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ARUOA Arafura Rare Earths Ltd

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  • 0.005
  • 0.0000.00%
20min DelayMarket Closed Dec 19 15:59 AET
12.00MMarket Cap0.00P/E (Static)

Arafura Rare Earths 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
-55.73%-95.06M
-209.48%-61.04M
-9,543.28%-19.72M
-31.20%208.86K
-31.91%303.57K
-32.40%445.84K
-22.15%659.57K
-10.88%847.25K
-33.87%950.73K
85.11%1.44M
Other cash income from operating activities
-55.73%-95.06M
-209.48%-61.04M
-9,543.28%-19.72M
-31.20%208.86K
-31.91%303.57K
-32.40%445.84K
-22.15%659.57K
-10.88%847.25K
-33.87%950.73K
85.11%1.44M
Cash paid
-41.26%-16.26M
-52.43%-11.51M
-35.97%-7.55M
-6.85%-5.55M
2.96%-5.2M
-20.37%-5.36M
0.13%-4.45M
7.13%-4.46M
20.35%-4.8M
9.07%-6.02M
Payments to suppliers for goods and services
-41.26%-16.26M
-52.43%-11.51M
-35.97%-7.55M
-6.85%-5.55M
2.96%-5.2M
-20.37%-5.36M
0.13%-4.45M
7.13%-4.46M
20.35%-4.8M
9.07%-6.02M
Direct interest paid
-622.76%-338.52K
-137.01%-46.84K
28.73%-19.76K
-142.11%-27.73K
-111.43%-11.45K
-15.45%-5.42K
3.79%-4.69K
12.32%-4.88K
28.60%-5.56K
-56.74%-7.79K
Direct interest received
-18.06%2.62M
2,334.57%3.2M
22.83%131.34K
-67.05%106.93K
55.32%324.49K
-21.21%208.92K
-5.56%265.16K
-25.34%280.77K
-44.83%376.07K
-33.03%681.65K
Operating cash flow
-57.12%-109.04M
-155.49%-69.4M
-415.82%-27.16M
-14.94%-5.27M
2.67%-4.58M
-33.35%-4.71M
-5.92%-3.53M
4.15%-3.33M
11.13%-3.48M
19.09%-3.91M
Investing cash flow
Cash flow from continuing investing activities
5.81%-3.82M
-3.74%-4.05M
42.71%-3.91M
-9.41%-6.82M
24.40%-6.24M
-103.97%-8.25M
-83.75%-4.04M
-36.81%-2.2M
60.14%-1.61M
-43.94%-4.04M
Capital expenditure reported
-43.63%-2.89M
51.30%-2.01M
44.76%-4.14M
-1.42%-7.49M
25.43%-7.38M
-105.46%-9.9M
-43.27%-4.82M
17.40%-3.36M
34.20%-4.07M
-2.21%-6.19M
Net PPE purchase and sale
64.50%-99.08K
-121.06%-279.09K
10.84%-126.25K
-1,015.77%-141.59K
-80.33%-12.69K
98.23%-7.04K
-254.27%-397.79K
49,402.87%257.85K
99.52%-523
-239.18%-110.01K
Net investment purchase and sale
47.41%-986.84K
-12,070.30%-1.88M
93.83%-15.42K
-114.44%-250K
---116.58K
----
----
----
----
----
Net other investing changes
38.77%161.24K
-68.65%116.19K
-64.99%370.67K
-17.15%1.06M
-23.10%1.28M
41.57%1.66M
29.61%1.17M
-63.25%905.76K
8.87%2.46M
-31.07%2.26M
Cash from discontinued investing activities
Investing cash flow
5.81%-3.82M
-3.74%-4.05M
42.71%-3.91M
-9.41%-6.82M
24.40%-6.24M
-103.97%-8.25M
-83.75%-4.04M
-36.81%-2.2M
60.14%-1.61M
-43.94%-4.04M
Financing cash flow
Cash flow from continuing financing activities
-85.16%26.35M
294.90%177.56M
42,677.54%44.96M
