AU Stock MarketDetailed Quotes

CDXOA CardieX Ltd

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  • 0.014
  • 0.0000.00%
20min DelayMarket Closed Jul 12 15:25 AET
4.12MMarket Cap0.00P/E (Static)

CardieX 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
-21.07%4.95M
-21.07%4.95M
331.05%6.27M
331.05%6.27M
-79.77%1.46M
-79.77%1.46M
157.91%7.2M
157.91%7.2M
-43.98%2.79M
-43.98%2.79M
-Cash and cash equivalents
-32.79%481.43K
-32.79%481.43K
-50.79%716.32K
-50.79%716.32K
-60.29%1.46M
-60.29%1.46M
77.78%3.67M
77.78%3.67M
-58.61%2.06M
-58.61%2.06M
-Accounts receivable
-83.59%373.65K
-83.59%373.65K
164.48%2.28M
164.48%2.28M
42.50%860.74K
42.50%860.74K
-31.96%604.01K
-31.96%604.01K
-23.04%887.69K
-23.04%887.69K
-Notes receivable
----
----
237.61%6.16K
237.61%6.16K
736.70%1.82K
736.70%1.82K
--218
--218
----
----
-Other receivables
-60.73%340.73K
-60.73%340.73K
205.02%867.7K
205.02%867.7K
-4.48%284.47K
-4.48%284.47K
71.04%297.82K
71.04%297.82K
21.33%174.13K
21.33%174.13K
Total current assets
-21.72%9.27M
-21.72%9.27M
145.21%11.84M
145.21%11.84M
-48.05%4.83M
-48.05%4.83M
98.07%9.3M
98.07%9.3M
-32.53%4.69M
-32.53%4.69M
Non current assets
-Accumulated depreciation
----
----
-34.56%-1.32M
-34.56%-1.32M
-12.74%-984.23K
-12.74%-984.23K
39.93%-873K
39.93%-873K
-17.85%-1.45M
-17.85%-1.45M
-Long term equity investment
-1.43%476.19K
-1.43%476.19K
-25.57%483.1K
-25.57%483.1K
499.39%649.09K
499.39%649.09K
-90.59%108.29K
-90.59%108.29K
6.11%1.15M
6.11%1.15M
-Including:Held to maturity investments
----
----
--234.32K
--234.32K
----
----
----
----
----
----
-Goodwill
-2.11%619.7K
-2.11%619.7K
97.28%633.05K
97.28%633.05K
-3.22%320.89K
-3.22%320.89K
490.08%331.58K
490.08%331.58K
27.18%56.19K
27.18%56.19K
Regulatory assets
-84.33%350.99K
-84.33%350.99K
175.38%2.24M
175.38%2.24M
46.38%813.14K
46.38%813.14K
-32.22%555.5K
-32.22%555.5K
-19.26%819.52K
-19.26%819.52K
Liabilities
Current liabilities
Current debt and capital lease obligation
-11.01%3.39M
-11.01%3.39M
155.91%3.81M
155.91%3.81M
11.35%1.49M
11.35%1.49M
23.02%1.34M
23.02%1.34M
-68.52%1.09M
-68.52%1.09M
-Current debt
-11.25%3.23M
-11.25%3.23M
166.57%3.64M
166.57%3.64M
7.85%1.36M
7.85%1.36M
30.69%1.26M
30.69%1.26M
-71.12%967.91K
-71.12%967.91K
-Current capital lease obligation
-5.94%158.92K
-5.94%158.92K
37.50%168.95K
37.50%168.95K
74.00%122.87K
74.00%122.87K
-40.00%70.62K
-40.00%70.62K
20.72%117.7K
20.72%117.7K
-accounts payable
-49.89%3.3M
-49.89%3.3M
239.77%6.59M
239.77%6.59M
149.71%1.94M
149.71%1.94M
44.58%776.98K
44.58%776.98K
51.41%537.4K
51.41%537.4K
-Total tax payable
-0.84%485.17K
-0.84%485.17K
-24.84%489.25K
-24.84%489.25K
499.87%650.92K
499.87%650.92K
-90.57%108.51K
-90.57%108.51K
4.03%1.15M
4.03%1.15M
-Other payable
-44.62%43.55K
-44.62%43.55K
--78.64K
--78.64K
----
----
-46.64%32.15K
-46.64%32.15K
--60.25K
