PXA.AXPXA.AXASX
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Revenue (LTM)
$373M
+9.7% YoY
Net Income (LTM)
$-76M
-322.4% YoY
Free Cash Flow
$59M
Revenue CAGR (5Y)
+19.1%
Marginsimproving
|
FCF$0.1B
|
Unprofitable

Income Statement

MetricJun 21Jun 22Jun 23
Revenue
221
280
282
Gross Profit
126
177
170
Operating Income
29
65
11
Net Income
-12
22
-22
EBITDA
95
107
90
EPS Diluted
-0.07
0.12
-0.12

Balance Sheet

MetricJun 21Jun 22Jun 23
Cash & Equivalents
52
75
37
Total Current Assets
85
118
82
Total Assets
1,613
1,807
1,820
Total Current Liabilities
250
58
73
Total Liabilities
581
542
578
Total Equity
1,032
1,265
1,242
Total Debt
502
307
306
Net Debt
451
232
270

Cash Flow Statement

MetricJun 21Jun 22Jun 23
Operating Cash Flow
109
90
83
Capital Expenditure
-23
-50
-75
Free Cash Flow
86
40
9
Stock-Based Comp
8
1
2
Net Change in Cash
-19
24
-39
Values in millions except EPS · Ratios shown as percentages · Click any metric to drill down