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ABV Advanced Braking Technology Ltd

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  • 0.088
  • +0.001+1.15%
20min DelayMarket Closed May 9 16:00 AET
33.88MMarket Cap22.00P/E (Static)

Advanced Braking Technology Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
1.45%15.85M
32.19%15.62M
7.99%11.82M
12.21%10.94M
18.52%9.75M
-9.04%8.23M
25.17%9.05M
34.62%7.23M
-42.12%5.37M
39.55%9.28M
Revenue from customers
0.02%15.18M
35.93%15.18M
9.35%11.16M
14.02%10.21M
21.15%8.95M
-9.90%7.39M
28.25%8.2M
39.26%6.4M
-23.62%4.59M
-9.54%6.01M
Income from government grants
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-47.60%776K
--1.48M
Other cash income from operating activities
50.11%671K
-31.65%447K
-11.02%654K
-8.01%735K
-4.65%799K
-0.71%838K
1.44%844K
--832K
----
--1.78M
Cash paid
-5.92%-15.54M
-28.51%-14.67M
-17.33%-11.41M
-4.74%-9.73M
2.51%-9.29M
9.09%-9.53M
-32.60%-10.48M
-7.31%-7.9M
-3.27%-7.36M
28.83%-7.13M
Payments to suppliers for goods and services
-5.92%-15.54M
-28.51%-14.67M
-17.33%-11.41M
-4.74%-9.73M
2.51%-9.29M
9.09%-9.53M
-32.60%-10.48M
-7.31%-7.9M
-3.27%-7.36M
28.83%-7.13M
Direct interest paid
700.00%64K
180.00%8K
-11.11%-10K
96.36%-9K
-59.35%-247K
-15.67%-155K
11.84%-134K
43.70%-152K
16.92%-270K
-16.91%-325K
Direct interest received
11.11%20K
350.00%18K
0.00%4K
33.33%4K
200.00%3K
-90.00%1K
-47.37%10K
35.71%19K
-50.00%14K
-17.65%28K
Direct tax refund paid
-6,100.00%-62K
0.00%-1K
---1K
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----
----
----
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----
Operating cash flow
-65.82%335K
146.23%980K
-67.16%398K
445.95%1.21M
115.30%222K
6.69%-1.45M
-92.69%-1.56M
64.15%-807K
-3,510.61%-2.25M
101.82%66K
Investing cash flow
Cash flow from continuing investing activities
79.10%-139K
-2,275.00%-665K
89.78%-28K
-616.98%-274K
139.85%53K
40.63%-133K
15.47%-224K
-132.46%-265K
-533.33%-114K
83.93%-18K
Net PPE purchase and sale
79.10%-139K
-2,275.00%-665K
89.78%-28K
-616.98%-274K
139.85%53K
40.63%-133K
15.47%-224K
-132.46%-265K
-533.33%-114K
83.93%-18K
Cash from discontinued investing activities
Investing cash flow
79.10%-139K
-2,275.00%-665K
89.78%-28K
-616.98%-274K
139.85%53K
40.63%-133K
15.47%-224K
-132.46%-265K
-533.33%-114K
83.93%-18K
Financing cash flow
Cash flow from continuing financing activities
2,833.33%164K
85.71%-6K
2.33%-42K
90.95%-43K
-128.39%-475K
148.59%1.67M
-64.91%673K
10.04%1.92M
466.18%1.74M
-110.51%-476K
Net issuance payments of debt
90.91%63K
178.57%33K
2.33%-42K
89.93%-43K
-248.26%-427K
-44.93%288K
187.90%523K
---595K
----
-135.53%-949K
Net common stock issuance
--137K
----
----
----
-103.47%-48K
823.33%1.39M
-94.03%150K
44.18%2.51M
268.50%1.74M
-74.56%473K
Interest paid (cash flow from financing activities)
---36K
----
----
----
----
----
----
----
----
----
Net other financing activities
----
---39K
----
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
2,833.33%164K
85.71%-6K
2.33%-42K
90.95%-43K
-128.39%-475K
148.59%1.67M
-64.91%673K
10.04%1.92M
466.18%1.74M
-110.51%-476K
Net cash flow
Beginning cash position
17.77%2.05M
23.25%1.74M
173.45%1.41M
-27.93%516K
14.19%716K
-63.82%627K
95.38%1.73M
-41.22%887K
-24.13%1.51M
66.17%1.99M
Current changes in cash
16.50%360K
-5.79%309K
-63.35%328K
547.50%895K
-324.72%-200K
108.05%89K
-230.73%-1.11M
236.01%846K
-45.33%-622K
-153.43%-428K
Effect of exchange rate changes
----
----
----
----
----
----
----
----
----
-477.78%-52K
End cash Position
17.58%2.41M
17.77%2.05M
23.25%1.74M
173.45%1.41M
-27.93%516K
14.19%716K
-63.82%627K
95.38%1.73M
-41.22%887K
-24.13%1.51M
Free cash from
-88.57%36K
-8.43%315K
-63.33%344K
378.57%938K
112.37%196K
10.96%-1.58M
-52.05%-1.78M
51.53%-1.17M
-3,035.06%-2.41M
97.96%-77K
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities 1.45%15.85M32.19%15.62M7.99%11.82M12.21%10.94M18.52%9.75M-9.04%8.23M25.17%9.05M34.62%7.23M-42.12%5.37M39.55%9.28M
Revenue from customers 0.02%15.18M35.93%15.18M9.35%11.16M14.02%10.21M21.15%8.95M-9.90%7.39M28.25%8.2M39.26%6.4M-23.62%4.59M-9.54%6.01M
Income from government grants ---------------------------------47.60%776K--1.48M
Other cash income from operating activities 50.11%671K-31.65%447K-11.02%654K-8.01%735K-4.65%799K-0.71%838K1.44%844K--832K------1.78M
Cash paid -5.92%-15.54M-28.51%-14.67M-17.33%-11.41M-4.74%-9.73M2.51%-9.29M9.09%-9.53M-32.60%-10.48M-7.31%-7.9M-3.27%-7.36M28.83%-7.13M
Payments to suppliers for goods and services -5.92%-15.54M-28.51%-14.67M-17.33%-11.41M-4.74%-9.73M2.51%-9.29M9.09%-9.53M-32.60%-10.48M-7.31%-7.9M-3.27%-7.36M28.83%-7.13M
Direct interest paid 700.00%64K180.00%8K-11.11%-10K96.36%-9K-59.35%-247K-15.67%-155K11.84%-134K43.70%-152K16.92%-270K-16.91%-325K
Direct interest received 11.11%20K350.00%18K0.00%4K33.33%4K200.00%3K-90.00%1K-47.37%10K35.71%19K-50.00%14K-17.65%28K
Direct tax refund paid -6,100.00%-62K0.00%-1K---1K----------------------------
Operating cash flow -65.82%335K146.23%980K-67.16%398K445.95%1.21M115.30%222K6.69%-1.45M-92.69%-1.56M64.15%-807K-3,510.61%-2.25M101.82%66K
Investing cash flow
Cash flow from continuing investing activities 79.10%-139K-2,275.00%-665K89.78%-28K-616.98%-274K139.85%53K40.63%-133K15.47%-224K-132.46%-265K-533.33%-114K83.93%-18K
Net PPE purchase and sale 79.10%-139K-2,275.00%-665K89.78%-28K-616.98%-274K139.85%53K40.63%-133K15.47%-224K-132.46%-265K-533.33%-114K83.93%-18K
Cash from discontinued investing activities
Investing cash flow 79.10%-139K-2,275.00%-665K89.78%-28K-616.98%-274K139.85%53K40.63%-133K15.47%-224K-132.46%-265K-533.33%-114K83.93%-18K
Financing cash flow
Cash flow from continuing financing activities 2,833.33%164K85.71%-6K2.33%-42K90.95%-43K-128.39%-475K148.59%1.67M-64.91%673K10.04%1.92M466.18%1.74M-110.51%-476K
Net issuance payments of debt 90.91%63K178.57%33K2.33%-42K89.93%-43K-248.26%-427K-44.93%288K187.90%523K---595K-----135.53%-949K
Net common stock issuance --137K-------------103.47%-48K823.33%1.39M-94.03%150K44.18%2.51M268.50%1.74M-74.56%473K
Interest paid (cash flow from financing activities) ---36K------------------------------------
Net other financing activities -------39K--------------------------------
Cash from discontinued financing activities
Financing cash flow 2,833.33%164K85.71%-6K2.33%-42K90.95%-43K-128.39%-475K148.59%1.67M-64.91%673K10.04%1.92M466.18%1.74M-110.51%-476K
Net cash flow
Beginning cash position 17.77%2.05M23.25%1.74M173.45%1.41M-27.93%516K14.19%716K-63.82%627K95.38%1.73M-41.22%887K-24.13%1.51M66.17%1.99M
Current changes in cash 16.50%360K-5.79%309K-63.35%328K547.50%895K-324.72%-200K108.05%89K-230.73%-1.11M236.01%846K-45.33%-622K-153.43%-428K
Effect of exchange rate changes -------------------------------------477.78%-52K
End cash Position 17.58%2.41M17.77%2.05M23.25%1.74M173.45%1.41M-27.93%516K14.19%716K-63.82%627K95.38%1.73M-41.22%887K-24.13%1.51M
Free cash from -88.57%36K-8.43%315K-63.33%344K378.57%938K112.37%196K10.96%-1.58M-52.05%-1.78M51.53%-1.17M-3,035.06%-2.41M97.96%-77K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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