Rectifier Technologies Ltd

  • IPO date:
  • Sector: Industrials
  • GIC Group: Capital Goods
  • Industry: Electrical Equipment & Parts
  • Company website

Company description

Rectifier Technologies Limited, together with its subsidiaries, designs and manufactures power rectifiers in Australia, Asia, North America, South America, Europe, and Oceania. It operates in four segments: Electronic Components; Electricity generation/ Distribution and Defence; Transport and Telecommunication; and Electric vehicles. The company offers electronic components; rectifiers, controllers, accessories, and systems for the power generation, distribution, and defense industries; and power supplies for the transport and telecommunications industries. It also provides electric vehicle and battery charges, and power supplies; and electronic and specialized magnetic components. The company was incorporated in 1992 and is based in Burwood, Australia.

Financial highlights

Market Capitalization$64.8085 million
P/E Ratio10.1075
P/E Growth Ratio0
Book Value0.012
Dividend Per Share0
Earnings Per Share0.0047
EBITDA10,306.51
Profit Margin0.1638
Operating Margin TTM0.2425
Return on Assets TTM0.2012
Return on Equity TTM50.9275
Revenue TTM39,428.364

Income statement highlights

All numbers are in thousands

Date Total Revenue Cost of Revenue Gross Profit Total Operating Expenses
1993-06-30 74 74 91
1995-06-30 28 28 308
1996-06-30 246.159 246.159 320.764
1997-06-30 136 136 324.592
1998-06-30
1999-06-30
2000-06-30 33,871
2001-06-30 16,423 8,443 7,980 10,967
2002-06-30 7,575 99 7,476 6,932
2003-06-30 6,060 2,899 3,161 5,580
2004-06-30 6,385 2,726 3,659 5,235
2005-06-30 8,147 4,426 3,721 6,034
2006-06-30 8,043 4,328 3,715 5,852
2007-06-30 9,177 5,263 3,914 6,799
2008-06-30 10,638.222 5,307.096 5,331.126 5,692.413
2009-06-30 10,221.801 5,164.642 5,057.159 6,050.359
2010-06-30 8,252.799 4,213.271 4,039.528 6,024.056
2011-06-30 9,282.368 4,475.833 4,806.535 5,394.955
2012-06-30 8,840.44 3,957.644 4,882.796 5,122.615
2013-06-30 6,580.794 2,782.172 3,798.622 4,767.41
2014-06-30 5,890 1,729.2 -1,729.2 3,875.647
2015-06-30 5,485.335 2,161.338 3,323.997 4,265.768
2016-06-30 7,481.796 2,604.809 4,876.987 4,518.959
2017-06-30 6,245.098 1,805.471 4,439.627 4,798.692
2018-06-30 7,155.895 2,155.449 5,000.446 5,136.356
2019-06-30 17,865 7,893 9,972 7,491
2020-06-30 15,860 5,804 10,056 7,658
2021-06-30 11,841 4,448 7,393 7,636
2022-06-30 14,810.178 5,559.029 9,251.149 9,359.301
2023-06-30 39,485.314 15,623.856 23,861.458 14,524.735