--60.25K
Current provisions
--490.6K
--490.6K
----
----
----
----
----
----
----
----
Current deferred liabilities
-89.83%309.35K
-89.83%309.35K
246.70%3.04M
246.70%3.04M
103.94%877.31K
103.94%877.31K
-71.79%430.18K
-71.79%430.18K
76.92%1.52M
76.92%1.52M
Current liabilities
-47.08%7.83M
-47.08%7.83M
189.23%14.8M
189.23%14.8M
57.63%5.12M
57.63%5.12M
-10.95%3.25M
-10.95%3.25M
-29.30%3.64M
-29.30%3.64M
Non current liabilities
-Long term debt
-1.43%476.19K
-1.43%476.19K
-25.57%483.1K
-25.57%483.1K
499.39%649.09K
499.39%649.09K
-43.76%108.29K
-43.76%108.29K
-37.12%192.56K
-37.12%192.56K
Non current accrued expenses
-17.39%1.22M
-17.39%1.22M
37.57%1.47M
37.57%1.47M
203.86%1.07M
203.86%1.07M
-37.76%352.07K
-37.76%352.07K
-7.78%565.64K
-7.78%565.64K
Long term provisions
----
----
----
----
----
----
----
----
23.13%958.17K
23.13%958.17K
Employee benefits
----
----
237.61%6.16K
237.61%6.16K
736.70%1.82K
736.70%1.82K
--218
--218
----
----
Regulatory liabilities
39.14%-22.66K
39.14%-22.66K
21.78%-37.23K
21.78%-37.23K
1.87%-47.6K
1.87%-47.6K
28.84%-48.51K
28.84%-48.51K
50.78%-68.16K
50.78%-68.16K
Preferred securities outside stock equity
----
----
-7.17%488.77K
-7.17%488.77K
30.08%526.54K
30.08%526.54K
25.50%404.79K
25.50%404.79K
-6.81%322.55K
-6.81%322.55K
Total non current liabilities
-45.59%8.32M
-45.59%8.32M
165.06%15.29M
165.06%15.29M
71.94%5.77M
71.94%5.77M
-30.06%3.35M
-30.06%3.35M
-23.41%4.8M
-23.41%4.8M
Shareholders'equity
Share capital
15.00%88.11M
15.00%88.11M
13.42%76.62M
13.42%76.62M
13.94%67.55M
13.94%67.55M
11.59%59.29M
11.59%59.29M
3.16%53.13M
3.16%53.13M
-common stock
15.00%88.11M
15.00%88.11M
13.42%76.62M
13.42%76.62M
13.94%67.55M
13.94%67.55M
11.59%59.29M
11.59%59.29M
3.16%53.13M
3.16%53.13M
Gains losses not affecting retained earnings
-58.38%2.66M
-58.38%2.66M
62.77%6.39M
62.77%6.39M
27.20%3.93M
27.20%3.93M
56.69%3.09M
56.69%3.09M
22.08%1.97M
22.08%1.97M
Other equity interest
-1.31%1.41M
-1.31%1.41M
91.15%1.43M
91.15%1.43M
14.53%749.83K
14.53%749.83K
-12.52%654.68K
-12.52%654.68K
19.25%748.35K
19.25%748.35K
Total equity
-20.75%11.52M
-20.75%11.52M
17.44%14.54M
17.44%14.54M
9.89%12.38M
9.89%12.38M
5.52%11.26M
5.52%11.26M
-19.20%10.68M
-19.20%10.68M
(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 -21.07%4.95M-21.07%4.95M331.05%6.27M331.05%6.27M-79.77%1.46M-79.77%1.46M157.91%7.2M157.91%7.2M-43.98%2.79M-43.98%2.79M
-Cash and cash equivalents -32.79%481.43K-32.79%481.43K-50.79%716.32K-50.79%716.32K-60.29%1.46M-60.29%1.46M77.78%3.67M77.78%3.67M-58.61%2.06M-58.61%2.06M
-Accounts receivable -83.59%373.65K-83.59%373.65K164.48%2.28M164.48%2.28M42.50%860.74K42.50%860.74K-31.96%604.01K-31.96%604.01K-23.04%887.69K-23.04%887.69K
-Notes receivable --------237.61%6.16K237.61%6.16K736.70%1.82K736.70%1.82K--218--218--------
