.73%-223K
-35.04%1.14M
77.64%286K
201.85%163K
-13.98%486K
-78.83%207K
-23.53%1.76M
-77.61%161K
126.47%54K
Operating gains losses
-5,970.00%-607K
167.44%460K
557.14%46K
---26K
---90K
-143.48%-10K
1,246.67%172K
-90.79%7K
----
----
Depreciation and amortization
-45.85%711K
-51.67%711K
-16.78%4.23M
-52.45%688K
-49.13%762K
4.12%1.31M
66.78%1.47M
65.46%5.09M
78.20%1.45M
96.85%1.5M
Deferred tax
4,100.00%40K
107.02%4K
-114.57%-29K
--0
107.14%29K
-101.35%-1K
-385.00%-57K
503.03%199K
56.90%91K
116.09%14K
Other non cash items
-0.56%358K
6.84%-368K
-13.34%-1.49M
-11.38%-1.45M
0.00%-3K
9.42%360K
-17.21%-395K
-22.27%-1.31M
-264.43%-1.3M
99.61%-3K
Change In working capital
205.52%898K
-75.78%-2.53M
-191.98%-1.85M
-62.83%481K
-104.96%-35K
-1,602.00%-851K
-2,628.07%-1.44M
174.69%2.01M
441.42%1.29M
280.56%706K
-Change in receivables
343.57%1.86M
18.47%-1.54M
-123.52%-440K
-103.01%-34K
2.60%2.25M
-23.50%-762K
-127.71%-1.89M
152.23%1.87M
266.03%1.13M
575.62%2.19M
-Change in inventory
25.52%718K
121.37%409K
-554.78%-1.05M
-368.67%-446K
-16.16%742K
10.00%572K
-42.73%-1.91M
191.27%230K
973.68%166K
203.08%885K
-Change in prepaid assets
-73.12%25K
-202.78%-37K
-68.88%159K
-55.07%31K
99.32%-1K
82.35%93K
-93.30%36K
161.86%511K
113.42%69K
37.34%-146K
-Change in payables and accrued expense
-768.71%-983K
-153.27%-1.46M
142.96%622K
141.52%414K
-68.34%-2.68M
127.27%147K
63.15%2.74M
-178.06%-1.45M
-167.92%-997K
-27.06%-1.59M
-Change in other current assets
136.36%4K
297.87%93K
-410.00%-51K
-70.00%-17K
500.00%24K
26.67%-11K
-527.27%-47K
-108.47%-10K
37.50%-10K
-55.56%4K
-Change in other current liabilities
18.88%-722K
100.82%3K
-200.18%-567K
62.46%1.06M
42.27%-366K
-261.82%-890K
---367K
--566K
--650K
---634K
-Change in other working capital
----
----
-282.23%-523K
----
----
----
----
--287K
----
----
Cash from discontinued investing activities
Operating cash flow
57.19%2.11M
-7,837.50%-1.86M
-68.46%2.56M
-97.35%45K
-56.46%1.15M
-39.45%1.34M
-98.46%24K
282.01%8.11M
10.04%1.7M
1,120.16%2.63M
Investing cash flow
Cash flow from continuing investing activities
-50.62%159K
-90.05%81K
98.14%-113K
69.97%-569K
9.45%-680K
106.77%322K
-38.80%814K
-1,268.02%-6.07M
-92.97%-1.9M
-147.04%-751K
Net PPE purchase and sale
90.12%-8K
23.38%-59K
89.10%-482K
-0.58%-345K
125.30%21K
97.15%-81K
93.34%-77K
-201.09%-4.42M
-5.86%-343K
76.22%-83K
Net investment purchase and sale
-49.70%167K
-79.80%140K
110.22%169K
85.44%-226K
5.69%-630K
117.29%332K
-72.12%693K
-261.52%-1.65M
-135.87%-1.55M
-1,584.44%-668K
Net other investing changes
----
----
--200K
--2K
---71K
--71K
--198K
----
----
----
Cash from discontinued investing activities
Investing cash flow
-50.62%159K
-90.05%81K
98.14%-113K
69.97%-569K
9.45%-680K
106.77%322K
-38.80%814K
-1,268.02%-6.07M
-92.97%-1.9M
-147.04%-751K
Financing cash flow
Cash flow from continuing financing activities
-166.18%-90K
