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Sustainability
TRS.AX - The Reject Shop Limited
ASX - ASX Delayed price. Currency in AUD
Show
:
Income statement
Balance sheet
Cash flow
Annual
Quarterly
Income statement
All numbers in thousands
Breakdown
ttm
30/06/2022
30/06/2021
30/06/2020
30/06/2019
Total revenue
803,260
788,241
778,688
820,645
793,687
Cost of revenue
486,524
467,789
457,624
478,197
458,950
Gross profit
316,736
320,452
321,064
342,448
334,737
Operating expenses
Selling general and administrative
43,337
41,996
34,972
43,785
49,411
Total operating expenses
459,747
410,740
302,512
332,404
343,072
Operating income or loss
-143,011
-90,288
18,552
10,044
-8,335
Interest expense
183
96
129
567
789
Total other income/expenses net
-
-
-
-727
-15,000
Income before tax
12,709
11,254
12,138
1,626
-24,073
Income tax expense
3,861
3,352
3,819
506
-7,174
Income from continuing operations
8,848
7,902
8,319
1,120
-16,899
Net income
8,848
7,902
8,319
1,120
-16,899
Net income available to common shareholders
8,848
7,902
8,319
1,120
-16,899
Basic EPS
-
0.21
0.22
0.04
-0.57
Diluted EPS
-
0.20
0.21
0.04
-0.57
Basic average shares
-
38,326
38,265
31,276
29,751
Diluted average shares
-
39,119
38,874
32,000
29,751
EBITDA
-
119,266
122,187
115,544
-3,681
Data disclaimer
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