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TTI Traffic Technologies Ltd

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  • 0.004
  • 0.0000.00%
20min DelayNot Open Nov 27 16:00 AET
4.48MMarket Cap-210P/E (Static)

Traffic Technologies 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
-37.18%40.73M
14.27%64.84M
2.09%56.75M
10.05%55.59M
-7.59%50.51M
-11.22%54.66M
10.64%61.57M
22.33%55.65M
-9.93%45.49M
12.72%50.51M
Revenue from customers
-37.18%40.73M
14.27%64.84M
2.07%56.75M
10.06%55.6M
-7.59%50.51M
-11.22%54.66M
10.64%61.57M
22.33%55.65M
-9.93%45.49M
12.17%50.51M
Other cash income from operating activities
----
----
----
---9K
----
----
----
----
----
----
Cash paid
41.16%-35.27M
-7.78%-59.95M
-4.27%-55.62M
-21.75%-53.34M
15.66%-43.81M
10.04%-51.95M
-13.97%-57.75M
-16.34%-50.67M
5.23%-43.56M
-9.66%-45.96M
Payments to suppliers for goods and services
41.16%-35.27M
-7.78%-59.95M
-4.27%-55.62M
-21.75%-53.34M
15.66%-43.81M
10.04%-51.95M
-13.97%-57.75M
-16.34%-50.67M
5.23%-43.56M
-9.66%-45.96M
Direct interest paid
6.05%-1.4M
11.74%-1.49M
-21.38%-1.69M
4.80%-1.39M
-15.15%-1.46M
18.36%-1.27M
-16.60%-1.55M
0.82%-1.33M
15.38%-1.34M
-2.99%-1.59M
Direct interest received
76.92%23K
--13K
----
-25.00%12K
-66.67%16K
--48K
----
----
----
-78.57%3K
Direct tax refund paid
0.00%-3K
25.00%-3K
0.00%-4K
0.00%-4K
0.00%-4K
20.00%-4K
0.00%-5K
16.67%-5K
85.37%-6K
---41K
Operating cash flow
19.61%4.08M
700.70%3.41M
-165.89%-568K
-83.59%862K
253.43%5.25M
-34.36%1.49M
-37.84%2.26M
521.50%3.64M
-79.93%586K
113.61%2.92M
Investing cash flow
Cash flow from continuing investing activities
2.59%-1.54M
48.85%-1.59M
-11.51%-3.1M
-33.48%-2.78M
10.80%-2.08M
4.54%-2.33M
-36.44%-2.45M
9.27%-1.79M
3.94%-1.98M
61.37%-2.06M
Capital expenditure reported
----
----
----
----
----
-3.29%-1.89M
-17.20%-1.83M
6.93%-1.56M
-3.08%-1.67M
-17.26%-1.62M
Net PPE purchase and sale
-132.80%-225K
576.39%686K
24.61%-144K
47.24%-191K
-106.86%-362K
46.97%-175K
-685.71%-330K
57.14%-42K
27.94%-98K
-34.65%-136K
Net intangibles purchas and sale
41.33%-1.32M
-2.51%-2.25M
-20.23%-2.19M
-11.36%-1.82M
-500.00%-1.64M
5.54%-273K
-50.52%-289K
5.42%-192K
31.42%-203K
-29.82%-296K
Net business purchase and sale
----
96.98%-23K
0.26%-762K
---764K
----
----
----
----
----
----
Net other investing changes
----
----
----
----
---82K
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
2.59%-1.54M
48.85%-1.59M
-11.51%-3.1M
-33.48%-2.78M
10.80%-2.08M
4.54%-2.33M
-36.44%-2.45M
9.27%-1.79M
3.94%-1.98M
61.37%-2.06M
Financing cash flow
Cash flow from continuing financing activities
-96.98%-3.26M
-179.78%-1.66M
135.22%2.08M
133.43%883K
-2,867.42%-2.64M
-102.50%-89K
250.04%3.57M
-251.82%-2.38M
351.61%1.57M
-115.39%-622K
Net issuance payments of debt
-803.70%-3.42M
88.12%-378K
-289.18%-3.18M
165.91%1.68M
-2,767.42%-2.55M
95.25%-89K
21.09%-1.88M
-240.18%-2.38M
543.72%1.7M
82.98%-382K
Net common stock issuance
3,421.62%1.23M
-100.57%-37K
--6.53M
----
----
----
--5.73M
----
----
----
Interest paid (cash flow from financing activities)
----
-3.74%-333K
---321K
----
----
----
----
----
----
----
Net other financing activities
-18.48%-1.08M
4.62%-909K
-19.27%-953K
-797.75%-799K
---89K
----
---286K
----
45.83%-130K
2.04%-240K
Cash from discontinued financing activities
Financing cash flow
-96.98%-3.26M
-179.78%-1.66M
135.22%2.08M
133.43%883K
-2,867.42%-2.64M
-102.50%-89K
250.04%3.57M
-251.82%-2.38M
351.61%1.57M
-115.39%-622K
Net cash flow
Beginning cash position
16.80%1.18M
-61.11%1.01M
-28.44%2.6M
17.03%3.64M
-23.17%3.11M
512.73%4.04M
-44.35%660K
17.43%1.19M
31.51%1.01M
12.78%768K
Current changes in cash
-527.65%-727K
110.69%170K
-53.77%-1.59M
-295.46%-1.03M
156.46%529K
-127.69%-937K
743.35%3.38M
-398.86%-526K
-27.27%176K
178.16%242K
End cash Position
-61.51%455K
16.80%1.18M
-61.11%1.01M
-28.44%2.6M
17.03%3.64M
-23.17%3.11M
512.73%4.04M
-44.35%660K
17.43%1.19M
31.51%1.01M
