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Neuphoria Therapeutics Inc

NEUP

7.920USD

-0.130-1.61%
Market hours ETQuotes delayed by 15 min
14.68MMarket Cap
1.72P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q3
FY2025Q2
FY2025Q1
FY2024H1
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
--11.45M
---3.36M
---4.43M
-55.72%-9.20M
37.08%-5.91M
-33.47%-6.40M
-891.54%-9.39M
-93.52%-4.80M
-1917.04%-946.74K
60.96%-2.48M
98.97%-46.94K
-8.76%-6.35M
52.40%-4.56M
-463.98%-5.84M
-437.60%-9.59M
124.96%1.60M
53.91%-1.78M
28.23%-6.43M
-125.15%-3.87M
2.71%-8.96M
834.64%15.38M
-257.21%-9.21M
70.65%-2.09M
-319.81%-2.58M
-201.48%-7.13M
---613.98K
---2.37M
Net income from continuing operations
--11.26M
---1.94M
---804.79K
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Operating gains losses
--165.43K
--166.12K
--165.71K
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Other non-cash items
---461.07K
---466.36K
--252.57K
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Change in working capital
---509.44K
---328.16K
---1.20M
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-Change in prepaid expenses
---2.43K
--212.64K
--227.66K
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-Change in other current assets
--10.97K
--80.40K
--10.92K
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-Change in other current liabilities
---80.93K
--11.55K
---131.66K
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Cash from non-recurring investing activities
Cash from operating activities
--11.45M
---3.36M
---4.43M
-55.72%-9.20M
37.08%-5.91M
-33.47%-6.40M
-891.54%-9.39M
-93.52%-4.80M
-1917.04%-946.74K
60.96%-2.48M
98.97%-46.94K
-8.76%-6.35M
52.40%-4.56M
-463.98%-5.84M
-437.60%-9.59M
124.96%1.60M
53.91%-1.78M
28.23%-6.43M
-125.15%-3.87M
2.71%-8.96M
834.64%15.38M
-257.21%-9.21M
70.65%-2.09M
-319.81%-2.58M
-201.48%-7.13M
---613.98K
---2.37M
Investing cash flow
Net cash from continuing investing activities
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100.00%0.00
-90.20%1.11K
-262.60%-128.05K
108.35%11.33K
-3.01%-35.32K
-325.98%-135.63K
---34.28K
-84.03%60.02K
--0.00
137.15%375.80K
-100.00%0.00
225.46%158.46K
-37.18%28.00K
-92.44%48.69K
119.36%44.57K
310.31%643.87K
-50.84%20.32K
-7.45%156.92K
653.82%41.33K
28.64%169.55K
100.09%5.48K
--131.80K
---6.05M
Capital expenditures
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--0.00
-90.20%1.11K
-100.00%0.00
--11.33K
-79.89%1.06K
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--5.27K
-81.41%69.85K
--0.00
137.15%375.80K
-100.00%0.00
60.13%158.46K
-37.18%28.00K
-84.63%98.96K
119.36%44.57K
310.31%643.87K
-50.84%20.32K
-7.45%156.92K
653.82%41.33K
28.64%169.55K
-98.98%5.48K
--131.80K
--536.97K
Net cash flow from disposal of fixed assets
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100.00%0.00
-90.20%1.11K
-262.60%-128.05K
108.35%11.33K
-3.01%-35.32K
-325.98%-135.63K
---34.28K
-84.03%60.02K
--0.00
137.15%375.80K
-100.00%0.00
225.46%158.46K
-37.18%28.00K
-92.44%48.69K
119.36%44.57K
310.31%643.87K
-50.84%20.32K
-7.45%156.92K
653.82%41.33K
28.64%169.55K
100.09%5.48K
--131.80K
---6.05M
Net cash flow from business transactions
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---661.82K
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--0.00
100.00%0.00
--0.00
---406.26K
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100.00%0.00
--0.00
---1.20M
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--0.00
Net cash flow from investment products
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-100.00%0.00
100.00%0.00
82453.30%318.60K
-35999.29%-91.73K
-99.89%385.94
---254.10
--340.98K
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Net cash flow from other investing activities
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--52.08K
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Cash from non-current investing activities
Net cash flow from investing activities
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--0.00
-100.00%0.00
98.92%-1.11K
1151.09%446.66K
80.42%-103.06K
-90.49%35.70K
-777.15%-526.45K
--375.27K
84.03%-60.02K
--0.00
-137.15%-375.80K
100.00%0.00
-225.46%-158.46K
37.18%-28.00K
91.77%-48.69K
89.55%-44.57K
-277.12%-591.79K
-932.23%-426.58K
7.45%-156.92K
96.56%-41.33K
-28.64%-169.55K
-119.89%-1.20M
---131.80K
--6.05M
Financing cash flow
Cash flow from continuous financing activities
--1.16M
---111.56K
---227.34K
81.25%7.23M
-77.81%3.99M
-92.24%1.74M
919.45%17.97M
12067.48%22.44M
150.79%1.76M
93.95%-187.52K
-154.88%-3.47M
-448.17%-3.10M
448.64%6.32M
154.99%889.63K
2208.22%1.15M
-174.06%-1.62M
-99.77%49.94K
114.03%2.18M
123.94%21.83M
237.58%1.02M
3651.65%9.75M
-98.11%302.34K
1183.90%259.85K
8671.92%15.96M
98.66%-23.97K
--181.93K
---1.78M
Net cash flow from debt Issuance/repayment
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1402.40%689.82K
26.77%-52.97K
99.31%-54.15K
94.03%-72.33K
-272.03%-7.85M
65.09%-1.21M
24.61%-2.11M
-252.29%-3.47M
-454.01%-2.80M
-205.70%-985.24K
148.46%791.10K
2231.75%932.13K
-184.95%-1.63M
-102.57%-43.73K
129.77%1.92M
-82.47%1.70M
257.63%836.23K
19134.54%9.72M
2158.34%233.83K
42.16%-51.06K
-113.26%-11.36K
95.08%-88.28K
--85.70K
---1.79M
Net cash flow from common stock issuance/repurchase
--823.60K
--0.00
--0.00
43.90%7.15M
-76.30%4.97M
-90.02%3.04M
567.55%20.97M
1322.13%30.44M
--3.14M
30312713.81%2.14M
-100.00%0.00
-100.01%-7.06
3212.57%7.31M
580.49%98.53K
135.59%220.68K
-94.49%14.48K
-99.53%93.67K
42.63%263.00K
69134.84%20.13M
169.14%184.39K
-90.65%29.07K
-99.57%68.51K
383.47%310.91K
16496.25%15.97M
442.59%64.31K
--96.22K
--11.85K
Proceeds from issuance of warrants
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---409.00
--409.00
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Net cash flow from other financing activities
--338.90K
---111.15K
---227.75K
34.10%-611.67K
68.22%-928.16K
-767.04%-1.24M
-1659.58%-2.92M
33.86%-143.25K
---165.96K
27.03%-216.60K
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---296.83K
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Net cash from non-recurrent financing activities
Net cash from financing activities
--1.16M
---111.56K
---227.34K
81.25%7.23M
-77.81%3.99M
-92.24%1.74M
919.45%17.97M
12067.48%22.44M
150.79%1.76M
93.95%-187.52K
-154.88%-3.47M
-448.17%-3.10M
448.64%6.32M
154.99%889.63K
2208.22%1.15M
-174.06%-1.62M
-99.77%49.94K
114.03%2.18M
123.94%21.83M
237.58%1.02M
3651.65%9.75M
-98.11%302.34K
1183.90%259.85K
8671.92%15.96M
98.66%-23.97K
--181.93K
---1.78M
Net cash flow
Beginning cash balance
--4.42M
--8.16M
--12.69M
-45.65%12.43M
10.52%22.87M
547.07%27.85M
487.45%20.69M
-33.58%4.30M
-64.13%3.52M
-66.26%6.48M
-44.12%9.82M
-18.98%19.20M
-47.46%17.57M
-28.49%23.70M
1.99%33.45M
-13.38%33.14M
69.72%32.79M
32.68%38.27M
125.25%19.32M
56.54%28.84M
-57.14%8.58M
117.10%18.42M
11.06%20.01M
-53.64%8.49M
9.78%18.02M
--18.30M
--16.41M
Current period cash flow changes
--12.70M
---3.75M
---4.52M
-15.02%-2.21M
-122.15%-1.92M
-127.81%-4.88M
932.32%8.67M
655.45%17.54M
126.69%839.67K
66.54%-3.16M
-279.32%-3.15M
-72.71%-9.44M
120.76%1.75M
-2817.97%-5.47M
-382.15%-8.45M
95.68%-187.32K
-109.77%-1.75M
49.26%-4.33M
-27.42%17.95M
6.25%-8.54M
1456.23%24.73M
-168.34%-9.11M
78.18%-1.82M
2451.01%13.33M
-542.13%-8.36M
---567.09K
--1.89M
Effect of exchange rate changes
--84.97K
---276.69K
--138.37K
-11579.51%-240.24K
99.44%-2.06K
-7197.85%-214.63K
-2864.19%-364.13K
-91.35%3.02K
-220.17%-12.28K
-49.00%34.94K
45.60%-3.84K
148.99%68.51K
62.99%-7.05K
-801.59%-139.84K
-334.20%-19.06K
61.25%-15.51K
-75.36%8.14K
-229.95%-40.03K
14.68%33.02K
75.40%-12.13K
-44.31%28.80K
-140.73%-49.32K
2063.02%51.71K
3843.91%121.10K
130.16%2.39K
---3.23K
---7.93K
Ending cash balance
--17.12M
--4.42M
--8.16M
-51.59%10.12M
-28.61%20.91M
8.40%23.16M
563.39%29.30M
576.33%21.37M
-33.00%4.42M
-67.82%3.16M
-65.82%6.59M
-46.80%9.82M
-22.81%19.28M
-44.00%18.45M
-19.71%24.98M
-2.68%32.95M
-16.81%31.11M
65.78%33.86M
19.33%37.40M
126.40%20.43M
71.76%31.34M
-56.02%9.02M
89.00%18.25M
15.62%20.51M
-47.21%9.65M
--17.74M
--18.29M
Free cash flow
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-55.72%-9.20M
37.08%-5.91M
-33.17%-6.40M
-890.43%-9.39M
-93.97%-4.81M
-1715.34%-947.80K
61.39%-2.48M
98.86%-52.21K
-3.30%-6.42M
52.40%-4.56M
-529.85%-6.22M
-429.29%-9.59M
122.15%1.45M
53.72%-1.81M
32.01%-6.53M
-125.47%-3.91M
-2.54%-9.60M
819.47%15.36M
-240.88%-9.36M
70.09%-2.14M
-268.35%-2.75M
-145.91%-7.14M
---745.78K
---2.90M
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