AU Stock MarketDetailed Quotes

BTN Butn Ltd

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  • 0.062
  • 0.0000.00%
20min DelayMarket Closed Oct 2 16:00 AET
17.32MMarket Cap-1033P/E (Static)

Butn 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
Assets
Current assets
Cash, cash equivalents and short term investments
-8.94%13.36M
-8.94%13.36M
-7.05%14.67M
-7.05%14.67M
1.72%15.78M
--15.78M
--15.52M
-Cash and cash equivalents
-8.94%13.36M
-8.94%13.36M
-7.05%14.67M
-7.05%14.67M
1.72%15.78M
--15.78M
--15.52M
-Accounts receivable
-0.78%79.2M
-0.78%79.2M
43.95%79.82M
43.95%79.82M
87.54%55.45M
--55.45M
--29.57M
-Notes receivable
27.53%33.24K
27.53%33.24K
-74.23%26.06K
-74.23%26.06K
43.98%101.14K
--101.14K
--70.25K
-Other receivables
1.02%1.77M
1.02%1.77M
28.74%1.76M
28.74%1.76M
123.75%1.36M
--1.36M
--609.68K
Total current assets
-5.35%88.84M
-5.35%88.84M
31.77%93.87M
31.77%93.87M
54.23%71.24M
--71.24M
--46.19M
Non current assets
-Long term equity investment
-80.85%11.18M
-80.85%11.18M
3.60%58.38M
3.60%58.38M
45.15%56.35M
--56.35M
--38.82M
Non current note receivables
0.05%1.36M
0.05%1.36M
-6.33%1.36M
-6.33%1.36M
0.00%1.45M
--1.45M
--1.45M
-Goodwill
-71.68%1.06M
-71.68%1.06M
-26.93%3.75M
-26.93%3.75M
-9.30%5.13M
--5.13M
--5.66M
Regulatory assets
-4.82%75.33M
-4.82%75.33M
43.33%79.15M
43.33%79.15M
85.58%55.22M
--55.22M
--29.75M
Liabilities
Current liabilities
Current debt and capital lease obligation
224.24%68.55M
224.24%68.55M
380,672.68%21.14M
380,672.68%21.14M
-99.93%5.55K
--5.55K
--7.94M
-Current debt
224.24%68.55M
224.24%68.55M
380,672.68%21.14M
380,672.68%21.14M
-99.93%5.55K
--5.55K
--7.94M
-accounts payable
-64.40%170.63K
-64.40%170.63K
-39.94%479.32K
-39.94%479.32K
12.50%798.08K
--798.08K
--709.38K
-Total tax payable
-80.80%11.21M
-80.80%11.21M
3.46%58.4M
3.46%58.4M
45.15%56.45M
--56.45M
--38.89M
Current provisions
----
----
----
----
----
----
--22.18K
Current deferred liabilities
-7.30%720.11K
-7.30%720.11K
40.61%776.85K
40.61%776.85K
5.84%552.48K
--552.48K
--522K
Current liabilities
188.55%71.95M
188.55%71.95M
644.92%24.93M
644.92%24.93M
-69.03%3.35M
--3.35M
--10.81M
Non current liabilities
Long term debt and capital lease obligation
0.00%55K
0.00%55K
0.00%55K
0.00%55K
0.00%55K
--55K
--55K
Long term provisions
-80.85%11.18M
-80.85%11.18M
3.60%58.38M
3.60%58.38M
45.15%56.35M
--56.35M
--38.82M
Employee benefits
27.53%33.24K
27.53%33.24K
-74.23%26.06K
-74.23%26.06K
43.98%101.14K
--101.14K
--70.25K
Regulatory liabilities
-400.00%-4M
-400.00%-4M
-66.67%-800K
-66.67%-800K
-71.43%-480K
---480K
---280K
Preferred securities outside stock equity
-5.99%733.91K
-5.99%733.91K
24.54%780.71K
24.54%780.71K
60.15%626.89K
--626.89K
--391.43K
Total non current liabilities
-0.21%83.16M
-0.21%83.16M
39.37%83.34M
39.37%83.34M
20.31%59.8M
--59.8M
--49.7M
Shareholders'equity
Share capital
13.22%39.77M
13.22%39.77M
11.96%35.12M
11.96%35.12M
258.37%31.37M
--31.37M
--8.75M
-common stock
13.22%39.77M
13.22%39.77M
11.96%35.12M
11.96%35.12M
258.37%31.37M
--31.37M
--8.75M
Gains losses not affecting retained earnings
11.77%1.48M
11.77%1.48M
42.36%1.33M
42.36%1.33M
102.87%931.35K
--931.35K
--459.08K
