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AVH AVITA Medical Inc

Watchlist
  • 4.390
  • +0.450+11.42%
20min DelayMarket Closed Dec 27 16:00 AET
575.48MMarket Cap-10.68P/E (Static)

AVITA Medical Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-26.14%44.41M
-18.16%54.06M
-7.17%68.18M
12.24%89.06M
12.24%89.06M
-28.57%60.12M
-21.70%66.05M
-11.90%73.45M
-6.83%79.34M
-28.36%79.34M
-Cash and cash equivalents
-63.35%18.64M
-53.44%17.45M
-39.57%16.95M
21.77%22.12M
21.77%22.12M
115.48%50.85M
7.91%37.49M
19.18%28.05M
-67.28%18.16M
-83.60%18.16M
-Short term investments
178.13%25.77M
28.16%36.6M
12.84%51.23M
9.42%66.94M
9.42%66.94M
-84.70%9.26M
-42.44%28.56M
-24.12%45.4M
106.34%61.18M
--61.18M
Receivables
69.74%13.29M
45.30%10.01M
80.80%9.37M
60.06%7.94M
60.06%7.94M
73.69%7.83M
57.03%6.89M
20.13%5.18M
41.19%4.96M
-37.08%4.96M
-Accounts receivable
75.11%10.29M
51.49%8.72M
57.29%7.08M
118.04%7.66M
118.04%7.66M
65.35%5.88M
48.15%5.75M
29.33%4.5M
12.73%3.52M
1.38%3.52M
-Due from related parties current
----
--979K
--941K
----
----
----
----
----
----
----
-Other receivables
53.61%3M
-72.33%314K
98.09%1.35M
-80.97%275K
-80.97%275K
104.71%1.96M
125.65%1.14M
-18.39%679K
265.82%1.45M
-67.28%1.45M
Inventory
42.31%6.23M
119.39%6.71M
155.10%7.17M
163.34%5.6M
163.34%5.6M
123.32%4.38M
51.24%3.06M
55.91%2.81M
-0.33%2.13M
29.02%2.13M
Prepaid assets
----
58.76%2.18M
12.05%1.27M
37.15%1.41M
37.15%1.41M
76.08%1.55M
63.69%1.38M
13.35%1.13M
-8.44%1.03M
20.87%1.03M
Current deferred assets
----
----
----
----
----
--56K
--126K
--189K
----
----
Total current assets
-13.53%63.93M
-5.85%72.96M
3.90%85.99M
18.92%104.01M
18.92%104.01M
-19.40%73.93M
-15.59%77.5M
-8.74%82.76M
-5.07%87.46M
-27.92%87.46M
Non current assets
Net PPE
189.35%12.93M
237.40%10.96M
140.53%7.57M
110.48%4.32M
110.48%4.32M
98.18%4.47M
32.50%3.25M
23.64%3.15M
-26.91%2.05M
-30.19%2.05M
-Gross PPE
137.62%15.98M
143.53%13.74M
87.80%10.19M
60.58%6.75M
60.58%6.75M
57.00%6.73M
29.51%5.64M
24.16%5.43M
-6.62%4.2M
-3.58%4.2M
-Accumulated depreciation
-35.18%-3.05M
-15.98%-2.77M
-14.93%-2.62M
-13.01%-2.43M
-13.01%-2.43M
-11.24%-2.26M
-25.64%-2.39M
-24.89%-2.28M
-26.96%-2.15M
-51.44%-2.15M
Investments and advances
----
----
----
--0
--0
--0
-59.16%2.75M
-64.15%4.19M
-64.81%6.93M
--6.93M
-Financial asset investment
----
----
----
--0
--0
--0
-59.16%2.75M
-64.15%4.19M
-64.81%6.93M
--6.93M
-Including:Available-for-sale securities
----
----
----
----
----
----
-59.16%2.75M
-64.15%4.19M
-64.81%6.93M
--6.93M
Non current prepaid assets
----
3.16%294K
24.35%286K
148.36%303K
148.36%303K
1.29%236K
128.00%285K
70.37%230K
-8.96%122K
-17.57%122K
