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APX Appen Ltd

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  • 2.550
  • +0.360+16.44%
20min DelayMarket Closed Dec 27 16:00 AET
664.87MMarket Cap-2.09P/E (Static)

Appen Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(Q4)Dec 30, 2023
(FY)Dec 30, 2022
(Q4)Dec 30, 2022
(FY)Dec 30, 2021
(Q4)Dec 30, 2021
(FY)Dec 30, 2020
(Q4)Dec 30, 2020
(FY)Dec 30, 2019
(Q4)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
37.23%32.15M
37.23%32.15M
-51.07%23.43M
-51.07%23.43M
-20.61%47.88M
-20.61%47.88M
14.44%60.31M
14.44%60.31M
86.82%52.7M
86.82%52.7M
-Cash and cash equivalents
37.23%32.15M
37.23%32.15M
-51.07%23.43M
-51.07%23.43M
-20.61%47.88M
-20.61%47.88M
14.44%60.31M
14.44%60.31M
86.82%52.7M
86.82%52.7M
Receivables
-22.32%49.93M
-22.32%49.93M
-27.97%64.28M
-27.97%64.28M
76.80%89.24M
76.80%89.24M
-38.02%50.48M
-38.02%50.48M
91.21%81.44M
91.21%81.44M
-Accounts receivable
-23.03%47.87M
-23.03%47.87M
-28.96%62.2M
-28.96%62.2M
77.73%87.55M
77.73%87.55M
-39.21%49.26M
-39.21%49.26M
92.91%81.03M
92.91%81.03M
-Other receivables
-6.69%2.22M
-6.69%2.22M
22.49%2.38M
22.49%2.38M
5.52%1.94M
5.52%1.94M
61.43%1.84M
61.43%1.84M
57.66%1.14M
57.66%1.14M
-Recievables adjustments allowances
47.22%-152K
47.22%-152K
-19.01%-288K
-19.01%-288K
61.00%-242K
61.00%-242K
13.70%-620.47K
13.70%-620.47K
-454.73%-718.98K
-454.73%-718.98K
Inventory
64.71%1.07M
64.71%1.07M
--649K
--649K
----
----
----
----
----
----
Prepaid assets
86.79%5.81M
86.79%5.81M
-16.55%3.11M
-16.55%3.11M
54.36%3.73M
54.36%3.73M
21.98%2.42M
21.98%2.42M
-1.66%1.98M
-1.66%1.98M
Current deferred assets
-13.96%2.14M
-13.96%2.14M
-72.20%2.49M
-72.20%2.49M
8.42%8.96M
8.42%8.96M
--8.27M
--8.27M
----
----
Hedging assets-current
-60.31%104K
-60.31%104K
--262K
--262K
----
----
570.84%1.47M
570.84%1.47M
--219.82K
--219.82K
Other current assets
-48.98%15.54M
-48.98%15.54M
135.08%30.45M
135.08%30.45M
-58.79%12.95M
-58.79%12.95M
469.32%31.43M
469.32%31.43M
-24.30%5.52M
-24.30%5.52M
Total current assets
-14.38%106.75M
-14.38%106.75M
-23.40%124.67M
-23.40%124.67M
5.44%162.76M
5.44%162.76M
8.82%154.37M
8.82%154.37M
76.18%141.86M
76.18%141.86M
Non current assets
Net PPE
-64.26%4.57M
-64.26%4.57M
-23.32%12.79M
-23.32%12.79M
-23.83%16.68M
-23.83%16.68M
13.72%21.89M
13.72%21.89M
457.08%19.25M
457.08%19.25M
-Gross PPE
-44.19%18.55M
-44.19%18.55M
-11.10%33.24M
-11.10%33.24M
4.24%37.39M
4.24%37.39M
35.88%35.87M
35.88%35.87M
663.92%26.4M
663.92%26.4M
-Accumulated depreciation
31.64%-13.98M
31.64%-13.98M
1.27%-20.45M
1.27%-20.45M
-48.21%-20.72M
-48.21%-20.72M
-95.54%-13.98M
-95.54%-13.98M
---7.15M
---7.15M
Investments and advances
-40.20%1.45M
-40.20%1.45M
--2.42M
--2.42M
----
----
----
----
----
----
-Other investment
-40.20%1.45M
-40.20%1.45M
--2.42M
--2.42M
----
----
----
----
----
----
Goodwill and other intangible assets
-63.61%39.87M
-63.61%39.87M
-65.20%109.56M
