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Kintara Therapeutics Inc logo

Kintara Therapeutics Inc

Sector: Manufacturing   

Industry: Polish and Other Sanitation Good Manufacturing

0.13
 
USD
  
0.02
  
(16.10%)
Optionable: No  Market Cap: 4 M  90-day average vol: 14,089,361

Previous close: 0.1143  Open: 0.1141  Bid: 0.1307  Ask: 0.132
52 week range    
0.08   
   5.98
Peers   
OTIC / 
OTLC / 
OVAT-CA / 
Last updated: Wednesday 24th April 2024

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Financials

KTRA Cash Flow

Annual
Jun-12Dec-13Jun-15Jun-16Jun-17Jun-18Jun-19Jun-20Jun-21Jun-22
(Increase) Decrease in payables-537158.0517359.0-178263.0598310.0295774.0202000.0207000.0-67000.01 M
Acquisitions969000.0
Amortization of intangibles10288.016683.024528.016349.010000.096000.0
CapitalExpenditureReported16762.020956.012649.08000.0
Cash at beginning of period5695.017782.05 M2 M6 M7 M6 M4 M2 M11 M
Cash at end of period5695.04 M2 M24 M7 M6 M4 M2 M11 M12 M
Cash flow-5 M-4 M13 M-8 M-10 M-6 M-8 M-19 M-20 M
CashFlowFromContinuingInvestingActivities-16762.0-20956.0-12649.0964000.0
ChangeInAccountPayable-537158.0517359.0-178263.0598310.0295774.0202000.0207000.0-67000.01 M
ChangeInPayablesAndAccruedExpense-537158.0517359.0-178263.0598310.0295774.0202000.0207000.0-67000.01 M
ChangeInPrepaidAssets-142105.0-10411.0100907.0-1 M173192.0754682.0-59000.0-381000.0-722000.0
ChangeInWorkingCapital-679263.0506948.0-77356.0-465681.0468966.0956682.0148000.0-448000.0285000.0
Depreciation30000.060000.0
Depreciation unreconciled10288.016683.024528.016349.010000.0126000.060000.0
DepreciationAndAmortization10288.016683.024528.016349.010000.0126000.060000.0
FinancingCashFlow7484.010 M847791.010 M8 M9 M4 M7 M26 M22 M
Free cash flow-11385.0-6 M-4 M13 M-8 M-10 M-6 M-8 M-19 M-20 M
GainLossOnInvestmentSecurities876957.0
InterestPaidSupplementalData-30000.0
Issuance of debt500000.0
Net cash from financing activities10 M847791.010 M8 M9 M4 M7 M26 M22 M
Net cash from investing activities-16762.0-20956.0-12649.0964000.0
Net cash from operating activities-11385.0-6 M-4 M13 M-8 M-10 M-6 M-8 M-19 M-20 M
Net change in cash & cash equivalents4 M-3 M22 M441445.0-614019.0-2 M-1 M8 M1 M
Net income from continuing operations-8 M-4 M9 M-8 M-11 M-8 M-9 M-38 M-23 M
NetBusinessPurchaseAndSale969000.0
NetIntangiblesPurchaseAndSale-16762.0-20956.0-12649.0
NetLongTermDebtIssuance-500000.0
NetPPEPurchaseAndSale-5000.0
NetPreferredStockIssuance7 M
Operating (gains) losses876957.0
Other financing charges net-550119.0-25000.0
Other non-cash items3 M-14341.04 M524386.0793968.0747765.01 M20 M2 M
Payment of cash dividends6267.08356.08356.08356.08356.08000.08000.08000.0
PreferredStockDividendPaid-6267.0-8356.0-8356.0-8356.0-8356.0-8000.0-8000.0-8000.0
PreferredStockIssuance7 M
ProceedsFromIssuanceOfWarrants10 M1 M3 M8 M9 M4 M7 M26 M22 M
ProceedsFromStockOptionExercised77000.0
Purchase of property plant & equipment-16762.0-20956.0-12649.0-5000.0
PurchaseOfIntangibles-16762.0-20956.0-12649.0
PurchaseOfPPE-8000.0
Repayment of debt-500000.0
RepaymentOfDebt-500000.0
Revenue per share10288.016683.024528.016349.010000.096000.0
SaleOfPPE3000.0
ShortTermDebtIssuance500000.0
StockBasedCompensation2 M186900.01 M206349.0688325.0426029.0495000.05 M2 M
UnrealizedGainLossOnInvestmentSecurities-627433.02 M-245963.0-60111.0-433503.0
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