AU Stock MarketDetailed Quotes

AEVO Avenira Ltd

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  • 0.004
  • +0.001+33.33%
20min DelayMarket Closed Oct 17 10:35 AET
10.82MMarket Cap0.00P/E (Static)

Avenira Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(FY)Jun 30, 2020
(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-86.96%425.96K
-86.96%425.96K
223.63%3.27M
223.63%3.27M
-67.67%1.01M
-67.67%1.01M
142.41%3.12M
142.41%3.12M
362.28%1.29M
362.28%1.29M
-Cash and cash equivalents
-86.96%425.96K
-86.96%425.96K
223.63%3.27M
223.63%3.27M
-67.67%1.01M
-67.67%1.01M
142.41%3.12M
142.41%3.12M
362.28%1.29M
362.28%1.29M
-Accounts receivable
-74.39%1.09K
-74.39%1.09K
29.34%4.24K
29.34%4.24K
9.57%3.28K
9.57%3.28K
-17.59%2.99K
-17.59%2.99K
-68.31%3.63K
-68.31%3.63K
-Other receivables
1,079.62%2.47M
1,079.62%2.47M
-44.91%209.32K
-44.91%209.32K
26.99%379.96K
26.99%379.96K
79.99%299.2K
79.99%299.2K
46.69%166.23K
46.69%166.23K
Total current assets
-41.20%2.04M
-41.20%2.04M
202.15%3.48M
202.15%3.48M
-64.63%1.15M
-64.63%1.15M
132.72%3.25M
132.72%3.25M
-94.50%1.4M
-94.50%1.4M
Non current assets
-Accumulated depreciation
----
----
----
----
---34.48K
---34.48K
----
----
----
----
Investment properties
----
----
-46.15%401.85K
-46.15%401.85K
-54.31%746.3K
-54.31%746.3K
284.37%1.63M
284.37%1.63M
2,620.83%424.99K
2,620.83%424.99K
-Long term equity investment
----
----
----
----
28.29%3.2M
28.29%3.2M
4,359.58%2.5M
4,359.58%2.5M
--55.99K
--55.99K
-Goodwill
--4.4M
--4.4M
----
----
----
----
----
----
----
----
Regulatory assets
-4.92%136.1K
-4.92%136.1K
100.81%143.15K
100.81%143.15K
-12.09%71.29K
-12.09%71.29K
-25.70%81.09K
-25.70%81.09K
153.69%109.14K
153.69%109.14K
Non current deferred assets
----
----
----
----
0.00%1.48M
0.00%1.48M
0.00%1.48M
0.00%1.48M
0.00%1.48M
0.00%1.48M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
21,008.44%3.46M
21,008.44%3.46M
-56.98%16.41K
-56.98%16.41K
6.51%38.15K
6.51%38.15K
-97.28%35.82K
-97.28%35.82K
-Current debt
----
----
--3.46M
--3.46M
----
----
----
----
----
----
-Current capital lease obligation
----
----
----
----
-56.98%16.41K
-56.98%16.41K
6.51%38.15K
6.51%38.15K
--35.82K
--35.82K
-accounts payable
163.00%1.41M
163.00%1.41M
78.66%535.47K
78.66%535.47K
31.41%299.72K
31.41%299.72K
17.09%228.09K
17.09%228.09K
-63.29%194.79K
-63.29%194.79K
-Total tax payable
-6.09%2.05M
-6.09%2.05M
-58.86%2.18M
-58.86%2.18M
24.48%5.31M
24.48%5.31M
137.51%4.26M
137.51%4.26M
39.25%1.8M
39.25%1.8M
Current deferred liabilities
----
----
----
----
----
----
--31.31K
--31.31K
----
----
Current liabilities
-6.62%4.03M
-6.62%4.03M
466.46%4.32M
466.46%4.32M
19.07%762.21K
19.07%762.21K
58.74%640.14K
58.74%640.14K
-97.33%403.25K
-97.33%403.25K
Non current liabilities
