AU Stock MarketDetailed Quotes

EVS EnviroSuite Ltd

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  • 0.054
  • -0.001-1.82%
20min DelayMarket Closed Dec 24 12:54 AET
77.80MMarket Cap-2.16P/E (Static)

EnviroSuite 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
-0.29%59.95M
17.05%60.13M
5.56%51.37M
64.69%48.66M
230.91%29.55M
99.13%8.93M
-76.93%4.48M
-10.99%19.44M
29.07%21.83M
23.67%16.92M
Revenue from customers
0.50%60.13M
15.92%59.84M
6.47%51.62M
66.93%48.48M
245.54%29.04M
174.67%8.41M
-82.87%3.06M
-13.50%17.87M
26.31%20.65M
28.10%16.35M
Other cash income from operating activities
-162.63%-181K
214.23%289K
-240.56%-253K
-64.29%180K
-3.82%504K
-63.20%524K
-9.30%1.42M
33.05%1.57M
108.85%1.18M
-38.18%565K
Cash paid
-4.11%-61.72M
-9.58%-59.28M
4.54%-54.1M
-39.47%-56.67M
-204.12%-40.64M
-26.44%-13.36M
50.19%-10.57M
-1.92%-21.22M
-32.65%-20.82M
-23.26%-15.69M
Payments to suppliers for goods and services
-4.11%-61.72M
-9.58%-59.28M
4.54%-54.1M
-39.47%-56.67M
-204.12%-40.64M
-26.44%-13.36M
50.19%-10.57M
-1.92%-21.22M
-32.65%-20.82M
-23.26%-15.69M
Direct interest paid
-74.07%-47K
-350.00%-27K
64.71%-6K
79.52%-17K
-295.24%-83K
-200.00%-21K
95.36%-7K
41.25%-151K
14.33%-257K
-18.11%-300K
Direct interest received
-20.25%63K
243.48%79K
2,200.00%23K
-99.09%1K
-20.86%110K
7.75%139K
1,072.73%129K
-21.43%11K
180.00%14K
-76.19%5K
Direct tax refund paid
-318.79%-624K
68.43%-149K
2.07%-472K
-144.67%-482K
---197K
----
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----
----
----
Operating cash flow
-418.36%-2.38M
123.40%746K
62.54%-3.19M
24.42%-8.51M
-160.93%-11.26M
27.62%-4.32M
-210.20%-5.96M
-348.32%-1.92M
-16.68%774K
30.11%929K
Investing cash flow
Cash flow from continuing investing activities
-1.09%-8.14M
-23.65%-8.05M
31.13%-6.51M
86.09%-9.46M
-4,754.86%-67.97M
26.51%-1.4M
-115.93%-1.91M
564.45%11.96M
-23.81%-2.57M
-426.33%-2.08M
Net PPE purchase and sale
-16.06%-2.66M
-30.08%-2.29M
-137.79%-1.76M
-321.02%-741K
-170.77%-176K
74.71%-65K
-31.79%-257K
45.68%-195K
-4.66%-359K
-76.80%-343K
Net intangibles purchas and sale
6.30%-5.4M
-21.26%-5.76M
-52.44%-4.75M
-29.94%-3.12M
-73.14%-2.4M
6.92%-1.39M
7.86%-1.49M
-27.47%-1.62M
-10.85%-1.27M
---1.14M
Net business purchase and sale
----
----
----
91.44%-5.6M
-130,888.00%-65.39M
131.25%50K
-101.14%-160K
1,577.64%14.01M
-59.87%-948K
-195.02%-593K
Net investment purchase and sale
---83K
----
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----
----
----
----
----
----
----
Net other investing changes
----
----
----
----
----
----
----
---243K
----
----
Cash from discontinued investing activities
Investing cash flow
-1.09%-8.14M
-23.65%-8.05M
31.13%-6.51M
86.09%-9.46M
-4,754.86%-67.97M
26.51%-1.4M
-115.93%-1.91M
564.45%11.96M
-23.81%-2.57M
-426.33%-2.08M
Financing cash flow
Cash flow from continuing financing activities
