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AMX Aerometrex Ltd

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  • 0.450
  • 0.0000.00%
20min DelayTrading Jul 11 12:51 AET
42.75MMarket Cap-10000P/E (Static)

Aerometrex Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-30.51%9.83M
-30.51%9.83M
-14.63%14.14M
-14.63%14.14M
-25.51%16.57M
-25.51%16.57M
-17.12%22.24M
--22.24M
--26.84M
-Cash and cash equivalents
-30.51%9.83M
-30.51%9.83M
-14.55%14.14M
-14.55%14.14M
-25.57%16.55M
-25.57%16.55M
-17.13%22.24M
--22.24M
--26.84M
-Accounts receivable
2.48%6.11M
2.48%6.11M
100.34%5.97M
100.34%5.97M
18.55%2.98M
18.55%2.98M
-8.95%2.51M
--2.51M
--2.76M
-Notes receivable
33.58%183K
33.58%183K
3.01%137K
3.01%137K
-15.29%133K
-15.29%133K
68.82%157K
--157K
--93K
-Other receivables
-0.21%1.4M
-0.21%1.4M
-10.38%1.4M
-10.38%1.4M
-50.97%1.56M
-50.97%1.56M
--3.18M
--3.18M
----
Current deferred assets
----
----
----
----
--262K
--262K
----
----
----
Total current assets
-16.98%17.3M
-16.98%17.3M
-2.52%20.84M
-2.52%20.84M
-17.06%21.38M
-17.06%21.38M
-16.79%25.77M
--25.77M
--30.97M
Non current assets
-Accumulated depreciation
-26.87%-13.49M
-26.87%-13.49M
-15.63%-10.63M
-15.63%-10.63M
-34.78%-9.19M
-34.78%-9.19M
---6.82M
---6.82M
----
-Long term equity investment
-14.73%1.44M
-14.73%1.44M
-43.01%1.68M
-43.01%1.68M
8.20%2.96M
8.20%2.96M
-12.24%2.73M
--2.73M
--3.11M
Non current note receivables
--552K
--552K
----
----
78.84%2.54M
78.84%2.54M
306.30%1.42M
--1.42M
--349K
-Goodwill
-12.38%7.92M
-12.38%7.92M
11.26%9.04M
11.26%9.04M
23.63%8.13M
23.63%8.13M
111.86%6.57M
--6.57M
--3.1M
Regulatory assets
3.47%6.11M
3.47%6.11M
99.22%5.91M
99.22%5.91M
18.03%2.97M
18.03%2.97M
-8.95%2.51M
--2.51M
--2.76M
Liabilities
Current liabilities
Current debt and capital lease obligation
11.01%383K
11.01%383K
-49.64%345K
-49.64%345K
71.25%685K
71.25%685K
-91.37%400K
--400K
--4.63M
-Current debt
----
----
----
----
158.61%631K
158.61%631K
-94.73%244K
--244K
--4.63M
-Current capital lease obligation
11.01%383K
11.01%383K
538.89%345K
538.89%345K
-65.38%54K
-65.38%54K
--156K
--156K
----
-accounts payable
9.43%1.45M
9.43%1.45M
21.12%1.33M
21.12%1.33M
1.02%1.09M
1.02%1.09M
-1.81%1.08M
--1.08M
--1.1M
-Total tax payable
2.46%2.88M
2.46%2.88M
-50.77%2.81M
-50.77%2.81M
27.48%5.71M
27.48%5.71M
4.19%4.48M
--4.48M
--4.3M
Current deferred liabilities
0.00%159K
0.00%159K
--159K
--159K
----
----
----
----
--293K
Current liabilities
10.55%9.8M
10.55%9.8M
5.93%8.86M
5.93%8.86M
3.95%8.36M
3.95%8.36M
8.13%8.05M
--8.05M
--7.44M
Non current liabilities
-Long term debt
-14.73%1.44M
-14.73%1.44M
225.10%1.68M
225.10%1.68M
-45.70%518K
-45.70%518K
--954K
--954K
----
Non current accrued expenses
7.48%15.9M
7.48%15.9M
-11.58%14.79M
-11.58%14.79M
2.23%16.73M
2.23%16.73M
15.68%16.36M
--16.36M
--14.15M
Long term provisions
----
----
----
----
37.14%2.44M
37.14%2.44M
-42.90%1.78M
--1.78M
--3.11M
Employee benefits
33.58%183K
33.58%183K
3.01%137K
3.01%137K
-15.29%133K
-15.29%133K
68.82%157K
--157K
--93K
Regulatory liabilities
96.61%-2K
96.61%-2K
-353.85%-59K
-353.85%-59K
---13K
---13K
----
----
----
Preferred securities outside stock equity
0.26%1.9M
0.26%1.9M
18.05%1.89M
18.05%1.89M
23.63%1.6M
23.63%1.6M
45.51%1.3M
--1.3M
--890K
Total non current liabilities
8.60%12.67M
8.60%12.67M
-17.06%11.67M
-17.06%11.67M
12.36%14.07M
12.36%14.07M
6.69%12.52M
--12.52M
--11.74M
Shareholders'equity
Share capital
0.39%33.02M
0.39%33.02M
0.00%32.89M
0.00%32.89M
0.00%32.89M
0.00%32.89M
-8.82%32.89M
--32.89M
--36.07M
-common stock
0.39%33.02M
0.39%33.02M
0.00%32.89M
0.00%32.89M
0.00%32.89M
0.00%32.89M
-8.82%32.89M
--32.89M
--36.07M
Gains losses not affecting retained earnings
-87.07%224K
-87.07%224K
0.29%1.73M
0.29%1.73M
254.83%1.73M
254.83%1.73M
360.43%487K
--487K
---187K
Other equity interest
137.30%738K
137.30%738K
-56.75%311K
