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AUK Aumake Ltd

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  • 0.006
  • 0.0000.00%
20min DelayTrading Nov 25 10:00 AET
16.88MMarket Cap-1500P/E (Static)

Aumake 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
31.02%2.03M
31.02%2.03M
-49.05%1.55M
-49.05%1.55M
-28.67%3.04M
-28.67%3.04M
-48.17%4.26M
-48.17%4.26M
-17.85%8.23M
-17.85%8.23M
-Cash and cash equivalents
42.45%1.99M
42.45%1.99M
-54.18%1.39M
-54.18%1.39M
-28.67%3.04M
-28.67%3.04M
-48.17%4.26M
-48.17%4.26M
-17.85%8.23M
-17.85%8.23M
-Short term investments
-71.01%45.22K
-71.01%45.22K
--156.02K
--156.02K
----
----
----
----
----
----
Receivables
4,774.67%539.63K
4,774.67%539.63K
-85.36%11.07K
-85.36%11.07K
-51.58%75.6K
-51.58%75.6K
-80.65%156.14K
-80.65%156.14K
9.96%807.11K
9.96%807.11K
-Accounts receivable
4,667.38%527.75K
4,667.38%527.75K
-85.32%11.07K
-85.32%11.07K
-47.29%75.39K
-47.29%75.39K
-62.71%143.02K
-62.71%143.02K
-32.84%383.51K
-32.84%383.51K
-Other receivables
--11.88K
--11.88K
----
----
-98.39%212
-98.39%212
-96.90%13.13K
-96.90%13.13K
159.90%423.6K
159.90%423.6K
Inventory
281.05%1.22M
281.05%1.22M
-77.40%320.52K
-77.40%320.52K
-21.20%1.42M
-21.20%1.42M
3.86%1.8M
3.86%1.8M
-65.95%1.73M
-65.95%1.73M
Prepaid assets
40.89%61.3K
40.89%61.3K
-44.86%43.51K
-44.86%43.51K
-83.00%78.92K
-83.00%78.92K
406.31%464.14K
406.31%464.14K
-67.49%91.67K
-67.49%91.67K
Total current assets
100.16%3.85M
100.16%3.85M
-58.28%1.92M
-58.28%1.92M
-30.97%4.61M
-30.97%4.61M
-38.45%6.68M
-38.45%6.68M
-32.63%10.86M
-32.63%10.86M
Non current assets
Net PPE
57.17%274.82K
57.17%274.82K
-80.26%174.85K
-80.26%174.85K
-77.30%885.7K
-77.30%885.7K
-77.15%3.9M
-77.15%3.9M
540.78%17.08M
540.78%17.08M
-Gross PPE
18.99%662.38K
18.99%662.38K
-86.42%556.67K
-86.42%556.67K
-49.07%4.1M
-49.07%4.1M
-61.37%8.05M
-61.37%8.05M
504.51%20.83M
504.51%20.83M
-Accumulated depreciation
-1.50%-387.57K
-1.50%-387.57K
88.12%-381.82K
88.12%-381.82K
22.50%-3.21M
22.50%-3.21M
-10.44%-4.15M
-10.44%-4.15M
-380.74%-3.75M
-380.74%-3.75M
Investments and advances
170.52%203.32K
170.52%203.32K
-3.09%75.16K
-3.09%75.16K
-94.08%77.55K
-94.08%77.55K
8.40%1.31M
8.40%1.31M
-4.37%1.21M
-4.37%1.21M
-Other investment
170.52%203.32K
170.52%203.32K
-3.09%75.16K
-3.09%75.16K
-94.08%77.55K
-94.08%77.55K
8.40%1.31M
8.40%1.31M
-4.37%1.21M
-4.37%1.21M
Goodwill and other intangible assets
----
----
-6.71%4.2M
-6.71%4.2M
-17.26%4.5M
-17.26%4.5M
-66.53%5.44M
-66.53%5.44M
584.81%16.25M
584.81%16.25M
-Goodwill
----
----
----
----
-17.26%4.5M
-17.26%4.5M
-48.25%5.44M
-48.25%5.44M
342.88%10.51M
342.88%10.51M
-Other intangible assets
----
----
--4.2M
--4.2M
----
----
----
----
--5.74M
--5.74M
Other non current assets
--34.2K
--34.2K
----
----
----
----
----
----
----
----
Total non current assets
-88.48%512.34K
-88.48%512.34K
-18.59%4.45M
-18.59%4.45M
-48.71%5.46M
-48.71%5.46M
-69.16%10.65M
-69.16%10.65M
448.01%34.54M
448.01%34.54M
Total assets
-31.50%4.37M
-31.50%4.37M
-36.76%6.37M
-36.76%6.37M
