AU Stock MarketDetailed Quotes

WAT Waterco Ltd

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  • 7.600
  • -0.400-5.00%
20min DelayClosing Auction Session Jan 10 10:10 AET
267.40MMarket Cap19.24P/E (Static)

Waterco 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
80.12%254.63M
8.72%141.37M
9.82%130.03M
14.81%118.4M
6.95%103.12M
2.55%96.42M
5.14%94.02M
-1.21%89.42M
2.37%90.52M
6.96%88.43M
Revenue from customers
80.40%253.36M
9.55%140.45M
9.80%128.2M
14.27%116.75M
7.32%102.18M
2.95%95.21M
6.51%92.48M
-1.70%86.82M
4.35%88.32M
3.41%84.64M
Other cash income from operating activities
37.38%1.27M
-49.54%923K
11.25%1.83M
73.97%1.64M
-21.90%945K
-21.63%1.21M
-40.62%1.54M
18.34%2.6M
-42.00%2.2M
357.49%3.79M
Cash paid
-78.46%-222.56M
-0.04%-124.71M
-11.79%-124.66M
-27.90%-111.52M
-0.34%-87.19M
7.83%-86.9M
-21.12%-94.28M
4.00%-77.84M
-2.88%-81.09M
0.49%-78.81M
Payments to suppliers for goods and services
-78.46%-222.56M
-0.04%-124.71M
-11.79%-124.66M
-27.90%-111.52M
-0.34%-87.19M
7.83%-86.9M
-21.12%-94.28M
4.00%-77.84M
-2.88%-81.09M
0.49%-78.81M
Direct interest paid
-455.87%-3.93M
-115.55%-707K
10.63%-328K
61.73%-367K
15.73%-959K
-13.80%-1.14M
-2.04%-1M
21.16%-980K
19.34%-1.24M
-0.78%-1.54M
Direct interest received
125.00%135K
200.00%60K
-31.03%20K
-25.64%29K
11.43%39K
59.09%35K
-77.08%22K
65.52%96K
75.76%58K
37.50%33K
Direct tax refund paid
21.63%-3.78M
-178.79%-4.82M
-31.96%-1.73M
56.62%-1.31M
-63.53%-3.02M
-2.21%-1.85M
-69.13%-1.81M
9.79%-1.07M
-96.84%-1.19M
51.37%-602K
Operating cash flow
118.99%24.5M
236.55%11.19M
-36.48%3.32M
-56.34%5.23M
82.46%11.99M
316.09%6.57M
-131.56%-3.04M
36.34%9.63M
-5.86%7.06M
933.61%7.5M
Investing cash flow
Cash flow from continuing investing activities
-1,559.03%-56.21M
13.64%-3.39M
-116.85%-3.92M
1,314.13%23.29M
18.00%-1.92M
28.49%-2.34M
-0.52%-3.27M
-835.06%-3.25M
87.74%-348K
-551.15%-2.84M
Net PPE purchase and sale
30.74%-1.99M
15.72%-2.87M
-26.54%-3.4M
-40.18%-2.69M
8.75%-1.92M
35.73%-2.1M
-3.12%-3.27M
-811.78%-3.17M
87.74%-348K
-551.15%-2.84M
Net intangibles purchas and sale
----
----
----
----
----
---237K
----
---81K
----
----
Net business purchase and sale
-10,327.31%-54.22M
0.00%-520K
-102.00%-520K
--25.98M
----
----
----
----
----
----
Dividends received (cash flow from investment activities)
0.00%1K
0.00%1K
0.00%1K
0.00%1K
0.00%1K
0.00%1K
--1K
----
----
----
Cash from discontinued investing activities
Investing cash flow
-1,559.03%-56.21M
13.64%-3.39M
-116.85%-3.92M
1,314.13%23.29M
18.00%-1.92M
28.49%-2.34M
-0.52%-3.27M
-835.06%-3.25M
87.74%-348K
-551.15%-2.84M
Financing cash flow
Cash flow from continuing financing activities
627.64%37.58M
-478.64%-7.12M
94.89%-1.23M
-493.44%-24.07M
13.46%-4.06M
-359.09%-4.69M
134.72%1.81M
6.80%-5.21M
-212.00%-5.59M
10.89%-1.79M
Net issuance payments of debt
1,924.26%41.89M
-214.57%-2.3M
109.31%2M
