Lithium Australia Limited

ASX:LIT.AX

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

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

20242023202220212020201920182017201620152014201320122011201020092008
Operating Activities:
Net Income -10.769-7.239-20.628-19.856-8.533-11.567-8.087-4.592-1.774-1.589-2.547-1.706-1.615-1.544-0.366-0.451-0.197
Depreciation & Amortization 1.2743.2613.3272.0751.9961.9810.6810.0390.0160.19800.0020.0020000
Deferred Income Tax 0-7.38-7.683-5.702-3.656-0.493-2.29-0.048-0.975-0.096-0.092000000
Stock Based Compensation 1.0340.4051.0361.898-0.460.361.6140.981.0120.1580.09000000
Change In Working Capital 3.486-2.1840.0555.5230.4060.1340.676-0.932-0.037-0.0620.0020.00200000
Accounts Receivables -0.358-0.004-0.2330.1830.1580.1340.676-0.932-0.037-0.0620.0020.00200000
Inventory -0.0390.099-0.112-0.439-0.282000000000000
Accounts Payables 0.551-0.5480.3510.6020000000000000
Other Working Capital 3.883-1.7310.055.1770.5290.3060.7490.283-0.12500.322-0.27400000
Other Non Cash Items -1.1464.52414.07611.3465.7843.6254.1090.319-1.769-0.0120.6330.7081.6141.5440.3660.4510.197
Operating Cash Flow -6.121-8.613-9.818-4.717-4.463-5.96-3.297-4.186-2.552-1.306-1.823-0.99400000
Investing Activities:
Investments In Property Plant And Equipment -4-1.677-2.885-1.725-0.914-1.413-0.185-0.388-0.032-0.014-0.3500-0.0050-0.001-0.051
Acquisitions Net 0.040.042-0.2040.0110.138-0.2130.0680.234000000000
Purchases Of Investments 0-0.118-0.182-0.1620-0.442-0.219-0.247-0.1050-0.350-0.006-0.007-0.0020-0.002
Sales Maturities Of Investments 3.050.8180.6360.0010.1340.6567.2670.01300000000.0020
Other Investing Activites -2.7222.150.10.167-1.173-2.762-2.187-3.056-0.574-0.0050.35-0.994-0.5680000
Investing Cash Flow -0.761.215-2.535-1.708-1.815-4.1754.744-3.678-0.71-0.019-0.35-0.994-0.574-0.012-0.0020.001-0.053
Financing Activities:
Debt Repayment -0.448-0.696-0.738-2.277-2.892-5-7.3950000000000
Common Stock Issued 3.00512.2966.58816.3754.40907.534.6948.1672.0021.72800.8400.03704.853
Common Stock Repurchased 0-0.73-0.176-0.414-0.30200-0.027-0.235-0.158-0.1070-0.0280-0.0170-0.196
Dividends Paid 00000000000000000
Other Financing Activities -0.44811.65.81314.09812.972-0.59814.1950.0270.2351.8441.622000000
Financing Cash Flow 2.55711.65.81314.0987.301-5.59814.334.6948.1671.8441.62200.81200.0204.656
Other Information:
Effect Of Forex Changes On Cash 0.025-0.0020.018-0.0430.0110.099-0.0240000000000
Net Change In Cash -4.2984.199-6.5227.631.034-15.63415.753-3.174.9040.518-0.551-0.994-0.683-1.271-0.358-0.2194.603
Cash At End Of Period 4.7499.0474.84811.373.7392.70618.342.5875.7570.8530.3340.8851.8792.5623.8324.1914.41