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AKP Audio Pixels Holdings Ltd

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  • 6.200
  • 0.0000.00%
20min DelayMarket Closed Apr 11 10:00 AET
181.10MMarket Cap-22.14P/E (Static)

Audio Pixels Holdings 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
-5.90%206.56K
-21.45%219.51K
160.52%279.45K
-37.94%107.26K
41.94%172.83K
121.76K
Revenue from customers
----
-80.83%22.94K
11.55%119.66K
11.58%107.26K
-21.05%96.13K
--121.76K
----
----
----
----
Income from government grants
----
----
--159.79K
----
----
----
----
----
----
----
Other cash income from operating activities
5.08%206.56K
--196.57K
----
----
--76.69K
----
----
----
----
----
Cash paid
-15.50%-5.59M
16.01%-4.84M
-12.38%-5.76M
32.79%-5.13M
-55.14%-7.63M
-18.54%-4.92M
-22.45%-4.15M
17.90%-3.39M
-28.08%-4.13M
21.04%-3.22M
Payments to suppliers for goods and services
-15.50%-5.59M
16.01%-4.84M
-12.38%-5.76M
32.79%-5.13M
-55.14%-7.63M
-18.54%-4.92M
-22.45%-4.15M
17.90%-3.39M
-28.08%-4.13M
21.04%-3.22M
Direct interest paid
-40.16%-639.69K
-187.49%-456.4K
-1,191.20%-158.75K
36.14%-12.3K
36.80%-19.25K
94.26%-30.46K
-122.12%-530.96K
-33.17%-239.05K
-34.15%-179.51K
---133.81K
Direct interest received
503.29%75.54K
83.51%12.52K
377.80%6.82K
-92.33%1.43K
-87.66%18.61K
73.36%150.76K
32.51%86.96K
-36.67%65.62K
313.31%103.63K
-43.04%25.07K
Operating cash flow
-17.45%-5.95M
10.13%-5.06M
-12.00%-5.64M
32.53%-5.03M
-59.49%-7.46M
-1.81%-4.68M
-28.96%-4.59M
15.26%-3.56M
-26.18%-4.2M
14.22%-3.33M
Investing cash flow
Cash flow from continuing investing activities
-317.72%-1.29M
-147.06%-308.35K
19.99%-124.81K
-48.51%-155.99K
52.96%-105.04K
-388.36%-223.31K
82.68%-45.73K
-263.08%-263.96K
3.96%-72.7K
-105.42%-75.7K
Net PPE purchase and sale
---288.04K
----
19.99%-124.81K
-48.51%-155.99K
52.96%-105.04K
-388.36%-223.31K
82.68%-45.73K
-263.08%-263.96K
3.96%-72.7K
-105.42%-75.7K
Net investment purchase and sale
---1M
----
----
----
----
----
----
----
----
----
Net other investing changes
----
---308.35K
----
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-317.72%-1.29M
-147.06%-308.35K
19.99%-124.81K
-48.51%-155.99K
52.96%-105.04K
-388.36%-223.31K
82.68%-45.73K
-263.08%-263.96K
3.96%-72.7K
-105.42%-75.7K
Financing cash flow
Cash flow from continuing financing activities
66.16%10.47M
-0.13%6.3M
472.18%6.31M
-83.13%1.1M
2,378.32%6.54M
-102.21%-286.89K
766.67%13M
-80.84%1.5M
161.00%7.83M
3M
Net issuance payments of debt
63.28%10.61M
244.83%6.5M
34.64%1.89M
--1.4M
----
----
133.33%3.5M
--1.5M
----
--3M
Net common stock issuance
----
----
--4.66M
----
--6.88M
----
--9.5M
----
--7.83M
----
Net other financing activities
64.50%-139.93K
15.86%-394.13K
21.16%-468.4K
12.32%-594.09K
-18.09%-677.56K
---573.78K
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
66.16%10.47M
-0.13%6.3M
472.18%6.31M
-83.13%1.1M
2,378.32%6.54M
-102.21%-286.89K
766.67%13M
-80.84%1.5M
161.00%7.83M
--3M
Net cash flow
Beginning cash position
70.08%2.28M
79.05%1.34M
-84.25%748.37K
-18.42%4.75M
-47.15%5.82M
308.03%11.02M
-46.88%2.7M
233.81%5.08M
-18.79%1.52M
-56.09%1.88M
Current changes in cash
248.04%3.24M
68.83%930.05K
113.49%550.88K
-297.93%-4.08M
80.21%-1.03M
-162.02%-5.19M
459.58%8.36M
-165.42%-2.33M
974.85%3.55M
83.66%-406.32K
Effect of exchange rate changes
-799.55%-63.27K
-77.78%9.05K
-50.32%40.71K
278.22%81.94K
-371.96%-45.98K
77.36%-9.74K
25.84%-43.03K
-1,033.88%-58.02K
-88.46%6.21K
-40.15%53.83K
End cash Position
139.25%5.45M
70.08%2.28M
79.05%1.34M
-84.25%748.37K
-18.42%4.75M
-47.15%5.82M
308.03%11.02M
-46.88%2.7M
233.81%5.08M
-18.79%1.52M
Free cash from
-23.13%-6.24M
12.07%-5.06M
-10.99%-5.76M
31.38%-5.19M
-54.36%-7.56M
-5.62%-4.9M
-21.26%-4.64M
10.52%-3.83M
-25.51%-4.28M
13.16%-3.41M
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 -5.90%206.56K-21.45%219.51K160.52%279.45K-37.94%107.26K41.94%172.83K121.76K
Revenue from customers -----80.83%22.94K11.55%119.66K11.58%107.26K-21.05%96.13K--121.76K----------------
Income from government grants ----------159.79K----------------------------
Other cash income from operating activities 5.08%206.56K--196.57K----------76.69K--------------------
Cash paid -15.50%-5.59M16.01%-4.84M-12.38%-5.76M32.79%-5.13M-55.14%-7.63M-18.54%-4.92M-22.45%-4.15M17.90%-3.39M-28.08%-4.13M21.04%-3.22M
Payments to suppliers for goods and services -15.50%-5.59M16.01%-4.84M-12.38%-5.76M32.79%-5.13M-55.14%-7.63M-18.54%-4.92M-22.45%-4.15M17.90%-3.39M-28.08%-4.13M21.04%-3.22M
Direct interest paid -40.16%-639.69K-187.49%-456.4K-1,191.20%-158.75K36.14%-12.3K36.80%-19.25K94.26%-30.46K-122.12%-530.96K-33.17%-239.05K-34.15%-179.51K---133.81K
Direct interest received 503.29%75.54K83.51%12.52K377.80%6.82K-92.33%1.43K-87.66%18.61K73.36%150.76K32.51%86.96K-36.67%65.62K313.31%103.63K-43.04%25.07K
Operating cash flow -17.45%-5.95M10.13%-5.06M-12.00%-5.64M32.53%-5.03M-59.49%-7.46M-1.81%-4.68M-28.96%-4.59M15.26%-3.56M-26.18%-4.2M14.22%-3.33M
Investing cash flow
Cash flow from continuing investing activities -317.72%-1.29M-147.06%-308.35K19.99%-124.81K-48.51%-155.99K52.96%-105.04K-388.36%-223.31K82.68%-45.73K-263.08%-263.96K3.96%-72.7K-105.42%-75.7K
Net PPE purchase and sale ---288.04K----19.99%-124.81K-48.51%-155.99K52.96%-105.04K-388.36%-223.31K82.68%-45.73K-263.08%-263.96K3.96%-72.7K-105.42%-75.7K
Net investment purchase and sale ---1M------------------------------------
Net other investing changes -------308.35K--------------------------------
Cash from discontinued investing activities
Investing cash flow -317.72%-1.29M-147.06%-308.35K19.99%-124.81K-48.51%-155.99K52.96%-105.04K-388.36%-223.31K82.68%-45.73K-263.08%-263.96K3.96%-72.7K-105.42%-75.7K
Financing cash flow
Cash flow from continuing financing activities 66.16%10.47M-0.13%6.3M472.18%6.31M-83.13%1.1M2,378.32%6.54M-102.21%-286.89K766.67%13M-80.84%1.5M161.00%7.83M3M
Net issuance payments of debt 63.28%10.61M244.83%6.5M34.64%1.89M--1.4M--------133.33%3.5M--1.5M------3M
Net common stock issuance ----------4.66M------6.88M------9.5M------7.83M----
Net other financing activities 64.50%-139.93K15.86%-394.13K21.16%-468.4K12.32%-594.09K-18.09%-677.56K---573.78K----------------
Cash from discontinued financing activities
Financing cash flow 66.16%10.47M-0.13%6.3M472.18%6.31M-83.13%1.1M2,378.32%6.54M-102.21%-286.89K766.67%13M-80.84%1.5M161.00%7.83M--3M
Net cash flow
Beginning cash position 70.08%2.28M79.05%1.34M-84.25%748.37K-18.42%4.75M-47.15%5.82M308.03%11.02M-46.88%2.7M233.81%5.08M-18.79%1.52M-56.09%1.88M
Current changes in cash 248.04%3.24M68.83%930.05K113.49%550.88K-297.93%-4.08M80.21%-1.03M-162.02%-5.19M459.58%8.36M-165.42%-2.33M974.85%3.55M83.66%-406.32K
Effect of exchange rate changes -799.55%-63.27K-77.78%9.05K-50.32%40.71K278.22%81.94K-371.96%-45.98K77.36%-9.74K25.84%-43.03K-1,033.88%-58.02K-88.46%6.21K-40.15%53.83K
End cash Position 139.25%5.45M70.08%2.28M79.05%1.34M-84.25%748.37K-18.42%4.75M-47.15%5.82M308.03%11.02M-46.88%2.7M233.81%5.08M-18.79%1.52M
Free cash from -23.13%-6.24M12.07%-5.06M-10.99%-5.76M31.38%-5.19M-54.36%-7.56M-5.62%-4.9M-21.26%-4.64M10.52%-3.83M-25.51%-4.28M13.16%-3.41M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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