-56.75%311K
27.71%719K
27.71%719K
-59.17%563K
--563K
--1.38M
Total equity
-6.71%41.67M
-6.71%41.67M
-8.40%44.67M
-8.40%44.67M
-2.71%48.77M
-2.71%48.77M
3.21%50.13M
--50.13M
--48.57M
(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(FY)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -30.51%9.83M-30.51%9.83M-14.63%14.14M-14.63%14.14M-25.51%16.57M-25.51%16.57M-17.12%22.24M--22.24M--26.84M
-Cash and cash equivalents -30.51%9.83M-30.51%9.83M-14.55%14.14M-14.55%14.14M-25.57%16.55M-25.57%16.55M-17.13%22.24M--22.24M--26.84M
-Accounts receivable 2.48%6.11M2.48%6.11M100.34%5.97M100.34%5.97M18.55%2.98M18.55%2.98M-8.95%2.51M--2.51M--2.76M
-Notes receivable 33.58%183K33.58%183K3.01%137K3.01%137K-15.29%133K-15.29%133K68.82%157K--157K--93K
-Other receivables -0.21%1.4M-0.21%1.4M-10.38%1.4M-10.38%1.4M-50.97%1.56M-50.97%1.56M--3.18M--3.18M----
Current deferred assets ------------------262K--262K------------
Total current assets -16.98%17.3M-16.98%17.3M-2.52%20.84M-2.52%20.84M-17.06%21.38M-17.06%21.38M-16.79%25.77M--25.77M--30.97M
Non current assets
-Accumulated depreciation -26.87%-13.49M-26.87%-13.49M-15.63%-10.63M-15.63%-10.63M-34.78%-9.19M-34.78%-9.19M---6.82M---6.82M----
-Long term equity investment -14.73%1.44M-14.73%1.44M-43.01%1.68M-43.01%1.68M8.20%2.96M8.20%2.96M-12.24%2.73M--2.73M--3.11M
Non current note receivables --552K--552K--------78.84%2.54M78.84%2.54M306.30%1.42M--1.42M--349K
-Goodwill -12.38%7.92M-12.38%7.92M11.26%9.04M11.26%9.04M23.63%8.13M23.63%8.13M111.86%6.57M--6.57M--3.1M
Regulatory assets 3.47%6.11M3.47%6.11M99.22%5.91M99.22%5.91M18.03%2.97M18.03%2.97M-8.95%2.51M--2.51M--2.76M
Liabilities
Current liabilities
Current debt and capital lease obligation 11.01%383K11.01%383K-49.64%345K-49.64%345K71.25%685K71.25%685K-91.37%400K--400K--4.63M
-Current debt ----------------158.61%631K158.61%631K-94.73%244K--244K--4.63M
-Current capital lease obligation 11.01%383K11.01%383K538.89%345K538.89%345K-65.38%54K-65.38%54K--156K--156K----
-accounts payable 9.43%1.45M9.43%1.45M21.12%1.33M21.12%1.33M1.02%1.09M1.02%1.09M-1.81%1.08M--1.08M--1.1M
-Total tax payable 2.46%2.88M2.46%2.88M-50.77%2.81M-50.77%2.81M27.48%5.71M27.48%5.71M4.19%4.48M--4.48M--4.3M
Current deferred liabilities 0.00%159K0.00%159K--159K--159K------------------293K
Current liabilities 10.55%9.8M10.55%9.8M5.93%8.86M5.93%8.86M3.95%8.36M3.95%8.36M8.13%8.05M--8.05M--7.44M
Non current liabilities
-Long term debt -14.73%1.44M-14.73%1.44M225.10%1.68M225.10%1.68M-45.70%518K-45.70%518K--954K--954K----
Non current accrued expenses 7.48%15.9M7.48%15.9M-11.58%14.79M-11.58%14.79M2.23%16.73M2.23%16.73M15.68%16.36M--16.36M--14.15M
Long term provisions ----------------37.14%2.44M37.14%2.44M-42.90%1.78M--1.78M--3.11M
Employee benefits 33.58%183K33.58%183K3.01%137K3.01%137K-15.29%133K-15.29%133K68.82%157K--157K--93K
Regulatory liabilities 96.61%-2K96.61%-2K-353.85%-59K-353.85%-59K---13K---13K------------
Preferred securities outside stock equity 0.26%1.9M0.26%1.9M18.05%1.89M18.05%1.89M23.63%1.6M23.63%1.6M45.51%1.3M--1.3M--890K
Total non current liabilities 8.60%12.67M8.60%12.67M-17.06%11.67M-17.06%11.67M12.36%14.07M12.36%14.07M6.69%12.52M--12.52M--11.74M
Shareholders'equity
Share capital 0.39%33.02M0.39%33.02M0.00%32.89M0.00%32.89M0.00%32.89M0.00%32.89M-8.82%32.89M--32.89M--36.07M
-common stock 0.39%33.02M0.39%33.02M0.00%32.89M0.00%32.89M0.00%32.89M0.00%32.89M-8.82%32.89M--32.89M--36.07M
Gains losses not affecting retained earnings -87.07%224K-87.07%224K0.29%1.73M0.29%1.73M254.83%1.73M254.83%1.73M360.43%487K--487K---187K
Other equity interest 137.30%738K137.30%738K-56.75%311K-56.75%311K27.71%719K27.71%719K-59.17%563K--563K--1.38M
Total equity -6.71%41.67M-6.71%41.67M-8.40%44.67M-8.40%44.67M-2.71%48.77M-2.71%48.77M3.21%50.13M--50.13M--48.57M

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