US Stock MarketDetailed Quotes

Li Bang International (LBGJ)

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  • 0.9700
  • -0.0057-0.58%
Close May 19 16:00 ET
  • 0.9700
  • 0.00000.00%
Post 16:10 ET
3.26MMarket Cap-0.18P/E (TTM)

Li Bang International (LBGJ) 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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-43.34%-926.67K
-1.90%-646.48K
-54.63%-634.41K
-176.01%-410.27K
-56.21%539.77K
1.23M
Net income from continuing operations
26.08%-1.02M
-323.72%-1.37M
-27.33%614.12K
-68.21%845.1K
116.50%2.66M
--1.23M
Operating gains losses
-3.78%-15.4K
-2,812.80%-14.84K
--547
----
503.07%6.68K
--1.11K
Depreciation and amortization
-7.32%426.99K
-7.61%460.72K
-7.96%498.65K
1.22%541.79K
19.45%535.29K
--448.13K
Deferred tax
-69.94%-159.15K
58.05%-93.66K
-4.06%-223.23K
-1,732.49%-214.53K
-199.56%-11.71K
---3.91K
Change In working capital
-63.40%-1.16M
74.09%-709.47K
-39.63%-2.74M
28.59%-1.96M
-477.66%-2.75M
---475.37K
-Change in receivables
-5.79%-596.69K
88.09%-564.06K
-15.28%-4.74M
-134.66%-4.11M
-122.09%-1.75M
---788.52K
-Change in inventory
225.63%228.79K
-139.56%-182.12K
-74.28%460.39K
40.11%1.79M
186.73%1.28M
---1.47M
-Change in prepaid assets
30.05%-116.38K
66.40%-166.38K
20.12%-495.17K
-226.47%-619.87K
214.36%490.12K
---428.56K
-Change in payables and accrued expense
-363.68%-579.22K
-87.37%219.67K
-35.62%1.74M
3,223.42%2.7M
44.98%-86.5K
---157.22K
-Change in other working capital
-477.60%-95.75K
-105.62%-16.58K
117.11%294.84K
35.60%-1.72M
-212.82%-2.68M
--2.37M
Cash from discontinued investing activities
Operating cash flow
-43.34%-926.67K
-1.90%-646.48K
-54.63%-634.41K
-176.01%-410.27K
-56.21%539.77K
--1.23M
Investing cash flow
Cash flow from continuing investing activities
-3,761.32%-3.37M
97.01%-87.19K
-78.32%-2.91M
-667.64%-1.63M
56.29%-212.81K
-486.89K
Net PPE purchase and sale
1,417.14%1.15M
50.41%-87.19K
-107.09%-175.82K
60.10%-84.9K
56.29%-212.81K
---486.89K
Net intangibles purchase and sale
----
--0
--0
---1.55M
--0
----
Net investment purchase and sale
--0
--0
---2.74M
--0
----
----
Net other investing changes
---4.52M
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-3,761.32%-3.37M
97.01%-87.19K
-78.32%-2.91M
-667.64%-1.63M
56.29%-212.81K
---486.89K
Financing cash flow
Cash flow from continuing financing activities
1,125.01%5.14M
-89.36%419.49K
86.25%3.94M
332.26%2.12M
-90.57%-911.82K
-478.47K
Net issuance payments of debt
-107.66%-41.9K
-86.45%546.79K
22.18%4.04M
529.24%3.3M
-4,554.52%-769.47K
--17.27K
Net common stock issuance
--5.37M
--0
--0
----
----
--2.85K
Cash dividends paid
----
--0
--0
---929.21K
--0
---498.59K
Net other financing activities
-47.78%-188.12K
-39.53%-127.3K
64.35%-91.24K
-79.77%-255.9K
---142.35K
----
Cash from discontinued financing activities
Financing cash flow
1,125.01%5.14M
-89.36%419.49K
86.25%3.94M
332.26%2.12M
-90.57%-911.82K
---478.47K
Net cash flow
Beginning cash position
-56.72%234.21K
214.55%541.13K
64.08%172.03K
-83.70%104.84K
65.21%643.17K
--389.3K
Current changes in cash
369.09%845.44K
-179.15%-314.18K
437.08%396.95K
112.64%73.91K
-318.74%-584.86K
--267.38K
Effect of exchange rate changes
-101.10%-80
126.07%7.26K
-314.35%-27.86K
-114.45%-6.72K
444.31%46.53K
---13.51K
End cash Position
360.94%1.08M
-56.72%234.21K
214.55%541.13K
64.08%172.03K
-83.70%104.84K
--643.17K
Free cash flow
