Ionic Rare Earths Limited

ASX:IXR.AX

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

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000
Operating Activities:
Net Income -8.538-4.644-2.378-1.486-0.978-2.005-0.914-1.337-1.571-2.468-4.534-7.150.412-0.754-2.720.132-0.2671.981-1.493-1.275-0.707-0.833-1.445-1.13
Depreciation & Amortization 0.5760.061000.0030.0560.0080.18800.2510.0030.0030.0010.0010.8490.8240.640.4010.3010.2460.1520.0630.1310
Deferred Income Tax -2.589-1.85100-0.285-0.318-0.1680-0.0360.142-2.2140000000000000
Stock Based Compensation 0.3411.5071.030.6710.3010.2370.22800.0540.0080.0230000000000000
Change In Working Capital -1.276-0.2670.0380.005-0.0160.081-0.061-0.015-0.018-0.149-0.0170000000000000
Accounts Receivables -0.511-0.467-0.047-0.017-0.0160.081-0.061-0.015-0.018-0.149-0.0170000000000000
Inventory -0.7940000.2050.1830.22-0.4990000000000000000
Accounts Payables 0.2080.2450.0940.021-0.203-0.183-0.220.4990000000000000000
Other Working Capital -0.179-0.045-0.0090-0.002-00.22-0.499-0.023-0.0220.0330000000000000
Other Non Cash Items -0.1711.613-0.0220.6660.040.14-0.220.6390.6770.052.3187.147-0.4140.7531.871-0.955-0.373-2.3821.1921.0290.5550.7691.3141.13
Operating Cash Flow -11.658-3.582-1.333-0.811-0.935-1.808-0.957-0.525-0.858-2.308-2.207-5.235-0.87800000000000
Investing Activities:
Investments In Property Plant And Equipment -2.58-9.147-3.165-0.5260-0.001-0.002-0.084-0.0280-0-0.0110-0.001-0.824-1.578-1.314-0.994-0.859-0.722-0.413-0.194-0.224-0.033
Acquisitions Net -1.593-1.510.04200.05900-0.0520.0080000.0370.2523.0020-0.0250-000000
Purchases Of Investments -5.855-1.21-1.21-1.03200000000-0.9430-0.06-0.105-0.1230000000
Sales Maturities Of Investments 1.5931.2100000000-0.2852.363001.2750-2.1830000000
Other Investing Activites 2.9240.0560.214-1.0320.059000.052-0.0220.0340-0.04200.025-1.27502.1830000-0.07800
Investing Cash Flow -5.511-10.601-4.119-1.5570.059-0.001-0.002-0.084-0.020.034-0.2852.31-0.9060.2772.119-1.683-1.462-0.994-0.859-0.722-0.413-0.271-0.224-0.033
Financing Activities:
Debt Repayment -0.028-0.110-0.21-0.1-0.100-0.04-0.0950000-1.846-0.097-0.425-0.569-0.168-0.217-0.023000
Common Stock Issued 1.37629.89415.6772.5071.3331.6610.9970.6351.1172.01405.0110.9471.503001.23400.0152.8320.4690.72403.367
Common Stock Repurchased 000000000-0.0950-0.456-0.057-0.060000000-0.0090-0.395
Dividends Paid 000000000-1.82400000000000000
Other Financing Activities -0.0280.1115.6772.507-0.0030.1950.9970.6351.1170.09500000.1010.3410.4751.7490.5340.2380.162000.395
Financing Cash Flow 1.34829.89415.6772.5071.2291.7560.9970.6351.0771.91904.5550.891.443-1.7460.2431.2841.180.382.8530.6080.71503.367
Other Information:
Effect Of Forex Changes On Cash 0.178-0.007000.014-0.165-0.039-0.0180-0.030.0050.057-0.01500000000000
Net Change In Cash -15.64315.70410.2260.1390.368-0.219-0.0010.0080.2-0.386-2.4871.688-0.911.1430.788-0.4560.5430.103-1.1821.171-0.36-0.073-0.9231.67
Cash At End Of Period 11.11726.7611.0560.830.6910.3230.5420.5430.5350.3350.723.2071.5192.4291.2860.4980.9540.4110.3081.490.3190.6790.7521.675