Optiscan Imaging Limited

ASX:OIL.AX

0.16 (AUD) • At close September 16, 2024
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operating Activities:
Net Income -6.06-4.352-4.233-2.127-1.765-2.344-2.035-2.943-1.337-1.395-1.418-0.644-2.5020.014-1.651-6.413-4.984-2.139-3.937-5.830-3.426-2.504-4.69-2.671-1.343-1.571
Depreciation & Amortization 0.5670.3790.2410.2380.2370.1220.0890.0420.010.0120.0170.030.0260.0840.3650.4330.4030.3060.2930.6750.6750.850.6750.675000
Deferred Income Tax 0-0.348-1.205-1.105-0.94-1.1150.3450.113-0.005000000000000000000
Stock Based Compensation 00.2340.3770.1740.2940.561-0.010.8590.092000000000000000000
Change In Working Capital -0.5370.484-0.248-0.447-0.1790.553-0.335-0.973-0.088-0.0440.281-0.89000000000000000
Accounts Receivables -0.5920.437-0.169-0.486-0.2610.8230.039-0.505-0.088-0.0360.282-0.844000000000000000
Inventory -0.563-0.168-0.108-0.0070.001-0.27-0.374-0.467-0.77-0.008-0.002-0.046000000000000000
Accounts Payables 0.4480.375-0.070.0380.088-0.256-0.122-0.3970.834000000000000000000
Other Working Capital 0.169-0.160.0990.008-0.0070.2560.1220.397-0.8340.048-0.0170.288000000000000000
Other Non Cash Items 2.1270.4511.2351.140.9560.801-0.377-0.3990.813-0.0320.4370.311.683-0.5660.0582.7910.486-0.049-1.1671.154-5.8052.5763.076-0.0582.6711.3431.571
Operating Cash Flow -5.744-3.152-3.834-2.126-1.397-1.421-2.324-3.413-0.509-1.46-0.683-1.193-0.794-0.469-1.228-3.189-4.095-1.882-4.811-4.001-5.13-0.3321.247-4.073000
Investing Activities:
Investments In Property Plant And Equipment -0.087-0.127-0.124-0.031-0.02-0.005-0.291-0.181-0.003-0.0150-0.031-0.029-0.019-0.002-0.121-0.556-0.563-0.274-0.314-0.366-0.215-0.786-0.72-0.393-0.32-0.108
Acquisitions Net 000000000000000000000000000
Purchases Of Investments -5.14600000.01-0.06300000-0.06700000000000000
Sales Maturities Of Investments 000000000000.067000000000000000
Other Investing Activites 000000.01-0.06300000.0670000.0150000.001000.0110.0030-0-0
Investing Cash Flow -5.233-0.127-0.124-0.031-0.020.005-0.353-0.181-0.003-0.01500.036-0.096-0.019-0.002-0.106-0.556-0.563-0.274-0.313-0.366-0.215-0.775-0.717-0.393-0.32-0.108
Financing Activities:
Debt Repayment -0.204-0.188-0.2-0.376-0.36-0.2-0.3-0.568-0.546-0.1260000000000000-0.32-0.080-0
Common Stock Issued 16.6180.0410.24510.622-0.0041.4053.5813.8830.6520.57501.0040.39801.160.452.6631.6990.0066.5750.0790.0019.0240.38613.9370.52.736
Common Stock Repurchased 00-0.2-0.423-0.004-0.095-0.299-0.29-0.039-0.0340000-0.057-0.003-0.008-0.0690-0.26300-0.1040-0.66700
Dividends Paid 0000000-3.025-1.16-0.41400000000000000-0.66700
Other Financing Activities 0-0.2270.35610.0730.912.0053.5390.3150.0391.2540.3291.00400-0.0570.5-0.008-0.0690-0.26300-0.10400.66600
Financing Cash Flow 16.207-0.3740.04510.0730.1911.6053.5393.341.1981.6680.3291.0040.39801.1030.9472.6551.6310.0066.3120.0790.0018.920.06613.1890.52.736
Other Information:
Effect Of Forex Changes On Cash 0-0000000-0-0-00.004-0.0080.0110.0320.0090.056.6510.0140.0140.002-0.317-0.3590.001000
Net Change In Cash 5.226-3.654-3.9137.916-1.2260.190.862-0.2540.6860.194-0.355-0.149-0.5-0.477-0.096-2.339-1.9465.837-5.0652.011-5.415-0.8639.033-4.72410.295-0.5321.9
Cash At End Of Period 6.1010.8754.5298.4420.5261.7521.5620.7010.9550.2690.0750.430.5791.0791.5551.6513.9915.9376.65111.7179.70615.12115.9836.9511.6741.3791.911