-8,834.85%-21.53M
87.53%-241K
-143.80%-1.93M
242.72%4.41M
30.84%-3.09M
-269.50%-4.47M
-97.71%-1.21M
Net common stock issuance
93.27%-81K
-61.83%-1.2M
-90.28%-744K
76.93%-391K
-91.74%-1.7M
-18.98%-884K
-198.39%-743K
-117.30%-249K
118.36%1.44M
-36.76%659K
Cash dividends paid
-16.48%-4.22M
-45.44%-3.62M
-16.08%-2.49M
-18.50%-2.15M
3.16%-1.81M
-0.48%-1.87M
0.48%-1.86M
26.92%-1.87M
-139.38%-2.56M
56.21%-1.07M
Net other financing activities
----
----
----
----
---309K
----
----
----
----
---172K
Cash from discontinued financing activities
Financing cash flow
627.64%37.58M
-478.64%-7.12M
94.89%-1.23M
-493.44%-24.07M
13.46%-4.06M
-359.09%-4.69M
134.72%1.81M
6.80%-5.21M
-212.00%-5.59M
10.89%-1.79M
Net cash flow
Beginning cash position
3.27%12.34M
2.15%11.95M
40.69%11.69M
99.52%8.31M
21.85%4.17M
-26.22%3.42M
2.57%4.63M
38.42%4.52M
4,900.00%3.26M
-103.51%-68K
Current changes in cash
768.93%5.87M
136.94%676K
-141.12%-1.83M
-25.98%4.45M
1,415.54%6.01M
89.85%-457K
-486.11%-4.5M
3.64%1.17M
-60.84%1.13M
266.94%2.87M
Effect of exchange rate changes
-394.39%-1.41M
-113.69%-285K
294.94%2.08M
42.77%-1.07M
-254.98%-1.87M
-63.37%1.2M
413.05%3.29M
-913.95%-1.05M
-71.90%129K
260.49%459K
End cash Position
36.19%16.8M
3.27%12.34M
2.15%11.95M
40.69%11.69M
99.52%8.31M
21.85%4.17M
-26.22%3.42M
2.57%4.63M
38.42%4.52M
4,900.00%3.26M
Free cash from
167.90%22.16M
4,773.45%8.27M
-107.26%-177K
-75.78%2.44M
140.95%10.07M
164.78%4.18M
-203.46%-6.45M
13.90%6.23M
21.70%5.47M
3,231.11%4.5M
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 80.12%254.63M 8.72%141.37M 9.82%130.03M 14.81%118.4M 6.95%103.12M 2.55%96.42M 5.14%94.02M -1.21%89.42M 2.37%90.52M 6.96%88.43M
Revenue from customers 80.40%253.36M 9.55%140.45M 9.80%128.2M 14.27%116.75M 7.32%102.18M 2.95%95.21M 6.51%92.48M -1.70%86.82M 4.35%88.32M 3.41%84.64M
Other cash income from operating activities 37.38%1.27M -49.54%923K 11.25%1.83M 73.97%1.64M -21.90%945K -21.63%1.21M -40.62%1.54M 18.34%2.6M -42.00%2.2M 357.49%3.79M
Cash paid -78.46%-222.56M -0.04%-124.71M -11.79%-124.66M -27.90%-111.52M -0.34%-87.19M 7.83%-86.9M -21.12%-94.28M 4.00%-77.84M -2.88%-81.09M 0.49%-78.81M
Payments to suppliers for goods and services -78.46%-222.56M -0.04%-124.71M -11.79%-124.66M -27.90%-111.52M -0.34%-87.19M 7.83%-86.9M -21.12%-94.28M 4.00%-77.84M -2.88%-81.09M 0.49%-78.81M
Direct interest paid -455.87%-3.93M -115.55%-707K 10.63%-328K 61.73%-367K 15.73%-959K -13.80%-1.14M -2.04%-1M 21.16%-980K 19.34%-1.24M -0.78%-1.54M
Direct interest received 125.00%135K 200.00%60K -31.03%20K -25.64%29K 11.43%39K 59.09%35K -77.08%22K 65.52%96K 75.76%58K 37.50%33K
Direct tax refund paid 21.63%-3.78M -178.79%-4.82M -31.96%-1.73M 56.62%-1.31M -63.53%-3.02M -2.21%-1.85M -69.13%-1.81M 9.79%-1.07M -96.84%-1.19M 51.37%-602K
Operating cash flow 118.99%24.5M 236.55%11.19M -36.48%3.32M -56.34%5.23M 82.46%11.99M 316.09%6.57M -131.56%-3.04M 36.34%9.63M -5.86%7.06M 933.61%7.5M
