AU Stock MarketDetailed Quotes

JCurve Solutions Ltd (JCS)

Watchlist
  • 0.048
  • 0.0000.00%
20min DelayMarket Closed Jan 21 10:53 AET
16.91MMarket Cap-24.00P/E (Static)

JCurve Solutions Ltd (JCS) 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
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
Operating cash flow (direct method)
Cash income from operating activities
-1.38%12.6M
-20.02%12.78M
1.27%15.98M
21.44%15.78M
1.45%12.99M
-5.12%12.81M
4.70%13.5M
19.99%12.89M
6.51%10.74M
-18.14%10.09M
Revenue from customers
-1.38%12.6M
-20.02%12.78M
1.27%15.98M
21.44%15.78M
1.45%12.99M
-5.12%12.81M
4.70%13.5M
19.99%12.89M
6.51%10.74M
-18.14%10.09M
Cash paid
16.01%-11.6M
9.78%-13.81M
-9.04%-15.3M
-29.16%-14.04M
12.99%-10.87M
3.59%-12.49M
-13.43%-12.95M
-18.87%-11.42M
6.19%-9.61M
23.29%-10.24M
Payments to suppliers for goods and services
16.01%-11.6M
9.78%-13.81M
-9.04%-15.3M
-29.16%-14.04M
12.99%-10.87M
3.59%-12.49M
-13.43%-12.95M
-18.87%-11.42M
6.19%-9.61M
23.29%-10.24M
Direct interest paid
---25.62K
----
----
----
-21.21%-4.14K
-648.46%-3.41K
---456
----
-953.85%-548
89.32%-52
Direct interest received
88.78%10.8K
-75.14%5.72K
178.83%23.01K
53.10%8.25K
-23.56%5.39K
-45.61%7.05K
-27.04%12.96K
-2.41%17.77K
1.49%18.21K
-19.12%17.94K
Direct tax refund paid
-64.98%-323.56K
76.75%-196.13K
-19.53%-843.57K
-152.21%-705.75K
-601.07%-279.83K
-126.21%-39.91K
-7.73%152.29K
31,761.58%165.04K
-99.92%518
87.15%632.6K
Operating cash flow
154.98%669.31K
-734.10%-1.22M
-113.96%-145.94K
-43.42%1.05M
558.47%1.85M
-60.35%280.58K
-57.20%707.58K
43.28%1.65M
132.81%1.15M
174.06%495.67K
Investing cash flow
Cash flow from continuing investing activities
28.04%-349.99K
-1,199.27%-486.36K
91.17%-37.43K
-25.94%-423.98K
11.57%-336.67K
11.41%-380.72K
35.05%-429.78K
-1,523.94%-661.73K
74.85%-40.75K
-245.65%-162.04K
Capital expenditure reported
----
---491.51K
----
----
----
----
----
----
----
----
Net PPE purchase and sale
-192.43%-4.77K
113.77%5.16K
70.22%-37.43K
-35.62%-125.72K
-227.10%-92.7K
-63.71%-28.34K
71.96%-17.31K
-56.74%-61.73K
---39.38K
----
Net intangibles purchas and sale
---345.23K
----
----
----
----
----
---100K
----
99.16%-1.37K
-245.65%-162.04K
Net business purchase and sale
----
----
----
-22.25%-298.26K
30.77%-243.97K
-12.77%-352.38K
47.92%-312.47K
---600K
----
----
Cash from discontinued investing activities
Investing cash flow
28.04%-349.99K
-1,199.27%-486.36K
91.17%-37.43K
-25.94%-423.98K
11.57%-336.67K
11.41%-380.72K
35.05%-429.78K
-1,523.94%-661.73K
74.85%-40.75K
-245.65%-162.04K
Financing cash flow
Cash flow from continuing financing activities
41.01%-562.14K
-47.81%-952.9K
-6.45%-644.68K
-9.66%-605.6K
-7.68%-552.23K
-512.85K
Cash dividends paid
----
---574.6K
----
----
----
----
----
----
----
----
Net other financing activities
-48.60%-562.14K
41.32%-378.3K
-6.45%-644.68K
45.17%-605.6K
-7.68%-1.1M
---1.03M
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
41.01%-562.14K
-47.81%-952.9K
-6.45%-644.68K
-9.66%-605.6K
-7.68%-552.23K
---512.85K
----
----
----
----
Net cash flow
Beginning cash position
-62.58%1.6M
-16.50%4.27M
0.13%5.11M
22.87%5.1M
-12.86%4.15M
6.19%4.77M
28.37%4.49M
46.72%3.5M
16.28%2.38M
-25.90%2.05M
Current changes in cash
90.86%-242.83K
-220.82%-2.66M
-5,336.20%-828.05K
-98.35%15.81K
256.39%958.63K
-320.66%-612.99K
-71.99%277.8K
-10.92%991.64K
233.66%1.11M
146.58%333.63K
Effect of exchange rate changes
225.20%15.61K
16.77%-12.46K
-60.53%-14.98K
-2.03%-9.33K
---9.14K
----
----
----
----
----
End cash Position
-14.23%1.37M
-62.58%1.6M
-16.50%4.27M
0.13%5.11M
22.87%5.1M
-12.86%4.15M
6.19%4.77M
28.37%4.49M
46.72%3.5M
16.28%2.38M
Free cash from
118.69%319.32K
-829.59%-1.71M
-119.99%-183.82K
-47.59%919.68K
595.70%1.75M
-57.27%252.24K
-62.91%590.27K
42.98%1.59M
233.66%1.11M
146.58%333.63K