Goodwill and other intangible assets
28.54%590K
19.52%545K
17.57%542K
4.73%487K
4.73%487K
2.23%459K
6.54%456K
10.82%461K
4.97%465K
-1.48%465K
-Other intangible assets
28.54%590K
19.52%545K
17.57%542K
4.73%487K
4.73%487K
2.23%459K
6.54%456K
10.82%461K
4.97%465K
-1.48%465K
Other non current assets
87.47%3.61M
46.68%3.07M
63.39%3M
104.12%2.53M
104.12%2.53M
102.85%1.92M
--2.09M
--1.83M
307.24%1.24M
--1.24M
Total non current assets
141.65%17.13M
68.29%14.87M
15.56%11.4M
-29.35%7.63M
-29.35%7.63M
-13.70%7.09M
-18.67%8.84M
-37.62%9.86M
-54.75%10.81M
159.07%10.81M
Total assets
0.05%81.05M
1.73%87.83M
5.14%97.38M
13.61%111.64M
13.61%111.64M
-18.93%81.01M
-15.91%86.33M
-13.02%92.62M
-15.30%98.26M
-21.70%98.26M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
25.00%820K
41.54%903K
46.24%895K
46.24%895K
28.77%904K
--656K
--638K
-15.00%612K
--612K
-Current capital lease obligation
----
25.00%820K
41.54%903K
46.24%895K
46.24%895K
28.77%904K
--656K
--638K
-15.00%612K
--612K
Payables
38.69%4.19M
8.29%4.16M
19.32%4.48M
26.35%3.79M
26.35%3.79M
-16.09%3.02M
53.79%3.84M
56.53%3.75M
10.86%3M
-3.78%3M
-accounts payable
38.69%4.19M
8.29%4.16M
19.32%4.48M
26.35%3.79M
26.35%3.79M
-16.09%3.02M
53.79%3.84M
56.53%3.75M
10.86%3M
-3.78%3M
Current accrued expenses
36.86%9.78M
22.97%7.62M
58.34%5.8M
20.37%7.97M
20.37%7.97M
49.56%7.14M
48.54%6.2M
25.77%3.67M
23.49%6.62M
99.43%6.62M
Current deferred liabilities
286.36%1.87M
-66.79%958K
-81.56%462K
-26.10%201K
-26.10%201K
--484K
--2.89M
--2.51M
--272K
--272K
Other current liabilities
357.34%1.31M
-0.86%230K
-76.57%217K
83.70%338K
83.70%338K
-34.55%286K
-80.94%232K
-21.92%926K
-48.17%184K
-80.61%184K
Current liabilities
44.82%17.14M
-0.17%13.79M
3.27%11.86M
23.44%13.2M
23.44%13.2M
24.42%11.84M
75.12%13.81M
76.79%11.49M
16.91%10.69M
44.70%10.69M
Non current liabilities
Long term debt and capital lease obligation
2,372.95%45.63M
4,128.27%44.27M
3,449.23%43.83M
13,466.67%41.51M
13,466.67%41.51M
355.56%1.85M
96.80%1.05M
70.11%1.24M
-66.67%306K
-65.15%306K
-Long term debt
--42.55M
--40.99M
--41.3M
--39.81M
--39.81M
----
----
----
----
----
-Long term capital lease obligation
66.88%3.08M
213.37%3.28M
105.02%2.53M
456.21%1.7M
456.21%1.7M
355.56%1.85M
96.80%1.05M
70.11%1.24M
-66.67%306K
-65.15%306K
Derivative product liabilities
--2.76M
--1.97M
--4.03M
--3.16M
--3.16M
----
----
----
--0
--0
Preferred securities outside stock equity
-64.39%224K
-67.59%398K
4.29%827K
24.42%693K
24.42%693K
131.25%629K
653.37%1.23M
--793K
--557K
--557K
Non current deferred liabilities
-17.50%3.07M
118.27%3.49M
175.50%4.26M
104.27%4.02M
104.27%4.02M
112.19%3.73M
96.56%1.6M