621.02%6.22M
-114.32%-1.19M
-27.62%8.34M
-87.98%11.52M
898.64%95.85M
29,893.75%9.6M
-68.00%32K
-93.07%100K
-7.62%1.44M
735.29%1.56M
Net issuance payments of debt
7,710.20%7.65M
42.03%98K
218.97%69K
-1,833.33%-58K
90.63%-3K
-200.00%-32K
101.19%32K
-367.83%-2.69M
-801.22%-575K
-56.15%82K
Net common stock issuance
----
----
-22.53%10.15M
-86.34%13.1M
895.35%95.85M
--9.63M
----
38.26%2.79M
36.35%2.02M
--1.48M
Net other financing activities
-10.91%-1.43M
31.20%-1.29M
-23.47%-1.88M
---1.52M
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
621.02%6.22M
-114.32%-1.19M
-27.62%8.34M
-87.98%11.52M
898.64%95.85M
29,893.75%9.6M
-68.00%32K
-93.07%100K
-7.62%1.44M
735.29%1.56M
Net cash flow
Beginning cash position
-49.20%8.28M
-7.64%16.29M
-27.66%17.64M
222.38%24.39M
107.35%7.56M
-68.20%3.65M
757.32%11.47M
-21.06%1.34M
32.11%1.7M
65.12%1.28M
Current changes in cash
49.48%-4.29M
-523.17%-8.5M
78.85%-1.36M
-138.80%-6.45M
328.07%16.62M
149.56%3.88M
-177.32%-7.84M
2,938.38%10.13M
-186.65%-357K
-18.58%412K
Effect of exchange rate changes
-189.48%-434K
2,931.25%485K
105.41%16K
-248.74%-296K
503.03%199K
175.00%33K
--12K
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----
----
End cash Position
-57.12%3.55M
-49.20%8.28M
-7.64%16.29M
-27.66%17.64M
222.38%24.39M
107.35%7.56M
-68.20%3.65M
757.32%11.47M
-21.06%1.34M
32.11%1.7M
Free cash from
-42.79%-10.43M
24.68%-7.31M
21.57%-9.7M
10.60%-12.37M
-139.95%-13.83M
25.20%-5.77M
-105.52%-7.71M
-340.14%-3.75M
-52.96%-852K
-207.12%-557K
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 -0.29%59.95M 17.05%60.13M 5.56%51.37M 64.69%48.66M 230.91%29.55M 99.13%8.93M -76.93%4.48M -10.99%19.44M 29.07%21.83M 23.67%16.92M
Revenue from customers 0.50%60.13M 15.92%59.84M 6.47%51.62M 66.93%48.48M 245.54%29.04M 174.67%8.41M -82.87%3.06M -13.50%17.87M 26.31%20.65M 28.10%16.35M
Other cash income from operating activities -162.63%-181K 214.23%289K -240.56%-253K -64.29%180K -3.82%504K -63.20%524K -9.30%1.42M 33.05%1.57M 108.85%1.18M -38.18%565K
Cash paid -4.11%-61.72M -9.58%-59.28M 4.54%-54.1M -39.47%-56.67M -204.12%-40.64M -26.44%-13.36M 50.19%-10.57M -1.92%-21.22M -32.65%-20.82M -23.26%-15.69M
Payments to suppliers for goods and services -4.11%-61.72M -9.58%-59.28M 4.54%-54.1M -39.47%-56.67M -204.12%-40.64M -26.44%-13.36M 50.19%-10.57M -1.92%-21.22M -32.65%-20.82M -23.26%-15.69M
Direct interest paid -74.07%-47K -350.00%-27K 64.71%-6K 79.52%-17K -295.24%-83K -200.00%-21K 95.36%-7K 41.25%-151K 14.33%-257K -18.11%-300K
Direct interest received -20.25%63K 243.48%79K 2,200.00%23K -99.09%1K -20.86%110K 7.75%139K 1,072.73%129K -21.43%11K 180.00%14K -76.19%5K
Direct tax refund paid -318.79%-624K 68.43%-149K 2.07%-472K -144.67%-482K ---197K ---- ---- ---- ---- ----
