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JPR Jupiter Energy Ltd

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  • 0.025
  • 0.0000.00%
20min DelayNot Open May 16 12:20 AET
31.84MMarket Cap0.40P/E (Static)

Jupiter Energy Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
71.35%7.35M
4.52%4.29M
-33.22%4.11M
-42.97%6.15M
235.87%10.78M
3.21M
-53.85%3.95M
-7.40%8.57M
Revenue from customers
86.71%7.35M
7.09%3.94M
-40.19%3.68M
-42.97%6.15M
235.87%10.78M
--3.21M
----
----
-53.85%3.95M
-7.40%8.57M
Other cash income from operating activities
----
-17.58%352.88K
--428.16K
----
----
----
----
----
----
----
Cash paid
-41.23%-5.83M
-18.31%-4.13M
48.24%-3.49M
-29.42%-6.75M
-70.67%-5.21M
-8.40%-3.05M
19.01%-2.82M
55.80%-3.48M
25.62%-7.87M
6.01%-10.58M
Payments to suppliers for goods and services
-41.23%-5.83M
-18.31%-4.13M
48.24%-3.49M
-29.42%-6.75M
-70.67%-5.21M
-8.40%-3.05M
19.01%-2.82M
55.80%-3.48M
25.62%-7.87M
6.01%-10.58M
Direct interest paid
----
----
70.50%-16.8K
---56.93K
----
----
----
----
----
----
Direct interest received
22.42%83.95K
116.84%68.58K
33.38%31.63K
15.96%23.71K
8.05%20.45K
-0.55%18.93K
-8.01%19.03K
-26.64%20.69K
17.93%28.2K
-31.25%23.91K
Operating cash flow
599.55%1.6M
-63.56%229.2K
199.74%629.03K
-111.28%-630.67K
3,093.91%5.59M
106.25%175.01K
19.08%-2.8M
11.09%-3.46M
-95.36%-3.89M
-0.94%-1.99M
Investing cash flow
Cash flow from continuing investing activities
-603.95%-2.01M
79.20%-285.39K
28.58%-1.37M
71.07%-1.92M
-247.75%-6.64M
-72.89%-1.91M
-294.90%-1.1M
94.93%-279.76K
-38.86%-5.52M
77.26%-3.98M
Capital expenditure reported
----
86.24%-165.36K
33.53%-1.2M
71.39%-1.81M
-231.22%-6.32M
-73.55%-1.91M
-293.11%-1.1M
94.93%-279.76K
-39.58%-5.52M
76.23%-3.95M
Net PPE purchase and sale
-1,573.22%-2.01M
29.44%-120.03K
-50.73%-170.11K
64.75%-112.85K
-23,354.21%-320.15K
72.70%-1.37K
---5K
----
----
97.57%-20.46K
Net investment purchase and sale
---582
----
----
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-603.95%-2.01M
79.20%-285.39K
28.58%-1.37M
71.07%-1.92M
-247.75%-6.64M
-72.89%-1.91M
-294.90%-1.1M
94.93%-279.76K
-38.86%-5.52M
77.26%-3.98M
Financing cash flow
Cash flow from continuing financing activities
-121.11%-146.71K
-46.45%694.9K
-39.69%1.3M
80.47%2.15M
-32.76%1.19M
-51.11%1.77M
29.37%3.63M
-69.33%2.8M
159.83%9.14M
-84.45%3.52M
Net issuance payments of debt
----
-49.68%694.9K
-39.92%1.38M
92.74%2.3M
-32.76%1.19M
-51.11%1.77M
29.37%3.63M
-69.33%2.8M
159.83%9.14M
-69.85%3.52M
Net other financing activities
---146.71K
----
43.23%-83.07K
---146.32K
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-121.11%-146.71K
-46.45%694.9K
-39.69%1.3M
80.47%2.15M
-32.76%1.19M
-51.11%1.77M
29.37%3.63M
-69.33%2.8M
159.83%9.14M
-84.45%3.52M
Net cash flow
Beginning cash position
92.54%1.33M
397.16%690.95K
-74.01%138.98K
30.97%534.69K
2.80%408.24K
-40.14%397.11K
-58.88%663.45K
25.53%1.61M
-68.89%1.29M
944.83%4.13M
Current changes in cash
-186.48%-552.33K
15.15%638.71K
238.68%554.69K
-385.55%-399.97K
266.50%140.07K
113.84%38.22K
70.45%-276.07K
-248.82%-934.28K
89.06%-267.84K
-176.93%-2.45M
Effect of exchange rate changes
12,220.24%82.79K
124.67%672
-163.94%-2.72K
131.28%4.26K
49.71%-13.62K
-378.26%-27.09K
161.49%9.73K
-102.66%-15.83K
249.51%596.04K
-171.89%-398.66K
End cash Position
-35.29%860.8K
92.54%1.33M
397.16%690.95K
-74.01%138.98K
30.97%534.69K
2.80%408.24K
-40.14%397.11K
-58.88%663.45K
25.53%1.61M
-68.89%1.29M
Free cash from
-620.85%-405.04K
92.44%-56.19K
70.88%-743.08K
-142.50%-2.55M
39.35%-1.05M