Investing cash flow
Cash flow from continuing investing activities -1,559.03%-56.21M 13.64%-3.39M -116.85%-3.92M 1,314.13%23.29M 18.00%-1.92M 28.49%-2.34M -0.52%-3.27M -835.06%-3.25M 87.74%-348K -551.15%-2.84M
Net PPE purchase and sale 30.74%-1.99M 15.72%-2.87M -26.54%-3.4M -40.18%-2.69M 8.75%-1.92M 35.73%-2.1M -3.12%-3.27M -811.78%-3.17M 87.74%-348K -551.15%-2.84M
Net intangibles purchas and sale ---- ---- ---- ---- ---- ---237K ---- ---81K ---- ----
Net business purchase and sale -10,327.31%-54.22M 0.00%-520K -102.00%-520K --25.98M ---- ---- ---- ---- ---- ----
Dividends received (cash flow from investment activities) 0.00%1K 0.00%1K 0.00%1K 0.00%1K 0.00%1K 0.00%1K --1K ---- ---- ----
Cash from discontinued investing activities
Investing cash flow -1,559.03%-56.21M 13.64%-3.39M -116.85%-3.92M 1,314.13%23.29M 18.00%-1.92M 28.49%-2.34M -0.52%-3.27M -835.06%-3.25M 87.74%-348K -551.15%-2.84M
Financing cash flow
Cash flow from continuing financing activities 627.64%37.58M -478.64%-7.12M 94.89%-1.23M -493.44%-24.07M 13.46%-4.06M -359.09%-4.69M 134.72%1.81M 6.80%-5.21M -212.00%-5.59M 10.89%-1.79M
Net issuance payments of debt 1,924.26%41.89M -214.57%-2.3M 109.31%2M -8,834.85%-21.53M 87.53%-241K -143.80%-1.93M 242.72%4.41M 30.84%-3.09M -269.50%-4.47M -97.71%-1.21M
Net common stock issuance 93.27%-81K -61.83%-1.2M -90.28%-744K 76.93%-391K -91.74%-1.7M -18.98%-884K -198.39%-743K -117.30%-249K 118.36%1.44M -36.76%659K
Cash dividends paid -16.48%-4.22M -45.44%-3.62M -16.08%-2.49M -18.50%-2.15M 3.16%-1.81M -0.48%-1.87M 0.48%-1.86M 26.92%-1.87M -139.38%-2.56M 56.21%-1.07M
Net other financing activities ---- ---- ---- ---- ---309K ---- ---- ---- ---- ---172K
Cash from discontinued financing activities
Financing cash flow 627.64%37.58M -478.64%-7.12M 94.89%-1.23M -493.44%-24.07M 13.46%-4.06M -359.09%-4.69M 134.72%1.81M 6.80%-5.21M -212.00%-5.59M 10.89%-1.79M
Net cash flow
Beginning cash position 3.27%12.34M 2.15%11.95M 40.69%11.69M 99.52%8.31M 21.85%4.17M -26.22%3.42M 2.57%4.63M 38.42%4.52M 4,900.00%3.26M -103.51%-68K
Current changes in cash 768.93%5.87M 136.94%676K -141.12%-1.83M -25.98%4.45M 1,415.54%6.01M 89.85%-457K -486.11%-4.5M 3.64%1.17M -60.84%1.13M 266.94%2.87M
Effect of exchange rate changes -394.39%-1.41M -113.69%-285K 294.94%2.08M 42.77%-1.07M -254.98%-1.87M -63.37%1.2M 413.05%3.29M -913.95%-1.05M -71.90%129K 260.49%459K
End cash Position 36.19%16.8M 3.27%12.34M 2.15%11.95M 40.69%11.69M 99.52%8.31M 21.85%4.17M -26.22%3.42M 2.57%4.63M 38.42%4.52M 4,900.00%3.26M
Free cash from 167.90%22.16M 4,773.45%8.27M -107.26%-177K -75.78%2.44M 140.95%10.07M 164.78%4.18M -203.46%-6.45M 13.90%6.23M 21.70%5.47M 3,231.11%4.5M
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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