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The Calmer Co International Ltd (CCOOA)

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  • 0.001
  • 0.0000.00%
20min DelayTrading Jan 15 11:58 AET
3.06MMarket Cap0.00P/E (Static)

The Calmer Co International Ltd (CCOOA) Cash Flow

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2025
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
Operating cash flow (direct method)
Cash income from operating activities
15.16%4.6M
128.48%4M
-32.50%1.75M
189.63%2.59M
-1.64%894.85K
571.80%909.77K
135.42K
Revenue from customers
104.70%8.18M
128.37%4M
-32.50%1.75M
189.63%2.59M
-1.64%894.85K
571.80%909.77K
--135.42K
Other cash income from operating activities
-199,846.48%-3.58M
--1.79K
----
--1
----
----
--1
Cash paid
-49.12%-8.78M
-11.32%-5.89M
33.88%-5.29M
-60.25%-8M
-12.82%-4.99M
-89.81%-4.43M
-2.33M
Payments to suppliers for goods and services
-49.12%-8.78M
-11.32%-5.89M
33.88%-5.29M
-60.25%-8M
-12.82%-4.99M
-89.81%-4.43M
---2.33M
Direct interest paid
-4.69%-189.78K
30.42%-181.27K
---260.52K
----
----
----
----
Direct interest received
----
----
----
9.38%-37.43K
-86.56%-41.3K
-183.85%-22.14K
--26.4K
Operating cash flow
-110.67%-4.37M
45.44%-2.07M
30.21%-3.8M
-31.59%-5.45M
-17.00%-4.14M
-61.10%-3.54M
---2.2M
Investing cash flow
Cash flow from continuing investing activities
-293.18%-459.91K
-455.00%-116.97K
97.82%-21.08K
-272.04%-964.94K
-91.32%-259.37K
-103.01%-135.57K
4.5M
Net PPE purchase and sale
-563.85%-459.91K
-356.53%-69.28K
97.71%-15.18K
-1,500.43%-663.78K
69.41%-41.48K
66.59%-135.57K
---405.72K
Net intangibles purchas and sale
----
-708.20%-47.69K
98.04%-5.9K
-38.22%-301.16K
---217.89K
----
----
Net business purchase and sale
----
----
----
----
----
----
--4.88M
Interest received (cash flow from investment activities)
----
----
----
----
----
----
--26.4K
Cash from discontinued investing activities
Investing cash flow
-293.18%-459.91K
-455.00%-116.97K
97.82%-21.08K
-272.04%-964.94K
-91.32%-259.37K
-103.01%-135.57K
--4.5M
Financing cash flow
Cash flow from continuing financing activities
83.42%5.19M
-18.54%2.83M
-42.40%3.47M
45.15%6.03M
49.12%4.16M
2.79M
Net issuance payments of debt
-89.12%65.77K
37.53%604.69K
-46.00%439.69K
--814.29K
----
--725K
----
Net common stock issuance
132.20%5.27M
-26.46%2.27M
-41.04%3.09M
23.36%5.24M
105.88%4.24M
--2.06M
----
Net other financing activities
-63.28%-146.69K
14.86%-89.84K
-197.52%-105.52K
80.13%-35.47K
---178.45K
----
----
Cash from discontinued financing activities
Financing cash flow
83.42%5.19M
-18.54%2.83M
-42.40%3.47M
45.15%6.03M
49.12%4.16M
--2.79M
----
Net cash flow
Beginning cash position
137.80%1.1M
-43.23%462.15K
-31.25%814.06K
-17.21%1.18M
-38.30%1.43M
19,175.38%2.32M
--12.03K
Current changes in cash
-43.53%360.62K
283.00%638.66K
8.46%-348.99K
-56.17%-381.26K
72.50%-244.13K
-138.50%-887.64K
--2.31M
Effect of exchange rate changes
----
38.68%-1.79K
20.20%-2.92K
-86.63%-3.66K
---1.96K
----
----
End cash Position
32.81%1.46M
137.80%1.1M
