333D Limited (ASX:T3D) Annual Report 2020



The latest annual report of 333D Limited (T3D) was published on 30 Jun 2020. An annual report is a document that public corporations must provide annually to shareholders that describes their operations and financial conditions. Typically, an annual report will contain sections such as General corporate information, Operating and Financial highlights, Letter to shareholders from the CEO, Financial statements etc.

Key Statistics - T3D Annual Results

Amounts in AUD

Total Revenue
186.15k
Gross Profit
-178.6k
EBIT
-383.93k
Net Tangible Assets
-2.36M
Net Income
-598.09k
Capital Expenditures
-

T3D Income Statement 2020 Annual Report

As per the latest Income Statement of T3D, the Net revenue decreased by $-244471 (-57%) compared to the previous period. The operating income in 2020 decreased by $-598261 (-279%). The net income as per the annual report was -598.09k which decreased by $-972534 (-260%) compared to previous year.

Income Statement Report (2020/2019)

20202019
Total Revenue186.15k430.62k
Gross Profit-178.6k210.2k
Operating Income-383.93k214.33k
Income Before Tax-598.09k374.44k
Net Income-598.09k374.44k

Balance Sheet - T3D 2020 Annual Report

Read further: T3D Balance Sheet Detailed Analysis

The latest balance sheet from annual result of 333D Limited showed the company reduced the cash on balance sheet by $-22095 (-71%). The Net tangible assets of T3D on the balance sheet were at -2.36M which is $-413320 (-21%) less than previous annual report. The total stockholder equity also decreased by $-413320 (-21%) compared to previous reporting period.

Balance Sheet Statement Report (2020/2019)

20202019
Cash9.16k31.26k
Total Assets34.74k 73.5k
Long Term Debt705k-
Total Liabilities2.4M 2.02M
Total Shareholder Equity-2.36M-1.95M
Net Tangible Assets-2.36M-1.95M

Cash Flow Statement - T3D 2020 Annual Report

The 2020 annual cash flow statement of 333D Limited showed that the net income decreased by $-972534 (-260%) compared to previous reporting period. Also the capital expenditure of T3D increased by $NaN (NaN%).

As of 2020, the total cash from investing activities was - and total cash from financing activities was -.

Cash Flow Statement Report (2020/2019)

20202019
Net Income-598.09k374.44k
Capital Expenditures--
Dividends Paid--
Total Cash From From Investing Activities-363.64k
Total Cash From From Financing Activities--247.55k

333D Limited Annual Report History

Income Statement

Income Statement history of 333D Limited (ASX:T3D)

30 Jun 202030 Jun 201930 Jun 201830 Jun 2017
Total Revenue186.15k430.62k482.37k126.56k
Cost Of Revenue364.75k220.42k637k252.9k
Gross Profit-178.6k210.2k-154.64k-126.34k
Research Development----
Selling General Administrative482.02k921.9k2.01M1.82M
Non Recurring----
Other Operating Expenses-461.47k-1.06M-1.12M252.38k
Total Operating Expenses570.08k216.29k2.2M5.46M
Operating Income-383.93k214.33k-1.72M-5.34M
Total Other Income Expense Net-214.16k160.11k-772.12k-296.15k
Ebit-383.93k214.33k-1.72M-5.34M
Interest Expense-213.77k-194.19k-204.77k-78.11k
Income Before Tax-598.09k374.44k-2.49M-5.63M
Income Tax Expense----
Minority Interest----
Net Income From Continuing Ops-598.09k374.44k-2.49M-5.63M
Discontinued Operations----
Extraordinary Items----
Effect Of Accounting Charges----
Other Items----
Net Income-598.09k374.44k-2.49M-5.63M
Net Income Applicable To Common Shares-598.09k374.44k-2.49M-5.63M

Balance Sheet Statement

Balance Sheet Statement history of 333D Limited (ASX:T3D)

30 Jun 202030 Jun 201930 Jun 201830 Jun 2017
Cash9.16k31.26k17.6k175.58k
Short Term Investments3.3k2.8k52.18k-
Net Receivables20.03k27.56k81.37k142.81k
Total Current Assets32.5k71.26k169.7k338.88k
Other Assets2.24k2.24k2.24k1.61k
Total Assets34.74k73.5k208.06k1.47M
Accounts Payable880.58k544.13k817.25k638.18k
Other Current Liab49.52k66.19k127.04k29.94k
Long Term Debt705k-300k-
Other Liab2.62k2.73k3.81k10.78k
Total Current Liabilities1.69M2.02M2.33M1.93M
Total Liab2.4M2.02M2.63M2.05M
Common Stock5.31M5.12M5.12M4.47M
Retained Earnings-8.83M-8.23M-8.6M-7.18M
Treasury Stock1.16M1.16M1.06M2.12M
Other Stockholder Equity1.16M1.16M1.06M2.12M
Total Stockholder Equity-2.36M-1.95M-2.42M-582.82k
Net Tangible Assets-2.36M-1.95M-2.42M-599.35k

Cash Flow Statement

Cash Flow Statement history of 333D Limited (ASX:T3D)

30 Jun 202030 Jun 201930 Jun 201830 Jun 2017
Net Income-598.09k374.44k-2.49M-5.63M
Change To Netincome184.77k-261.9k678.96k2.92M
Change To Account Receivables7.03k38.79k47.06k5.71k
Change To Liabilities386.54k-318.96k200.86k-921.64k
Change To Operating Activities-2.34k29.09k-62.14k45.79k
Total Cash From Operating Activities-22.09k-102.42k-1.07M-3M
Change In Cash-22.09k13.66k-157.99k104.98k
Capital Expenditures---29.12k-953.25k
Dividends Paid----
Total Cashflows From Investing Activities-363.64k7.24k2.47M
Total Cash From Financing Activities--247.55k905.02k631.92k