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HCD Hydrocarbon Dynamics Ltd

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  • 0.002
  • 0.0000.00%
20min DelayMarket Closed Apr 2 14:32 AET
2.16MMarket Cap-2.00P/E (Static)

Hydrocarbon Dynamics Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2024
(FY)Dec 30, 2023
(FY)Dec 30, 2022
(FY)Dec 30, 2021
(FY)Dec 30, 2020
(FY)Dec 30, 2019
(FY)Dec 30, 2018
(FY)Dec 30, 2017
(FY)Dec 30, 2016
(FY)Dec 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
-40.21%298.06K
48.95%498.52K
14.77%334.69K
-16.46%291.61K
110.47%349.05K
300.83%165.84K
-83.88%41.37K
78.50%256.61K
-93.80%143.75K
-9.93%2.32M
Revenue from customers
-40.21%298.06K
48.95%498.52K
132.10%334.69K
72.35%144.2K
-49.55%83.67K
300.83%165.84K
-83.88%41.37K
78.50%256.61K
-93.80%143.75K
14.67%2.32M
Other cash income from operating activities
----
----
----
-44.45%147.41K
--265.38K
----
----
----
----
----
Cash paid
46.06%-1.18M
-13.67%-2.18M
-5.65%-1.92M
17.69%-1.82M
25.58%-2.21M
-0.26%-2.96M
-8.93%-2.96M
-26.74%-2.71M
29.48%-2.14M
-14.44%-3.04M
Payments to suppliers for goods and services
46.06%-1.18M
-13.67%-2.18M
-5.65%-1.92M
17.69%-1.82M
25.58%-2.21M
-0.26%-2.96M
-8.93%-2.96M
-26.74%-2.71M
29.48%-2.14M
-14.44%-3.04M
Direct interest paid
-47,800.00%-3.83K
99.72%-8
63.63%-2.88K
-45.16%-7.93K
-25.53%-5.46K
-49.86%-4.35K
-16.72%-2.9K
---2.49K
----
----
Direct interest received
-31.45%13.77K
269.64%20.08K
77.34%5.43K
-67.39%3.06K
-60.22%9.39K
-6.35%23.61K
35.02%25.22K
-58.79%18.68K
56.82%45.32K
--28.9K
Operating cash flow
47.76%-867.98K
-5.12%-1.66M
-3.41%-1.58M
17.48%-1.53M
33.33%-1.85M
3.93%-2.78M
-18.50%-2.89M
-25.04%-2.44M
-183.00%-1.95M
-140.30%-689.71K
Investing cash flow
Cash flow from continuing investing activities
0
-101.66%-9.87K
2,163.95%593.72K
86.52%-28.77K
58.79%-213.35K
33.10%-517.74K
-131.46%-773.86K
147.88%2.46M
-408.05%-5.14M
Capital expenditure reported
----
----
----
2,279.53%597.65K
86.67%-27.42K
59.61%-205.69K
-431.05%-509.23K
-103.18%-95.89K
157.59%3.01M
-1.48%-5.23M
Net PPE purchase and sale
----
----
---9.87K
----
----
97.29%-98
25.51%-3.61K
-100.15%-4.85K
54,655.20%3.13M
---5.73K
Net intangibles purchas and sale
----
----
----
-192.27%-3.93K
82.22%-1.35K
-54.34%-7.56K
99.27%-4.9K
---673.12K
----
-98.54%99.32K
Net other investing changes
----
----
----
----
----
----
----
----
---667.6K
----
Cash from discontinued investing activities
Investing cash flow
--0
----
-101.66%-9.87K
2,163.95%593.72K
86.52%-28.77K
58.79%-213.35K
33.10%-517.74K
-131.46%-773.86K
147.88%2.46M
-408.05%-5.14M
Financing cash flow
Cash flow from continuing financing activities
-47.53%662.27K