Free cash from
121.12%2.44M
137.59%1.1M
-142.68%-2.93M
-137.69%-1.21M
476.08%3.21M
-371.27%-853K
-109.78%-181K
229.37%1.85M
-268.43%-1.43M
310.15%849K
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, 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 -37.18%40.73M14.27%64.84M2.09%56.75M10.05%55.59M-7.59%50.51M-11.22%54.66M10.64%61.57M22.33%55.65M-9.93%45.49M12.72%50.51M
Revenue from customers -37.18%40.73M14.27%64.84M2.07%56.75M10.06%55.6M-7.59%50.51M-11.22%54.66M10.64%61.57M22.33%55.65M-9.93%45.49M12.17%50.51M
Other cash income from operating activities ---------------9K------------------------
Cash paid 41.16%-35.27M-7.78%-59.95M-4.27%-55.62M-21.75%-53.34M15.66%-43.81M10.04%-51.95M-13.97%-57.75M-16.34%-50.67M5.23%-43.56M-9.66%-45.96M
Payments to suppliers for goods and services 41.16%-35.27M-7.78%-59.95M-4.27%-55.62M-21.75%-53.34M15.66%-43.81M10.04%-51.95M-13.97%-57.75M-16.34%-50.67M5.23%-43.56M-9.66%-45.96M
Direct interest paid 6.05%-1.4M11.74%-1.49M-21.38%-1.69M4.80%-1.39M-15.15%-1.46M18.36%-1.27M-16.60%-1.55M0.82%-1.33M15.38%-1.34M-2.99%-1.59M
Direct interest received 76.92%23K--13K-----25.00%12K-66.67%16K--48K-------------78.57%3K
Direct tax refund paid 0.00%-3K25.00%-3K0.00%-4K0.00%-4K0.00%-4K20.00%-4K0.00%-5K16.67%-5K85.37%-6K---41K
Operating cash flow 19.61%4.08M700.70%3.41M-165.89%-568K-83.59%862K253.43%5.25M-34.36%1.49M-37.84%2.26M521.50%3.64M-79.93%586K113.61%2.92M
Investing cash flow
Cash flow from continuing investing activities 2.59%-1.54M48.85%-1.59M-11.51%-3.1M-33.48%-2.78M10.80%-2.08M4.54%-2.33M-36.44%-2.45M9.27%-1.79M3.94%-1.98M61.37%-2.06M
Capital expenditure reported ---------------------3.29%-1.89M-17.20%-1.83M6.93%-1.56M-3.08%-1.67M-17.26%-1.62M
Net PPE purchase and sale -132.80%-225K576.39%686K24.61%-144K47.24%-191K-106.86%-362K46.97%-175K-685.71%-330K57.14%-42K27.94%-98K-34.65%-136K
Net intangibles purchas and sale 41.33%-1.32M-2.51%-2.25M-20.23%-2.19M-11.36%-1.82M-500.00%-1.64M5.54%-273K-50.52%-289K5.42%-192K31.42%-203K-29.82%-296K
Net business purchase and sale ----96.98%-23K0.26%-762K---764K------------------------
Net other investing changes -------------------82K--------------------
Cash from discontinued investing activities
Investing cash flow 2.59%-1.54M48.85%-1.59M-11.51%-3.1M-33.48%-2.78M10.80%-2.08M4.54%-2.33M-36.44%-2.45M9.27%-1.79M3.94%-1.98M61.37%-2.06M
Financing cash flow
Cash flow from continuing financing activities -96.98%-3.26M-179.78%-1.66M135.22%2.08M133.43%883K-2,867.42%-2.64M-102.50%-89K250.04%3.57M-251.82%-2.38M351.61%1.57M-115.39%-622K
Net issuance payments of debt -803.70%-3.42M88.12%-378K-289.18%-3.18M165.91%1.68M-2,767.42%-2.55M95.25%-89K21.09%-1.88M-240.18%-2.38M543.72%1.7M82.98%-382K
Net common stock issuance 3,421.62%1.23M-100.57%-37K--6.53M--------------5.73M------------
Interest paid (cash flow from financing activities) -----3.74%-333K---321K----------------------------
Net other financing activities -18.48%-1.08M4.62%-909K-19.27%-953K-797.75%-799K---89K-------286K----45.83%-130K2.04%-240K
Cash from discontinued financing activities
Financing cash flow -96.98%-3.26M-179.78%-1.66M135.22%2.08M133.43%883K-2,867.42%-2.64M-102.50%-89K250.04%3.57M-251.82%-2.38M351.61%1.57M-115.39%-622K
Net cash flow
Beginning cash position 16.80%1.18M-61.11%1.01M-28.44%2.6M17.03%3.64M-23.17%3.11M512.73%4.04M-44.35%660K17.43%1.19M31.51%1.01M12.78%768K
Current changes in cash -527.65%-727K110.69%170K-53.77%-1.59M-295.46%-1.03M156.46%529K-127.69%-937K743.35%3.38M-398.86%-526K-27.27%176K178.16%242K
End cash Position -61.51%455K16.80%1.18M-61.11%1.01M-28.44%2.6M17.03%3.64M-23.17%3.11M512.73%4.04M-44.35%660K17.43%1.19M31.51%1.01M
Free cash from 121.12%2.44M137.59%1.1M-142.68%-2.93M-137.69%-1.21M476.08%3.21M-371.27%-853K-109.78%-181K229.37%1.85M-268.43%-1.43M310.15%849K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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