Banxa Holdings Inc. (BNXAF)

USD 0.52

(0.0%)

Annual Cash Flows

(In AUD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow -11.33 Million -8.03 Million -1.64 Million -2.47 Million -2.09 Million 1.38 Million
Net Income -9.36 Million -17.27 Million -5.82 Million -4.13 Million -2.06 Million 616.79 Thousand
Depreciation & Amortization 422.29 Thousand 454.97 Thousand 39.07 Thousand 627.71 Thousand 437.66 Thousand 55.88 Thousand
Deferred income taxes -313.86 Thousand 1.46 Million 3.26 Million 347.78 Thousand - -
Stock-based compensation -458.97 Thousand 2.92 Million 2.08 Million 6848.00 - -
Change in working capital 598.54 Thousand 4.1 Million -4.05 Million -310.37 Thousand 56.93 Thousand 118.52 Thousand
Other non-cash items -2.22 Million 287.15 Thousand 2.86 Million 985.32 Thousand -522.04 Thousand 598.46 Thousand
Investing Cash Flow 2.58 Million -198.31 Thousand -292.57 Thousand -721.47 Thousand -26.02 Thousand -1.01 Million
Investments in PPE - -198.31 Thousand -68.6 Thousand -82.02 Thousand -2726.00 -27.41 Thousand
Acquisitions - - 111.04 Thousand 601.06 Thousand - -850 Thousand
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities 2.58 Million - -335.01 Thousand -1.24 Million -23.3 Thousand -135.66 Thousand
Financing Cash Flow 7.49 Million -578.01 Thousand 17.61 Million 4.13 Million 1.61 Million 782.35 Thousand
Debt repayment -15.81 Million -13.89 Million -60 Thousand -858.00 -331.91 Thousand -
Dividends payments - - - - - -
Common Stock Repurchased - - - - - -
Common Stock Issuance - 357.04 Thousand 18.03 Million 3.59 Million - -
Other Financing Activities 23.3 Million 12.96 Million -355.56 Thousand 537.47 Thousand 1.94 Million 782.35 Thousand
Accounts receivables -2.76 Million 2.73 Million -2.75 Million -337.69 Thousand 83.39 Thousand 89.32 Thousand
Accounts payables 2.76 Million 1.9 Million 2.32 Million 598.16 Thousand - -
Inventory 699.89 Thousand -838.57 Thousand -12.25 Thousand -47.04 Thousand 137.67 Thousand 33.49 Thousand
Other working capital -101.34 Thousand 305.72 Thousand -3.61 Million -523.79 Thousand -164.13 Thousand -4302.00
Cash at beginning of period 9.36 Million 18.61 Million 2.06 Million 1.13 Million 1.63 Million -
Cash at end of period 8.25 Million 9.36 Million 18.61 Million 2.06 Million 1.13 Million 1.63 Million
Capital Expenditure - -198.31 Thousand -68.6 Thousand -82.02 Thousand -2726.00 -27.41 Thousand
Effect of forex changes on cash 144.68 Thousand -442.1 Thousand 863.56 Thousand - - 479.56 Thousand
Net cash flow / Change in cash -1.1 Million -9.25 Million 16.54 Million 937.01 Thousand -508.21 Thousand 1.63 Million
Free Cash Flow -11.33 Million -8.23 Million -1.7 Million -2.55 Million -2.09 Million 1.36 Million

Cash Flow Charts

Created with Highcharts 11.1.0Value in USDYearly Cash FlowsOperating Cash FlowInvesting Cash FlowFinancing Cash Flow201820192020202120222023-20 M-10 M010 M20 M
Created with Highcharts 11.1.0Value in USDNet Income Vs Operating Cash FlowBy Job Category. Source: IRECNet IncomeOperating Cash Flow201820192020202120222023-20 M-15 M-10 M-5 M05 M