-59.85%-1.2M
7.33%-751K
60.35%-810.38K
-725.43%-2.04M
-54.49%326.79K
--718.11K
Currency Unit
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
Unqualified Opinion
--
--
--
--
(FY)Jun 30, 2025(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -43.34%-926.67K-1.90%-646.48K-54.63%-634.41K-176.01%-410.27K-56.21%539.77K1.23M
Net income from continuing operations 26.08%-1.02M-323.72%-1.37M-27.33%614.12K-68.21%845.1K116.50%2.66M--1.23M
Operating gains losses -3.78%-15.4K-2,812.80%-14.84K--547----503.07%6.68K--1.11K
Depreciation and amortization -7.32%426.99K-7.61%460.72K-7.96%498.65K1.22%541.79K19.45%535.29K--448.13K
Deferred tax -69.94%-159.15K58.05%-93.66K-4.06%-223.23K-1,732.49%-214.53K-199.56%-11.71K---3.91K
Change In working capital -63.40%-1.16M74.09%-709.47K-39.63%-2.74M28.59%-1.96M-477.66%-2.75M---475.37K
-Change in receivables -5.79%-596.69K88.09%-564.06K-15.28%-4.74M-134.66%-4.11M-122.09%-1.75M---788.52K
-Change in inventory 225.63%228.79K-139.56%-182.12K-74.28%460.39K40.11%1.79M186.73%1.28M---1.47M
-Change in prepaid assets 30.05%-116.38K66.40%-166.38K20.12%-495.17K-226.47%-619.87K214.36%490.12K---428.56K
-Change in payables and accrued expense -363.68%-579.22K-87.37%219.67K-35.62%1.74M3,223.42%2.7M44.98%-86.5K---157.22K
-Change in other working capital -477.60%-95.75K-105.62%-16.58K117.11%294.84K35.60%-1.72M-212.82%-2.68M--2.37M
Cash from discontinued investing activities
Operating cash flow -43.34%-926.67K-1.90%-646.48K-54.63%-634.41K-176.01%-410.27K-56.21%539.77K--1.23M
Investing cash flow
Cash flow from continuing investing activities -3,761.32%-3.37M97.01%-87.19K-78.32%-2.91M-667.64%-1.63M56.29%-212.81K-486.89K
Net PPE purchase and sale 1,417.14%1.15M50.41%-87.19K-107.09%-175.82K60.10%-84.9K56.29%-212.81K---486.89K
Net intangibles purchase and sale ------0--0---1.55M--0----
Net investment purchase and sale --0--0---2.74M--0--------
Net other investing changes ---4.52M--------------------
Cash from discontinued investing activities
Investing cash flow -3,761.32%-3.37M97.01%-87.19K-78.32%-2.91M-667.64%-1.63M56.29%-212.81K---486.89K
Financing cash flow
Cash flow from continuing financing activities 1,125.01%5.14M-89.36%419.49K86.25%3.94M332.26%2.12M-90.57%-911.82K-478.47K
Net issuance payments of debt -107.66%-41.9K-86.45%546.79K22.18%4.04M529.24%3.3M-4,554.52%-769.47K--17.27K
Net common stock issuance --5.37M--0--0----------2.85K
Cash dividends paid ------0--0---929.21K--0---498.59K
Net other financing activities -47.78%-188.12K-39.53%-127.3K64.35%-91.24K-79.77%-255.9K---142.35K----
Cash from discontinued financing activities
Financing cash flow 1,125.01%5.14M-89.36%419.49K86.25%3.94M332.26%2.12M-90.57%-911.82K---478.47K
Net cash flow
Beginning cash position -56.72%234.21K214.55%541.13K64.08%172.03K-83.70%104.84K65.21%643.17K--389.3K
Current changes in cash 369.09%845.44K-179.15%-314.18K437.08%396.95K112.64%73.91K-318.74%-584.86K--267.38K
Effect of exchange rate changes -101.10%-80126.07%7.26K-314.35%-27.86K-114.45%-6.72K444.31%46.53K---13.51K
End cash Position 360.94%1.08M-56.72%234.21K214.55%541.13K64.08%172.03K-83.70%104.84K--643.17K
Free cash flow -59.85%-1.2M7.33%-751K60.35%-810.38K-725.43%-2.04M-54.49%326.79K--718.11K
Currency Unit USDUSDUSDUSDUSDUSD
Audit Opinions Unqualified OpinionUnqualified Opinion--------
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