Operating cash flow -418.36%-2.38M 123.40%746K 62.54%-3.19M 24.42%-8.51M -160.93%-11.26M 27.62%-4.32M -210.20%-5.96M -348.32%-1.92M -16.68%774K 30.11%929K
Investing cash flow
Cash flow from continuing investing activities -1.09%-8.14M -23.65%-8.05M 31.13%-6.51M 86.09%-9.46M -4,754.86%-67.97M 26.51%-1.4M -115.93%-1.91M 564.45%11.96M -23.81%-2.57M -426.33%-2.08M
Net PPE purchase and sale -16.06%-2.66M -30.08%-2.29M -137.79%-1.76M -321.02%-741K -170.77%-176K 74.71%-65K -31.79%-257K 45.68%-195K -4.66%-359K -76.80%-343K
Net intangibles purchas and sale 6.30%-5.4M -21.26%-5.76M -52.44%-4.75M -29.94%-3.12M -73.14%-2.4M 6.92%-1.39M 7.86%-1.49M -27.47%-1.62M -10.85%-1.27M ---1.14M
Net business purchase and sale ---- ---- ---- 91.44%-5.6M -130,888.00%-65.39M 131.25%50K -101.14%-160K 1,577.64%14.01M -59.87%-948K -195.02%-593K
Net investment purchase and sale ---83K ---- ---- ---- ---- ---- ---- ---- ---- ----
Net other investing changes ---- ---- ---- ---- ---- ---- ---- ---243K ---- ----
Cash from discontinued investing activities
Investing cash flow -1.09%-8.14M -23.65%-8.05M 31.13%-6.51M 86.09%-9.46M -4,754.86%-67.97M 26.51%-1.4M -115.93%-1.91M 564.45%11.96M -23.81%-2.57M -426.33%-2.08M
Financing cash flow
Cash flow from continuing financing activities 621.02%6.22M -114.32%-1.19M -27.62%8.34M -87.98%11.52M 898.64%95.85M 29,893.75%9.6M -68.00%32K -93.07%100K -7.62%1.44M 735.29%1.56M
Net issuance payments of debt 7,710.20%7.65M 42.03%98K 218.97%69K -1,833.33%-58K 90.63%-3K -200.00%-32K 101.19%32K -367.83%-2.69M -801.22%-575K -56.15%82K
Net common stock issuance ---- ---- -22.53%10.15M -86.34%13.1M 895.35%95.85M --9.63M ---- 38.26%2.79M 36.35%2.02M --1.48M
Net other financing activities -10.91%-1.43M 31.20%-1.29M -23.47%-1.88M ---1.52M ---- ---- ---- ---- ---- ----
Cash from discontinued financing activities
Financing cash flow 621.02%6.22M -114.32%-1.19M -27.62%8.34M -87.98%11.52M 898.64%95.85M 29,893.75%9.6M -68.00%32K -93.07%100K -7.62%1.44M 735.29%1.56M
Net cash flow
Beginning cash position -49.20%8.28M -7.64%16.29M -27.66%17.64M 222.38%24.39M 107.35%7.56M -68.20%3.65M 757.32%11.47M -21.06%1.34M 32.11%1.7M 65.12%1.28M
Current changes in cash 49.48%-4.29M -523.17%-8.5M 78.85%-1.36M -138.80%-6.45M 328.07%16.62M 149.56%3.88M -177.32%-7.84M 2,938.38%10.13M -186.65%-357K -18.58%412K
Effect of exchange rate changes -189.48%-434K 2,931.25%485K 105.41%16K -248.74%-296K 503.03%199K 175.00%33K --12K ---- ---- ----
End cash Position -57.12%3.55M -49.20%8.28M -7.64%16.29M -27.66%17.64M 222.38%24.39M 107.35%7.56M -68.20%3.65M 757.32%11.47M -21.06%1.34M 32.11%1.7M
Free cash from -42.79%-10.43M 24.68%-7.31M 21.57%-9.7M 10.60%-12.37M -139.95%-13.83M 25.20%-5.77M -105.52%-7.71M -340.14%-3.75M -52.96%-852K -207.12%-557K
Accounting Standards US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP
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