Other equity interest
----
----
----
----
----
----
--854.99K
Total equity
-7.79%91.27M
-7.79%91.27M
27.19%98.98M
27.19%98.98M
46.01%77.82M
--77.82M
--53.3M
(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
Assets
Current assets
Cash, cash equivalents and short term investments -8.94%13.36M-8.94%13.36M-7.05%14.67M-7.05%14.67M1.72%15.78M--15.78M--15.52M
-Cash and cash equivalents -8.94%13.36M-8.94%13.36M-7.05%14.67M-7.05%14.67M1.72%15.78M--15.78M--15.52M
-Accounts receivable -0.78%79.2M-0.78%79.2M43.95%79.82M43.95%79.82M87.54%55.45M--55.45M--29.57M
-Notes receivable 27.53%33.24K27.53%33.24K-74.23%26.06K-74.23%26.06K43.98%101.14K--101.14K--70.25K
-Other receivables 1.02%1.77M1.02%1.77M28.74%1.76M28.74%1.76M123.75%1.36M--1.36M--609.68K
Total current assets -5.35%88.84M-5.35%88.84M31.77%93.87M31.77%93.87M54.23%71.24M--71.24M--46.19M
Non current assets
-Long term equity investment -80.85%11.18M-80.85%11.18M3.60%58.38M3.60%58.38M45.15%56.35M--56.35M--38.82M
Non current note receivables 0.05%1.36M0.05%1.36M-6.33%1.36M-6.33%1.36M0.00%1.45M--1.45M--1.45M
-Goodwill -71.68%1.06M-71.68%1.06M-26.93%3.75M-26.93%3.75M-9.30%5.13M--5.13M--5.66M
Regulatory assets -4.82%75.33M-4.82%75.33M43.33%79.15M43.33%79.15M85.58%55.22M--55.22M--29.75M
Liabilities
Current liabilities
Current debt and capital lease obligation 224.24%68.55M224.24%68.55M380,672.68%21.14M380,672.68%21.14M-99.93%5.55K--5.55K--7.94M
-Current debt 224.24%68.55M224.24%68.55M380,672.68%21.14M380,672.68%21.14M-99.93%5.55K--5.55K--7.94M
-accounts payable -64.40%170.63K-64.40%170.63K-39.94%479.32K-39.94%479.32K12.50%798.08K--798.08K--709.38K
-Total tax payable -80.80%11.21M-80.80%11.21M3.46%58.4M3.46%58.4M45.15%56.45M--56.45M--38.89M
Current provisions --------------------------22.18K
Current deferred liabilities -7.30%720.11K-7.30%720.11K40.61%776.85K40.61%776.85K5.84%552.48K--552.48K--522K
Current liabilities 188.55%71.95M188.55%71.95M644.92%24.93M644.92%24.93M-69.03%3.35M--3.35M--10.81M
Non current liabilities
Long term debt and capital lease obligation 0.00%55K0.00%55K0.00%55K0.00%55K0.00%55K--55K--55K
Long term provisions -80.85%11.18M-80.85%11.18M3.60%58.38M3.60%58.38M45.15%56.35M--56.35M--38.82M
Employee benefits 27.53%33.24K27.53%33.24K-74.23%26.06K-74.23%26.06K43.98%101.14K--101.14K--70.25K
Regulatory liabilities -400.00%-4M-400.00%-4M-66.67%-800K-66.67%-800K-71.43%-480K---480K---280K
Preferred securities outside stock equity -5.99%733.91K-5.99%733.91K24.54%780.71K24.54%780.71K60.15%626.89K--626.89K--391.43K
Total non current liabilities -0.21%83.16M-0.21%83.16M39.37%83.34M39.37%83.34M20.31%59.8M--59.8M--49.7M
Shareholders'equity
Share capital 13.22%39.77M13.22%39.77M11.96%35.12M11.96%35.12M258.37%31.37M--31.37M--8.75M
-common stock 13.22%39.77M13.22%39.77M11.96%35.12M11.96%35.12M258.37%31.37M--31.37M--8.75M
Gains losses not affecting retained earnings 11.77%1.48M11.77%1.48M42.36%1.33M42.36%1.33M102.87%931.35K--931.35K--459.08K
Other equity interest --------------------------854.99K
Total equity -7.79%91.27M-7.79%91.27M27.19%98.98M27.19%98.98M46.01%77.82M--77.82M--53.3M

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