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VR1 Vection Technologies Ltd

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  • 0.030
  • +0.002+7.14%
20min DelayMarket Closed Dec 13 16:00 AET
40.51MMarket Cap-3.33P/E (Static)

Vection 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
Operating cash flow (direct method)
Cash income from operating activities
82.23%36.2M
12.85%19.87M
585.86%17.6M
2.50%2.57M
72.63%2.5M
-86.73%1.45M
-3.26%10.93M
11.3M
Revenue from customers
82.23%36.2M
12.85%19.87M
585.86%17.6M
5.95%2.57M
67.02%2.42M
-86.66%1.45M
-3.86%10.87M
--11.31M
Other cash income from operating activities
----
----
--2
----
--81.5K
----
536.50%55.11K
---12.63K
Cash paid
-23.33%-33.62M
-45.80%-27.26M
-288.07%-18.69M
-78.01%-4.82M
7.14%-2.71M
80.96%-2.91M
-5.69%-15.31M
-14.48M
Payments to suppliers for goods and services
-23.33%-33.62M
-45.80%-27.26M
-288.07%-18.69M
-78.01%-4.82M
7.14%-2.71M
80.96%-2.91M
-5.69%-15.31M
---14.48M
Direct interest paid
-306.68%-976K
-154.65%-239.99K
-23.91%-94.25K
-89.31%-76.06K
-1.18%-40.18K
37.13%-39.71K
13.51%-63.17K
---73.03K
Direct interest received
-88.18%25K
380.47%211.53K
67.87%44.03K
4,972.73%26.23K
17.50%517
-91.95%440
-37.23%5.47K
--8.71K
Direct tax refund paid
-493.76%-346K
44.14%-58.27K
-331.52%-104.32K
-121.26%-24.18K
30.17%-10.93K
---15.65K
----
----
Operating cash flow
117.24%1.29M
-500.14%-7.48M
46.40%-1.25M
-819.30%-2.32M
83.35%-252.89K
65.75%-1.52M
-36.52%-4.43M
---3.25M
Investing cash flow
Cash flow from continuing investing activities
-7.33%-3.31M
-52.56%-3.09M
-322.77%-2.02M
232.34%908.47K
477.63%273.36K
-110.06%-72.39K
174.43%719.88K
-967.14K
Net PPE purchase and sale
187.25%352K
-146.07%-403.44K
-147.20%-163.96K
-5.32%-66.33K
-26.64%-62.98K
73.36%-49.73K
53.45%-186.68K
---400.99K
Net intangibles purchas and sale
-36.92%-3.67M
-45.63%-2.68M
-38.21%-1.84M
-74.58%-1.33M
---761.9K
----
234.08%617.54K
---460.57K
Net business purchase and sale
----
---6.72K
----
110.12%2.3M
438.15%1.1M
---324.41K
----
----
Net investment purchase and sale
----
----
----
----
--1.25K
----
--1.91K
----
Net other investing changes
----
----
---21.39K
----
----
5.10%301.75K
371.92%287.1K
---105.58K
Cash from discontinued investing activities
Investing cash flow
-7.33%-3.31M
-52.56%-3.09M
-322.77%-2.02M
232.34%908.47K
477.63%273.36K
-110.06%-72.39K
174.43%719.88K
---967.14K
Financing cash flow
Cash flow from continuing financing activities
-128.37%-1.9M
-41.50%6.69M
58.96%11.44M
827.16%7.2M
-58.54%776.1K
102.25%1.87M
-87.06%925.55K
7.15M
Net issuance payments of debt
-124.65%-1.65M
1,200.46%6.69M
-956.02%-608.26K
-90.84%71.06K
--776.1K
----
-66.72%561.77K
--1.69M
Net common stock issuance
----
----
62.01%12.13M
--7.49M
----
414.59%1.87M
-93.28%363.78K
--5.41M
Net other financing activities
-9,772.61%-248K
96.86%-2.51K
77.83%-79.88K
---360.35K
----
----
----
--52.36K
Cash from discontinued financing activities
Financing cash flow
-128.37%-1.9M
-41.50%6.69M
58.96%11.44M
827.16%7.2M
-58.54%776.1K
102.25%1.87M
-87.06%925.55K
--7.15M
Net cash flow
Beginning cash position
-23.61%11.36M
109.90%14.87M
347.01%7.08M
115.04%1.58M
43.44%736.93K
-84.43%513.75K
805.10%3.3M
--364.67K
Current changes in cash
-1.25%-3.92M
-147.43%-3.87M
41.34%8.17M
625.53%5.78M
183.83%796.57K
110.06%280.65K
-195.01%-2.79M
--2.94M
Effect of exchange rate changes
-54.50%166K
195.17%364.85K
-36.82%-383.36K
-647.05%-280.2K
2,268.05%51.22K
4.95%2.16K
366.29%2.06K
--442
End cash Position
-33.08%7.6M
-23.61%11.36M
109.90%14.87M