-42.17%462.15K
-32.51%799.22K
-17.21%1.18M
-38.30%1.43M
--2.32M
Free cash from
-120.41%-4.83M
42.68%-2.19M
40.38%-3.82M
-45.76%-6.41M
-19.74%-4.4M
-41.19%-3.67M
---2.6M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2025(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019
Operating cash flow (direct method)
Cash income from operating activities 15.16%4.6M128.48%4M-32.50%1.75M189.63%2.59M-1.64%894.85K571.80%909.77K135.42K
Revenue from customers 104.70%8.18M128.37%4M-32.50%1.75M189.63%2.59M-1.64%894.85K571.80%909.77K--135.42K
Other cash income from operating activities -199,846.48%-3.58M--1.79K------1----------1
Cash paid -49.12%-8.78M-11.32%-5.89M33.88%-5.29M-60.25%-8M-12.82%-4.99M-89.81%-4.43M-2.33M
Payments to suppliers for goods and services -49.12%-8.78M-11.32%-5.89M33.88%-5.29M-60.25%-8M-12.82%-4.99M-89.81%-4.43M---2.33M
Direct interest paid -4.69%-189.78K30.42%-181.27K---260.52K----------------
Direct interest received ------------9.38%-37.43K-86.56%-41.3K-183.85%-22.14K--26.4K
Operating cash flow -110.67%-4.37M45.44%-2.07M30.21%-3.8M-31.59%-5.45M-17.00%-4.14M-61.10%-3.54M---2.2M
Investing cash flow
Cash flow from continuing investing activities -293.18%-459.91K-455.00%-116.97K97.82%-21.08K-272.04%-964.94K-91.32%-259.37K-103.01%-135.57K4.5M
Net PPE purchase and sale -563.85%-459.91K-356.53%-69.28K97.71%-15.18K-1,500.43%-663.78K69.41%-41.48K66.59%-135.57K---405.72K
Net intangibles purchas and sale -----708.20%-47.69K98.04%-5.9K-38.22%-301.16K---217.89K--------
Net business purchase and sale --------------------------4.88M
Interest received (cash flow from investment activities) --------------------------26.4K
Cash from discontinued investing activities
Investing cash flow -293.18%-459.91K-455.00%-116.97K97.82%-21.08K-272.04%-964.94K-91.32%-259.37K-103.01%-135.57K--4.5M
Financing cash flow
Cash flow from continuing financing activities 83.42%5.19M-18.54%2.83M-42.40%3.47M45.15%6.03M49.12%4.16M2.79M
Net issuance payments of debt -89.12%65.77K37.53%604.69K-46.00%439.69K--814.29K------725K----
Net common stock issuance 132.20%5.27M-26.46%2.27M-41.04%3.09M23.36%5.24M105.88%4.24M--2.06M----
Net other financing activities -63.28%-146.69K14.86%-89.84K-197.52%-105.52K80.13%-35.47K---178.45K--------
Cash from discontinued financing activities
Financing cash flow 83.42%5.19M-18.54%2.83M-42.40%3.47M45.15%6.03M49.12%4.16M--2.79M----
Net cash flow
Beginning cash position 137.80%1.1M-43.23%462.15K-31.25%814.06K-17.21%1.18M-38.30%1.43M19,175.38%2.32M--12.03K
Current changes in cash -43.53%360.62K283.00%638.66K8.46%-348.99K-56.17%-381.26K72.50%-244.13K-138.50%-887.64K--2.31M
Effect of exchange rate changes ----38.68%-1.79K20.20%-2.92K-86.63%-3.66K---1.96K--------
End cash Position 32.81%1.46M137.80%1.1M-42.17%462.15K-32.51%799.22K-17.21%1.18M-38.30%1.43M--2.32M
Free cash from -120.41%-4.83M42.68%-2.19M40.38%-3.82M-45.76%-6.41M-19.74%-4.4M-41.19%-3.67M---2.6M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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