-65.20%109.56M
13.92%314.79M
13.92%314.79M
-0.97%276.32M
-0.97%276.32M
232.48%279.03M
232.48%279.03M
-Goodwill
----
----
-78.55%53.11M
-78.55%53.11M
22.57%247.65M
22.57%247.65M
-0.05%202.06M
-0.05%202.06M
254.08%202.16M
254.08%202.16M
-Other intangible assets
-29.37%39.87M
-29.37%39.87M
-15.92%56.45M
-15.92%56.45M
-9.60%67.13M
-9.60%67.13M
-3.40%74.26M
-3.40%74.26M
186.51%76.87M
186.51%76.87M
Non current deferred assets
-50.95%2.49M
-50.95%2.49M
25.07%5.08M
25.07%5.08M
-50.58%4.06M
-50.58%4.06M
194.94%8.22M
194.94%8.22M
--2.79M
--2.79M
Other non current assets
-92.92%30K
-92.92%30K
-32.59%424K
-32.59%424K
-21.19%629K
-21.19%629K
-21.05%798.07K
-21.05%798.07K
3,778.77%1.01M
3,778.77%1.01M
Total non current assets
-62.84%48.41M
-62.84%48.41M
-61.25%130.27M
-61.25%130.27M
9.42%336.15M
9.42%336.15M
1.70%307.23M
1.70%307.23M
245.61%302.08M
245.61%302.08M
Total assets
-39.14%155.16M
-39.14%155.16M
-48.90%254.94M
-48.90%254.94M
8.09%498.92M
8.09%498.92M
3.98%461.6M
3.98%461.6M
164.36%443.95M
164.36%443.95M
Liabilities
Current liabilities
Current debt and capital lease obligation
-0.86%3.13M
-0.86%3.13M
-37.01%3.15M
-37.01%3.15M
-0.36%5M
-0.36%5M
54.34%5.02M
54.34%5.02M
--3.25M
--3.25M
-Current capital lease obligation
-0.86%3.13M
-0.86%3.13M
-37.01%3.15M
-37.01%3.15M
-0.36%5M
-0.36%5M
54.34%5.02M
54.34%5.02M
--3.25M
--3.25M
Payables
-31.47%27.23M
-31.47%27.23M
-4.49%39.74M
-4.49%39.74M
-5.54%41.61M
-5.54%41.61M
4.15%44.05M
4.15%44.05M
62.21%42.29M
62.21%42.29M
-accounts payable
-45.02%13.57M
-45.02%13.57M
-2.47%24.69M
-2.47%24.69M
16.39%25.31M
16.39%25.31M
24.38%21.75M
24.38%21.75M
19.86%17.48M
19.86%17.48M
-Other payable
-9.27%13.66M
-9.27%13.66M
-7.63%15.06M
-7.63%15.06M
-26.92%16.3M
-26.92%16.3M
-10.11%22.3M
-10.11%22.3M
116.01%24.81M
116.01%24.81M
Current provisions
----
----
----
----
--816K
--816K
----
----
----
----
Pension and other retirement benefit plans
-29.00%2.41M
-29.00%2.41M
11.88%3.39M
11.88%3.39M
-6.83%3.03M
-6.83%3.03M
126.61%3.25M
126.61%3.25M
42.58%1.44M
42.58%1.44M
Current deferred liabilities
----
----
----
----
----
----
-54.87%7.44M
-54.87%7.44M
1,424.53%16.48M
1,424.53%16.48M
Other current liabilities
-20.82%14.89M
-20.82%14.89M
16.47%18.81M
16.47%18.81M
20,903.87%16.15M
20,903.87%16.15M
-99.71%76.89K
-99.71%76.89K
--26.7M
--26.7M
Current liabilities
-26.78%47.66M
-26.78%47.66M
-2.28%65.09M
-2.28%65.09M
11.31%66.61M
11.31%66.61M
-33.64%59.84M
-33.64%59.84M
217.42%90.17M
217.42%90.17M
Non current liabilities
Long term debt and capital lease obligation
32.51%9.31M
32.51%9.31M
-30.14%7.03M
-30.14%7.03M
-30.08%10.06M
-30.08%10.06M
13.85%14.38M
13.85%14.38M
-68.17%12.63M
-68.17%12.63M
-Long term capital lease obligation
32.51%9.31M
32.51%9.31M
-30.14%7.03M
-30.14%7.03M
-30.08%10.06M
-30.08%10.06M
13.85%14.38M
13.85%14.38M
--12.63M
--12.63M
Long term provisions
--68K
--68K
----
----
----
----
----
----
----
----