-19.08%1.26M
1,331.35%1.56M
-104.64%-126.67K
13.23%2.73M
-9.58%2.41M
2.88%2.67M
1,195.57%2.59M
200.00%200K
-103.67%-200K
Net issuance payments of debt
----
----
----
-3,264.61%-124.75K
-39.00%3.94K
--6.46K
----
-209.82%-219.65K
200.00%200K
---200K
Net common stock issuance
-47.53%662.27K
-19.08%1.26M
81,253.23%1.56M
-100.07%-1.92K
13.37%2.73M
-8.90%2.4M
-5.97%2.64M
--2.81M
----
----
Net other financing activities
----
----
----
----
----
----
509.97%27.03K
--4.43K
----
----
Cash from discontinued financing activities
Financing cash flow
-47.53%662.27K
-19.08%1.26M
1,331.35%1.56M
-104.64%-126.67K
13.23%2.73M
-9.58%2.41M
2.88%2.67M
1,195.57%2.59M
200.00%200K
-103.67%-200K
Net cash flow
Beginning cash position
-29.46%974.08K
-0.94%1.38M
-42.92%1.39M
50.06%2.44M
-26.24%1.63M
-25.14%2.21M
-19.29%2.95M
28.17%3.65M
-66.24%2.85M
442.18%8.44M
Current changes in cash
48.50%-205.7K
-1,195.75%-399.43K
97.10%-30.83K
-225.18%-1.06M
245.87%848.05K
21.87%-581.36K
-19.35%-744.12K
-188.11%-623.46K
111.74%707.6K
-188.17%-6.03M
Effect of exchange rate changes
124.14%1.78K
-141.54%-7.37K
34.27%17.75K
139.64%13.22K
-1,465.87%-33.34K
-23.60%2.44K
103.94%3.2K
-185.43%-81.16K
-78.24%95.01K
813.35%436.69K
End cash Position
-20.93%770.16K
-29.46%974.08K
-0.94%1.38M
-42.92%1.39M
50.06%2.44M
-26.24%1.63M
-25.14%2.21M
-19.29%2.95M
28.17%3.65M
-66.24%2.85M
Free cash from
47.76%-867.98K
-4.46%-1.66M
-4.05%-1.59M
18.74%-1.53M
37.12%-1.88M
12.26%-2.99M
-6.08%-3.41M
-64.69%-3.21M
67.06%-1.95M
-8.90%-5.93M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2024(FY)Dec 30, 2023(FY)Dec 30, 2022(FY)Dec 30, 2021(FY)Dec 30, 2020(FY)Dec 30, 2019(FY)Dec 30, 2018(FY)Dec 30, 2017(FY)Dec 30, 2016(FY)Dec 30, 2015
Operating cash flow (direct method)
Cash income from operating activities -40.21%298.06K48.95%498.52K14.77%334.69K-16.46%291.61K110.47%349.05K300.83%165.84K-83.88%41.37K78.50%256.61K-93.80%143.75K-9.93%2.32M
Revenue from customers -40.21%298.06K48.95%498.52K132.10%334.69K72.35%144.2K-49.55%83.67K300.83%165.84K-83.88%41.37K78.50%256.61K-93.80%143.75K14.67%2.32M
Other cash income from operating activities -------------44.45%147.41K--265.38K--------------------
Cash paid 46.06%-1.18M-13.67%-2.18M-5.65%-1.92M17.69%-1.82M25.58%-2.21M-0.26%-2.96M-8.93%-2.96M-26.74%-2.71M29.48%-2.14M-14.44%-3.04M
Payments to suppliers for goods and services 46.06%-1.18M-13.67%-2.18M-5.65%-1.92M17.69%-1.82M25.58%-2.21M-0.26%-2.96M-8.93%-2.96M-26.74%-2.71M29.48%-2.14M-14.44%-3.04M
Direct interest paid -47,800.00%-3.83K99.72%-863.63%-2.88K-45.16%-7.93K-25.53%-5.46K-49.86%-4.35K-16.72%-2.9K---2.49K--------