55.55%-1.73M
-4.42%-3.9M
60.28%-3.74M
-57.72%-9.41M
69.33%-5.97M
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, 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(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities 71.35%7.35M4.52%4.29M-33.22%4.11M-42.97%6.15M235.87%10.78M3.21M-53.85%3.95M-7.40%8.57M
Revenue from customers 86.71%7.35M7.09%3.94M-40.19%3.68M-42.97%6.15M235.87%10.78M--3.21M---------53.85%3.95M-7.40%8.57M
Other cash income from operating activities -----17.58%352.88K--428.16K----------------------------
Cash paid -41.23%-5.83M-18.31%-4.13M48.24%-3.49M-29.42%-6.75M-70.67%-5.21M-8.40%-3.05M19.01%-2.82M55.80%-3.48M25.62%-7.87M6.01%-10.58M
Payments to suppliers for goods and services -41.23%-5.83M-18.31%-4.13M48.24%-3.49M-29.42%-6.75M-70.67%-5.21M-8.40%-3.05M19.01%-2.82M55.80%-3.48M25.62%-7.87M6.01%-10.58M
Direct interest paid --------70.50%-16.8K---56.93K------------------------
Direct interest received 22.42%83.95K116.84%68.58K33.38%31.63K15.96%23.71K8.05%20.45K-0.55%18.93K-8.01%19.03K-26.64%20.69K17.93%28.2K-31.25%23.91K
Operating cash flow 599.55%1.6M-63.56%229.2K199.74%629.03K-111.28%-630.67K3,093.91%5.59M106.25%175.01K19.08%-2.8M11.09%-3.46M-95.36%-3.89M-0.94%-1.99M
Investing cash flow
Cash flow from continuing investing activities -603.95%-2.01M79.20%-285.39K28.58%-1.37M71.07%-1.92M-247.75%-6.64M-72.89%-1.91M-294.90%-1.1M94.93%-279.76K-38.86%-5.52M77.26%-3.98M
Capital expenditure reported ----86.24%-165.36K33.53%-1.2M71.39%-1.81M-231.22%-6.32M-73.55%-1.91M-293.11%-1.1M94.93%-279.76K-39.58%-5.52M76.23%-3.95M
Net PPE purchase and sale -1,573.22%-2.01M29.44%-120.03K-50.73%-170.11K64.75%-112.85K-23,354.21%-320.15K72.70%-1.37K---5K--------97.57%-20.46K
Net investment purchase and sale ---582------------------------------------
Cash from discontinued investing activities
Investing cash flow -603.95%-2.01M79.20%-285.39K28.58%-1.37M71.07%-1.92M-247.75%-6.64M-72.89%-1.91M-294.90%-1.1M94.93%-279.76K-38.86%-5.52M77.26%-3.98M
Financing cash flow
Cash flow from continuing financing activities -121.11%-146.71K-46.45%694.9K-39.69%1.3M80.47%2.15M-32.76%1.19M-51.11%1.77M29.37%3.63M-69.33%2.8M159.83%9.14M-84.45%3.52M
Net issuance payments of debt -----49.68%694.9K-39.92%1.38M92.74%2.3M-32.76%1.19M-51.11%1.77M29.37%3.63M-69.33%2.8M159.83%9.14M-69.85%3.52M
Net other financing activities ---146.71K----43.23%-83.07K---146.32K------------------------
Cash from discontinued financing activities
Financing cash flow -121.11%-146.71K-46.45%694.9K-39.69%1.3M80.47%2.15M-32.76%1.19M-51.11%1.77M29.37%3.63M-69.33%2.8M159.83%9.14M-84.45%3.52M
Net cash flow
Beginning cash position 92.54%1.33M397.16%690.95K-74.01%138.98K30.97%534.69K2.80%408.24K-40.14%397.11K-58.88%663.45K25.53%1.61M-68.89%1.29M944.83%4.13M
Current changes in cash -186.48%-552.33K15.15%638.71K238.68%554.69K-385.55%-399.97K266.50%140.07K113.84%38.22K70.45%-276.07K-248.82%-934.28K89.06%-267.84K-176.93%-2.45M
Effect of exchange rate changes 12,220.24%82.79K124.67%672-163.94%-2.72K131.28%4.26K49.71%-13.62K-378.26%-27.09K161.49%9.73K-102.66%-15.83K249.51%596.04K-171.89%-398.66K
End cash Position -35.29%860.8K92.54%1.33M397.16%690.95K-74.01%138.98K30.97%534.69K2.80%408.24K-40.14%397.11K-58.88%663.45K25.53%1.61M-68.89%1.29M
Free cash from -620.85%-405.04K92.44%-56.19K70.88%-743.08K-142.50%-2.55M39.35%-1.05M55.55%-1.73M-4.42%-3.9M60.28%-3.74M-57.72%-9.41M69.33%-5.97M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

No Data

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