75.40%1.55M
62.11%1.97M
83.07%1.97M
Total non current liabilities
733.60%51.68M
1,194.19%50.12M
1,381.12%52.95M
1,644.44%49.39M
1,644.44%49.39M
154.83%6.2M
74.22%3.87M
64.07%3.58M
26.10%2.83M
15.27%2.83M
Total liabilities
281.59%68.82M
261.43%63.91M
330.33%64.81M
362.76%62.58M
362.76%62.58M
50.98%18.04M
74.92%17.68M
73.59%15.06M
18.73%13.52M
37.36%13.52M
Shareholders'equity
Share capital
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
-common stock
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
0.00%3K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Additional paid-in capital
4.77%363.77M
4.29%358.51M
3.16%353.21M
3.01%350.04M
3.01%350.04M
2.72%347.19M
2.11%343.77M
2.08%342.4M
2.21%339.83M
3.33%339.83M
Retained earnings
-19.70%-348.23M
-17.66%-332.02M
-16.49%-316.63M
-13.47%-297.97M
-13.47%-297.97M
-13.09%-290.9M
-12.14%-282.19M
-10.77%-271.81M
-11.30%-262.59M
-18.55%-262.59M
Gains losses not affecting retained earnings
-125.89%-2.07M
-119.55%-1.56M
-139.04%-3.07M
-124.74%-1.89M
-124.74%-1.89M
8.53%7.98M
5.61%7.96M
0.99%7.86M
-5.37%7.63M
-7.65%7.63M
Other equity interest
2.71%-1.26M
-14.57%-1.02M
-5.83%-944K
-789.76%-1.13M
-789.76%-1.13M
-915.75%-1.29M
---892K
---892K
---127K
---127K
Total stockholders'equity
-80.59%12.23M
-65.16%23.92M
-58.01%32.57M
-42.11%49.06M
-42.11%49.06M
-28.42%62.98M
-25.84%68.65M
-20.71%77.56M
-19.01%84.74M
-26.73%84.74M
Total equity
-80.59%12.23M
-65.16%23.92M
-58.01%32.57M
-42.11%49.06M
-42.11%49.06M
-28.42%62.98M
-25.84%68.65M
-20.71%77.56M
-19.01%84.74M
-26.73%84.74M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -26.14%44.41M-18.16%54.06M-7.17%68.18M12.24%89.06M12.24%89.06M-28.57%60.12M-21.70%66.05M-11.90%73.45M-6.83%79.34M-28.36%79.34M
-Cash and cash equivalents -63.35%18.64M-53.44%17.45M-39.57%16.95M21.77%22.12M21.77%22.12M115.48%50.85M7.91%37.49M19.18%28.05M-67.28%18.16M-83.60%18.16M
-Short term investments 178.13%25.77M28.16%36.6M12.84%51.23M9.42%66.94M9.42%66.94M-84.70%9.26M-42.44%28.56M-24.12%45.4M106.34%61.18M--61.18M
Receivables 69.74%13.29M45.30%10.01M80.80%9.37M60.06%7.94M60.06%7.94M73.69%7.83M57.03%6.89M20.13%5.18M41.19%4.96M-37.08%4.96M
-Accounts receivable 75.11%10.29M51.49%8.72M57.29%7.08M118.04%7.66M118.04%7.66M65.35%5.88M48.15%5.75M29.33%4.5M12.73%3.52M1.38%3.52M
-Due from related parties current ------979K--941K----------------------------
-Other receivables 53.61%3M-72.33%314K98.09%1.35M-80.97%275K-80.97%275K104.71%1.96M125.65%1.14M-18.39%679K265.82%1.45M-67.28%1.45M
Inventory 42.31%6.23M119.39%6.71M155.10%7.17M163.34%5.6M163.34%5.6M123.32%4.38M51.24%3.06M55.91%2.81M-0.33%2.13M29.02%2.13M
Prepaid assets ----58.76%2.18M12.05%1.27M37.15%1.41M37.15%1.41M76.08%1.55M63.69%1.38M13.35%1.13M-8.44%1.03M20.87%1.03M
Current deferred assets ----------------------56K--126K--189K--------
Total current assets -13.53%63.93M-5.85%72.96M3.90%85.99M18.92%104.01M18.92%104.01M-19.40%73.93M-15.59%77.5M-8.74%82.76M-5.07%87.46M-27.92%87.46M
Non current assets
Net PPE 189.35%12.93M237.40%10.96M140.53%7.57M110.48%4.32M110.48%4.32M98.18%4.47M32.50%3.25M23.64%3.15M-26.91%2.05M-30.19%2.05M
-Gross PPE 137.62%15.98M143.53%13.74M87.80%10.19M60.58%6.75M60.58%6.75M57.00%6.73M29.51%5.64M24.16%5.43M-6.62%4.2M-3.58%4.2M
-Accumulated depreciation -35.18%-3.05M-15.98%-2.77M-14.93%-2.62M-13.01%-2.43M-13.01%-2.43M-11.24%-2.26M-25.64%-2.39M-24.89%-2.28M-26.96%-2.15M-51.44%-2.15M
Investments and advances --------------0--0--0-59.16%2.75M-64.15%4.19M-64.81%6.93M--6.93M
-Financial asset investment --------------0--0--0-59.16%2.75M-64.15%4.19M-64.81%6.93M--6.93M
-Including:Available-for-sale securities -------------------------59.16%2.75M-64.15%4.19M-64.81%6.93M--6.93M
Non current prepaid assets ----3.16%294K24.35%286K148.36%303K148.36%303K1.29%236K128.00%285K70.37%230K-8.96%122K-17.57%122K
Goodwill and other intangible assets 28.54%590K19.52%545K17.57%542K4.73%487K4.73%487K2.23%459K6.54%456K10.82%461K4.97%465K-1.48%465K
-Other intangible assets 28.54%590K19.52%545K17.57%542K4.73%487K4.73%487K2.23%459K6.54%456K10.82%461K4.97%465K-1.48%465K
Other non current assets 87.47%3.61M46.68%3.07M63.39%3M104.12%2.53M104.12%2.53M102.85%1.92M--2.09M--1.83M307.24%1.24M--1.24M
Total non current assets 141.65%17.13M68.29%14.87M15.56%11.4M-29.35%7.63M-29.35%7.63M-13.70%7.09M-18.67%8.84M-37.62%9.86M-54.75%10.81M159.07%10.81M
Total assets 0.05%81.05M1.73%87.83M5.14%97.38M13.61%111.64M13.61%111.64M-18.93%81.01M-15.91%86.33M-13.02%92.62M-15.30%98.26M-21.70%98.26M
Liabilities
Current liabilities
Current debt and capital lease obligation ----25.00%820K41.54%903K46.24%895K46.24%895K28.77%904K--656K--638K-15.00%612K--612K
-Current capital lease obligation ----25.00%820K41.54%903K46.24%895K46.24%895K28.77%904K--656K--638K-15.00%612K--612K
Payables 38.69%4.19M8.29%4.16M19.32%4.48M26.35%3.79M26.35%3.79M-16.09%3.02M53.79%3.84M56.53%3.75M10.86%3M-3.78%3M
-accounts payable 38.69%4.19M8.29%4.16M19.32%4.48M26.35%3.79M26.35%3.79M-16.09%3.02M53.79%3.84M56.53%3.75M10.86%3M-3.78%3M
Current accrued expenses 36.86%9.78M22.97%7.62M58.34%5.8M20.37%7.97M20.37%7.97M49.56%7.14M48.54%6.2M25.77%3.67M23.49%6.62M99.43%6.62M
Current deferred liabilities 286.36%1.87M-66.79%958K-81.56%462K-26.10%201K-26.10%201K--484K--2.89M--2.51M--272K--272K
Other current liabilities 357.34%1.31M-0.86%230K-76.57%217K83.70%338K83.70%338K-34.55%286K-80.94%232K-21.92%926K-48.17%184K-80.61%184K
Current liabilities 44.82%17.14M-0.17%13.79M3.27%11.86M23.44%13.2M23.44%13.2M24.42%11.84M75.12%13.81M76.79%11.49M16.91%10.69M44.70%10.69M
Non current liabilities
Long term debt and capital lease obligation 2,372.95%45.63M4,128.27%44.27M3,449.23%43.83M13,466.67%41.51M13,466.67%41.51M355.56%1.85M96.80%1.05M70.11%1.24M-66.67%306K-65.15%306K
-Long term debt --42.55M--40.99M--41.3M--39.81M--39.81M--------------------
-Long term capital lease obligation 66.88%3.08M213.37%3.28M105.02%2.53M456.21%1.7M456.21%1.7M355.56%1.85M96.80%1.05M70.11%1.24M-66.67%306K-65.15%306K
Derivative product liabilities --2.76M--1.97M--4.03M--3.16M--3.16M--------------0--0
Preferred securities outside stock equity -64.39%224K-67.59%398K4.29%827K24.42%693K24.42%693K131.25%629K653.37%1.23M--793K--557K--557K
Non current deferred liabilities -17.50%3.07M118.27%3.49M175.50%4.26M104.27%4.02M104.27%4.02M112.19%3.73M96.56%1.6M75.40%1.55M62.11%1.97M83.07%1.97M
Total non current liabilities 733.60%51.68M1,194.19%50.12M1,381.12%52.95M1,644.44%49.39M1,644.44%49.39M154.83%6.2M74.22%3.87M64.07%3.58M26.10%2.83M15.27%2.83M
Total liabilities 281.59%68.82M261.43%63.91M330.33%64.81M362.76%62.58M362.76%62.58M50.98%18.04M74.92%17.68M73.59%15.06M18.73%13.52M37.36%13.52M
Shareholders'equity
Share capital 0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K
-common stock 0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K0.00%3K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Additional paid-in capital 4.77%363.77M4.29%358.51M3.16%353.21M3.01%350.04M3.01%350.04M2.72%347.19M2.11%343.77M2.08%342.4M2.21%339.83M3.33%339.83M
Retained earnings -19.70%-348.23M-17.66%-332.02M-16.49%-316.63M-13.47%-297.97M-13.47%-297.97M-13.09%-290.9M-12.14%-282.19M-10.77%-271.81M-11.30%-262.59M-18.55%-262.59M
Gains losses not affecting retained earnings -125.89%-2.07M-119.55%-1.56M-139.04%-3.07M-124.74%-1.89M-124.74%-1.89M8.53%7.98M5.61%7.96M0.99%7.86M-5.37%7.63M-7.65%7.63M
Other equity interest 2.71%-1.26M-14.57%-1.02M-5.83%-944K-789.76%-1.13M-789.76%-1.13M-915.75%-1.29M---892K---892K---127K---127K
Total stockholders'equity -80.59%12.23M-65.16%23.92M-58.01%32.57M-42.11%49.06M-42.11%49.06M-28.42%62.98M-25.84%68.65M-20.71%77.56M-19.01%84.74M-26.73%84.74M
Total equity -80.59%12.23M-65.16%23.92M-58.01%32.57M-42.11%49.06M-42.11%49.06M-28.42%62.98M-25.84%68.65M-20.71%77.56M-19.01%84.74M-26.73%84.74M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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