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WTC WiseTech Global Ltd

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  • 123.710
  • 0.0000.00%
20min DelayTrading Feb 17 16:00 AET
41.38BMarket Cap156.79P/E (Static)

WiseTech Global 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
Operating cash flow (direct method)
Cash income from operating activities
24.49%1.07B
32.01%858.7M
21.45%650.5M
17.38%535.6M
22.22%456.3M
67.44%373.35M
42.76%222.98M
60.31%156.19M
97.43M
Revenue from customers
24.51%1.07B
32.01%858.6M
21.43%650.4M
17.35%535.6M
22.24%456.4M
67.44%373.35M
42.76%222.98M
48.20%156.19M
--105.39M
Other cash income from operating activities
----
0.00%100K
--100K
----
---100K
----
----
----
---7.96M
Cash paid
-26.48%-537.9M
-36.80%-425.3M
-1.73%-310.9M
1.42%-305.6M
-25.55%-310M
-77.42%-246.92M
-50.12%-139.17M
-26.52%-92.71M
-73.28M
Payments to suppliers for goods and services
-26.48%-537.9M
-36.80%-425.3M
-1.73%-310.9M
1.42%-305.6M
-25.55%-310M
-77.42%-246.92M
-51.35%-139.17M
-25.49%-91.95M
---73.28M
Other cash payments from operating activities
----
----
----
----
----
----
----
---755K
----
Direct tax refund paid
-55.77%-82.4M
-60.79%-52.9M
-78.80%-32.9M
-11.52%-18.4M
-18.14%-16.5M
-45.02%-13.97M
-12.62%-9.63M
-178.29%-8.55M
---3.07M
Operating cash flow
17.92%448.7M
24.06%380.5M
44.94%306.7M
63.02%211.6M
15.42%129.8M
51.61%112.46M
35.04%74.18M
160.55%54.93M
--21.08M
Investing cash flow
Cash flow from continuing investing activities
72.51%-240.3M
-738.16%-874.2M
-9.44%-104.3M
34.00%-95.3M
49.34%-144.4M
-99.29%-285.05M
-190.84%-143.03M
-25.03%-49.18M
-39.34M
Net PPE purchase and sale
8.09%-25M
-1.49%-27.2M
-64.42%-26.8M
18.91%-16.3M
-206.59%-20.1M
-29.92%-6.56M
26.76%-5.05M
-187.56%-6.89M
---2.4M
Net intangibles purchas and sale
-50.92%-173.1M
-52.12%-114.7M
-1.21%-75.4M
-5.82%-74.5M
-60.56%-70.4M
-24.30%-43.85M
-60.29%-35.28M
-24.07%-22.01M
---17.74M
Net business purchase and sale
93.96%-44.7M
-21,667.65%-740.1M
41.38%-3.4M
89.82%-5.8M
75.97%-57M
-127.77%-237.25M
-354.72%-104.16M
-23.30%-22.91M
---18.58M
Net investment purchase and sale
----
----
----
----
----
----
47.65%440K
259.36%298K
---187K
Interest received (cash flow from investment activities)
-66.67%2.6M
457.14%7.8M
7.69%1.4M
-58.06%1.3M
67.48%3.1M
83.09%1.85M
-56.53%1.01M
178.23%2.33M
--836K
Net other investing changes
---100K
----
---100K
----
----
--743K
----
----
---1.27M
Cash from discontinued investing activities
Investing cash flow
72.51%-240.3M
-738.16%-874.2M
-9.44%-104.3M
34.00%-95.3M
49.34%-144.4M
-99.29%-285.05M
-190.84%-143.03M
-25.03%-49.18M
---39.34M
Financing cash flow
Cash flow from continuing financing activities
-233.75%-225.5M
541.36%168.6M
-56.56%-38.2M
-18.45%-24.4M
-106.64%-20.6M
249.23%310.25M
745.78%88.84M
-116.26%-13.76M
84.63M
Net issuance payments of debt
-164.44%-145M
--225M
----
----
35.33%-800K
15.85%-1.24M
-522.88%-1.47M
99.02%-236K
---24M
Net common stock issuance
75.00%-100K
-300.00%-400K
0.00%-100K
75.00%-100K
-100.12%-400K
225.91%323.09M
1,594.32%99.13M
-105.65%-6.63M
--117.39M
Cash dividends paid
-26.92%-52.8M
-56.98%-41.6M
-100.76%-26.5M
-18.92%-13.2M
-23.86%-11.1M
-48.48%-8.96M
-105.52%-6.04M
22.97%-2.94M
---3.81M
Interest paid (cash flow from financing activities)
-240.43%-16M
-20.51%-4.7M
-62.50%-3.9M
0.00%-2.4M
-26.92%-2.4M
-241.34%-1.89M
-102.93%-554K
80.01%-273K
---1.37M
Net other financing activities
-19.59%-11.6M
-25.97%-9.7M
11.49%-7.7M
-47.46%-8.7M
-691.95%-5.9M
66.64%-745K
39.27%-2.23M
-2.59%-3.68M
---3.58M
Cash from discontinued financing activities
Financing cash flow
-233.75%-225.5M
541.36%168.6M
-56.56%-38.2M
-18.45%-24.4M
-106.64%-20.6M
249.23%310.25M
745.78%88.84M
-116.26%-13.76M
--84.63M
Net cash flow
Beginning cash position
-70.42%143M
53.46%483.4M
40.81%315M
-13.99%223.7M
113.50%260.1M
19.90%121.82M
-7.23%101.6M
153.80%109.53M
--43.16M
Current changes in cash
94.74%-17.1M
-297.99%-325.1M
78.67%164.2M
361.08%91.9M
-125.57%-35.2M
588.91%137.66M
349.53%19.98M
-112.06%-8.01M
--66.38M
Effect of exchange rate changes
72.55%-4.2M
-464.29%-15.3M
800.00%4.2M
53.85%-600K
-312.77%-1.3M
155.65%611K
184.52%239K
2,200.00%84K
---4K
Cash adjustments other than cash changes
----
----
----
----
--100K
----
----
----
----
End cash Position
-14.90%121.7M
-70.42%143M
53.46%483.4M
40.81%315M
-13.99%223.7M
113.50%260.09M
19.90%121.82M
-7.23%101.6M
--109.53M
Free cash from
5.03%250.6M
16.67%238.6M
69.29%204.5M
207.38%120.8M
-36.67%39.3M
83.31%62.06M
30.04%33.85M
2,645.99%26.03M
--948K
Accounting Standards
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
Operating cash flow (direct method)
Cash income from operating activities 24.49%1.07B32.01%858.7M21.45%650.5M17.38%535.6M22.22%456.3M67.44%373.35M42.76%222.98M60.31%156.19M97.43M
Revenue from customers 24.51%1.07B32.01%858.6M21.43%650.4M17.35%535.6M22.24%456.4M67.44%373.35M42.76%222.98M48.20%156.19M--105.39M
Other cash income from operating activities ----0.00%100K--100K-------100K---------------7.96M
Cash paid -26.48%-537.9M-36.80%-425.3M-1.73%-310.9M1.42%-305.6M-25.55%-310M-77.42%-246.92M-50.12%-139.17M-26.52%-92.71M-73.28M
Payments to suppliers for goods and services -26.48%-537.9M-36.80%-425.3M-1.73%-310.9M1.42%-305.6M-25.55%-310M-77.42%-246.92M-51.35%-139.17M-25.49%-91.95M---73.28M
Other cash payments from operating activities -------------------------------755K----
Direct tax refund paid -55.77%-82.4M-60.79%-52.9M-78.80%-32.9M-11.52%-18.4M-18.14%-16.5M-45.02%-13.97M-12.62%-9.63M-178.29%-8.55M---3.07M
Operating cash flow 17.92%448.7M24.06%380.5M44.94%306.7M63.02%211.6M15.42%129.8M51.61%112.46M35.04%74.18M160.55%54.93M--21.08M
Investing cash flow
Cash flow from continuing investing activities 72.51%-240.3M-738.16%-874.2M-9.44%-104.3M34.00%-95.3M49.34%-144.4M-99.29%-285.05M-190.84%-143.03M-25.03%-49.18M-39.34M
Net PPE purchase and sale 8.09%-25M-1.49%-27.2M-64.42%-26.8M18.91%-16.3M-206.59%-20.1M-29.92%-6.56M26.76%-5.05M-187.56%-6.89M---2.4M
Net intangibles purchas and sale -50.92%-173.1M-52.12%-114.7M-1.21%-75.4M-5.82%-74.5M-60.56%-70.4M-24.30%-43.85M-60.29%-35.28M-24.07%-22.01M---17.74M
Net business purchase and sale 93.96%-44.7M-21,667.65%-740.1M41.38%-3.4M89.82%-5.8M75.97%-57M-127.77%-237.25M-354.72%-104.16M-23.30%-22.91M---18.58M
Net investment purchase and sale ------------------------47.65%440K259.36%298K---187K
Interest received (cash flow from investment activities) -66.67%2.6M457.14%7.8M7.69%1.4M-58.06%1.3M67.48%3.1M83.09%1.85M-56.53%1.01M178.23%2.33M--836K
Net other investing changes ---100K-------100K----------743K-----------1.27M
Cash from discontinued investing activities
Investing cash flow 72.51%-240.3M-738.16%-874.2M-9.44%-104.3M34.00%-95.3M49.34%-144.4M-99.29%-285.05M-190.84%-143.03M-25.03%-49.18M---39.34M
Financing cash flow
Cash flow from continuing financing activities -233.75%-225.5M541.36%168.6M-56.56%-38.2M-18.45%-24.4M-106.64%-20.6M249.23%310.25M745.78%88.84M-116.26%-13.76M84.63M
Net issuance payments of debt -164.44%-145M--225M--------35.33%-800K15.85%-1.24M-522.88%-1.47M99.02%-236K---24M
Net common stock issuance 75.00%-100K-300.00%-400K0.00%-100K75.00%-100K-100.12%-400K225.91%323.09M1,594.32%99.13M-105.65%-6.63M--117.39M
Cash dividends paid -26.92%-52.8M-56.98%-41.6M-100.76%-26.5M-18.92%-13.2M-23.86%-11.1M-48.48%-8.96M-105.52%-6.04M22.97%-2.94M---3.81M
Interest paid (cash flow from financing activities) -240.43%-16M-20.51%-4.7M-62.50%-3.9M0.00%-2.4M-26.92%-2.4M-241.34%-1.89M-102.93%-554K80.01%-273K---1.37M
Net other financing activities -19.59%-11.6M-25.97%-9.7M11.49%-7.7M-47.46%-8.7M-691.95%-5.9M66.64%-745K39.27%-2.23M-2.59%-3.68M---3.58M
Cash from discontinued financing activities
Financing cash flow -233.75%-225.5M541.36%168.6M-56.56%-38.2M-18.45%-24.4M-106.64%-20.6M249.23%310.25M745.78%88.84M-116.26%-13.76M--84.63M
Net cash flow
Beginning cash position -70.42%143M53.46%483.4M40.81%315M-13.99%223.7M113.50%260.1M19.90%121.82M-7.23%101.6M153.80%109.53M--43.16M
Current changes in cash 94.74%-17.1M-297.99%-325.1M78.67%164.2M361.08%91.9M-125.57%-35.2M588.91%137.66M349.53%19.98M-112.06%-8.01M--66.38M
Effect of exchange rate changes 72.55%-4.2M-464.29%-15.3M800.00%4.2M53.85%-600K-312.77%-1.3M155.65%611K184.52%239K2,200.00%84K---4K
Cash adjustments other than cash changes ------------------100K----------------
End cash Position -14.90%121.7M-70.42%143M53.46%483.4M40.81%315M-13.99%223.7M113.50%260.09M19.90%121.82M-7.23%101.6M--109.53M
Free cash from 5.03%250.6M16.67%238.6M69.29%204.5M207.38%120.8M-36.67%39.3M83.31%62.06M30.04%33.85M2,645.99%26.03M--948K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP