Weebit Nano Limited (WBT.AX)

AUD 2.85

(0.35%)

Annual Cash Flows

(In AUD)
Breakdown 2024 2023 2022 2021 2020 2019
Operating Cash Flow -24.39 Million -20.26 Million -21.81 Million -7.04 Million -1.98 Million -5745.44
Net Income -41.24 Million -39.03 Million -27.69 Million -11.25 Million -4.02 Million -6693.80
Depreciation & Amortization 376.45 Thousand 308.59 Thousand 172.56 Thousand 105.97 Thousand 107.86 Thousand 11.81
Deferred income taxes - 7.25 Million -5.41 Million -358.35 Thousand 482.33 Thousand -1450.61
Stock-based compensation - 10.58 Million 11.09 Million 4.07 Million 1.54 Million 1.11 Million
Change in working capital -1.27 Million 7.87 Million -5.38 Million 33.97 Thousand 414.6 Thousand 336.37
Other non-cash items 19.77 Million 3.32 Million 16.49 Million 4.42 Million 1.02 Million 936.54
Investing Cash Flow -1.02 Million -50.8 Thousand -206.52 Thousand -59.04 Thousand -12.43 Thousand -1.65
Investments in PPE -1.02 Million -44.84 Thousand -236.29 Thousand -21.59 Thousand -11.74 Thousand -44.88
Acquisitions - - - - - -
Investment purchases - -5964.00 - - - -
Sales/Maturities of investments 450.00 - 29.76 Thousand - - -
Other Investing Activities 450.00 -5964.00 29.76 Thousand -37.44 Thousand -692.00 43.23
Financing Cash Flow 164.21 Thousand 57.44 Million 50.54 Million 24.71 Million 4.44 Million 4061.26
Debt repayment - -226.70 -212.54 -113.90 -88.13 -
Dividends payments - - - - - -
Common Stock Repurchased -34.68 Thousand -2.84 Million -1.21 Million -1.58 Million -808.37 Thousand -388.73 Thousand
Common Stock Issuance 455.67 Thousand 57.67 Million 50.75 Million 24.83 Million 4.53 Million 4.06 Million
Other Financing Activities 198.89 Thousand 5.18 Million 1.95 Million 2.91 Million 1.43 Million -3.66 Million
Accounts receivables -577.71 Thousand 5.02 Million -5.72 Million -94.82 Thousand 21.42 Thousand 336.37
Accounts payables -698.43 Thousand 2.85 Million 666.73 Thousand -47.5 Thousand 678.19 Thousand -142.43 Thousand
Inventory - - - - - 514.06 Thousand
Other working capital - - -321.3 Thousand 176.3 Thousand -285.01 Thousand -371.62 Thousand
Cash at beginning of period 87.95 Million 50.24 Million 21.72 Million 4.11 Million 1.67 Million 3356.75
Cash at end of period 62.83 Million 87.95 Million 50.24 Million 21.72 Million 4.11 Million 1670.91
Capital Expenditure -1.02 Million -44.84 Thousand -236.29 Thousand -21.59 Thousand -11.74 Thousand -44.88
Effect of forex changes on cash 131.88 Thousand 581.73 -321.31 -17.59 Million -2.44 Million -
Net cash flow / Change in cash -25.12 Million 37.7 Million 28.52 Million 17.61 Million 2.44 Million -1685.84
Free Cash Flow -25.42 Million -20.31 Million -22.05 Million -7.06 Million -1.99 Million -5790.32

Cash Flow Charts