Employee benefits
-45.79%238K
-45.79%238K
4.52%439K
4.52%439K
-3.32%420K
-3.32%420K
43.97%434.4K
43.97%434.4K
13.02%301.73K
13.02%301.73K
Non current deferred liabilities
-66.67%5.09M
-66.67%5.09M
31.62%15.27M
31.62%15.27M
-13.25%11.6M
-13.25%11.6M
376.29%13.37M
376.29%13.37M
102.87%2.81M
102.87%2.81M
Other non current liabilities
----
----
4.21%19.13M
4.21%19.13M
--18.36M
--18.36M
----
----
--748.38K
--748.38K
Total non current liabilities
-64.88%14.71M
-64.88%14.71M
3.53%41.87M
3.53%41.87M
43.44%40.44M
43.44%40.44M
70.96%28.19M
70.96%28.19M
-60.10%16.49M
-60.10%16.49M
Total liabilities
-41.69%62.36M
-41.69%62.36M
-0.08%106.96M
-0.08%106.96M
21.60%107.05M
21.60%107.05M
-17.47%88.03M
-17.47%88.03M
52.95%106.66M
52.95%106.66M
Shareholders'equity
Share capital
21.88%320.44M
21.88%320.44M
0.00%262.92M
0.00%262.92M
-5.57%262.92M
-5.57%262.92M
9.82%278.43M
9.82%278.43M
417.11%253.53M
417.11%253.53M
-common stock
21.88%320.44M
21.88%320.44M
0.00%262.92M
0.00%262.92M
-5.57%262.92M
-5.57%262.92M
9.82%278.43M
9.82%278.43M
417.11%253.53M
417.11%253.53M
Retained earnings
-48.58%-361.16M
-48.58%-361.16M
-5,951.41%-243.09M
-5,951.41%-243.09M
-35.00%-4.02M
-35.00%-4.02M
-9.82%-2.98M
-9.82%-2.98M
0.61%-2.71M
0.61%-2.71M
Gains losses not affecting retained earnings
4.19%133.53M
4.19%133.53M
-3.62%128.15M
-3.62%128.15M
35.53%132.97M
35.53%132.97M
13.46%98.11M
13.46%98.11M
66.63%86.47M
66.63%86.47M
Total stockholders'equity
-37.29%92.8M
-37.29%92.8M
-62.24%147.99M
-62.24%147.99M
4.90%391.87M
4.90%391.87M
10.76%373.57M
10.76%373.57M
243.49%337.29M
243.49%337.29M
Total equity
-37.29%92.8M
-37.29%92.8M
-62.24%147.99M
-62.24%147.99M
4.90%391.87M
4.90%391.87M
10.76%373.57M
10.76%373.57M
243.49%337.29M
243.49%337.29M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2023(Q4)Dec 30, 2023(FY)Dec 30, 2022(Q4)Dec 30, 2022(FY)Dec 30, 2021(Q4)Dec 30, 2021(FY)Dec 30, 2020(Q4)Dec 30, 2020(FY)Dec 30, 2019(Q4)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments 37.23%32.15M37.23%32.15M-51.07%23.43M-51.07%23.43M-20.61%47.88M-20.61%47.88M14.44%60.31M14.44%60.31M86.82%52.7M86.82%52.7M
-Cash and cash equivalents 37.23%32.15M37.23%32.15M-51.07%23.43M-51.07%23.43M-20.61%47.88M-20.61%47.88M14.44%60.31M14.44%60.31M86.82%52.7M86.82%52.7M
Receivables -22.32%49.93M-22.32%49.93M-27.97%64.28M-27.97%64.28M76.80%89.24M76.80%89.24M-38.02%50.48M-38.02%50.48M91.21%81.44M91.21%81.44M
-Accounts receivable -23.03%47.87M-23.03%47.87M-28.96%62.2M-28.96%62.2M77.73%87.55M77.73%87.55M-39.21%49.26M-39.21%49.26M92.91%81.03M92.91%81.03M
-Other receivables -6.69%2.22M-6.69%2.22M22.49%2.38M22.49%2.38M5.52%1.94M5.52%1.94M61.43%1.84M61.43%1.84M57.66%1.14M57.66%1.14M
-Recievables adjustments allowances 47.22%-152K47.22%-152K-19.01%-288K-19.01%-288K61.00%-242K61.00%-242K13.70%-620.47K13.70%-620.47K-454.73%-718.98K-454.73%-718.98K
Inventory 64.71%1.07M64.71%1.07M--649K--649K------------------------
