(FY)Sep 30, 2023 | (FY)Sep 30, 2022 | (FY)Sep 30, 2021 | |
---|---|---|---|
Operating Cash Flow (Indirect Method) | |||
Cash flow from continuing operating activities | -132.10%-6.51M | -341.31%-2.8M | -635.13K |
Net income from continuing operations | -6,108.02%-222.1M | -129.05%-3.58M | ---1.56M |
Operating gains losses | 152.10%95.13K | -14,730.05%-182.58K | --1.25K |
Depreciation and amortization | 70.34%424.29K | 44.74%249.09K | --172.09K |
Other non cash items | 29,583.03%144.56M | 69.37%487.01K | --287.54K |
Change In working capital | -197.81%-420.36K | -138.56%-141.15K | --366.09K |
-Change in receivables | -335.59%-586.56K | ---134.66K | ---- |
-Change in inventory | -530.92%-572.08K | -330.55%-90.67K | ---21.06K |
-Change in prepaid assets | ---- | ---- | ---31.55K |
-Change in payables and accrued expense | 275.14%611.06K | -55.61%162.89K | --366.96K |
-Change in other current assets | 166.17%73.52K | -893.53%-111.11K | --14K |
-Change in other current liabilities | 65.71%53.7K | 2,178.51%32.4K | ---1.56K |
-Change in other working capital | ---- | ---- | --39.29K |
Cash from discontinued investing activities | |||
Operating cash flow | -132.10%-6.51M | -341.31%-2.8M | ---635.13K |
Investing cash flow | |||
Cash flow from continuing investing activities | 38.69%-285.87K | -78.21%-466.25K | -261.63K |
Net PPE purchase and sale | 72.62%-173.34K | -115,209.45%-633.1K | --550 |
Net intangibles purchase and sale | -88.31%-123.66K | -265.15%-65.67K | ---17.98K |
Net other investing changes | -99.20%1.83K | 193.71%229.83K | ---245.25K |
Cash from discontinued investing activities | |||
Investing cash flow | 38.69%-285.87K | -78.21%-466.25K | ---261.63K |
Financing cash flow | |||
Cash flow from continuing financing activities | 11.42%5.65M | 718.67%5.07M | 619.3K |
Net issuance payments of debt | 15,954.10%7.38M | -127.50%-46.58K | ---20.47K |
Net common stock issuance | --0 | 686.32%5.16M | --655.65K |
Cash dividends paid | --0 | --0 | --0 |
Net other financing activities | ---1.68M | ---- | ---- |
Cash from discontinued financing activities | |||
Financing cash flow | 11.42%5.65M | 718.67%5.07M | --619.3K |
Net cash flow | |||
Beginning cash position | 1,129.06%1.96M | -63.47%159.72K | --437.18K |
Current changes in cash | -163.44%-1.14M | 749.06%1.8M | ---277.46K |
Effect of exchange rate changes | 4.22%2.59K | --2.49K | --0 |
End cash Position | -58.06%823.22K | 1,129.06%1.96M | --159.72K |
Free cash flow | -94.26%-6.8M | -436.15%-3.5M | ---653.11K |
Currency Unit | USD | USD | USD |
Audit Opinions | Unqualified Opinion with Explanatory Notes | -- | -- |
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