AU Stock MarketDetailed Quotes

CCX City Chic Collective Ltd

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  • 0.125
  • 0.0000.00%
20min DelayMarket Closed Jul 12 16:00 AET
41.11MMarket Cap-348P/E (Static)

City Chic Collective 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
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
24.73%12.41M
24.73%12.41M
-86.07%9.95M
-86.07%9.95M
234.19%71.46M
234.19%71.46M
-7.89%21.38M
-7.89%21.38M
-19.76%23.21M
-19.76%23.21M
-Cash and cash equivalents
24.73%12.41M
24.73%12.41M
-86.07%9.95M
-86.07%9.95M
234.19%71.46M
234.19%71.46M
-7.89%21.38M
-7.89%21.38M
-19.76%23.21M
-19.76%23.21M
-Accounts receivable
-35.63%5.31M
-35.63%5.31M
239.31%8.25M
239.31%8.25M
-8.91%2.43M
-8.91%2.43M
-36.14%2.67M
-36.14%2.67M
--4.18M
--4.18M
-Notes receivable
6.40%449K
6.40%449K
-8.06%422K
-8.06%422K
35.40%459K
35.40%459K
14.14%339K
14.14%339K
-79.49%297K
-79.49%297K
-Other receivables
1.62%43.2M
1.62%43.2M
49.15%42.51M
49.15%42.51M
30.79%28.5M
30.79%28.5M
46.25%21.79M
46.25%21.79M
-60.08%14.9M
-60.08%14.9M
Current deferred assets
--2.63M
--2.63M
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----
----
----
----
----
----
----
Holding assets for sale
--13.2M
--13.2M
----
----
----
----
----
----
----
----
Total current assets
-57.72%93.74M
-57.72%93.74M
46.92%221.75M
46.92%221.75M
125.98%150.93M
125.98%150.93M
37.81%66.79M
37.81%66.79M
-72.14%48.46M
-72.14%48.46M
Non current assets
-Accumulated depreciation
-33.55%-38M
-33.55%-38M
-7.40%-28.46M
-7.40%-28.46M
-13.18%-26.5M
-13.18%-26.5M
-61.89%-23.41M
-61.89%-23.41M
10.76%-14.46M
10.76%-14.46M
-Long term equity investment
24.52%47.54M
24.52%47.54M
103.41%38.18M
103.41%38.18M
-47.13%18.77M
-47.13%18.77M
--35.5M
--35.5M
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----
Non current note receivables
22.99%9.02M
22.99%9.02M
-6.12%7.33M
-6.12%7.33M
-9.85%7.81M
-9.85%7.81M
-28.17%8.66M
-28.17%8.66M
125.41%12.06M
125.41%12.06M
-Goodwill
-23.83%64.49M
-23.83%64.49M
11.99%84.67M
11.99%84.67M
92.90%75.6M
92.90%75.6M
158.65%39.19M
158.65%39.19M
50.10%15.15M
50.10%15.15M
Regulatory assets
-31.13%7.58M
-31.13%7.58M
96.41%11.01M
96.41%11.01M
10.51%5.61M
10.51%5.61M
10.91%5.07M
10.91%5.07M
35.37%4.57M
35.37%4.57M
Non current deferred assets
--90K
--90K
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----
----
----
----
----
----
----
Liabilities
Current liabilities
Current debt and capital lease obligation
53.23%13.93M
53.23%13.93M
-2.11%9.09M
-2.11%9.09M
1.01%9.29M
1.01%9.29M
--9.19M
--9.19M
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----
-Current debt
--1.5M
--1.5M
----
----
----
----
----
----
----
----
-Current capital lease obligation
36.73%12.43M
36.73%12.43M
-2.11%9.09M
-2.11%9.09M
1.01%9.29M
1.01%9.29M
--9.19M
--9.19M
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----
-accounts payable
-79.38%7.8M
-79.38%7.8M
182.31%37.82M
182.31%37.82M
-14.88%13.4M
-14.88%13.4M
48.15%15.74M
48.15%15.74M
52.68%10.62M
52.68%10.62M
-Total tax payable
24.68%48.6M
24.68%48.6M
95.62%38.98M
95.62%38.98M
-45.06%19.93M
-45.06%19.93M
850.55%36.27M
850.55%36.27M
-74.64%3.82M
-74.64%3.82M
Current provisions
-39.52%3.16M
-39.52%3.16M
1.10%5.23M
1.10%5.23M
24.69%5.17M
24.69%5.17M
48.85%4.15M
48.85%4.15M
-53.52%2.79M
-53.52%2.79M
Current deferred liabilities
19.28%3.92M
19.28%3.92M
80.64%3.28M
80.64%3.28M
