AU Stock MarketDetailed Quotes

WBT Weebit Nano Ltd

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  • 2.760
  • +0.080+2.99%
20min DelayMarket Closed Nov 29 16:00 AET
571.59MMarket Cap-12602P/E (Static)

Weebit Nano 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
460.87K
5.37%-5.44K
3.10%-5.75K
-5.94K
98.14%152.59K
-44.66%77.01K
Revenue from customers
--460.87K
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----
----
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Other cash income from operating activities
----
----
5.37%-5.44K
3.10%-5.75K
---5.94K
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----
----
98.14%152.59K
-44.44%77.01K
Cash paid
-29.16%-27.92M
0.72%-21.62M
-209.73%-21.77M
-257.95%-7.03M
65.82%-1.96M
-66.33%-5.75M
-12.75%-3.45M
-169.77%-3.06M
-526.97%-1.14M
67.93%-181.14K
Payments to suppliers for goods and services
-29.16%-27.92M
0.72%-21.62M
-209.73%-21.77M
-257.95%-7.03M
65.82%-1.96M
-66.33%-5.75M
-12.75%-3.45M
-169.77%-3.06M
-526.97%-1.14M
67.93%-181.14K
Direct interest paid
127.11%3.07M
3,829.08%1.35M
-187.11%-36.2K
24.85%-12.61K
---16.78K
----
----
---4.53K
----
---55.24K
Direct interest received
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----
----
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12.07%4.86K
-71.35%4.33K
Operating cash flow
-20.36%-24.4M
7.09%-20.27M
-209.52%-21.82M
-254.78%-7.05M
65.42%-1.99M
-66.33%-5.75M
-12.58%-3.45M
-213.65%-3.07M
-530.97%-978.25K
62.24%-155.04K
Investing cash flow
Cash flow from continuing investing activities
-1,921.40%-1.03M
75.40%-50.81K
-249.80%-206.52K
-374.83%-59.04K
-651.75%-12.43K
96.92%-1.65K
-117.64%-53.74K
589.25%304.69K
103.69%44.21K
20.64%-1.2M
Capital expenditure reported
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----
----
----
----
----
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94.11%-40.31K
-46.60%-684.12K
Net PPE purchase and sale
-2,191.25%-1.03M
81.02%-44.84K
-994.15%-236.29K
-83.92%-21.6K
73.84%-11.74K
-548.27%-44.88K
-107.57%-6.92K
8.16%91.41K
115.09%84.52K
46.38%-560K
Net intangibles purchas and sale
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--45K
Net other investing changes
107.55%450
-120.03%-5.96K
179.50%29.77K
-5,310.98%-37.44K
-101.60%-692
192.33%43.23K
-121.95%-46.82K
--213.28K
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Cash from discontinued investing activities
Investing cash flow
-1,921.40%-1.03M
75.40%-50.81K
-249.80%-206.52K
-374.83%-59.04K
-651.75%-12.43K
96.92%-1.65K
-117.64%-53.74K
589.25%304.69K
103.69%44.21K
20.64%-1.2M
Financing cash flow
Cash flow from continuing financing activities
-99.71%164.21K
13.66%57.45M
104.48%50.54M
456.28%24.72M
9.41%4.44M
-21.44%4.06M
501.04%5.17M
-79.96%860.12K
171.92%4.29M
83.43%1.58M
Net issuance payments of debt
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-73.12%165.31K
--615K
Net common stock issuance
-100.06%-34.69K
13.63%57.67M
104.40%50.76M
447.98%24.83M
11.58%4.53M
-21.44%4.06M
501.06%5.17M
-79.16%860.12K
328.28%4.13M
11.98%963.77K
Net other financing activities
187.74%198.9K
-6.66%-226.7K
-86.60%-212.54K
-29.24%-113.9K
---88.13K
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---158
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Cash from discontinued financing activities
Financing cash flow
-99.71%164.21K
13.66%57.45M
104.48%50.54M
456.28%24.72M
9.41%4.44M
-21.44%4.06M
501.04%5.17M
-79.96%860.12K
171.92%4.29M
83.43%1.58M
Net cash flow
Beginning cash position
75.05%87.96M
131.28%50.25M
427.94%21.73M
146.29%4.12M
-50.22%1.67M
98.03%3.36M
-52.90%1.7M
1,401.42%3.6M
1,491.06%239.68K
-98.60%15.06K
Current changes in cash
-168.03%-25.26M
30.18%37.13M
61.95%28.52M
620.47%17.61M
244.99%2.44M
-201.45%-1.69M
187.30%1.66M
-156.67%-1.9M
1,395.41%3.36M
121.17%224.61K
Effect of exchange rate changes