Direct interest received -31.45%13.77K269.64%20.08K77.34%5.43K-67.39%3.06K-60.22%9.39K-6.35%23.61K35.02%25.22K-58.79%18.68K56.82%45.32K--28.9K
Operating cash flow 47.76%-867.98K-5.12%-1.66M-3.41%-1.58M17.48%-1.53M33.33%-1.85M3.93%-2.78M-18.50%-2.89M-25.04%-2.44M-183.00%-1.95M-140.30%-689.71K
Investing cash flow
Cash flow from continuing investing activities 0-101.66%-9.87K2,163.95%593.72K86.52%-28.77K58.79%-213.35K33.10%-517.74K-131.46%-773.86K147.88%2.46M-408.05%-5.14M
Capital expenditure reported ------------2,279.53%597.65K86.67%-27.42K59.61%-205.69K-431.05%-509.23K-103.18%-95.89K157.59%3.01M-1.48%-5.23M
Net PPE purchase and sale -----------9.87K--------97.29%-9825.51%-3.61K-100.15%-4.85K54,655.20%3.13M---5.73K
Net intangibles purchas and sale -------------192.27%-3.93K82.22%-1.35K-54.34%-7.56K99.27%-4.9K---673.12K-----98.54%99.32K
Net other investing changes -----------------------------------667.6K----
Cash from discontinued investing activities
Investing cash flow --0-----101.66%-9.87K2,163.95%593.72K86.52%-28.77K58.79%-213.35K33.10%-517.74K-131.46%-773.86K147.88%2.46M-408.05%-5.14M
Financing cash flow
Cash flow from continuing financing activities -47.53%662.27K-19.08%1.26M1,331.35%1.56M-104.64%-126.67K13.23%2.73M-9.58%2.41M2.88%2.67M1,195.57%2.59M200.00%200K-103.67%-200K
Net issuance payments of debt -------------3,264.61%-124.75K-39.00%3.94K--6.46K-----209.82%-219.65K200.00%200K---200K
Net common stock issuance -47.53%662.27K-19.08%1.26M81,253.23%1.56M-100.07%-1.92K13.37%2.73M-8.90%2.4M-5.97%2.64M--2.81M--------
Net other financing activities ------------------------509.97%27.03K--4.43K--------
Cash from discontinued financing activities
Financing cash flow -47.53%662.27K-19.08%1.26M1,331.35%1.56M-104.64%-126.67K13.23%2.73M-9.58%2.41M2.88%2.67M1,195.57%2.59M200.00%200K-103.67%-200K
Net cash flow
Beginning cash position -29.46%974.08K-0.94%1.38M-42.92%1.39M50.06%2.44M-26.24%1.63M-25.14%2.21M-19.29%2.95M28.17%3.65M-66.24%2.85M442.18%8.44M
Current changes in cash 48.50%-205.7K-1,195.75%-399.43K97.10%-30.83K-225.18%-1.06M245.87%848.05K21.87%-581.36K-19.35%-744.12K-188.11%-623.46K111.74%707.6K-188.17%-6.03M
Effect of exchange rate changes 124.14%1.78K-141.54%-7.37K34.27%17.75K139.64%13.22K-1,465.87%-33.34K-23.60%2.44K103.94%3.2K-185.43%-81.16K-78.24%95.01K813.35%436.69K
End cash Position -20.93%770.16K-29.46%974.08K-0.94%1.38M-42.92%1.39M50.06%2.44M-26.24%1.63M-25.14%2.21M-19.29%2.95M28.17%3.65M-66.24%2.85M
Free cash from 47.76%-867.98K-4.46%-1.66M-4.05%-1.59M18.74%-1.53M37.12%-1.88M12.26%-2.99M-6.08%-3.41M-64.69%-3.21M67.06%-1.95M-8.90%-5.93M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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