-99.63%105.11K
169.04%28.19M
252.05%10.48M
-53.94%2.98M
6.46M
Net issuance payments of debt
----
----
----
----
---45.63K
----
----
----
----
----
Net common stock issuance
-83.23%29.93M
294.83%178.48M
12,780.34%45.2M
-98.76%350.95K
169.47%28.24M
252.05%10.48M
-53.94%2.98M
--6.46M
----
----
Net other financing activities
-292.00%-3.58M
-281.72%-912.63K
2.75%-239.08K
---245.84K
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-85.16%26.35M
294.90%177.56M
42,677.54%44.96M
-99.63%105.11K
169.04%28.19M
252.05%10.48M
-53.94%2.98M
--6.46M
----
----
Net cash flow
Beginning cash position
422.07%128.85M
128.78%24.68M
-52.63%10.79M
321.86%22.77M
-31.45%5.4M
-36.86%7.87M
8.05%12.47M
-30.53%11.54M
-32.31%16.62M
-23.73%24.55M
Current changes in cash
-183.09%-86.51M
649.38%104.11M
215.93%13.89M
-168.97%-11.98M
801.51%17.37M
46.13%-2.48M
-594.61%-4.6M
118.28%929.44K
36.02%-5.09M
-3.82%-7.95M
Effect of exchange rate changes
-378.29%-171.42K
14,462.41%61.6K
196.36%423
-499.09%-439
-51.97%110
146.64%229
37.05%-491
-106.06%-780
-20.57%12.86K
-13.63%16.19K
End cash Position
-67.27%42.17M
422.07%128.85M
128.78%24.68M
-52.63%10.79M
321.86%22.77M
-31.45%5.4M
-36.86%7.87M
8.05%12.47M
-30.53%11.54M
-32.31%16.62M
Free cash from
-56.30%-112.06M
-127.89%-71.7M
-143.93%-31.46M
-6.82%-12.9M
17.51%-12.07M
-67.15%-14.64M
-29.70%-8.76M
10.57%-6.75M
26.06%-7.55M
6.51%-10.21M
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 -55.73%-95.06M -209.48%-61.04M -9,543.28%-19.72M -31.20%208.86K -31.91%303.57K -32.40%445.84K -22.15%659.57K -10.88%847.25K -33.87%950.73K 85.11%1.44M
Other cash income from operating activities -55.73%-95.06M -209.48%-61.04M -9,543.28%-19.72M -31.20%208.86K -31.91%303.57K -32.40%445.84K -22.15%659.57K -10.88%847.25K -33.87%950.73K 85.11%1.44M
Cash paid -41.26%-16.26M -52.43%-11.51M -35.97%-7.55M -6.85%-5.55M 2.96%-5.2M -20.37%-5.36M 0.13%-4.45M 7.13%-4.46M 20.35%-4.8M 9.07%-6.02M
Payments to suppliers for goods and services -41.26%-16.26M -52.43%-11.51M -35.97%-7.55M -6.85%-5.55M 2.96%-5.2M -20.37%-5.36M 0.13%-4.45M 7.13%-4.46M 20.35%-4.8M 9.07%-6.02M
Direct interest paid -622.76%-338.52K -137.01%-46.84K 28.73%-19.76K -142.11%-27.73K -111.43%-11.45K -15.45%-5.42K 3.79%-4.69K 12.32%-4.88K 28.60%-5.56K -56.74%-7.79K
Direct interest received -18.06%2.62M 2,334.57%3.2M 22.83%131.34K -67.05%106.93K 55.32%324.49K -21.21%208.92K -5.56%265.16K -25.34%280.77K -44.83%376.07K -33.03%681.65K
Operating cash flow -57.12%-109.04M -155.49%-69.4M -415.82%-27.16M -14.94%-5.27M 2.67%-4.58M -33.35%-4.71M -5.92%-3.53M 4.15%-3.33M 11.13%-3.48M 19.09%-3.91M
Investing cash flow
