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RocketBoots Ltd. (AU:ROC)
ASX:ROC
Australian Market
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RocketBoots Ltd. (ROC) Financial Statements

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RocketBoots Ltd. Financial Overview

RocketBoots Ltd.'s market cap is currently AU$49.60M. The company's EPS TTM is AU$-0.0357; its P/E ratio is -6.86; RocketBoots Ltd. is scheduled to report earnings on August 27, 2026, and the estimated EPS forecast is AU$―. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total RevenueAU$ 724.82KAU$ 680.85KAU$ 729.95KAU$ 532.65KAU$ 640.55K
Gross ProfitAU$ -3.97MAU$ -1.74MAU$ -1.72MAU$ -1.75MAU$ 447.28K
Operating IncomeAU$ -6.86MAU$ -4.42MAU$ -3.27MAU$ -2.91MAU$ -2.08M
EBITDAAU$ -6.84MAU$ -4.64MAU$ -2.94MAU$ -2.92MAU$ -2.07M
Net IncomeAU$ -6.61MAU$ -4.65MAU$ -2.95MAU$ -2.61MAU$ -1.56M
Balance Sheet
Cash & Short-Term InvestmentsAU$ 3.69MAU$ 2.47MAU$ 555.79KAU$ 1.64MAU$ 3.90M
Total AssetsAU$ 4.55MAU$ 2.57MAU$ 651.34KAU$ 1.76MAU$ 4.05M
Total DebtAU$ 0.00AU$ 0.00AU$ 0.00AU$ 0.00AU$ 0.00
Net DebtAU$ -3.69MAU$ -2.47MAU$ -555.79KAU$ -1.64MAU$ -3.90M
Total LiabilitiesAU$ 1.41MAU$ 1.28MAU$ 1.37MAU$ 1.26MAU$ 1.03M
Stockholders' EquityAU$ 3.14MAU$ 1.30MAU$ -719.49KAU$ 504.60KAU$ 3.01M
Cash Flow
Free Cash FlowAU$ -5.34MAU$ -3.35MAU$ -2.81MAU$ -2.26MAU$ -1.13M
Operating Cash FlowAU$ -5.28MAU$ -3.32MAU$ -2.79MAU$ -2.22MAU$ -1.13M
Investing Cash FlowAU$ -386.27KAU$ -22.54KAU$ -13.28KAU$ -40.47KAU$ -2.00K
Financing Cash FlowAU$ 6.91MAU$ 5.25MAU$ 1.72MAU$ 0.00AU$ 5.02M
Currency in AUD

RocketBoots Ltd. Earnings and Revenue History

RocketBoots Ltd. Debt to Assets

RocketBoots Ltd. Cash Flow

RocketBoots Ltd. Forecast EPS vs Actual EPS