Fletcher Building Limited

FBU.AX · ASX
Analyze with AI
6/30/2025
6/30/2024
6/30/2023
6/30/2022
Operating Activities
Net IncomeA$0-A$227,000A$235,000A$432,000
Dep. & Amort.A$0A$373,000A$358,000A$350,000
Deferred TaxA$0A$0-A$66,000A$278,000
Stock-Based Comp.A$0A$7,000A$11,000A$9,000
Change in WCA$0-A$64,000A$55,000-A$287,000
Other Non-CashA$501,000A$309,000-A$205,000-A$190,000
Operating Cash FlowA$501,000A$398,000A$388,000A$592,000
Investing Activities
PP&E Inv.-A$280,000-A$402,000-A$445,000-A$399,000
Net AcquisitionsA$173,000-A$11,000-A$183,000A$39,000
Inv. Purchases-A$32,000-A$20,000-A$19,000-A$5,000
Inv. Sales/Matur.A$0A$0A$202,000-A$34,000
Other Inv. Act.A$78,000A$7,000-A$196,000A$43,000
Investing Cash Flow-A$61,000-A$426,000-A$641,000-A$356,000
Financing Activities
Debt Repay.-A$868,000A$352,000A$569,000-A$20,000
Stock IssuedA$679,000A$32,000A$0A$0
Stock Repurch.-A$80,000-A$78,000-A$13,000-A$250,000
Dividends Paid-A$5,000-A$124,000-A$311,000-A$292,000
Other Fin. Act.-A$338,000-A$208,000A$24,000A$15,000
Financing Cash Flow-A$612,000-A$26,000A$269,000-A$557,000
Forex EffectA$0A$0-A$2,000A$6,000
Net Chg. in Cash-A$172,000-A$54,000A$14,000-A$315,000
Supplemental Information
Beg. CashA$311,000A$365,000A$351,000A$666,000
End CashA$139,000A$311,000A$365,000A$351,000
Free Cash FlowA$221,000-A$4,000-A$57,000A$193,000