Carnavale Resources Limited

ASX:CAV.AX

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

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

20232022202120202019201820172016201520142013201220112010200920082007
Operating Activities:
Net Income -0.453-1.413-1.487-2.356-0.48-0.617-0.45-2.902-0.552-0.947-0.442-0.611-10.747-4.649-3.965-1.493-0.517
Depreciation & Amortization 0.00100.1311.8820.0190.2250.0462.1510.0260.4140.0030.0010.0060.0090.0110.0110.002
Deferred Income Tax 0-0.175-0.991-2.199-0.100-0.167-0.014-0.060000000
Stock Based Compensation 00.1890.8410.1930.093000.1610.020.0630000000
Change In Working Capital 0.0060.015-0.019-0.1240.007-0.0080.0050.006-0.006-0.0030.012000000
Accounts Receivables -0.02-0.042-0.04-0.0170.007-0.0080.0050.006-0.006-0.0030.012000000
Inventory 00000000000000000
Accounts Payables 0.0260.0570.021-0.1070.1070.005-0.0270000000000
Other Working Capital 0000-0.107-0.0050.0270.044000000000
Other Non Cash Items 0.030.8820.9832.2090.221-0.014-0.0280.0280.0320.0220.0280.61110.7424.6393.9541.4810.515
Operating Cash Flow -0.416-0.502-0.541-0.394-0.24-0.414-0.427-0.556-0.481-0.452-0.3990-0.508-0.414-0.918-0.7510
Investing Activities:
Investments In Property Plant And Equipment -1.91-2.748-1.961-0.758-1.787-0.194-0.232-0.859-1.023-0.412-0.026-0.747-3.944-6.29-2.853-3.766-0.844
Acquisitions Net 000000000.09900000000
Purchases Of Investments 00000000-0.02100000-2.37500
Sales Maturities Of Investments 00000000.009-0.079000.81102.033000
Other Investing Activites 000.0090-0.02000.009-0.0210000-0.12.64100
Investing Cash Flow -1.91-2.748-1.953-0.758-1.807-0.194-0.232-0.85-0.944-0.412-0.0260.064-3.944-4.357-2.587-3.766-0.844
Financing Activities:
Debt Repayment 00000000000000000
Common Stock Issued -0.0022.9674.8342.1510.3221.1110.6751.531.1690.989000.5424.5610.02310.9196.43
Common Stock Repurchased -0.002-0.157-0.159-0.076-0.005-0.079-0.004-0.095-0.045-0.062000-0.2770-0.324-0.474
Dividends Paid 00000000000000000
Other Financing Activities -0.0022.9670.1592.1510.0050.0790.0040.0951.1240.9270000000
Financing Cash Flow -0.0022.9674.8342.1510.3221.1110.6751.531.1240.927000.5424.2840.02310.5945.956
Other Information:
Effect Of Forex Changes On Cash 0.0010.001-00-0.004000.0220.028-0.0021.8650.028-0.147-0.14-0.191-0.111-0.014
Net Change In Cash -2.328-0.2832.340.999-1.7280.5030.0160.147-0.2740.0611.439-0.39-4.058-0.628-3.6725.9655.099
Cash At End Of Period 0.9193.2473.531.190.1911.9191.4161.41.2531.5271.4661.8652.2546.3126.93910.6124.646