Energy One Limited

ASX:EOL.AX

5.71 (AUD) • At close November 8, 2024
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007
Operating Activities:
Net Income 3.42.9513.5833.7051.6471.3091.040.3070.4640.6870.338-0.211-0.713-0.7810.171-0.09-0.863-1.335
Depreciation & Amortization 5.75.1453.7062.8532.3080.2570.1550.1230.090.0430.0540.0720.3210.4640.4330.310.2010.15
Deferred Income Tax 0-12.7070.198-0.2510.0730.036-0.1760.031-0.0150.0080-0.125000000
Stock Based Compensation 1.0240.6510.8871.1270.9180.386-0.006-0.0590.1790.21300000000
Change In Working Capital -1.368-1.214-0.8541.4350.7950.1931.134-0.7140.152-0.221-1.20.125000000
Accounts Receivables -0.026-2.4540.866-0.3891.6880.1931.134-0.7140.152-0.221-1.20.125000000
Inventory 00000-0.621-0.575-0.752-0.348000000000
Accounts Payables -1.890.6880.0810.861-0.5820.302-0.1390.1610.287000000000
Other Working Capital 0.5480.552-1.8010.963-0.3110.3190.714-0.161-0.2870.0630.230.028000000
Other Non Cash Items 9.311.848-0.904-0.758-0.6811.2591.0411.1380.3610.6981.1770.5730.60.747-0.003-0.678-1.1812.225
Operating Cash Flow 76.6746.6168.1115.063.443.1880.8261.2311.420.3690.5590.2080.430.601-0.458-1.8431.04
Investing Activities:
Investments In Property Plant And Equipment -5.1-5.434-4.631-3.585-2.836-0.169-0.156-0.011-0.075-0.01-0.004-0.001-0.831-0.282-0.87-1.296-0.51-0.456
Acquisitions Net 0-5.1-31.161-1.631-1.173-0.925-0.15-3.4020.227000-0.2000-00
Purchases Of Investments 000000-0.0340-0.3310000000-00
Sales Maturities Of Investments 0000000.18400.10400000000.8660
Other Investing Activites -4.808-5.1190.148-3.53-2.694-7.711-1.001-0.984-0.942-0.944-0.689-0.681000.0010-0.8660
Investing Cash Flow -5.1-10.534-35.644-5.216-4.009-8.805-1.157-4.397-1.243-0.955-0.693-0.682-1.031-0.282-0.869-1.296-0.51-0.456
Financing Activities:
Debt Repayment -4.5-6.264-26.763-0.644-5.841-0.795-1.75-1.7500000000-0.0380
Common Stock Issued 4.79.8580.9770.7046.9130.4810.1520.1370.2570.0160000000.01610
Common Stock Repurchased 0-3.594-27.74-0.06-1.1250.3141.598-1.887000000-0.5400-3.093
Dividends Paid 0-1.336-0.019-0.478-0.171-0.112-0.068-0.1820000000000
Other Financing Activities -1.0712.79980.499-0.5290.4916.966-1.5980.1370.257-000000000.038
Financing Cash Flow -0.91.46326.954-1.0070.2676.854-1.6661.7050.2570.0160000-0.540-0.0226.945
Other Information:
Effect Of Forex Changes On Cash 000-0-0-0.001000000000000
Net Change In Cash 1.049-2.397-2.0741.8881.3181.4880.365-1.8650.2450.481-0.324-0.123-0.8230.148-0.808-1.754-2.3757.529
Cash At End Of Period 20.9513.3485.4223.5342.2160.7280.3632.2281.9831.5011.8251.9482.7712.6233.4315.1857.56