-41.87%10.08M
-41.87%10.08M
-61.81%17.34M
-61.81%17.34M
102.47%45.4M
102.47%45.4M
Liabilities
Current liabilities
Current debt and capital lease obligation
--29.39K
--29.39K
----
----
-72.89%459.24K
-72.89%459.24K
-35.30%1.69M
-35.30%1.69M
5,112.78%2.62M
5,112.78%2.62M
-Current debt
--29.39K
--29.39K
----
----
----
----
-75.32%39.5K
-75.32%39.5K
--160.02K
--160.02K
-Current capital lease obligation
----
----
----
----
-72.24%459.24K
-72.24%459.24K
-32.69%1.65M
-32.69%1.65M
4,794.21%2.46M
4,794.21%2.46M
Payables
13.93%1.14M
13.93%1.14M
-79.43%1M
-79.43%1M
-33.42%4.86M
-33.42%4.86M
-34.88%7.31M
-34.88%7.31M
205.53%11.22M
205.53%11.22M
-accounts payable
270.46%589.31K
270.46%589.31K
-92.86%159.08K
-92.86%159.08K
70.50%2.23M
70.50%2.23M
-46.88%1.31M
-46.88%1.31M
-12.48%2.46M
-12.48%2.46M
-Other payable
-34.58%550.35K
-34.58%550.35K
-68.08%841.26K
-68.08%841.26K
-56.06%2.64M
-56.06%2.64M
-31.51%6M
-31.51%6M
916.78%8.76M
916.78%8.76M
Current provisions
43.62%374.73K
43.62%374.73K
-14.42%260.92K
-14.42%260.92K
-59.35%304.87K
-59.35%304.87K
--750.07K
--750.07K
----
----
Pension and other retirement benefit plans
----
----
----
----
-54.09%292.89K
-54.09%292.89K
35.36%637.9K
35.36%637.9K
-40.24%471.28K
-40.24%471.28K
Current liabilities
22.40%1.54M
22.40%1.54M
-78.70%1.26M
-78.70%1.26M
-43.00%5.92M
-43.00%5.92M
-27.40%10.39M
-27.40%10.39M
217.21%14.31M
217.21%14.31M
Non current liabilities
Long term debt and capital lease obligation
--2.16M
--2.16M
----
----
-95.52%61K
-95.52%61K
-89.48%1.36M
-89.48%1.36M
16,325.40%12.94M
16,325.40%12.94M
-Long term debt
--2.16M
--2.16M
----
----
----
----
----
----
----
----
-Long term capital lease obligation
----
----
----
----
-95.52%61K
-95.52%61K
-89.48%1.36M
-89.48%1.36M
16,325.40%12.94M
16,325.40%12.94M
Long term accounts payable and other payables
--93.87K
--93.87K
----
----
----
----
-89.24%228.9K
-89.24%228.9K
--2.13M
--2.13M
Total non current liabilities
--2.26M
--2.26M
--0
--0
-96.16%61K
-96.16%61K
-89.44%1.59M
-89.44%1.59M
19,025.94%15.06M
19,025.94%15.06M
Total liabilities
201.32%3.8M
201.32%3.8M
-78.91%1.26M
-78.91%1.26M
-50.06%5.98M
-50.06%5.98M
-59.22%11.98M
-59.22%11.98M
540.01%29.37M
540.01%29.37M
Shareholders'equity
Share capital
2.89%59.08M
2.89%59.08M
6.70%57.42M
6.70%57.42M
9.61%53.81M
9.61%53.81M
36.55%49.09M
36.55%49.09M
9.37%35.95M
9.37%35.95M
-common stock
2.89%59.08M
2.89%59.08M
6.70%57.42M
6.70%57.42M
9.61%53.81M
9.61%53.81M
36.55%49.09M
36.55%49.09M
9.37%35.95M
9.37%35.95M
Retained earnings
-11.02%-60.72M
-11.02%-60.72M
-5.64%-54.69M
-5.64%-54.69M
-13.56%-51.77M
-13.56%-51.77M
-78.98%-45.59M
-78.98%-45.59M
-25.33%-25.47M
-25.33%-25.47M
Gains losses not affecting retained earnings
-9.11%2.17M
-9.11%2.17M
14.39%2.38M
14.39%2.38M
10.53%2.08M
10.53%2.08M
-66.02%1.88M
-66.02%1.88M
4.94%5.55M
4.94%5.55M
Total stockholders'equity
-89.73%524.74K
-89.73%524.74K
23.91%5.11M
23.91%5.11M
-23.43%4.13M
-23.43%4.13M
-66.39%5.39M
-66.39%5.39M
-10.13%16.03M
-10.13%16.03M
Noncontrolling interests
