|

    AQZ
    Australia: Sydney

    Alliance Aviation Services Ltd.

    AQZAU

    Closed

    Last Updated: Feb 14, 2025 4:10 p.m. AEDT
    Delayed quote

    $
    2.540



    -0.040
    -1.55%

    Previous Close
    $2.580



    Advanced Charting




    Volume: 1.49M
    65 Day Avg: 108.38K
    1,377% vs Avg

    2.520
    Day Range
    2.600

    2.480
    52 Week Range
    3.200

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    AQZ 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
    (2.02M)
    -
    -
    -
    -
    Deferred Taxes
    Deferred Taxes
    (2.02M)
    -
    -
    -
    -
    Investment Tax Credit
    Investment Tax Credit
    -
    -
    -
    -
    -
    Other Funds
    Other Funds
    -
    -
    -
    -
    -
    Funds from Operations
    Funds from Operations
    27.97M
    23.62M
    73.86M
    12.03M
    128.32M
    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
    25.51M
    23.62M
    17.26M
    12.03M
    12.71M
    Net Operating Cash Flow Growth
    Net Operating Cash Flow Growth
    -
    -7.40%
    -26.95%
    -30.29%
    5.67%
    Net Operating Cash Flow / Sales
    Net Operating Cash Flow / Sales
    13.07%
    10.06%
    6.36%
    4.03%
    3.79%

    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
    (38.99M)
    (54.98M)
    (41.97M)
    (42.41M)
    (72.73M)
    Capital Expenditures Growth
    Capital Expenditures Growth
    -
    -41.02%
    23.67%
    -1.07%
    -71.48%
    Capital Expenditures / Sales
    Capital Expenditures / Sales
    -19.97%
    -23.40%
    -15.46%
    -14.20%
    -21.69%
    Capital Expenditures (Fixed Assets)
    Capital Expenditures (Fixed Assets)
    (38.99M)
    (54.98M)
    (41.97M)
    (42.41M)
    -
    Capital Expenditures (Other Assets)
    Capital Expenditures (Other Assets)
    -
    -
    -
    -
    -
    Net Assets from Acquisitions
    Net Assets from Acquisitions
    -
    -
    -
    -
    -
    Sale of Fixed Assets & Businesses
    Sale of Fixed Assets & Businesses
    -
    -
    15.03M
    -
    55K
    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
    (38.99M)
    (54.98M)
    (26.93M)
    (42.41M)
    (72.68M)
    Net Investing Cash Flow Growth
    Net Investing Cash Flow Growth
    -
    -41.02%
    51.01%
    -57.48%
    -71.35%
    Net Investing Cash Flow / Sales
    Net Investing Cash Flow / Sales
    -19.97%
    -23.40%
    -9.92%
    -14.20%
    -21.68%

    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
    -
    -
    -
    -
    -
    Common Dividends
    Common Dividends
    -
    -
    -
    -
    -
    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
    22.37M
    17.77M
    27.27M
    46.27M
    55.52M
    Change in Current Debt
    Change in Current Debt
    -
    -
    -
    -
    -
    Change in Long-Term Debt
    Change in Long-Term Debt
    22.37M
    17.77M
    27.27M
    46.27M
    55.52M
    Issuance of Long-Term Debt
    Issuance of Long-Term Debt
    25M
    20.39M
    29.9M
    50M
    -
    Reduction in Long-Term Debt
    Reduction in Long-Term Debt
    (2.63M)
    (2.63M)
    (2.63M)
    (3.73M)
    -
    Other Funds
    Other Funds
    -
    -
    -
    -
    -
    Other Uses
    Other Uses
    -
    -
    -
    -
    -
    Other Sources
    Other Sources
    -
    -
    -
    -
    -
    Net Financing Cash Flow
    Net Financing Cash Flow
    21.38M
    16.42M
    26.04M
    45.01M
    54.25M
    Net Financing Cash Flow Growth
    Net Financing Cash Flow Growth
    -
    -23.20%
    58.60%
    72.89%
    20.52%
    Net Financing Cash Flow / Sales
    Net Financing Cash Flow / Sales
    10.95%
    6.99%
    9.59%
    15.07%
    16.18%
    Exchange Rate Effect
    Exchange Rate Effect
    (1K)
    4K
    (4K)
    -
    3K
    Miscellaneous Funds
    Miscellaneous Funds
    -
    -
    -
    -
    -
    Net Change in Cash
    Net Change in Cash
    7.9M
    (14.93M)
    16.35M
    14.63M
    (5.71M)
    Free Cash Flow
    Free Cash Flow
    (13.47M)
    (31.35M)
    (24.71M)
    (30.39M)
    (60.02M)
    Free Cash Flow Growth
    Free Cash Flow Growth
    -
    -132.69%
    21.19%
    -22.97%
    -97.53%
    Free Cash Flow Yield
    Free Cash Flow Yield
    -
    -
    -
    -
    -18.12