Joyce Corporation Ltd

ASX:JYC.AX

4.02 (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 8.8637.9349.0867.574-1.1073.3513.382.7642.3014.4721.570.6683.0352.914-8.147-1.3292.0663.1974.4512.4332.3462.061.526-14.319-0.043.473000000-0.172-2.419-0.8490.704
Depreciation & Amortization 7.4646.9695.5054.6634.6064.1861.0430.7460.4330.3030.1420.1470.1930.2310.2070.4250.2090.360.0252.2692.0151.9451.66113.260002.1922.0992.0452.191.9992.322.2832.4331.891
Deferred Income Tax 0-15.9692.2540.072-0.437-0.6293.013-0.575-2.485000000000000000000000000000
Stock Based Compensation 01.2961.0350.8220.210000000000000000000000000000000
Change In Working Capital -5.448-0.7442.4118.6190.7780.5450.113-1.319-1.1310.127-0.0862.372000000000000000000000000
Accounts Receivables -0.1760.787-1.6140.742-0.282-0.2131.284-0.0830.0220.0060.0620.193000000000000000000000000
Inventory -0.4070.5950.042-0.2510.1720.758-1.171-1.236-1.1530.121-0.1482.179000000000000000000000000
Accounts Payables -1.216-2.1175.5397.077-0.0872.168-0.8791.1260.074000000000000000000000000000
Other Working Capital -3.649-0.009-1.5561.0510.975-2.1680.879-1.126-0.0740.557-0.58-0.406000000000000000000000000
Other Non Cash Items 27.19425.4642.1475.4169.3075.2814.6023.7193.055-0.734-1.109-2.45-2.552-5.3449.255-1.585-4.314-2.251.924-2.265-1.357-4.005-12.82220.7180.04-3.473021.0960.0072.660.0142.5271.3530.136-1.584-2.595
Operating Cash Flow 21.34624.9522.43827.16613.35712.8189.0255.3352.1734.1680.5170.7370.676-2.1991.315-2.489-2.0391.3076.42.4373.0040-9.63519.65900023.2882.1064.7052.2044.5263.501000
Investing Activities:
Investments In Property Plant And Equipment -2.325-3.476-1.578-1.394-0.825-1.25-2.074-12.578-5.292-0.564-0.051-0.344-0.282-0.015-0.11-1.545-1.958-3.409-3.796-0.443-1.342-3.997-0.425-19.576-1.299-2.073-0.616-0.837-1.586-1.963-2.115-1.103-1.14000
Acquisitions Net -1.4950.0835.4533.4112.0240.06-0.704-5.9540.0092.587000000008.68300000000.036-1.93501.192000000
Purchases Of Investments 00000000.0770.0770.076-0.24-0.1000000-1.0200000-5.350-0.003-2.4380-0.047-0.739-0.632-0.1000
Sales Maturities Of Investments 015.7510000018.45522.51.10007.3504.2003.796000.21806.77800.0280.0472.6140.0020.4240.0971.2380000
Other Investing Activites -0.458-1.75.2463.31.957-1.8-2.1520.0770.0772.509-0.0380.110.0470.1360.18100.7150.372-3.7960.0060.0330.270.4628.95.4861.625-0.187-21.2450.497-0.181.3580.2980.196000
Investing Cash Flow -4.27810.6583.8752.0171.199-1.19-4.93-18.45517.2945.708-0.329-0.334-0.2357.4710.0712.655-1.243-3.0373.867-0.437-1.309-3.5090.037-3.898-1.163-0.42-0.723-23.841-1.087-0.574-1.399-0.199-1.044000
Financing Activities:
Debt Repayment 0-5.299-3.976-5.75-4.198-4.267-0.479-8.6-5.322-2.803-0.069-0.06-0.679-10.37-0.744-0.4190-0.35-10.444-1.465-1.2-0.642-25.32-21.745-1.25-1.60700-0.35-2.292-1.8-0.629-0.796000
Common Stock Issued 000000.030000000000.0170.0220.0250.032000.51600.0270.0420.0440.0390.0230.0020.012.9191.0620.952000
Common Stock Repurchased 000004.2370000000000000000011.100.357000000.6070.87000
Dividends Paid -8.188-4.779-4.626-4.76-1.398-7.161-5.138-5.433-3.587-1.927-0.835-0.593-0.406-0.406-0.405-0.932-1.242-1.346-1.75-1.016-0.508-0.507-0.353-1.315-2.067-1.741-0.771-0.783-0.676-0.582-0.291-0.391-0.218000
Other Financing Activities -9.193-11.384-5.659-9.435-5.176-7.337-0.459-3.615-3.1800.050.1410.62.18004.916.8550.995002.8218.6040.25300.14408.49900.240-0.049-0.005000
Financing Cash Flow -23.999-21.462-14.261-19.945-10.772-10.889-3.1763.167-10.18-4.73-0.854-0.512-0.485-8.596-1.15-1.3343.695.184-11.167-2.481-1.7082.187-7.069-11.691-3.275-2.803-0.7327.739-1.024-2.6240.8280.60.803000
Other Information:
Effect Of Forex Changes On Cash 00.4340.6360.4030.032-0.095000001.5910.0382.9240.4250000000000000.00300000000
Net Change In Cash -6.89314.5812.6889.6413.8160.6440.919-9.9539.2875.146-0.666-2.292-0.006-0.40.661-1.1680.4083.454-0.9-0.481-0.0130.735-16.6674.07-10.2481.4992.0997.189-0.0051.5071.6334.9273.26000
Cash At End Of Period 40.83847.73133.15120.46310.8226.8596.2155.29615.2495.9620.8161.4823.7743.784.183.5194.6874.2790.8251.3061.7871.81.06517.73213.66223.9122.41120.31213.12313.12811.6219.9885.061000