Smart Parking Limited

ASX:SPZ.AX

0.72 (AUD) • At close November 12, 2024
Overview | Financials

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

2024202320222021202020192018201720162015201420132012201120102009200820072006
Operating Activities:
Net Income 3.6896.3830.965.303-7.272-4.9141.663-1.397-1.525-5.36-7.026-7.279-17.152-1.1731.452-0.736-3.445-6.8930
Depreciation & Amortization 6.9735.1834.3273.5453.5681.7231.9762.3512.662.5972.4172.1271.4320.422000.2360.1760
Deferred Income Tax 0-1.5720.2131.419-0.985-1.8082.9580.58311.237-0.5850.622-1.4670000000
Stock Based Compensation 0.4380.2420.2180.2550.3140.4120.4090.4110.2960.2170.1690.1910000000
Change In Working Capital 1.2151.33-0.431-1.6730.671.395-0.337-0.995-11.5330.368-0.7911.2770000000
Accounts Receivables 0.1631.075-0.724-1.9321.0931.233-1.472-0.0351.1460.345-0.5161.0220000000
Inventory 0.1190.2550.2930.259-0.4230.1620.0190.15-0.2690.023-0.2750.2550000000
Accounts Payables 2.7491.3394.346-1.4670.0531.621.614-0.916-10.9440000000000
Other Working Capital -1.816-1.339-4.3461.467-0.053-1.62-0.497-0.194-1.466-1.345-0.1281.1230000000
Other Non Cash Items 11.973-2.284.884-1.8013.3683.681-3.6390.2010.9084.3922.475-1.72511.498-1.486-1.4760.0052.2335.5290
Operating Cash Flow 12.9369.28610.1717.047-0.3360.4893.0310.572-9.1942.214-2.756-5.409-4.222-2.238-0.024-0.731-0.975-1.1880
Investing Activities:
Investments In Property Plant And Equipment -5.151-5.286-3.847-1.981-2.479-3.056-3.435-1.457-2.418-1.87-2.026-1.731-1.93-0.0710-0.054-0.311-0.1930
Acquisitions Net -7.6940-1.9160000.02100.02000.119-0.543004.613-3.786-0.3940
Purchases Of Investments 000000-6.851000000-1.011-3.216-0.839000
Sales Maturities Of Investments 000006.4440.2740000.19003.1114.0380.57000
Other Investing Activites -0.917-0.418-0.242-0.058-0.2846.293-6.577-0.186-0.0420.1151.2040.774000-0.5000
Investing Cash Flow -12.845-5.704-6.005-2.039-2.4793.387-9.992-1.457-2.398-1.754-0.632-0.838-2.4732.0290.8233.79-4.098-0.5870
Financing Activities:
Debt Repayment 0000000000000000000
Common Stock Issued 000000011.6080014.780.04152.29501.9110.5757.2230
Common Stock Repurchased 0-0.753-1.118-1.064000-0.49400-0.3560-0.418-0.1050-0.1940-0.7580
Dividends Paid 0000000-0.02800-10-0.418-0.1050-0.1940-0.7580
Other Financing Activities -2.542-0.643-0.5282.179-1.553-0.108-0.206-0.109-0.09-0.2141.774-0.1570.4180.10500.1940.9130.7580
Financing Cash Flow -3.589-4.006-3.85-0.274-1.613-0.108-0.20611.087-0.09-0.21414.198-0.11713.540.13100.2291.0886.0650
Other Information:
Effect Of Forex Changes On Cash 0.0020.33-0.1990.087-0.0170.0350.095-0.116-0.4660.4840.15-0.009-0.108-0.07900000
Net Change In Cash -2.854-0.094-0.4674.82-4.4463.759-7.07210.085-12.1490.7310.96-6.3736.737-0.1560.7983.287-3.9844.290
Cash At End Of Period 7.87210.72610.8211.2876.46710.9127.15414.2264.14116.2915.564.610.9734.2364.3923.5940.3074.290