347.01%7.08M
98.94%1.58M
55.05%796.57K
-84.43%513.75K
--3.3M
Free cash from
76.23%-2.51M
-225.05%-10.56M
12.71%-3.25M
-245.28%-3.72M
31.29%-1.08M
66.05%-1.57M
-12.44%-4.62M
---4.11M
Accounting Standards
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
Operating cash flow (direct method)
Cash income from operating activities 82.23%36.2M12.85%19.87M585.86%17.6M2.50%2.57M72.63%2.5M-86.73%1.45M-3.26%10.93M11.3M
Revenue from customers 82.23%36.2M12.85%19.87M585.86%17.6M5.95%2.57M67.02%2.42M-86.66%1.45M-3.86%10.87M--11.31M
Other cash income from operating activities ----------2------81.5K----536.50%55.11K---12.63K
Cash paid -23.33%-33.62M-45.80%-27.26M-288.07%-18.69M-78.01%-4.82M7.14%-2.71M80.96%-2.91M-5.69%-15.31M-14.48M
Payments to suppliers for goods and services -23.33%-33.62M-45.80%-27.26M-288.07%-18.69M-78.01%-4.82M7.14%-2.71M80.96%-2.91M-5.69%-15.31M---14.48M
Direct interest paid -306.68%-976K-154.65%-239.99K-23.91%-94.25K-89.31%-76.06K-1.18%-40.18K37.13%-39.71K13.51%-63.17K---73.03K
Direct interest received -88.18%25K380.47%211.53K67.87%44.03K4,972.73%26.23K17.50%517-91.95%440-37.23%5.47K--8.71K
Direct tax refund paid -493.76%-346K44.14%-58.27K-331.52%-104.32K-121.26%-24.18K30.17%-10.93K---15.65K--------
Operating cash flow 117.24%1.29M-500.14%-7.48M46.40%-1.25M-819.30%-2.32M83.35%-252.89K65.75%-1.52M-36.52%-4.43M---3.25M
Investing cash flow
Cash flow from continuing investing activities -7.33%-3.31M-52.56%-3.09M-322.77%-2.02M232.34%908.47K477.63%273.36K-110.06%-72.39K174.43%719.88K-967.14K
Net PPE purchase and sale 187.25%352K-146.07%-403.44K-147.20%-163.96K-5.32%-66.33K-26.64%-62.98K73.36%-49.73K53.45%-186.68K---400.99K
Net intangibles purchas and sale -36.92%-3.67M-45.63%-2.68M-38.21%-1.84M-74.58%-1.33M---761.9K----234.08%617.54K---460.57K
Net business purchase and sale -------6.72K----110.12%2.3M438.15%1.1M---324.41K--------
Net investment purchase and sale ------------------1.25K------1.91K----
Net other investing changes -----------21.39K--------5.10%301.75K371.92%287.1K---105.58K
Cash from discontinued investing activities
Investing cash flow -7.33%-3.31M-52.56%-3.09M-322.77%-2.02M232.34%908.47K477.63%273.36K-110.06%-72.39K174.43%719.88K---967.14K
Financing cash flow
Cash flow from continuing financing activities -128.37%-1.9M-41.50%6.69M58.96%11.44M827.16%7.2M-58.54%776.1K102.25%1.87M-87.06%925.55K7.15M
Net issuance payments of debt -124.65%-1.65M1,200.46%6.69M-956.02%-608.26K-90.84%71.06K--776.1K-----66.72%561.77K--1.69M
Net common stock issuance --------62.01%12.13M--7.49M----414.59%1.87M-93.28%363.78K--5.41M
Net other financing activities -9,772.61%-248K96.86%-2.51K77.83%-79.88K---360.35K--------------52.36K
Cash from discontinued financing activities
Financing cash flow -128.37%-1.9M-41.50%6.69M58.96%11.44M827.16%7.2M-58.54%776.1K102.25%1.87M-87.06%925.55K--7.15M
Net cash flow
Beginning cash position -23.61%11.36M109.90%14.87M347.01%7.08M115.04%1.58M43.44%736.93K-84.43%513.75K805.10%3.3M--364.67K
Current changes in cash -1.25%-3.92M-147.43%-3.87M41.34%8.17M625.53%5.78M183.83%796.57K110.06%280.65K-195.01%-2.79M--2.94M
Effect of exchange rate changes -54.50%166K195.17%364.85K-36.82%-383.36K-647.05%-280.2K2,268.05%51.22K4.95%2.16K366.29%2.06K--442
End cash Position -33.08%7.6M-23.61%11.36M109.90%14.87M347.01%7.08M98.94%1.58M55.05%796.57K-84.43%513.75K--3.3M
Free cash from 76.23%-2.51M-225.05%-10.56M12.71%-3.25M-245.28%-3.72M31.29%-1.08M66.05%-1.57M-12.44%-4.62M---4.11M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP