SECOS Group Limited

ASX:SES.AX

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

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997
Operating Activities:
Net Income -9.424-6.75-3.0852.59-1.186-4.17-3.108-2.949-4.952-4.28-2.608-3.058-4.642-3.325-5.557-3.765-1.1412.063-0.3080.021-0.0120.0010.0150.0880.9440.1020.3350.052
Depreciation & Amortization 1.3491.5951.3040.8820.8270.0920.1690.3880.3520.6880.1090.1370.1190.1440.1990.0790.0070.0350.0340.0340.0280.0960.1740.3370000
Deferred Income Tax 0.960.9580.153-2.071-2.58-1.5181.9480.293-3.7830000000000000000000
Stock Based Compensation 0.0360.0060.0360.0830.3420.1130.0650.1090.0260000000000000000000
Change In Working Capital 1.5885.371-2.897-5.778-0.5831.404-2.013-0.4020.3220.6881.40100000000000000000
Accounts Receivables 0.9583.191-2.016-2.9390.150.831-0.662-0.2510.3680.6881.40100000000000000000
Inventory 0.8072.484-2.532-2.859-0.010.573-1.351-0.15100000000000000000000
Accounts Payables -0.177-0.3041.6890.033-0.723-0.9272.037-0.151-0.9070000000000000000000
Other Working Capital 00-0.038-0.013-0.0730.927-2.0370.3030.8611.1050.09100000000000000000
Other Non Cash Items 5.350.8380.429-0.412.5290.954-1.5370.1640.8161.765-1.572.9214.5243.1815.3593.6861.134-2.0970.274-0.055-0.016-0.097-0.189-0.424-0.944-0.102-0.335-0.052
Operating Cash Flow -1.2872.018-4.06-4.704-0.65-3.124-4.476-2.69-3.435-1.139-2.668-1.424-4.026-3.771-3.953-2.712-0.339-1.306-1.183-1.65500000000
Investing Activities:
Investments In Property Plant And Equipment -0.499-0.639-2.442-1.15-0.493-0.748-0.044-0.199-0.177-0.263-0.134-0.011-0.106-0.023-0.416-0.275-0.32-0.022-0.001-0.026-0.093-0.072-0.042-0.062-0.34-0.483-0.033-0.726
Acquisitions Net 000003.2320.19900.1020.8350000-0.7040.406-0.1056.25-0.4660.031-0.0040000000
Purchases Of Investments 0000000-0.014-0.44300000-0.21004.9430.466000-0-0.05-1.98300-2.061
Sales Maturities Of Investments 000000000.5900.0350002.748004.9430.466000000000
Other Investing Activites 0.1970.0020003.232-0-0.014-0.102-0.268-0.433000.005-2.748-1.419-0.895-11.1930.10.081-0.0960-0.015-0.07-0.0482.074-0.199-0.003
Investing Cash Flow -0.302-0.639-2.442-1.15-0.4932.4840.154-0.213-0.030.304-0.099-0.011-0.106-0.017-1.33-1.289-1.324.9210.5650.086-0.192-0.072-0.057-0.182-2.3711.591-0.232-2.789
Financing Activities:
Debt Repayment -0.61-0.779-0.747-0.20-2.15-3.17-1.492-0.988-0.6-0.1070000-1.419000-0.088-0.142000000-0.024
Common Stock Issued 03.717015.1321.6313.7282.852.0281.9754.1464.4841.2991.5546.642.6132.6450.022.1571.6621.3321.040.952.6220.9374.3460.061.745.141
Common Stock Repurchased 00000000-0.071-0.375-0.242-0.05-0.218-0.468-0.027-0.171-0.002-0.023-0.097-0.118-0.0470-0.041-0.015-0.122000
Dividends Paid 00000000-0.621-0.022-0.90100000000-0.100000000
Other Financing Activities -0.109-0.779-0.747-0.542-0.4831.5774.75602.1810.2631.011000.080.6011.4190000.2770.0470.1420-0.0010000
Financing Cash Flow -0.7192.938-0.74714.391.1481.5774.4363.5192.4763.4124.2451.2491.3366.2523.1872.4740.0182.1341.5651.3030.8981.0922.5810.9214.2240.061.745.117
Other Information:
Effect Of Forex Changes On Cash -0.008-0.0150.084-0.128-0-00-0.0030.0230.019-0.0120.0550.004-0.028-0.006-0.09500-0.001-0.00600000000
Net Change In Cash -2.3164.302-7.1658.4080.0040.9370.1140.613-0.9662.5961.466-0.131-2.7912.436-2.103-1.622-1.645.7490.946-0.271-0.594-0.3411.117-0.4410.491-0.562-0.1621.105
Cash At End Of Period 6.1088.4244.12211.2872.8792.8751.9381.8241.2112.1772.6981.2311.3634.1541.7183.8215.4437.0831.3340.3870.6591.2521.5930.4760.9170.4270.9891.15