-28.14%1.82M
-28.14%1.82M
-54.37%2.53M
-54.37%2.53M
--5.54M
--5.54M
Current liabilities
-27.83%76.35M
-27.83%76.35M
64.93%105.79M
64.93%105.79M
15.20%64.14M
15.20%64.14M
50.90%55.68M
50.90%55.68M
-74.37%36.9M
-74.37%36.9M
Non current liabilities
-Long term debt
96.62%47.54M
96.62%47.54M
28.82%24.18M
28.82%24.18M
4.28%18.77M
4.28%18.77M
--18M
--18M
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----
Non current accrued expenses
69.04%70.34M
69.04%70.34M
27.51%41.61M
27.51%41.61M
4.61%32.63M
4.61%32.63M
235.22%31.2M
235.22%31.2M
39.23%9.31M
39.23%9.31M
Long term provisions
----
----
--14M
--14M
----
----
--17.5M
--17.5M
----
----
Employee benefits
6.40%449K
6.40%449K
-8.06%422K
-8.06%422K
35.40%459K
35.40%459K
14.14%339K
14.14%339K
-79.49%297K
-79.49%297K
Regulatory liabilities
21.24%-241K
21.24%-241K
-51.49%-306K
-51.49%-306K
42.94%-202K
42.94%-202K
---354K
---354K
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----
Preferred securities outside stock equity
3.90%3.7M
3.90%3.7M
22.80%3.56M
22.80%3.56M
31.59%2.9M
31.59%2.9M
-3.59%2.2M
-3.59%2.2M
63.10%2.29M
63.10%2.29M
Total non current liabilities
-13.69%124.95M
-13.69%124.95M
72.21%144.77M
72.21%144.77M
-8.57%84.07M
-8.57%84.07M
125.85%91.95M
125.85%91.95M
-74.39%40.71M
-74.39%40.71M
Shareholders'equity
Share capital
0.00%182.17M
0.00%182.17M
15.03%182.17M
15.03%182.17M
222.29%158.37M
222.29%158.37M
0.00%49.14M
0.00%49.14M
0.00%49.14M
0.00%49.14M
-common stock
0.00%182.17M
0.00%182.17M
15.03%182.17M
15.03%182.17M
222.29%158.37M
222.29%158.37M
0.00%49.14M
0.00%49.14M
0.00%49.14M
0.00%49.14M
Gains losses not affecting retained earnings
6.64%-27.05M
6.64%-27.05M
-7,048.44%-28.98M
-7,048.44%-28.98M
-80.95%417K
-80.95%417K
982.66%2.19M
982.66%2.19M
76.31%-248K
76.31%-248K
Other equity interest
10.02%1.76M
10.02%1.76M
22.28%1.6M
22.28%1.6M
-10.67%1.31M
-10.67%1.31M
215.09%1.46M
215.09%1.46M
--464K
--464K
Total equity
-33.12%237.68M
-33.12%237.68M
33.10%355.35M
33.10%355.35M
83.06%266.97M
83.06%266.97M
71.62%145.84M
71.62%145.84M
-56.67%84.98M
-56.67%84.98M
(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(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments 24.73%12.41M24.73%12.41M-86.07%9.95M-86.07%9.95M234.19%71.46M234.19%71.46M-7.89%21.38M-7.89%21.38M-19.76%23.21M-19.76%23.21M
-Cash and cash equivalents 24.73%12.41M24.73%12.41M-86.07%9.95M-86.07%9.95M234.19%71.46M234.19%71.46M-7.89%21.38M-7.89%21.38M-19.76%23.21M-19.76%23.21M
-Accounts receivable -35.63%5.31M-35.63%5.31M239.31%8.25M239.31%8.25M-8.91%2.43M-8.91%2.43M-36.14%2.67M-36.14%2.67M--4.18M--4.18M
-Notes receivable 6.40%449K6.40%449K-8.06%422K-8.06%422K35.40%459K35.40%459K14.14%339K14.14%339K-79.49%297K-79.49%297K
-Other receivables 1.62%43.2M1.62%43.2M49.15%42.51M49.15%42.51M30.79%28.5M30.79%28.5M46.25%21.79M46.25%21.79M-60.08%14.9M-60.08%14.9M
Current deferred assets --2.63M--2.63M--------------------------------
Holding assets for sale --13.2M--13.2M--------------------------------
Total current assets -57.72%93.74M-57.72%93.74M46.92%221.75M46.92%221.75M125.98%150.93M125.98%150.93M37.81%66.79M37.81%66.79M-72.14%48.46M-72.14%48.46M
Non current assets
-Accumulated depreciation -33.55%-38M-33.55%-38M-7.40%-28.46M-7.40%-28.46M-13.18%-26.5M-13.18%-26.5M-61.89%-23.41M-61.89%-23.41M10.76%-14.46M10.76%-14.46M
