ADX Energy Ltd

ASX:ADX.AX

0.099 (AUD) • At close November 14, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) AUD.

20232022202120202019201820172016201520142013201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988
Operating Activities:
Net Income -4.064-2.304-4.172-4.28-0.98-2.383-2.169-1.914-1.696-0.809-6.604-13.142-5.837-2.141-3.116-3.808-4.56-2.652-4.9810-0.571-0.625-2.217-3.568-1.902-0.281-0.213-0.395-0.9390.0240.081-0.128-0.7650.241-1.294
Depreciation & Amortization 3.7512.5063.0173.1950.23500.2560.010.0540.0760.0830.0370.0380.1080.1140.4150.0510.0560.0560.040.0160.0130.030000.0390.070.0420.0510.020.030.0360.0410.047
Deferred Income Tax 0-4.669-0.472-0.897-0.0170-1.083-0.20301.7040.151000000000000000000000000
Stock Based Compensation 1.4470.5450.6790.4930.560.4450.7920.21600.1-0.002000000000000000000000000
Change In Working Capital 02.211-1.1750.196-2.51-0.6030.036-0.0140.069-1.804-0.149000000000000000000000000
Accounts Receivables 00.777-1.0751.049-2.731-0.6030.036-0.0140.069-1.804-0.149000000000000000000000000
Inventory 0-0.085-0.098-0.205-0.3150-0.522-0.2310.00700000000000000000000000000
Accounts Payables 00.195-0.152-0.3280.273-0.2840.2660.2320.00100000000000000000000000000
Other Working Capital -1.2011.3240.149-0.320.2640.284-0.266-0.232-0.001-0.193-0.888000000000000000000000000
Other Non Cash Items -4.0515.348-0.13-0.159-0.616-0.18-0.8980.254-0.2170.4075.9513.1054.1781.2411.3462.284.0052.6514.228-0.2580.5550.081.8493.5681.9020.2810.1140.1890.726-0.745-0.143-0.1110.729-0.2821.247
Operating Cash Flow -2.9163.637-2.253-1.451-3.326-2.721-1.984-1.447-1.79-2.031-0.722-0.879-1.621-0.792-1.656-1.113-0.5040.055-0.696-0.2180-0.532-0.337000-0.06-0.135-0.171-0.67-0.042-0.209000
Investing Activities:
Investments In Property Plant And Equipment -5.219-5.905-0.826-3.979-8.545-0.07500-0.2610-0.387-2.139-8.218-8.649-3.317-2.905-2.424-2.368-2.054-1.169-0.409-0.245-0.144-0.689-0.034-0.003-0.035-1.081-1.367-0.29-0.008-0.006000
Acquisitions Net 61.21310.2020000.0070.0060-0.347000-0.815-1.116001.312-1.1550000-0.178001.0731.330.21900000
Purchases Of Investments 000000-0.134-0.428-1.062-1.391-1.429-1.1770-1.7760-0.054-0.107-0.09-1.312-0.185-0.0150-1.003-1.549-0.225-0.401-0.695-0.478-0.289-0.17700000
Sales Maturities Of Investments 0000001.31300.0140.1840.89800000.320.84900.1780.21300.2440.3921.0180.178000.5460.6020.2700000
Other Investing Activites -0.324-0.13810.2020.3040.016-0.0190.4612.7141.2820.3761.7173.6460.451.0130.9980.250-1.3121.1830000-1.825-1.136-0.539-1.073-1.33-0.21900000
Investing Cash Flow 0.457-4.830.174-3.777-8.24-0.0591.160.041.6710.075-0.89-1.599-4.572-9.975-3.119-2.757-1.432-2.459-3.188-1.113-0.425-0.002-0.755-1.22-2.084-1.541-1.27-1.014-1.054-0.197-0.008-0.006000
Financing Activities:
Debt Repayment 0.887-3.255-0.4131.084.7050000000000000000000.524-0.6570000000000
Common Stock Issued 6.0612.416.9261.2238.3874.0881.8941.496011.022.1854.80512.7484.2195.4361.0551.1043.1510.0175.830.1890.51000.0756.2140.3212.9160.2750.6050.38000
Common Stock Repurchased -0.317-0.14-0.523-0.107-0.297-0.061-0.131-0.1070-0.061-0.061-0.106-0.08-0.607-0.173-0.2270-0.061-0.1170000000000000000
Dividends Paid 00000000000000000000000000000000000
Other Financing Activities -0.18-0.345-0.54108.387000000000-0.059-0.0140000000000000000000
Financing Cash Flow 6.768-1.195.9722.30213.0924.0881.8941.49600.9390.9592.0794.72512.1413.9875.1951.0551.0433.0350.0175.830.1890.510.524-0.6570.0756.2140.3212.9160.2750.6050.38000
Other Information:
Effect Of Forex Changes On Cash 0.130.014-0.0990.1170.1290.150.0360.0240.0330.0210.2750.116-0.02-0.0450.00600000000000000000000
Net Change In Cash 4.438-2.3693.794-2.8091.6551.4591.1060.112-0.085-0.996-0.378-0.283-1.4881.329-0.7811.325-0.882-1.36-0.85-1.3144.769-0.345-0.583-1.068-3.062-1.5154.883-0.8281.691-0.5920.5550.165000
Cash At End Of Period 8.0073.575.9392.1444.9543.2991.840.7340.6220.7071.7030.50.7832.2710.9421.7240.3991.2812.6413.494.8050.0360.380.9632.0315.0936.6081.7252.5520.8611.4530.898000