-164.58%-93K
92.76%-90K
92.73%-12K
-678.26%-358K
122.01%136K
134.78%144K
-236.44%-1.24M
-141.15%-165K
-110.53%-46K
Net issuance payments of debt
-42.86%-90K
-164.58%-93K
54.57%-596K
33.49%-143K
-1,060.87%-534K
89.81%-63K
133.26%144K
-382.76%-1.31M
-182.38%-215K
-135.66%-46K
Proceeds from stock option exercised by employees
----
----
633.33%506K
162.00%131K
--176K
----
----
-87.94%69K
-65.03%50K
--0
Cash from discontinued financing activities
Financing cash flow
-166.18%-90K
-164.58%-93K
92.76%-90K
92.73%-12K
-678.26%-358K
122.01%136K
134.78%144K
-236.44%-1.24M
-141.15%-165K
-110.53%-46K
Net cash flow
Beginning cash position
7.98%11.65M
25.08%12.56M
7.06%10.04M
20.86%13.23M
52.30%13.51M
-2.45%10.79M
7.06%10.04M
23.74%9.38M
18.82%10.95M
-4.24%8.87M
Current changes in cash
21.04%2.18M
-290.33%-1.87M
196.97%2.36M
-48.48%-536K
-94.11%108K
157.03%1.8M
-60.36%982K
-69.38%793K
-137.49%-361K
1,568.00%1.84M
Effect of exchange rate changes
-204.69%-959K
516.88%963K
224.43%163K
74.82%-138K
-257.38%-384K
-5.18%916K
70.87%-231K
83.44%-131K
31.50%-548K
216.88%244K
End cash Position
-4.70%12.87M
7.98%11.65M
25.08%12.56M
25.08%12.56M
20.86%13.23M
52.30%13.51M
-2.45%10.79M
7.06%10.04M
7.06%10.04M
18.82%10.95M
Free cash flow
52.77%1.93M
-3,533.96%-1.93M
-44.19%2.02M
-122.61%-289K
-57.00%1.1M
303.55%1.26M
-113.09%-53K
451.45%3.61M
4.75%1.28M
519.93%2.55M
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)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 57.19%2.11M-7,837.50%-1.86M-68.46%2.56M-97.35%45K-56.46%1.15M-39.45%1.34M-98.46%24K282.01%8.11M10.04%1.7M1,120.16%2.63M
Net income from continuing operations 8.85%529K-207.73%-223K-35.04%1.14M77.64%286K201.85%163K-13.98%486K-78.83%207K-23.53%1.76M-77.61%161K126.47%54K
Operating gains losses -5,970.00%-607K167.44%460K557.14%46K---26K---90K-143.48%-10K1,246.67%172K-90.79%7K--------
Depreciation and amortization -45.85%711K-51.67%711K-16.78%4.23M-52.45%688K-49.13%762K4.12%1.31M66.78%1.47M65.46%5.09M78.20%1.45M96.85%1.5M
Deferred tax 4,100.00%40K107.02%4K-114.57%-29K--0107.14%29K-101.35%-1K-385.00%-57K503.03%199K56.90%91K116.09%14K
Other non cash items -0.56%358K6.84%-368K-13.34%-1.49M-11.38%-1.45M0.00%-3K9.42%360K-17.21%-395K-22.27%-1.31M-264.43%-1.3M99.61%-3K
Change In working capital 205.52%898K-75.78%-2.53M-191.98%-1.85M-62.83%481K-104.96%-35K-1,602.00%-851K-2,628.07%-1.44M174.69%2.01M441.42%1.29M280.56%706K
-Change in receivables 343.57%1.86M18.47%-1.54M-123.52%-440K-103.01%-34K2.60%2.25M-23.50%-762K-127.71%-1.89M152.23%1.87M266.03%1.13M575.62%2.19M
-Change in inventory 25.52%718K121.37%409K-554.78%-1.05M-368.67%-446K-16.16%742K10.00%572K-42.73%-1.91M191.27%230K973.68%166K203.08%885K
-Change in prepaid assets -73.12%25K-202.78%-37K-68.88%159K-55.07%31K99.32%-1K82.35%93K-93.30%36K161.86%511K113.42%69K37.34%-146K