-Long term equity investment 24.52%47.54M24.52%47.54M103.41%38.18M103.41%38.18M-47.13%18.77M-47.13%18.77M--35.5M--35.5M--------
Non current note receivables 22.99%9.02M22.99%9.02M-6.12%7.33M-6.12%7.33M-9.85%7.81M-9.85%7.81M-28.17%8.66M-28.17%8.66M125.41%12.06M125.41%12.06M
-Goodwill -23.83%64.49M-23.83%64.49M11.99%84.67M11.99%84.67M92.90%75.6M92.90%75.6M158.65%39.19M158.65%39.19M50.10%15.15M50.10%15.15M
Regulatory assets -31.13%7.58M-31.13%7.58M96.41%11.01M96.41%11.01M10.51%5.61M10.51%5.61M10.91%5.07M10.91%5.07M35.37%4.57M35.37%4.57M
Non current deferred assets --90K--90K--------------------------------
Liabilities
Current liabilities
Current debt and capital lease obligation 53.23%13.93M53.23%13.93M-2.11%9.09M-2.11%9.09M1.01%9.29M1.01%9.29M--9.19M--9.19M--------
-Current debt --1.5M--1.5M--------------------------------
-Current capital lease obligation 36.73%12.43M36.73%12.43M-2.11%9.09M-2.11%9.09M1.01%9.29M1.01%9.29M--9.19M--9.19M--------
-accounts payable -79.38%7.8M-79.38%7.8M182.31%37.82M182.31%37.82M-14.88%13.4M-14.88%13.4M48.15%15.74M48.15%15.74M52.68%10.62M52.68%10.62M
-Total tax payable 24.68%48.6M24.68%48.6M95.62%38.98M95.62%38.98M-45.06%19.93M-45.06%19.93M850.55%36.27M850.55%36.27M-74.64%3.82M-74.64%3.82M
Current provisions -39.52%3.16M-39.52%3.16M1.10%5.23M1.10%5.23M24.69%5.17M24.69%5.17M48.85%4.15M48.85%4.15M-53.52%2.79M-53.52%2.79M
Current deferred liabilities 19.28%3.92M19.28%3.92M80.64%3.28M80.64%3.28M-28.14%1.82M-28.14%1.82M-54.37%2.53M-54.37%2.53M--5.54M--5.54M
Current liabilities -27.83%76.35M-27.83%76.35M64.93%105.79M64.93%105.79M15.20%64.14M15.20%64.14M50.90%55.68M50.90%55.68M-74.37%36.9M-74.37%36.9M
Non current liabilities
-Long term debt 96.62%47.54M96.62%47.54M28.82%24.18M28.82%24.18M4.28%18.77M4.28%18.77M--18M--18M--------
Non current accrued expenses 69.04%70.34M69.04%70.34M27.51%41.61M27.51%41.61M4.61%32.63M4.61%32.63M235.22%31.2M235.22%31.2M39.23%9.31M39.23%9.31M
Long term provisions ----------14M--14M----------17.5M--17.5M--------
Employee benefits 6.40%449K6.40%449K-8.06%422K-8.06%422K35.40%459K35.40%459K14.14%339K14.14%339K-79.49%297K-79.49%297K
Regulatory liabilities 21.24%-241K21.24%-241K-51.49%-306K-51.49%-306K42.94%-202K42.94%-202K---354K---354K--------
Preferred securities outside stock equity 3.90%3.7M3.90%3.7M22.80%3.56M22.80%3.56M31.59%2.9M31.59%2.9M-3.59%2.2M-3.59%2.2M63.10%2.29M63.10%2.29M
Total non current liabilities -13.69%124.95M-13.69%124.95M72.21%144.77M72.21%144.77M-8.57%84.07M-8.57%84.07M125.85%91.95M125.85%91.95M-74.39%40.71M-74.39%40.71M
Shareholders'equity
Share capital 0.00%182.17M0.00%182.17M15.03%182.17M15.03%182.17M222.29%158.37M222.29%158.37M0.00%49.14M0.00%49.14M0.00%49.14M0.00%49.14M
-common stock 0.00%182.17M0.00%182.17M15.03%182.17M15.03%182.17M222.29%158.37M222.29%158.37M0.00%49.14M0.00%49.14M0.00%49.14M0.00%49.14M
Gains losses not affecting retained earnings 6.64%-27.05M6.64%-27.05M-7,048.44%-28.98M-7,048.44%-28.98M-80.95%417K-80.95%417K982.66%2.19M982.66%2.19M76.31%-248K76.31%-248K
Other equity interest 10.02%1.76M10.02%1.76M22.28%1.6M22.28%1.6M-10.67%1.31M-10.67%1.31M215.09%1.46M215.09%1.46M--464K--464K
Total equity -33.12%237.68M-33.12%237.68M33.10%355.35M33.10%355.35M83.06%266.97M83.06%266.97M71.62%145.84M71.62%145.84M-56.67%84.98M-56.67%84.98M

Analysis

Analyst Rating

No Data

Price Target

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