--40.16K
--40.16K
----
----
0.00%-28.92K
0.00%-28.92K
---28.92K
---28.92K
----
----
Total equity
-88.95%564.9K
-88.95%564.9K
24.79%5.11M
24.79%5.11M
-23.55%4.1M
-23.55%4.1M
-66.57%5.36M
-66.57%5.36M
-10.13%16.03M
-10.13%16.03M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(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 31.02%2.03M31.02%2.03M-49.05%1.55M-49.05%1.55M-28.67%3.04M-28.67%3.04M-48.17%4.26M-48.17%4.26M-17.85%8.23M-17.85%8.23M
-Cash and cash equivalents 42.45%1.99M42.45%1.99M-54.18%1.39M-54.18%1.39M-28.67%3.04M-28.67%3.04M-48.17%4.26M-48.17%4.26M-17.85%8.23M-17.85%8.23M
-Short term investments -71.01%45.22K-71.01%45.22K--156.02K--156.02K------------------------
Receivables 4,774.67%539.63K4,774.67%539.63K-85.36%11.07K-85.36%11.07K-51.58%75.6K-51.58%75.6K-80.65%156.14K-80.65%156.14K9.96%807.11K9.96%807.11K
-Accounts receivable 4,667.38%527.75K4,667.38%527.75K-85.32%11.07K-85.32%11.07K-47.29%75.39K-47.29%75.39K-62.71%143.02K-62.71%143.02K-32.84%383.51K-32.84%383.51K
-Other receivables --11.88K--11.88K---------98.39%212-98.39%212-96.90%13.13K-96.90%13.13K159.90%423.6K159.90%423.6K
Inventory 281.05%1.22M281.05%1.22M-77.40%320.52K-77.40%320.52K-21.20%1.42M-21.20%1.42M3.86%1.8M3.86%1.8M-65.95%1.73M-65.95%1.73M
Prepaid assets 40.89%61.3K40.89%61.3K-44.86%43.51K-44.86%43.51K-83.00%78.92K-83.00%78.92K406.31%464.14K406.31%464.14K-67.49%91.67K-67.49%91.67K
Total current assets 100.16%3.85M100.16%3.85M-58.28%1.92M-58.28%1.92M-30.97%4.61M-30.97%4.61M-38.45%6.68M-38.45%6.68M-32.63%10.86M-32.63%10.86M
Non current assets
Net PPE 57.17%274.82K57.17%274.82K-80.26%174.85K-80.26%174.85K-77.30%885.7K-77.30%885.7K-77.15%3.9M-77.15%3.9M540.78%17.08M540.78%17.08M
-Gross PPE 18.99%662.38K18.99%662.38K-86.42%556.67K-86.42%556.67K-49.07%4.1M-49.07%4.1M-61.37%8.05M-61.37%8.05M504.51%20.83M504.51%20.83M
-Accumulated depreciation -1.50%-387.57K-1.50%-387.57K88.12%-381.82K88.12%-381.82K22.50%-3.21M22.50%-3.21M-10.44%-4.15M-10.44%-4.15M-380.74%-3.75M-380.74%-3.75M
Investments and advances 170.52%203.32K170.52%203.32K-3.09%75.16K-3.09%75.16K-94.08%77.55K-94.08%77.55K8.40%1.31M8.40%1.31M-4.37%1.21M-4.37%1.21M
-Other investment 170.52%203.32K170.52%203.32K-3.09%75.16K-3.09%75.16K-94.08%77.55K-94.08%77.55K8.40%1.31M8.40%1.31M-4.37%1.21M-4.37%1.21M
Goodwill and other intangible assets ---------6.71%4.2M-6.71%4.2M-17.26%4.5M-17.26%4.5M-66.53%5.44M-66.53%5.44M584.81%16.25M584.81%16.25M
-Goodwill -----------------17.26%4.5M-17.26%4.5M-48.25%5.44M-48.25%5.44M342.88%10.51M342.88%10.51M
-Other intangible assets ----------4.2M--4.2M------------------5.74M--5.74M
Other non current assets --34.2K--34.2K--------------------------------
Total non current assets -88.48%512.34K-88.48%512.34K-18.59%4.45M-18.59%4.45M-48.71%5.46M-48.71%5.46M-69.16%10.65M-69.16%10.65M448.01%34.54M448.01%34.54M
Total assets -31.50%4.37M-31.50%4.37M-36.76%6.37M-36.76%6.37M-41.87%10.08M-41.87%10.08M-61.81%17.34M-61.81%17.34M102.47%45.4M102.47%45.4M
Liabilities
Current liabilities