Prepaid assets 86.79%5.81M86.79%5.81M-16.55%3.11M-16.55%3.11M54.36%3.73M54.36%3.73M21.98%2.42M21.98%2.42M-1.66%1.98M-1.66%1.98M
Current deferred assets -13.96%2.14M-13.96%2.14M-72.20%2.49M-72.20%2.49M8.42%8.96M8.42%8.96M--8.27M--8.27M--------
Hedging assets-current -60.31%104K-60.31%104K--262K--262K--------570.84%1.47M570.84%1.47M--219.82K--219.82K
Other current assets -48.98%15.54M-48.98%15.54M135.08%30.45M135.08%30.45M-58.79%12.95M-58.79%12.95M469.32%31.43M469.32%31.43M-24.30%5.52M-24.30%5.52M
Total current assets -14.38%106.75M-14.38%106.75M-23.40%124.67M-23.40%124.67M5.44%162.76M5.44%162.76M8.82%154.37M8.82%154.37M76.18%141.86M76.18%141.86M
Non current assets
Net PPE -64.26%4.57M-64.26%4.57M-23.32%12.79M-23.32%12.79M-23.83%16.68M-23.83%16.68M13.72%21.89M13.72%21.89M457.08%19.25M457.08%19.25M
-Gross PPE -44.19%18.55M-44.19%18.55M-11.10%33.24M-11.10%33.24M4.24%37.39M4.24%37.39M35.88%35.87M35.88%35.87M663.92%26.4M663.92%26.4M
-Accumulated depreciation 31.64%-13.98M31.64%-13.98M1.27%-20.45M1.27%-20.45M-48.21%-20.72M-48.21%-20.72M-95.54%-13.98M-95.54%-13.98M---7.15M---7.15M
Investments and advances -40.20%1.45M-40.20%1.45M--2.42M--2.42M------------------------
-Other investment -40.20%1.45M-40.20%1.45M--2.42M--2.42M------------------------
Goodwill and other intangible assets -63.61%39.87M-63.61%39.87M-65.20%109.56M-65.20%109.56M13.92%314.79M13.92%314.79M-0.97%276.32M-0.97%276.32M232.48%279.03M232.48%279.03M
-Goodwill ---------78.55%53.11M-78.55%53.11M22.57%247.65M22.57%247.65M-0.05%202.06M-0.05%202.06M254.08%202.16M254.08%202.16M
-Other intangible assets -29.37%39.87M-29.37%39.87M-15.92%56.45M-15.92%56.45M-9.60%67.13M-9.60%67.13M-3.40%74.26M-3.40%74.26M186.51%76.87M186.51%76.87M
Non current deferred assets -50.95%2.49M-50.95%2.49M25.07%5.08M25.07%5.08M-50.58%4.06M-50.58%4.06M194.94%8.22M194.94%8.22M--2.79M--2.79M
Other non current assets -92.92%30K-92.92%30K-32.59%424K-32.59%424K-21.19%629K-21.19%629K-21.05%798.07K-21.05%798.07K3,778.77%1.01M3,778.77%1.01M
Total non current assets -62.84%48.41M-62.84%48.41M-61.25%130.27M-61.25%130.27M9.42%336.15M9.42%336.15M1.70%307.23M1.70%307.23M245.61%302.08M245.61%302.08M
Total assets -39.14%155.16M-39.14%155.16M-48.90%254.94M-48.90%254.94M8.09%498.92M8.09%498.92M3.98%461.6M3.98%461.6M164.36%443.95M164.36%443.95M
Liabilities
Current liabilities
Current debt and capital lease obligation -0.86%3.13M-0.86%3.13M-37.01%3.15M-37.01%3.15M-0.36%5M-0.36%5M54.34%5.02M54.34%5.02M--3.25M--3.25M
-Current capital lease obligation -0.86%3.13M-0.86%3.13M-37.01%3.15M-37.01%3.15M-0.36%5M-0.36%5M54.34%5.02M54.34%5.02M--3.25M--3.25M
Payables -31.47%27.23M-31.47%27.23M-4.49%39.74M-4.49%39.74M-5.54%41.61M-5.54%41.61M4.15%44.05M4.15%44.05M62.21%42.29M62.21%42.29M
-accounts payable -45.02%13.57M-45.02%13.57M-2.47%24.69M-2.47%24.69M16.39%25.31M16.39%25.31M24.38%21.75M24.38%21.75M19.86%17.48M19.86%17.48M
