Botanix Pharmaceuticals Limited

ASX:BOT.AX

0.39 (AUD) • At close September 19, 2024
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operating Activities:
Net Income -13.87-9.154-13.171-3.334-16.731-17.039-11.012-4.773-1.708-1.015-1.131-1.85-1.568-1.52-3.945-3.043-2.825-3.417-2.7820.002-0.9590-1.41-0.353-3.172-0.0850.0850.1320-0.234-1.428-0.8990-0.061-0.089-0.072
Depreciation & Amortization 0.0730.110.1430.0940.1020.0020000000.0020.0040.0040.0050.0070.0070.0050.0010.2620.5160.236000010.71612.6357.5816.3965.1223.9373.0462.9092.839
Deferred Income Tax 0-6.2930.888-1.053-5.591-0.759000000000000000000000000000000
Stock Based Compensation 01.5210.3340.5682.3280.8160.4020.1010.182000000000000000000000000000
Change In Working Capital 0-4.5511.509-0.297-3.058-0.057-0.24-0.1420.221000000000000000000000000000
Accounts Receivables 0-0.41-0.0970.0850.351-0.057-0.24-0.142-0.013000000000000000000000000000
Inventory 0-0.103-3.044000000000000000000000000000000000
Accounts Payables 0-4.0394.65-0.382-3.413.1170.9610.1740.234000000000000000000000000000
Other Working Capital 00000-3.117-0.961-0.1740000000000000000000000000000
Other Non Cash Items 5.8156.293-0.8881.0535.5913.8970.9410.1741.299-0.189-0.1590.810.4480.8233.081.420.4430.659-0.237-2.8480.107-0.5160.0010.023.1720.085-0.085-14.136-12.589-1.104-2.459-2.813-2.49-1.053-2.82-2.767
Operating Cash Flow -8.127-12.074-11.184-2.968-17.359-13.141-9.909-4.64-0.007-1.204-1.29-1.04-1.118-0.693-0.861-1.619-2.375-2.751-3.015-2.844-0.590-1.173-0.333-1.538-4.417.23-3.2880.0466.2432.5091.411.4471.93200
Investing Activities:
Investments In Property Plant And Equipment -17.999-7.054-2.922-0.008-0.09-0.0130000000000-0.001-0.003-0.019-0.011-0.28-1.203-0.2560-0.895-0.394-2.148-4.308-6.311-9.24-5.676-5.127-1.926-1.45800
Acquisitions Net 000000000.40400000000000.077-0.1790-1.196000.6930-3.971-1.730.24100-0.114-0.03500
Purchases Of Investments 00000000000000000000-0.001-1.153-0.00200-0.1230-1.4-0.954-0.01200-0.079-0.41600
Sales Maturities Of Investments 00000000000000000000.90.71600.0020.83900.02204.1573.2640.030.44600.0090.500
Other Investing Activites 0-7.046-2.9150-0.06100000000000000-0.0770.2071.1540.0010.0315.8880.7530.6074.1270.6491.5570.56-0.4790.4130.23500
Investing Cash Flow -17.999-7.054-2.922-0.008-0.151-0.013000.4040000000-0.001-0.003-0.0190.8890.464-1.202-1.4510.874.9930.951-1.541-1.395-5.082-7.424-4.67-5.606-1.697-1.17400
Financing Activities:
Debt Repayment 0-1.849-0.152-0.126-0.02300-0.18200-0.1150-0.041-0.0310000000000-0.70-3.482-0.085-4.982-5.542-2.291-0.549-0.011000
Common Stock Issued 95.09822.1520037.3310.56921.4526.893.43403.822000.0790.7241.2931.3014.0121.5762.520.554000.8980.675004.06207.2184.6086.8050000
Common Stock Repurchased 0-1.43800-3.159-0.027-1.656-0.563-0.1790-0.247000-0.016-0.038-0.03100-0.32400-0.2370000-0.578002.39400000
Dividends Paid 0000000-6.14600-0.590000000000000000-1.374-2.551-1.665-0.85200000
Other Financing Activities 04.481-0.152-0.12637.3080.0271.6560.563-0.17900.9321.0311.1620.6190.177-0.038-0.031000.21700-0.2370-0.1010.5030.9140.30811.3812.7980.0210.4360.3780.89500
Financing Cash Flow 95.09822.03-0.152-0.12637.3080.56921.4526.7083.25503.8011.0311.1210.6670.8851.2551.2714.0121.5762.4130.5540-0.2370.898-0.1260.503-2.5682.3333.8482.8093.886.6920.3670.89500
Other Information:
Effect Of Forex Changes On Cash 00.063-0.0110.0120.1430.0260000000000000.291-0.08600-0.0010-0.543-0.01-0.267000000000
Net Change In Cash 69.0582.965-14.269-3.0919.941-12.55911.5432.0693.652-1.2042.511-0.0090.003-0.0260.024-0.363-1.1061.258-1.1670.3720.429-2.086-2.8621.4362.785-2.9662.854-2.35-1.1881.6281.7192.4960.1171.65300
Cash At End Of Period 79.30810.257.28621.55524.6454.70417.2635.7213.6521.3092.5130.0010.010.0070.0330.010.3731.4790.5121.6791.3070.8782.9645.8264.391.6054.5711.7174.0675.2553.6271.908-0.588-0.70500