Rectifier Technologies Limited

ASX:RFT.AX

0.008 (AUD) • At close November 7, 2024
Overview | Financials

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951993
Operating Activities:
Net Income 0.7476.4570.5090.541.8222.1270.0620.4281.6850.1270.576-0.760.0050.145-1.877-0.793-0.276-3.184-1.517-1.3305.3150.9040-4.805-2.24800000.027
Depreciation & Amortization 1.0250.7470.6070.5550.5030.2570.130.0590.0460.0430.0380.0660.0740.0840.2060.4090.4880.9480.8520.7320.5890.270.3370.7620000.3250.3210.3080.091
Deferred Income Tax 0000.0410.19400000000000000000000000000
Stock Based Compensation 0.4330000.63000.720.2700.0600000000000000000000
Change In Working Capital 3.875-8.705-1.940.3282.876-1.915-0.2430.515-1.0380.1670.42-0.5950000000000000000000
Accounts Receivables -0.335-1.344-1.4421.238-1.870.203-0.1910.132-0.5840.5431.721-1.1950000000000000000000
Inventory 4.501-12.622-3.8620.5513.485-3.305-0.5640.013-0.2-0.477-0.1750.2830000000000000000000
Accounts Payables 1.7281.7282.747-1.2080.7620.3750.1550.615-0.3230000000000000000000000
Other Working Capital -0.2913.5330.617-0.2540.4990.8120.357-0.2460.0680.102-1.1260.3170000000000000000000
Other Non Cash Items -0.190.6011.940.662-0.3920.185-0.1920.73-1.0071.116-1.3120.773-0.083-0.4421.6140.9490.2491.0350.191-0.08-0.942-5.585-0.332-0.3674.8052.2480-1.748-1.428-2.074-0.204
Operating Cash Flow 5.891-0.9011.1171.6835.6320.654-0.4811.2170.7231.287-0.6990.079-0.005-0.213-0.0570.5650.461-1.201-0.474-0.678-0.35300.9090.395000-1.423-1.108-1.766-0.086
Investing Activities:
Investments In Property Plant And Equipment -0.538-1.055-0.629-0.571-1.91-0.46-0.498-1.905-0.067-0.065-0.076-0.05-0.081-0.066-0.187-0.475-0.461-0.632-0.454-0.582-0.693-0.844-0.932-0.305-1.407-0.14-0.0040-0.013-0.293-0.363
Acquisitions Net 0000000000.0030.9290000001.49300.126000.8022.059-20.158-3.24100000
Purchases Of Investments 0000000000000000000000-0.02-0.582-20.202-3.2420-0.31600-0.001
Sales Maturities Of Investments 00000000000000000000000.9652.57920.2563.24200000
Other Investing Activites -0.008-0.0020-0000.001-0000.012-0.017000.0120.0110.0210.050.0050.0320.0070-0.782-2.096-0.305-0.0060.4810.1100-0.001
Investing Cash Flow -0.546-1.055-0.629-0.571-1.91-0.46-0.497-1.905-0.067-0.0620.865-0.05-0.081-0.066-0.175-0.465-0.4410.911-0.449-0.424-0.686-0.8440.0331.655-21.816-3.3870.477-0.206-0.013-0.293-0.364
Financing Activities:
Debt Repayment -4.523-8.028-0.389-0.214-0.533-0.168-0.031-0.01-0.457-0.424-0.222-0.18-0.368-0.288-0.09-0.119-0.015-0.473-0.439-0.185-1.089-3.822-1.318-6.976-0.524-0.15-0.1-0.08800-0.012
Common Stock Issued 0.0620.0800.1410.035000.1550.36000000.350001.1360.5332.0333.46303.1385.0339.2400.88703.7050.425
Common Stock Repurchased 0000.178000000000000000000000000000
Dividends Paid 000-1.376000000000000000000000000000
Other Financing Activities 0.0628.9772.683-0.3251.1070.31201.6260.360-0.015-0.0460.2250.6920.150.00400.8360.30.5640.1261.050.1790.11916.0751.50.002-0.03100.120.068
Financing Cash Flow -4.4621.0292.294-1.5950.6090.144-0.0311.771-0.097-0.424-0.237-0.18-0.1430.4040.41-0.115-0.0150.3630.9970.9121.070.691-1.139-3.71920.58410.59-0.0980.76803.8250.481
Other Information:
Effect Of Forex Changes On Cash 0.111-0.020.116-0.15-0.2910.3130.188-0.0960.118-0.0190.0320.057-0.025-0.012-0.010.0130.007-0.008-0.009-0.01100-0.0460.0190000000
Net Change In Cash 0.994-0.9471.054-0.6334.040.651-0.4450.9930.6770.7820.071-0.093-0.2530.1120.167-0.0010.0120.0650.065-0.2010.0310.097-0.2431.105-5.9917.158-0.093-0.861-1.1211.7660.031
Cash At End Of Period 7.3436.3497.2966.2416.8742.8342.1832.6281.6350.9580.1760.1050.1980.4510.3390.1710.1730.1590.0940.0290.230.1990.1020.3431.2387.2290.0720.1651.0262.1470.031