Balance sheet highlights

All numbers are in thousands

Date Cash Total Assets Total Liabilities Short Term Debt Long Term Debt Common Stock
1993-06-30 31 2,482 354 2,367
1995-06-30 2,153 4,725 240 5,096
1996-06-30 1,026.102 3,959.368 326.603 5,096
1997-06-30 165.158 2,997.995 154.296 5,554.4
1998-06-30 92.064 2,158.487 132.472 5,554.4
1999-06-30 7,344.277 11,418.693 2,336.914 17,156.458
2000-06-30 1,784 38,420 28,914 10,787 22,386
2001-06-30 345 7,237 15,948 11,687 25,607
2002-06-30 102 6,666 14,457 12,173 25,607
2003-06-30 199 5,258 3,271 1,084 58 30,070
2004-06-30 230 5,976 1,552 77 102 32,103
2005-06-30 29 8,470 3,719 458 100 33,737
2006-06-30 94 7,853 3,451 351 71 34,873
2007-06-30 159 7,129 4,020 800 18 36,749
2008-06-30 172.5 6,892.977 4,139.645 824.109 11 36,749.43
2009-06-30 171.321 5,613.36 3,658.91 875.5 36,749.43
2010-06-30 338.731 4,097.257 3,548.439 881 37,333.43
2011-06-30 451.101 5,099.169 4,467.915 356.99 874 37,339.43
2012-06-30 198.036 4,317.868 3,621.573 343.612 22 37,379.43
2013-06-30 104.777 4,220.635 4,239.248 351.585 16 37,379.43
2014-06-30 175.675 3,889.363 3,053.781 259.633 40 37,439.43
2015-06-30 958.252 4,644.497 2,969.828 11.228 31 38,088.584
2016-06-30 1,635.415 6,077.889 1,970.206 10.482 18 38,941.375
2017-06-30 2,628.269 9,089.332 3,709.61 64.919 1,666.15 39,816.575
2018-06-30 2,183.902 9,586.883 4,521.499 74.32 1,702.97 39,816.575
2019-06-30 2,834 14,225.426 6,980.52 543 1,702.17 39,817
2020-06-30 6,874 17,935.853 8,340.015 462 2,567.04 39,852
2021-06-30 6,241 16,837.579 8,141.266 450 3,028 39,993
2022-06-30 7,295.534 22,977.563 13,605.481 1,334.923 4,151.846 39,992.575
2023-06-30 6,348.867 36,472.657 20,469.127 1,180.721 5,523.97 40,072.575

Cash flow highlights

All numbers are in thousands

Date Net Income Total Cash Change in Cash Begin period cash End period cash Dividends
1993-06-30 27 -86 31
1995-06-30 -1,766 1,766 381 2,147
1996-06-30 -1,107.582 -1,120.996 2,147.098 1,026.102
1997-06-30 -1,423.186 -860.944 1,026.102 165.158
1998-06-30 -93.341 165.158 71.817
1999-06-30 -2,248.003 7,157.502 71.817 7,229.319
2000-06-30 -4,805 -7,991 7,229 -762
2001-06-30 395 1,107 -762 345
2002-06-30 904 909 -243 345 102
2003-06-30 5,315 250 97 102 199
2004-06-30 404 -353 31 199 230
2005-06-30 -1,330 -678 -201 230 29
2006-06-30 -1,517 -474 65 29 94
2007-06-30 -3,184 -1,201 65 94 159
2008-06-30 -275.95 460.599 12.079 160.421 172.5
2009-06-30 -792.685 565.356 -1.179 172.5 171.321
2010-06-30 -1,876.855 -56.949 167.41 171.321 338.731
2011-06-30 144.747 -213.262 112.37 338.731 451.101
2012-06-30 5.032 -4.616 -253.065 451.101 198.036
2013-06-30 -759.709 79.185 -93.259 198.036 104.777
2014-06-30 575.674 -699.13 70.898 104.777 175.675
2015-06-30 127.484 1,286.995 782.577 175.675 958.252
2016-06-30 1,684.565 723.301 677.163 958.252 1,635.415 0
2017-06-30 427.903 1,217.317 992.854 1,635.415 2,628.269 0
2018-06-30 62.442 -122.96 -444.367 2,628.269 2,183.902 1,375
2019-06-30 2,093 654 651 2,183 2,834 1,375
2020-06-30 1,853 5,632 4,040 2,834 6,874 1,375
2021-06-30 540 1,683 -633 6,874 6,241 -1,375
2022-06-30 509.33 1,116.569 1,054.428 6,241.106 7,295.534 0
2023-06-30 6,457.153 -900.616 -946.667 7,295.534 6,348.867