-Change in payables and accrued expense -768.71%-983K-153.27%-1.46M142.96%622K141.52%414K-68.34%-2.68M127.27%147K63.15%2.74M-178.06%-1.45M-167.92%-997K-27.06%-1.59M
-Change in other current assets 136.36%4K297.87%93K-410.00%-51K-70.00%-17K500.00%24K26.67%-11K-527.27%-47K-108.47%-10K37.50%-10K-55.56%4K
-Change in other current liabilities 18.88%-722K100.82%3K-200.18%-567K62.46%1.06M42.27%-366K-261.82%-890K---367K--566K--650K---634K
-Change in other working capital ---------282.23%-523K------------------287K--------
Cash from discontinued investing activities
Operating cash flow 57.19%2.11M-7,837.50%-1.86M-68.46%2.56M-97.35%45K-56.46%1.15M-39.45%1.34M-98.46%24K282.01%8.11M10.04%1.7M1,120.16%2.63M
Investing cash flow
Cash flow from continuing investing activities -50.62%159K-90.05%81K98.14%-113K69.97%-569K9.45%-680K106.77%322K-38.80%814K-1,268.02%-6.07M-92.97%-1.9M-147.04%-751K
Net PPE purchase and sale 90.12%-8K23.38%-59K89.10%-482K-0.58%-345K125.30%21K97.15%-81K93.34%-77K-201.09%-4.42M-5.86%-343K76.22%-83K
Net investment purchase and sale -49.70%167K-79.80%140K110.22%169K85.44%-226K5.69%-630K117.29%332K-72.12%693K-261.52%-1.65M-135.87%-1.55M-1,584.44%-668K
Net other investing changes ----------200K--2K---71K--71K--198K------------
Cash from discontinued investing activities
Investing cash flow -50.62%159K-90.05%81K98.14%-113K69.97%-569K9.45%-680K106.77%322K-38.80%814K-1,268.02%-6.07M-92.97%-1.9M-147.04%-751K
Financing cash flow
Cash flow from continuing financing activities -166.18%-90K-164.58%-93K92.76%-90K92.73%-12K-678.26%-358K122.01%136K134.78%144K-236.44%-1.24M-141.15%-165K-110.53%-46K
Net issuance payments of debt -42.86%-90K-164.58%-93K54.57%-596K33.49%-143K-1,060.87%-534K89.81%-63K133.26%144K-382.76%-1.31M-182.38%-215K-135.66%-46K
Proceeds from stock option exercised by employees --------633.33%506K162.00%131K--176K---------87.94%69K-65.03%50K--0
Cash from discontinued financing activities
Financing cash flow -166.18%-90K-164.58%-93K92.76%-90K92.73%-12K-678.26%-358K122.01%136K134.78%144K-236.44%-1.24M-141.15%-165K-110.53%-46K
Net cash flow
Beginning cash position 7.98%11.65M25.08%12.56M7.06%10.04M20.86%13.23M52.30%13.51M-2.45%10.79M7.06%10.04M23.74%9.38M18.82%10.95M-4.24%8.87M
Current changes in cash 21.04%2.18M-290.33%-1.87M196.97%2.36M-48.48%-536K-94.11%108K157.03%1.8M-60.36%982K-69.38%793K-137.49%-361K1,568.00%1.84M
Effect of exchange rate changes -204.69%-959K516.88%963K224.43%163K74.82%-138K-257.38%-384K-5.18%916K70.87%-231K83.44%-131K31.50%-548K216.88%244K
End cash Position -4.70%12.87M7.98%11.65M25.08%12.56M25.08%12.56M20.86%13.23M52.30%13.51M-2.45%10.79M7.06%10.04M7.06%10.04M18.82%10.95M
Free cash flow 52.77%1.93M-3,533.96%-1.93M-44.19%2.02M-122.61%-289K-57.00%1.1M303.55%1.26M-113.09%-53K451.45%3.61M4.75%1.28M519.93%2.55M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----
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