Current debt and capital lease obligation --29.39K--29.39K---------72.89%459.24K-72.89%459.24K-35.30%1.69M-35.30%1.69M5,112.78%2.62M5,112.78%2.62M
-Current debt --29.39K--29.39K-----------------75.32%39.5K-75.32%39.5K--160.02K--160.02K
-Current capital lease obligation -----------------72.24%459.24K-72.24%459.24K-32.69%1.65M-32.69%1.65M4,794.21%2.46M4,794.21%2.46M
Payables 13.93%1.14M13.93%1.14M-79.43%1M-79.43%1M-33.42%4.86M-33.42%4.86M-34.88%7.31M-34.88%7.31M205.53%11.22M205.53%11.22M
-accounts payable 270.46%589.31K270.46%589.31K-92.86%159.08K-92.86%159.08K70.50%2.23M70.50%2.23M-46.88%1.31M-46.88%1.31M-12.48%2.46M-12.48%2.46M
-Other payable -34.58%550.35K-34.58%550.35K-68.08%841.26K-68.08%841.26K-56.06%2.64M-56.06%2.64M-31.51%6M-31.51%6M916.78%8.76M916.78%8.76M
Current provisions 43.62%374.73K43.62%374.73K-14.42%260.92K-14.42%260.92K-59.35%304.87K-59.35%304.87K--750.07K--750.07K--------
Pension and other retirement benefit plans -----------------54.09%292.89K-54.09%292.89K35.36%637.9K35.36%637.9K-40.24%471.28K-40.24%471.28K
Current liabilities 22.40%1.54M22.40%1.54M-78.70%1.26M-78.70%1.26M-43.00%5.92M-43.00%5.92M-27.40%10.39M-27.40%10.39M217.21%14.31M217.21%14.31M
Non current liabilities
Long term debt and capital lease obligation --2.16M--2.16M---------95.52%61K-95.52%61K-89.48%1.36M-89.48%1.36M16,325.40%12.94M16,325.40%12.94M
-Long term debt --2.16M--2.16M--------------------------------
-Long term capital lease obligation -----------------95.52%61K-95.52%61K-89.48%1.36M-89.48%1.36M16,325.40%12.94M16,325.40%12.94M
Long term accounts payable and other payables --93.87K--93.87K-----------------89.24%228.9K-89.24%228.9K--2.13M--2.13M
Total non current liabilities --2.26M--2.26M--0--0-96.16%61K-96.16%61K-89.44%1.59M-89.44%1.59M19,025.94%15.06M19,025.94%15.06M
Total liabilities 201.32%3.8M201.32%3.8M-78.91%1.26M-78.91%1.26M-50.06%5.98M-50.06%5.98M-59.22%11.98M-59.22%11.98M540.01%29.37M540.01%29.37M
Shareholders'equity
Share capital 2.89%59.08M2.89%59.08M6.70%57.42M6.70%57.42M9.61%53.81M9.61%53.81M36.55%49.09M36.55%49.09M9.37%35.95M9.37%35.95M
-common stock 2.89%59.08M2.89%59.08M6.70%57.42M6.70%57.42M9.61%53.81M9.61%53.81M36.55%49.09M36.55%49.09M9.37%35.95M9.37%35.95M
Retained earnings -11.02%-60.72M-11.02%-60.72M-5.64%-54.69M-5.64%-54.69M-13.56%-51.77M-13.56%-51.77M-78.98%-45.59M-78.98%-45.59M-25.33%-25.47M-25.33%-25.47M
Gains losses not affecting retained earnings -9.11%2.17M-9.11%2.17M14.39%2.38M14.39%2.38M10.53%2.08M10.53%2.08M-66.02%1.88M-66.02%1.88M4.94%5.55M4.94%5.55M
Total stockholders'equity -89.73%524.74K-89.73%524.74K23.91%5.11M23.91%5.11M-23.43%4.13M-23.43%4.13M-66.39%5.39M-66.39%5.39M-10.13%16.03M-10.13%16.03M
Noncontrolling interests --40.16K--40.16K--------0.00%-28.92K0.00%-28.92K---28.92K---28.92K--------
Total equity -88.95%564.9K-88.95%564.9K24.79%5.11M24.79%5.11M-23.55%4.1M-23.55%4.1M-66.57%5.36M-66.57%5.36M-10.13%16.03M-10.13%16.03M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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