-Other payable -9.27%13.66M-9.27%13.66M-7.63%15.06M-7.63%15.06M-26.92%16.3M-26.92%16.3M-10.11%22.3M-10.11%22.3M116.01%24.81M116.01%24.81M
Current provisions ------------------816K--816K----------------
Pension and other retirement benefit plans -29.00%2.41M-29.00%2.41M11.88%3.39M11.88%3.39M-6.83%3.03M-6.83%3.03M126.61%3.25M126.61%3.25M42.58%1.44M42.58%1.44M
Current deferred liabilities -------------------------54.87%7.44M-54.87%7.44M1,424.53%16.48M1,424.53%16.48M
Other current liabilities -20.82%14.89M-20.82%14.89M16.47%18.81M16.47%18.81M20,903.87%16.15M20,903.87%16.15M-99.71%76.89K-99.71%76.89K--26.7M--26.7M
Current liabilities -26.78%47.66M-26.78%47.66M-2.28%65.09M-2.28%65.09M11.31%66.61M11.31%66.61M-33.64%59.84M-33.64%59.84M217.42%90.17M217.42%90.17M
Non current liabilities
Long term debt and capital lease obligation 32.51%9.31M32.51%9.31M-30.14%7.03M-30.14%7.03M-30.08%10.06M-30.08%10.06M13.85%14.38M13.85%14.38M-68.17%12.63M-68.17%12.63M
-Long term capital lease obligation 32.51%9.31M32.51%9.31M-30.14%7.03M-30.14%7.03M-30.08%10.06M-30.08%10.06M13.85%14.38M13.85%14.38M--12.63M--12.63M
Long term provisions --68K--68K--------------------------------
Employee benefits -45.79%238K-45.79%238K4.52%439K4.52%439K-3.32%420K-3.32%420K43.97%434.4K43.97%434.4K13.02%301.73K13.02%301.73K
Non current deferred liabilities -66.67%5.09M-66.67%5.09M31.62%15.27M31.62%15.27M-13.25%11.6M-13.25%11.6M376.29%13.37M376.29%13.37M102.87%2.81M102.87%2.81M
Other non current liabilities --------4.21%19.13M4.21%19.13M--18.36M--18.36M----------748.38K--748.38K
Total non current liabilities -64.88%14.71M-64.88%14.71M3.53%41.87M3.53%41.87M43.44%40.44M43.44%40.44M70.96%28.19M70.96%28.19M-60.10%16.49M-60.10%16.49M
Total liabilities -41.69%62.36M-41.69%62.36M-0.08%106.96M-0.08%106.96M21.60%107.05M21.60%107.05M-17.47%88.03M-17.47%88.03M52.95%106.66M52.95%106.66M
Shareholders'equity
Share capital 21.88%320.44M21.88%320.44M0.00%262.92M0.00%262.92M-5.57%262.92M-5.57%262.92M9.82%278.43M9.82%278.43M417.11%253.53M417.11%253.53M
-common stock 21.88%320.44M21.88%320.44M0.00%262.92M0.00%262.92M-5.57%262.92M-5.57%262.92M9.82%278.43M9.82%278.43M417.11%253.53M417.11%253.53M
Retained earnings -48.58%-361.16M-48.58%-361.16M-5,951.41%-243.09M-5,951.41%-243.09M-35.00%-4.02M-35.00%-4.02M-9.82%-2.98M-9.82%-2.98M0.61%-2.71M0.61%-2.71M
Gains losses not affecting retained earnings 4.19%133.53M4.19%133.53M-3.62%128.15M-3.62%128.15M35.53%132.97M35.53%132.97M13.46%98.11M13.46%98.11M66.63%86.47M66.63%86.47M
Total stockholders'equity -37.29%92.8M-37.29%92.8M-62.24%147.99M-62.24%147.99M4.90%391.87M4.90%391.87M10.76%373.57M10.76%373.57M243.49%337.29M243.49%337.29M
Total equity -37.29%92.8M-37.29%92.8M-62.24%147.99M-62.24%147.99M4.90%391.87M4.90%391.87M10.76%373.57M10.76%373.57M243.49%337.29M243.49%337.29M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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