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, 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(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016
Operating cash flow (direct method)
Cash income from operating activities -1.38%12.6M-20.02%12.78M1.27%15.98M21.44%15.78M1.45%12.99M-5.12%12.81M4.70%13.5M19.99%12.89M6.51%10.74M-18.14%10.09M
Revenue from customers -1.38%12.6M-20.02%12.78M1.27%15.98M21.44%15.78M1.45%12.99M-5.12%12.81M4.70%13.5M19.99%12.89M6.51%10.74M-18.14%10.09M
Cash paid 16.01%-11.6M9.78%-13.81M-9.04%-15.3M-29.16%-14.04M12.99%-10.87M3.59%-12.49M-13.43%-12.95M-18.87%-11.42M6.19%-9.61M23.29%-10.24M
Payments to suppliers for goods and services 16.01%-11.6M9.78%-13.81M-9.04%-15.3M-29.16%-14.04M12.99%-10.87M3.59%-12.49M-13.43%-12.95M-18.87%-11.42M6.19%-9.61M23.29%-10.24M
Direct interest paid ---25.62K-------------21.21%-4.14K-648.46%-3.41K---456-----953.85%-54889.32%-52
Direct interest received 88.78%10.8K-75.14%5.72K178.83%23.01K53.10%8.25K-23.56%5.39K-45.61%7.05K-27.04%12.96K-2.41%17.77K1.49%18.21K-19.12%17.94K
Direct tax refund paid -64.98%-323.56K76.75%-196.13K-19.53%-843.57K-152.21%-705.75K-601.07%-279.83K-126.21%-39.91K-7.73%152.29K31,761.58%165.04K-99.92%51887.15%632.6K
Operating cash flow 154.98%669.31K-734.10%-1.22M-113.96%-145.94K-43.42%1.05M558.47%1.85M-60.35%280.58K-57.20%707.58K43.28%1.65M132.81%1.15M174.06%495.67K
Investing cash flow
Cash flow from continuing investing activities 28.04%-349.99K-1,199.27%-486.36K91.17%-37.43K-25.94%-423.98K11.57%-336.67K11.41%-380.72K35.05%-429.78K-1,523.94%-661.73K74.85%-40.75K-245.65%-162.04K
Capital expenditure reported -------491.51K--------------------------------
Net PPE purchase and sale -192.43%-4.77K113.77%5.16K70.22%-37.43K-35.62%-125.72K-227.10%-92.7K-63.71%-28.34K71.96%-17.31K-56.74%-61.73K---39.38K----
Net intangibles purchas and sale ---345.23K-----------------------100K----99.16%-1.37K-245.65%-162.04K
Net business purchase and sale -------------22.25%-298.26K30.77%-243.97K-12.77%-352.38K47.92%-312.47K---600K--------
Cash from discontinued investing activities
Investing cash flow 28.04%-349.99K-1,199.27%-486.36K91.17%-37.43K-25.94%-423.98K11.57%-336.67K11.41%-380.72K35.05%-429.78K-1,523.94%-661.73K74.85%-40.75K-245.65%-162.04K
Financing cash flow
Cash flow from continuing financing activities 41.01%-562.14K-47.81%-952.9K-6.45%-644.68K-9.66%-605.6K-7.68%-552.23K-512.85K
Cash dividends paid -------574.6K--------------------------------
Net other financing activities -48.60%-562.14K41.32%-378.3K-6.45%-644.68K45.17%-605.6K-7.68%-1.1M---1.03M----------------
Cash from discontinued financing activities
Financing cash flow 41.01%-562.14K-47.81%-952.9K-6.45%-644.68K-9.66%-605.6K-7.68%-552.23K---512.85K----------------
Net cash flow
Beginning cash position -62.58%1.6M-16.50%4.27M0.13%5.11M22.87%5.1M-12.86%4.15M6.19%4.77M28.37%4.49M46.72%3.5M16.28%2.38M-25.90%2.05M
Current changes in cash 90.86%-242.83K-220.82%-2.66M-5,336.20%-828.05K-98.35%15.81K256.39%958.63K-320.66%-612.99K-71.99%277.8K-10.92%991.64K233.66%1.11M146.58%333.63K
Effect of exchange rate changes 225.20%15.61K16.77%-12.46K-60.53%-14.98K-2.03%-9.33K---9.14K--------------------
End cash Position -14.23%1.37M-62.58%1.6M-16.50%4.27M0.13%5.11M22.87%5.1M-12.86%4.15M6.19%4.77M28.37%4.49M46.72%3.5M16.28%2.38M
Free cash from 118.69%319.32K-829.59%-1.71M-119.99%-183.82K-47.59%919.68K595.70%1.75M-57.27%252.24K-62.91%590.27K42.98%1.59M233.66%1.11M146.58%333.63K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Market Insights
HK Tech and Internet Stocks
View More
Nancy Pelosi Portfolio
Tariff game between the US and Europe shakes the market! Will TACO happen again?
Amidst the global market turbulence triggered by the US-Europe dispute over Greenland, a single post by Trump instantly reversed market tren Show More