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TTMDD Titan Minerals Ltd

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  • 0.500
  • 0.0000.00%
20min DelayTrading Aug 2 15:41 AET
91.94MMarket Cap-33333P/E (Static)

Titan Minerals 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
Operating cash flow (direct method)
Cash income from operating activities
108.54%20.86M
10M
Revenue from customers
----
----
----
108.54%20.86M
--10M
Other cash income from operating activities
----
----
----
----
---0.7001
Cash paid
-14.91%-3.12M
66.91%-2.72M
71.84%-8.21M
-109.48%-29.16M
-13.92M
Payments to suppliers for goods and services
-14.91%-3.12M
66.91%-2.72M
71.84%-8.21M
-109.48%-29.16M
---13.92M
Direct interest paid
----
90.68%-55K
-165.77%-590K
-88.49%-222K
---117.78K
Direct interest received
----
----
----
----
--11.51K
Operating cash flow
-12.63%-3.12M
68.51%-2.77M
-3.24%-8.8M
-111.78%-8.53M
---4.03M
Investing cash flow
Cash flow from continuing investing activities
49.96%-2.84M
-47,341.67%-5.67M
-99.12%12K
128.73%1.36M
-4.73M
Capital expenditure reported
----
6.04%-9.17M
-140.78%-9.76M
-1,302.03%-4.05M
---289.08K
Net PPE purchase and sale
23.82%3.19M
1,738.57%2.57M
488.89%140K
93.29%-36K
---536.18K
Net business purchase and sale
----
-92.99%620K
138.80%8.85M
--3.71M
----
Net investment purchase and sale
-3,936.94%-6.02M
-79.90%157K
--781K
----
---4.9M
Net other investing changes
----
--150K
----
74.23%1.74M
--999.26K
Cash from discontinued investing activities
Investing cash flow
49.96%-2.84M
-47,341.67%-5.67M
-99.12%12K
128.73%1.36M
---4.73M
Financing cash flow
Cash flow from continuing financing activities
6.94M
44.45%14.53M
60.46%10.06M
6.27M
Net issuance payments of debt
--1.23M
--0
84.97%1.11M
-69.42%599K
--1.96M
Net common stock issuance
--5.71M
----
41.89%13.42M
146.89%9.46M
--3.83M
Net other financing activities
----
----
----
----
--478.39K
Cash from discontinued financing activities
Financing cash flow
--6.94M
----
44.45%14.53M
60.46%10.06M
--6.27M
Net cash flow
Beginning cash position
-92.34%671K
167.79%8.76M
1,707.73%3.27M
-95.26%181K
--3.82M
Current changes in cash
111.62%981K
-247.08%-8.44M
98.58%5.74M
216.30%2.89M
---2.48M
Effect of exchange rate changes
-17.43%289K
240.56%350K
-223.88%-249K
346.50%201K
---81.54K
Cash adjustments other than cash changes
----
----
----
----
--0.7001
End cash Position
189.27%1.94M
-92.34%671K
167.79%8.76M
160.61%3.27M
--1.26M
Free cash from
73.61%-3.19M
35.44%-12.07M
-48.19%-18.69M
-160.05%-12.62M
---4.85M
Accounting Standards
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
Operating cash flow (direct method)
Cash income from operating activities 108.54%20.86M10M
Revenue from customers ------------108.54%20.86M--10M
Other cash income from operating activities -------------------0.7001
Cash paid -14.91%-3.12M66.91%-2.72M71.84%-8.21M-109.48%-29.16M-13.92M
Payments to suppliers for goods and services -14.91%-3.12M66.91%-2.72M71.84%-8.21M-109.48%-29.16M---13.92M
Direct interest paid ----90.68%-55K-165.77%-590K-88.49%-222K---117.78K
Direct interest received ------------------11.51K
Operating cash flow -12.63%-3.12M68.51%-2.77M-3.24%-8.8M-111.78%-8.53M---4.03M
Investing cash flow
Cash flow from continuing investing activities 49.96%-2.84M-47,341.67%-5.67M-99.12%12K128.73%1.36M-4.73M
Capital expenditure reported ----6.04%-9.17M-140.78%-9.76M-1,302.03%-4.05M---289.08K
Net PPE purchase and sale 23.82%3.19M1,738.57%2.57M488.89%140K93.29%-36K---536.18K
Net business purchase and sale -----92.99%620K138.80%8.85M--3.71M----
Net investment purchase and sale -3,936.94%-6.02M-79.90%157K--781K-------4.9M
Net other investing changes ------150K----74.23%1.74M--999.26K
Cash from discontinued investing activities
Investing cash flow 49.96%-2.84M-47,341.67%-5.67M-99.12%12K128.73%1.36M---4.73M
Financing cash flow
Cash flow from continuing financing activities 6.94M44.45%14.53M60.46%10.06M6.27M
Net issuance payments of debt --1.23M--084.97%1.11M-69.42%599K--1.96M
Net common stock issuance --5.71M----41.89%13.42M146.89%9.46M--3.83M
Net other financing activities ------------------478.39K
Cash from discontinued financing activities
Financing cash flow --6.94M----44.45%14.53M60.46%10.06M--6.27M
Net cash flow
Beginning cash position -92.34%671K167.79%8.76M1,707.73%3.27M-95.26%181K--3.82M
Current changes in cash 111.62%981K-247.08%-8.44M98.58%5.74M216.30%2.89M---2.48M
Effect of exchange rate changes -17.43%289K240.56%350K-223.88%-249K346.50%201K---81.54K
Cash adjustments other than cash changes ------------------0.7001
End cash Position 189.27%1.94M-92.34%671K167.79%8.76M160.61%3.27M--1.26M
Free cash from 73.61%-3.19M35.44%-12.07M-48.19%-18.69M-160.05%-12.62M---4.85M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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