-Long term debt
----
----
----
----
----
----
-70.10%16.74K
-70.10%16.74K
--55.99K
--55.99K
Non current accrued expenses
28.01%15.36M
28.01%15.36M
34.19%12M
34.19%12M
18.31%8.94M
18.31%8.94M
17.53%7.56M
17.53%7.56M
9.12%6.43M
9.12%6.43M
Long term provisions
----
----
----
----
29.15%3.2M
29.15%3.2M
--2.48M
--2.48M
----
----
Trust preferred securities
----
----
-46.15%401.85K
-46.15%401.85K
-54.31%746.3K
-54.31%746.3K
284.37%1.63M
284.37%1.63M
2,620.83%424.99K
2,620.83%424.99K
Preferred securities outside stock equity
42.20%154.36K
42.20%154.36K
64.18%108.56K
64.18%108.56K
52.34%66.12K
52.34%66.12K
576.60%43.4K
576.60%43.4K
-95.51%6.42K
-95.51%6.42K
Total non current liabilities
-6.44%6.08M
-6.44%6.08M
7.09%6.5M
7.09%6.5M
23.77%6.07M
23.77%6.07M
123.06%4.9M
123.06%4.9M
-86.58%2.2M
-86.58%2.2M
Shareholders'equity
Share capital
3.78%154.85M
3.78%154.85M
4.79%149.21M
4.79%149.21M
1.33%142.39M
1.33%142.39M
2.31%140.52M
2.31%140.52M
-3.47%137.34M
-3.47%137.34M
-common stock
3.78%154.85M
3.78%154.85M
4.79%149.21M
4.79%149.21M
1.33%142.39M
1.33%142.39M
2.31%140.52M
2.31%140.52M
-3.47%137.34M
-3.47%137.34M
Gains losses not affecting retained earnings
13.98%19.86M
13.98%19.86M
5.42%17.42M
5.42%17.42M
-9.65%16.53M
-9.65%16.53M
-27.59%18.29M
-27.59%18.29M
-6.50%25.26M
-6.50%25.26M
Other equity interest
--1.48M
--1.48M
----
----
----
----
----
----
----
----
Total equity
26.11%21.89M
26.11%21.89M
39.93%17.36M
39.93%17.36M
-11.46%12.41M
-11.46%12.41M
43.92%14.01M
43.92%14.01M
-70.37%9.74M
-70.37%9.74M
(FY)Jun 30, 2024(Q4)Jun 30, 2024(FY)Jun 30, 2023(Q4)Jun 30, 2023(FY)Jun 30, 2022(Q4)Jun 30, 2022(FY)Jun 30, 2021(Q4)Jun 30, 2021(FY)Jun 30, 2020(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -86.96%425.96K-86.96%425.96K223.63%3.27M223.63%3.27M-67.67%1.01M-67.67%1.01M142.41%3.12M142.41%3.12M362.28%1.29M362.28%1.29M
-Cash and cash equivalents -86.96%425.96K-86.96%425.96K223.63%3.27M223.63%3.27M-67.67%1.01M-67.67%1.01M142.41%3.12M142.41%3.12M362.28%1.29M362.28%1.29M
-Accounts receivable -74.39%1.09K-74.39%1.09K29.34%4.24K29.34%4.24K9.57%3.28K9.57%3.28K-17.59%2.99K-17.59%2.99K-68.31%3.63K-68.31%3.63K
-Other receivables 1,079.62%2.47M1,079.62%2.47M-44.91%209.32K-44.91%209.32K26.99%379.96K26.99%379.96K79.99%299.2K79.99%299.2K46.69%166.23K46.69%166.23K
Total current assets -41.20%2.04M-41.20%2.04M202.15%3.48M202.15%3.48M-64.63%1.15M-64.63%1.15M132.72%3.25M132.72%3.25M-94.50%1.4M-94.50%1.4M
Non current assets
-Accumulated depreciation -------------------34.48K---34.48K----------------
Investment properties ---------46.15%401.85K-46.15%401.85K-54.31%746.3K-54.31%746.3K284.37%1.63M284.37%1.63M2,620.83%424.99K2,620.83%424.99K
-Long term equity investment ----------------28.29%3.2M28.29%3.2M4,359.58%2.5M4,359.58%2.5M--55.99K--55.99K
