Kip McGrath Education Centres Ltd.
KMEAU
$
Closed
$
0.435
-0.040
-8.42%
Previous Close |
---|
$0.475 |
Volume: 36.52K
65 Day Avg: 23.71K
65 Day Avg: 23.71K
0.435
Day Range
0.475
Day Range
0.475
0.270
52 Week Range
0.635
52 Week Range
0.635
Partner Content
Financials
KME Finanicals
Operating Activities
All values AUD.
Item
Item
|
30-Jun-2022
|
31-Dec-2022
|
30-Jun-2023
|
31-Dec-2023
|
30-Jun-2024
|
5- qtr trend
|
---|---|---|---|---|---|---|
Net Income before Extraordinaries
Net Income before Extraordinaries
|
-
|
-
|
-
|
-
|
-
|
|
Net Income Growth
Net Income Growth
|
-
|
-
|
-
|
-
|
-
|
|
Depreciation, Depletion & Amortization
Depreciation, Depletion & Amortization
|
-
|
-
|
-
|
-
|
-
|
|
Depreciation and Depletion
Depreciation and Depletion
|
-
|
-
|
-
|
-
|
-
|
|
Amortization of Intangible Assets
Amortization of Intangible Assets
|
-
|
-
|
-
|
-
|
-
|
|
Deferred Taxes & Investment Tax Credit
Deferred Taxes & Investment Tax Credit
|
-
|
-
|
-
|
-
|
-
|
|
Deferred Taxes
Deferred Taxes
|
-
|
-
|
-
|
-
|
-
|
|
Investment Tax Credit
Investment Tax Credit
|
-
|
-
|
-
|
-
|
-
|
|
Other Funds
Other Funds
|
-
|
-
|
-
|
-
|
-
|
|
Funds from Operations
Funds from Operations
|
2.27M
|
770K
|
5.5M
|
934K
|
5.1M
|
|
Extraordinaries
Extraordinaries
|
-
|
-
|
-
|
-
|
-
|
|
Changes in Working Capital
Changes in Working Capital
|
-
|
-
|
-
|
-
|
-
|
|
Receivables
Receivables
|
-
|
-
|
-
|
-
|
-
|
|
Accounts Payable
Accounts Payable
|
-
|
-
|
-
|
-
|
-
|
|
Other Assets/Liabilities
Other Assets/Liabilities
|
-
|
-
|
-
|
-
|
-
|
|
Net Operating Cash Flow
Net Operating Cash Flow
|
2.12M
|
770K
|
5.6M
|
934K
|
1.93M
|
|
Net Operating Cash Flow Growth
Net Operating Cash Flow Growth
|
-
|
-63.64%
|
627.53%
|
-83.33%
|
106.64%
|
|
Net Operating Cash Flow / Sales
Net Operating Cash Flow / Sales
|
15.95%
|
6.25%
|
39.10%
|
6.30%
|
11.09%
|
|
Investing Activities
All values AUD.
Item
Item
|
30-Jun-2022
|
31-Dec-2022
|
30-Jun-2023
|
31-Dec-2023
|
30-Jun-2024
|
5- qtr trend
|
---|---|---|---|---|---|---|
Capital Expenditures
Capital Expenditures
|
(1.92M)
|
(1.45M)
|
(2.12M)
|
(2.69M)
|
(1.75M)
|
|
Capital Expenditures Growth
Capital Expenditures Growth
|
-
|
24.45%
|
-45.66%
|
-27.04%
|
34.87%
|
|
Capital Expenditures / Sales
Capital Expenditures / Sales
|
-14.47%
|
-11.79%
|
-14.76%
|
-18.14%
|
-10.06%
|
|
Capital Expenditures (Fixed Assets)
Capital Expenditures (Fixed Assets)
|
(169K)
|
(57K)
|
(310K)
|
(325K)
|
-
|
|
Capital Expenditures (Other Assets)
Capital Expenditures (Other Assets)
|
(1.75M)
|
(1.4M)
|
(1.81M)
|
(2.36M)
|
-
|
|
Net Assets from Acquisitions
Net Assets from Acquisitions
|
(733K)
|
-
|
-
|
-
|
-
|
|
Sale of Fixed Assets & Businesses
Sale of Fixed Assets & Businesses
|
-
|
-
|
-
|
-
|
-
|
|
Purchase/Sale of Investments
Purchase/Sale of Investments
|
-
|
-
|
-
|
-
|
-
|
|
Purchase of Investments
Purchase of Investments
|
-
|
-
|
-
|
-
|
-
|
|
Sale/Maturity of Investments
Sale/Maturity of Investments
|
-
|
-
|
-
|
-
|
-
|
|
Other Uses
Other Uses
|
-
|
-
|
-
|
-
|
-
|
|
Other Sources
Other Sources
|
-
|
-
|
-
|
-
|
-
|
|
Net Investing Cash Flow
Net Investing Cash Flow
|
(2.66M)
|
(1.45M)
|
(2.12M)
|
(2.69M)
|
(1.75M)
|
|
Net Investing Cash Flow Growth
Net Investing Cash Flow Growth
|
-
|
45.31%
|
-45.66%
|
-27.04%
|
34.87%
|
|
Net Investing Cash Flow / Sales
Net Investing Cash Flow / Sales
|
-19.99%
|
-11.79%
|
-14.76%
|
-18.14%
|
-10.06%
|
|
Financing Activities
All values AUD.