-77.33%131.88K
--581.73K
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End cash Position
-28.57%62.83M
75.05%87.96M
131.28%50.25M
427.94%21.73M
146.29%4.12M
-50.22%1.67M
98.03%3.36M
-52.90%1.7M
1,401.42%3.6M
1,491.06%239.68K
Free cash from
-25.15%-25.42M
7.89%-20.31M
-211.91%-22.05M
-253.78%-7.07M
65.49%-2M
-67.29%-5.79M
-12.49%-3.46M
-202.08%-3.08M
27.20%-1.02M
29.83%-1.4M
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 460.87K5.37%-5.44K3.10%-5.75K-5.94K98.14%152.59K-44.66%77.01K
Revenue from customers --460.87K------------------------------------
Other cash income from operating activities --------5.37%-5.44K3.10%-5.75K---5.94K------------98.14%152.59K-44.44%77.01K
Cash paid -29.16%-27.92M0.72%-21.62M-209.73%-21.77M-257.95%-7.03M65.82%-1.96M-66.33%-5.75M-12.75%-3.45M-169.77%-3.06M-526.97%-1.14M67.93%-181.14K
Payments to suppliers for goods and services -29.16%-27.92M0.72%-21.62M-209.73%-21.77M-257.95%-7.03M65.82%-1.96M-66.33%-5.75M-12.75%-3.45M-169.77%-3.06M-526.97%-1.14M67.93%-181.14K
Direct interest paid 127.11%3.07M3,829.08%1.35M-187.11%-36.2K24.85%-12.61K---16.78K-----------4.53K-------55.24K
Direct interest received --------------------------------12.07%4.86K-71.35%4.33K
Operating cash flow -20.36%-24.4M7.09%-20.27M-209.52%-21.82M-254.78%-7.05M65.42%-1.99M-66.33%-5.75M-12.58%-3.45M-213.65%-3.07M-530.97%-978.25K62.24%-155.04K
Investing cash flow
Cash flow from continuing investing activities -1,921.40%-1.03M75.40%-50.81K-249.80%-206.52K-374.83%-59.04K-651.75%-12.43K96.92%-1.65K-117.64%-53.74K589.25%304.69K103.69%44.21K20.64%-1.2M
Capital expenditure reported --------------------------------94.11%-40.31K-46.60%-684.12K
Net PPE purchase and sale -2,191.25%-1.03M81.02%-44.84K-994.15%-236.29K-83.92%-21.6K73.84%-11.74K-548.27%-44.88K-107.57%-6.92K8.16%91.41K115.09%84.52K46.38%-560K
Net intangibles purchas and sale --------------------------------------45K
Net other investing changes 107.55%450-120.03%-5.96K179.50%29.77K-5,310.98%-37.44K-101.60%-692192.33%43.23K-121.95%-46.82K--213.28K--------
Cash from discontinued investing activities
Investing cash flow -1,921.40%-1.03M75.40%-50.81K-249.80%-206.52K-374.83%-59.04K-651.75%-12.43K96.92%-1.65K-117.64%-53.74K589.25%304.69K103.69%44.21K20.64%-1.2M
Financing cash flow
Cash flow from continuing financing activities -99.71%164.21K13.66%57.45M104.48%50.54M456.28%24.72M9.41%4.44M-21.44%4.06M501.04%5.17M-79.96%860.12K171.92%4.29M83.43%1.58M
Net issuance payments of debt ---------------------------------73.12%165.31K--615K
Net common stock issuance -100.06%-34.69K13.63%57.67M104.40%50.76M447.98%24.83M11.58%4.53M-21.44%4.06M501.06%5.17M-79.16%860.12K328.28%4.13M11.98%963.77K
Net other financing activities 187.74%198.9K-6.66%-226.7K-86.60%-212.54K-29.24%-113.9K---88.13K-------158------------
Cash from discontinued financing activities
Financing cash flow -99.71%164.21K13.66%57.45M104.48%50.54M456.28%24.72M9.41%4.44M-21.44%4.06M501.04%5.17M-79.96%860.12K171.92%4.29M83.43%1.58M
Net cash flow
Beginning cash position 75.05%87.96M131.28%50.25M427.94%21.73M146.29%4.12M-50.22%1.67M98.03%3.36M-52.90%1.7M1,401.42%3.6M1,491.06%239.68K-98.60%15.06K
Current changes in cash -168.03%-25.26M30.18%37.13M61.95%28.52M620.47%17.61M244.99%2.44M-201.45%-1.69M187.30%1.66M-156.67%-1.9M1,395.41%3.36M121.17%224.61K
Effect of exchange rate changes -77.33%131.88K--581.73K--------------------------------
End cash Position -28.57%62.83M75.05%87.96M131.28%50.25M427.94%21.73M146.29%4.12M-50.22%1.67M98.03%3.36M-52.90%1.7M1,401.42%3.6M1,491.06%239.68K
Free cash from -25.15%-25.42M7.89%-20.31M-211.91%-22.05M-253.78%-7.07M65.49%-2M-67.29%-5.79M-12.49%-3.46M-202.08%-3.08M27.20%-1.02M29.83%-1.4M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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