Cash flow from continuing investing activities 5.81%-3.82M -3.74%-4.05M 42.71%-3.91M -9.41%-6.82M 24.40%-6.24M -103.97%-8.25M -83.75%-4.04M -36.81%-2.2M 60.14%-1.61M -43.94%-4.04M
Capital expenditure reported -43.63%-2.89M 51.30%-2.01M 44.76%-4.14M -1.42%-7.49M 25.43%-7.38M -105.46%-9.9M -43.27%-4.82M 17.40%-3.36M 34.20%-4.07M -2.21%-6.19M
Net PPE purchase and sale 64.50%-99.08K -121.06%-279.09K 10.84%-126.25K -1,015.77%-141.59K -80.33%-12.69K 98.23%-7.04K -254.27%-397.79K 49,402.87%257.85K 99.52%-523 -239.18%-110.01K
Net investment purchase and sale 47.41%-986.84K -12,070.30%-1.88M 93.83%-15.42K -114.44%-250K ---116.58K ---- ---- ---- ---- ----
Net other investing changes 38.77%161.24K -68.65%116.19K -64.99%370.67K -17.15%1.06M -23.10%1.28M 41.57%1.66M 29.61%1.17M -63.25%905.76K 8.87%2.46M -31.07%2.26M
Cash from discontinued investing activities
Investing cash flow 5.81%-3.82M -3.74%-4.05M 42.71%-3.91M -9.41%-6.82M 24.40%-6.24M -103.97%-8.25M -83.75%-4.04M -36.81%-2.2M 60.14%-1.61M -43.94%-4.04M
Financing cash flow
Cash flow from continuing financing activities -85.16%26.35M 294.90%177.56M 42,677.54%44.96M -99.63%105.11K 169.04%28.19M 252.05%10.48M -53.94%2.98M 6.46M
Net issuance payments of debt ---- ---- ---- ---- ---45.63K ---- ---- ---- ---- ----
Net common stock issuance -83.23%29.93M 294.83%178.48M 12,780.34%45.2M -98.76%350.95K 169.47%28.24M 252.05%10.48M -53.94%2.98M --6.46M ---- ----
Net other financing activities -292.00%-3.58M -281.72%-912.63K 2.75%-239.08K ---245.84K ---- ---- ---- ---- ---- ----
Cash from discontinued financing activities
Financing cash flow -85.16%26.35M 294.90%177.56M 42,677.54%44.96M -99.63%105.11K 169.04%28.19M 252.05%10.48M -53.94%2.98M --6.46M ---- ----
Net cash flow
Beginning cash position 422.07%128.85M 128.78%24.68M -52.63%10.79M 321.86%22.77M -31.45%5.4M -36.86%7.87M 8.05%12.47M -30.53%11.54M -32.31%16.62M -23.73%24.55M
Current changes in cash -183.09%-86.51M 649.38%104.11M 215.93%13.89M -168.97%-11.98M 801.51%17.37M 46.13%-2.48M -594.61%-4.6M 118.28%929.44K 36.02%-5.09M -3.82%-7.95M
Effect of exchange rate changes -378.29%-171.42K 14,462.41%61.6K 196.36%423 -499.09%-439 -51.97%110 146.64%229 37.05%-491 -106.06%-780 -20.57%12.86K -13.63%16.19K
End cash Position -67.27%42.17M 422.07%128.85M 128.78%24.68M -52.63%10.79M 321.86%22.77M -31.45%5.4M -36.86%7.87M 8.05%12.47M -30.53%11.54M -32.31%16.62M
Free cash from -56.30%-112.06M -127.89%-71.7M -143.93%-31.46M -6.82%-12.9M 17.51%-12.07M -67.15%-14.64M -29.70%-8.76M 10.57%-6.75M 26.06%-7.55M 6.51%-10.21M
Accounting Standards US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP