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Carnegie Clean Energy Ltd (CWGYF)
:CWGYF
US Market

Carnegie Clean Energy Ltd (CWGYF) Financial Statements

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Carnegie Clean Energy Ltd Financial Overview

Carnegie Clean Energy Ltd's market cap is currently $8.38M. The company's EPS TTM is $-0.004; its P/E ratio is ―; Carnegie Clean Energy Ltd is scheduled to report earnings on February 27, 2025, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total RevenueAU$ 346.92KAU$ 383.74KAU$ 321.94KAU$ 60.95KAU$ 117.67K
Gross ProfitAU$ 194.61KAU$ -59.19KAU$ 321.94KAU$ 60.95KAU$ -1.05M
Operating IncomeAU$ -2.41MAU$ -2.47MAU$ -2.32MAU$ -1.47MAU$ -1.79M
EBITDAAU$ -1.99MAU$ -176.56KAU$ -2.00MAU$ -199.41KAU$ -1.24M
Net IncomeAU$ -2.32MAU$ -630.40KAU$ -1.92MAU$ -931.85KAU$ -275.52K
Balance Sheet
Cash & Short-Term InvestmentsAU$ 3.73MAU$ 2.00MAU$ 4.10MAU$ 3.63MAU$ 3.41M
Total AssetsAU$ 22.40MAU$ 22.49MAU$ 21.52MAU$ 21.99MAU$ 21.21M
Total DebtAU$ 34.22KAU$ 110.92KAU$ 167.62KAU$ 47.16KAU$ 2.95M
Net DebtAU$ -3.69MAU$ -692.95KAU$ -927.42KAU$ -1.59MAU$ 538.81K
Total LiabilitiesAU$ 1.30MAU$ 1.26MAU$ 785.90KAU$ 544.94KAU$ 3.34M
Stockholders' EquityAU$ 21.10MAU$ 21.22MAU$ 20.73MAU$ 21.45MAU$ 17.86M
Cash Flow
Free Cash FlowAU$ -1.85MAU$ -2.84MAU$ -50.86KAU$ -1.14MAU$ -2.10M
Operating Cash FlowAU$ -1.83MAU$ -1.72MAU$ 960.54KAU$ 166.91KAU$ -1.42M
Investing Cash FlowAU$ 1.88MAU$ -1.12MAU$ -1.01MAU$ -1.31MAU$ -664.17K
Financing Cash FlowAU$ 1.68MAU$ 745.70KAU$ 512.38KAU$ 1.36MAU$ 5.25M
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Carnegie Clean Energy Ltd Earnings and Revenue History

Carnegie Clean Energy Ltd Debt to Assets

Carnegie Clean Energy Ltd Cash Flow

Carnegie Clean Energy Ltd Forecast EPS vs Actual EPS

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