Item
Item
|
30-Jun-2022
|
31-Dec-2022
|
30-Jun-2023
|
31-Dec-2023
|
30-Jun-2024
|
5- qtr trend
|
---|---|---|---|---|---|---|
Cash Dividends Paid - Total
Cash Dividends Paid - Total
|
(565K)
|
(532K)
|
(517K)
|
(736K)
|
1K
|
|
Common Dividends
Common Dividends
|
(565K)
|
(532K)
|
(517K)
|
(736K)
|
-
|
|
Preferred Dividends
Preferred Dividends
|
-
|
-
|
-
|
-
|
-
|
|
Change in Capital Stock
Change in Capital Stock
|
-
|
-
|
-
|
-
|
-
|
|
Repurchase of Common & Preferred Stk.
Repurchase of Common & Preferred Stk.
|
-
|
-
|
-
|
-
|
-
|
|
Sale of Common & Preferred Stock
Sale of Common & Preferred Stock
|
-
|
-
|
-
|
-
|
-
|
|
Proceeds from Stock Options
Proceeds from Stock Options
|
-
|
-
|
-
|
-
|
-
|
|
Other Proceeds from Sale of Stock
Other Proceeds from Sale of Stock
|
-
|
-
|
-
|
-
|
-
|
|
Issuance/Reduction of Debt, Net
Issuance/Reduction of Debt, Net
|
753K
|
708K
|
(168K)
|
221K
|
(680K)
|
|
Change in Current Debt
Change in Current Debt
|
875K
|
708K
|
(168K)
|
221K
|
-
|
|
Change in Long-Term Debt
Change in Long-Term Debt
|
(122K)
|
-
|
-
|
-
|
-
|
|
Issuance of Long-Term Debt
Issuance of Long-Term Debt
|
(575K)
|
-
|
-
|
-
|
-
|
|
Reduction in Long-Term Debt
Reduction in Long-Term Debt
|
453K
|
-
|
-
|
-
|
-
|
|
Other Funds
Other Funds
|
-
|
-
|
-
|
-
|
-
|
|
Other Uses
Other Uses
|
-
|
-
|
-
|
-
|
-
|
|
Other Sources
Other Sources
|
-
|
-
|
-
|
-
|
-
|
|
Net Financing Cash Flow
Net Financing Cash Flow
|
(374K)
|
(173K)
|
(1.11M)
|
(966K)
|
(1.21M)
|
|
Net Financing Cash Flow Growth
Net Financing Cash Flow Growth
|
-
|
53.74%
|
-540.46%
|
12.82%
|
-25.57%
|
|
Net Financing Cash Flow / Sales
Net Financing Cash Flow / Sales
|
-2.82%
|
-1.40%
|
-7.73%
|
-6.52%
|
-6.97%
|
|
Exchange Rate Effect
Exchange Rate Effect
|
-
|
-
|
-
|
-
|
-
|
|
Miscellaneous Funds
Miscellaneous Funds
|
-
|
-
|
-
|
-
|
-
|
|
Net Change in Cash
Net Change in Cash
|
(911K)
|
(855K)
|
2.38M
|
(2.72M)
|
(1.03M)
|
|
Free Cash Flow
Free Cash Flow
|
1.95M
|
713K
|
5.29M
|
609K
|
1.61M
|
|
Free Cash Flow Growth
Free Cash Flow Growth
|
-
|
-63.42%
|
642.22%
|
-88.49%
|
164.04%
|
|
Free Cash Flow Yield
Free Cash Flow Yield
|
-
|
-
|
-
|
-
|
8.23
|
|
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