-Goodwill --4.4M--4.4M--------------------------------
Regulatory assets -4.92%136.1K-4.92%136.1K100.81%143.15K100.81%143.15K-12.09%71.29K-12.09%71.29K-25.70%81.09K-25.70%81.09K153.69%109.14K153.69%109.14K
Non current deferred assets ----------------0.00%1.48M0.00%1.48M0.00%1.48M0.00%1.48M0.00%1.48M0.00%1.48M
Liabilities
Current liabilities
Current debt and capital lease obligation --------21,008.44%3.46M21,008.44%3.46M-56.98%16.41K-56.98%16.41K6.51%38.15K6.51%38.15K-97.28%35.82K-97.28%35.82K
-Current debt ----------3.46M--3.46M------------------------
-Current capital lease obligation -----------------56.98%16.41K-56.98%16.41K6.51%38.15K6.51%38.15K--35.82K--35.82K
-accounts payable 163.00%1.41M163.00%1.41M78.66%535.47K78.66%535.47K31.41%299.72K31.41%299.72K17.09%228.09K17.09%228.09K-63.29%194.79K-63.29%194.79K
-Total tax payable -6.09%2.05M-6.09%2.05M-58.86%2.18M-58.86%2.18M24.48%5.31M24.48%5.31M137.51%4.26M137.51%4.26M39.25%1.8M39.25%1.8M
Current deferred liabilities --------------------------31.31K--31.31K--------
Current liabilities -6.62%4.03M-6.62%4.03M466.46%4.32M466.46%4.32M19.07%762.21K19.07%762.21K58.74%640.14K58.74%640.14K-97.33%403.25K-97.33%403.25K
Non current liabilities
-Long term debt -------------------------70.10%16.74K-70.10%16.74K--55.99K--55.99K
Non current accrued expenses 28.01%15.36M28.01%15.36M34.19%12M34.19%12M18.31%8.94M18.31%8.94M17.53%7.56M17.53%7.56M9.12%6.43M9.12%6.43M
Long term provisions ----------------29.15%3.2M29.15%3.2M--2.48M--2.48M--------
Trust preferred securities ---------46.15%401.85K-46.15%401.85K-54.31%746.3K-54.31%746.3K284.37%1.63M284.37%1.63M2,620.83%424.99K2,620.83%424.99K
Preferred securities outside stock equity 42.20%154.36K42.20%154.36K64.18%108.56K64.18%108.56K52.34%66.12K52.34%66.12K576.60%43.4K576.60%43.4K-95.51%6.42K-95.51%6.42K
Total non current liabilities -6.44%6.08M-6.44%6.08M7.09%6.5M7.09%6.5M23.77%6.07M23.77%6.07M123.06%4.9M123.06%4.9M-86.58%2.2M-86.58%2.2M
Shareholders'equity
Share capital 3.78%154.85M3.78%154.85M4.79%149.21M4.79%149.21M1.33%142.39M1.33%142.39M2.31%140.52M2.31%140.52M-3.47%137.34M-3.47%137.34M
-common stock 3.78%154.85M3.78%154.85M4.79%149.21M4.79%149.21M1.33%142.39M1.33%142.39M2.31%140.52M2.31%140.52M-3.47%137.34M-3.47%137.34M
Gains losses not affecting retained earnings 13.98%19.86M13.98%19.86M5.42%17.42M5.42%17.42M-9.65%16.53M-9.65%16.53M-27.59%18.29M-27.59%18.29M-6.50%25.26M-6.50%25.26M
Other equity interest --1.48M--1.48M--------------------------------
Total equity 26.11%21.89M26.11%21.89M39.93%17.36M39.93%17.36M-11.46%12.41M-11.46%12.41M43.92%14.01M43.92%14.01M-70.37%9.74M-70.37%9.74M

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