333D Ltd

  • IPO date: 2006-12-01
  • Sector: Technology
  • GIC Group: Commercial & Professional Services
  • Industry: Computer Hardware
  • Company website

Company description

333D Limited, together with its subsidiaries, provides 3D printing services in Australia. It offers 3D printing equipment and consumables; and sells 3D prints. The company was incorporated in 2006 and is based in Laverton North, Australia.

Financial highlights

Market Capitalization$3.1893 million
P/E Ratio0
P/E Growth Ratio
Book Value0
Dividend Per Share0
Earnings Per Share0
EBITDA-347.811
Profit Margin0
Operating Margin TTM-10.9541
Return on Assets TTM-1.6718
Return on Equity TTM0
Revenue TTM64.807

Income statement highlights

All numbers are in thousands

Date Total Revenue Cost of Revenue Gross Profit Total Operating Expenses
2007-06-30 79 130 593.738
2008-06-30 2,062.726 733.55 1,329.176 2,815.981
2009-06-30 0.033 0.134 -0.101 335.133
2010-06-30 61.468
2011-06-30 40.323
2012-06-30 757.683
2013-06-30 606.92
2014-06-30 995.348
2015-06-30 50.404 0 50.404 375.544
2016-06-30 144.29 15.91 128.38 465.705
2017-06-30 124.424 252.901 -128.477 5,406.73
2018-06-30 482.367 637.004 -154.637 2,859.192
2019-06-30 430.616 220.417 210.199 1,327.086
2020-06-30 186.146 382.937 -196.791 651.584
2021-06-30 114.974 37.311 77.663 654.442
2022-06-30 63.679 29.217 34.462 1,461.394
2023-06-30 18.946 69.723 -50.777 816.117

Balance sheet highlights

All numbers are in thousands

Date Cash Total Assets Total Liabilities Short Term Debt Long Term Debt Common Stock
2007-06-30 1,591.505 2,855.556 449.058 14.217 75 2,899.95
2008-06-30 57.529 1,234.406 2,149.095 1,139.4 363 2,897.15
2009-06-30 6.412 6.412 1,533.044 1,034.99 2,899.95
2010-06-30 6.142 6.142 1,538.599 1,034.99 2,899.95
2011-06-30 38.032 44.748 28.095 3,799.95
2012-06-30 875.352 1,516.299 41.776 6,007.768
2013-06-30 243.32 865.207 55.346 6,007.768
2014-06-30 26.196 37.905 220.2 2,207.818
2015-06-30 29.908 492.503 259.377 196 2,997.719
2016-06-30 2,135.907 2,379.141 2,610.627 200 2,997.719
2017-06-30 175.582 1,469.428 2,052.25 1,159.049 4,473.153
2018-06-30 17.596 208.056 2,631.265 1,322.558 300 5,121.153
2019-06-30 31.259 73.505 2,020.537 1,305 0 5,121.153
2020-06-30 9.164 34.736 2,395.089 1,005 705 5,305.923
2021-06-30 99.207 132.404 678.878 0 300 7,458.595
2022-06-30 415.731 441.52 365.68 0 0 8,871.24
2023-06-30 65.046 89.285 505.88 0 9,103.771

Cash flow highlights

All numbers are in thousands

Date Net Income Total Cash Change in Cash Begin period cash End period cash Dividends
2007-06-30 -517.272 1,194.705 396.8 1,591.505
2008-06-30 -3,346.093 -1,533.976 1,591.505 57.529
2009-06-30 -614.743 -51.117 57.529 6.412
2010-06-30 -5.825 -0.27 6.412 6.142
2011-06-30 649.11 31.89 6.142 38.032
2012-06-30 -825.298 837.32 38.032 875.352
2013-06-30 -664.662 -632.032 875.352 243.32
2014-06-30 -992.156 -217.124 243.32 26.196
2015-06-30 -374.48 -892.256 3.712 26.196 29.908
2016-06-30 -464.612 296.43 2,105.999 29.908 2,135.907
2017-06-30 -5,633.141 -3,001.205 104.979 70.603 175.582
2018-06-30 -2,488.387 -1,070.249 -157.986 175.582 17.596
2019-06-30 211.865 -102.421 13.663 17.596 31.259
2020-06-30 -595.342 -22.095 -22.095 31.259 9.164
2021-06-30 -338.793 90.043 90.043 9.164 99.207
2022-06-30 -1,032.478 -1,032.478 316.524 99.207 415.731
2023-06-30 -724.966 -350.69 -350.685 415.731 65.046