Archer Materials Limited

ASX:AXE.AX

0.225 (AUD) • At close September 18, 2024
Overview | Financials

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

20242023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income -4.803-9.049-14.049-2.807-2.577-1.738-1.855-0.66-1.297-0.979-0.675-0.363.387-0.977-0.475-1.111-0.33
Depreciation & Amortization 0.1820.0540.050.0320.0220.1520.3670.020.4930.1140.020.0150.0170.0260.0180.0250.002
Deferred Income Tax 0-6.132-11.185-0.556-1.0780.028-0.2430.112-0.023-0.15-0.173-0.08800000
Stock Based Compensation 05.5559.9450.4040.9970.0890.1680.0670.0080.10.1860.07100000
Change In Working Capital -1.084-0.434-1.1290.020.074-0.1170.076-0.1790.0150.05-0.0130.01700000
Accounts Receivables -0.767-0.907-1.153-0.18-0.062-0.1170.076-0.1790.0150.05-0.0130.01700000
Inventory 000000.085-0.1510.089000000000
Accounts Payables -0.270.4370.0130.0930.024-0.0780.087-0.119000000000
Other Working Capital -0.0470.0360.010.1080.111-0.0070.0640.119-0.062-0.0220.0110.06100000
Other Non Cash Items 2.3116.9812.0660.6871.061-0.0030.551-0.058-0.0620.0290.1320.002-4.0960.3610.1140.7560.357
Operating Cash Flow -4.795-3.026-4.301-2.22-1.502-1.589-0.937-0.81-0.843-0.686-0.35-0.255-0.692-0.591-0.343-0.3310.03
Investing Activities:
Investments In Property Plant And Equipment -0.197-0.185-0.14-0.097-0.054-1.03-1.62-1.417-0.881-3.199-2.89-3.943-1.685-0.946-0.701-1.118-0.74
Acquisitions Net 000.0450000.04800.03300080000
Purchases Of Investments 00000000000000000
Sales Maturities Of Investments 7.1742.500.1500.2500000000000
Other Investing Activites 02.375-25.121-0.3150.362-0.0690.04800.033000000.01500
Investing Cash Flow 6.9772.315-0.095-0.2620.308-0.849-1.572-1.417-0.848-3.199-2.89-3.9436.315-0.946-0.685-1.118-0.74
Financing Activities:
Debt Repayment 0-0.011-0.01-0.00200000000-0.002-0.019-0.017-0.0140
Common Stock Issued 00.07624.630.6088.6120.3843.731.7731.99400.2504.69500.00307
Common Stock Repurchased 00-0.9900-0.0170-0.117-0.041000-0.237000-0.471
Dividends Paid 00000000000000000
Other Financing Activities -0.116-0.01124.62-0.0028.6120.0173.730.1170.04100.2500.2370.300.053-0.471
Financing Cash Flow -0.1160.06524.620.6068.6120.3843.731.7731.99400.2504.4560.281-0.0150.0386.529
Other Information:
Effect Of Forex Changes On Cash 0-2.5-25.04500000000000000
Net Change In Cash -5.108-3.14620.225-1.8767.419-2.0541.221-0.4550.303-3.884-2.99-4.19710.079-1.256-1.043-1.415.819
Cash At End Of Period 18.2123.31726.4646.2398.1150.6962.751.5291.9841.6815.5658.55612.7532.6743.934.9736.383