-Other receivables -60.73%340.73K-60.73%340.73K205.02%867.7K205.02%867.7K-4.48%284.47K-4.48%284.47K71.04%297.82K71.04%297.82K21.33%174.13K21.33%174.13K
Total current assets -21.72%9.27M-21.72%9.27M145.21%11.84M145.21%11.84M-48.05%4.83M-48.05%4.83M98.07%9.3M98.07%9.3M-32.53%4.69M-32.53%4.69M
Non current assets
-Accumulated depreciation ---------34.56%-1.32M-34.56%-1.32M-12.74%-984.23K-12.74%-984.23K39.93%-873K39.93%-873K-17.85%-1.45M-17.85%-1.45M
-Long term equity investment -1.43%476.19K-1.43%476.19K-25.57%483.1K-25.57%483.1K499.39%649.09K499.39%649.09K-90.59%108.29K-90.59%108.29K6.11%1.15M6.11%1.15M
-Including:Held to maturity investments ----------234.32K--234.32K------------------------
-Goodwill -2.11%619.7K-2.11%619.7K97.28%633.05K97.28%633.05K-3.22%320.89K-3.22%320.89K490.08%331.58K490.08%331.58K27.18%56.19K27.18%56.19K
Regulatory assets -84.33%350.99K-84.33%350.99K175.38%2.24M175.38%2.24M46.38%813.14K46.38%813.14K-32.22%555.5K-32.22%555.5K-19.26%819.52K-19.26%819.52K
Liabilities
Current liabilities
Current debt and capital lease obligation -11.01%3.39M-11.01%3.39M155.91%3.81M155.91%3.81M11.35%1.49M11.35%1.49M23.02%1.34M23.02%1.34M-68.52%1.09M-68.52%1.09M
-Current debt -11.25%3.23M-11.25%3.23M166.57%3.64M166.57%3.64M7.85%1.36M7.85%1.36M30.69%1.26M30.69%1.26M-71.12%967.91K-71.12%967.91K
-Current capital lease obligation -5.94%158.92K-5.94%158.92K37.50%168.95K37.50%168.95K74.00%122.87K74.00%122.87K-40.00%70.62K-40.00%70.62K20.72%117.7K20.72%117.7K
-accounts payable -49.89%3.3M-49.89%3.3M239.77%6.59M239.77%6.59M149.71%1.94M149.71%1.94M44.58%776.98K44.58%776.98K51.41%537.4K51.41%537.4K
-Total tax payable -0.84%485.17K-0.84%485.17K-24.84%489.25K-24.84%489.25K499.87%650.92K499.87%650.92K-90.57%108.51K-90.57%108.51K4.03%1.15M4.03%1.15M
-Other payable -44.62%43.55K-44.62%43.55K--78.64K--78.64K---------46.64%32.15K-46.64%32.15K--60.25K--60.25K
Current provisions --490.6K--490.6K--------------------------------
Current deferred liabilities -89.83%309.35K-89.83%309.35K246.70%3.04M246.70%3.04M103.94%877.31K103.94%877.31K-71.79%430.18K-71.79%430.18K76.92%1.52M76.92%1.52M
Current liabilities -47.08%7.83M-47.08%7.83M189.23%14.8M189.23%14.8M57.63%5.12M57.63%5.12M-10.95%3.25M-10.95%3.25M-29.30%3.64M-29.30%3.64M
Non current liabilities
-Long term debt -1.43%476.19K-1.43%476.19K-25.57%483.1K-25.57%483.1K499.39%649.09K499.39%649.09K-43.76%108.29K-43.76%108.29K-37.12%192.56K-37.12%192.56K
Non current accrued expenses -17.39%1.22M-17.39%1.22M37.57%1.47M37.57%1.47M203.86%1.07M203.86%1.07M-37.76%352.07K-37.76%352.07K-7.78%565.64K-7.78%565.64K
Long term provisions --------------------------------23.13%958.17K23.13%958.17K
Employee benefits --------237.61%6.16K237.61%6.16K736.70%1.82K736.70%1.82K--218--218--------
Regulatory liabilities 39.14%-22.66K39.14%-22.66K21.78%-37.23K21.78%-37.23K1.87%-47.6K1.87%-47.6K28.84%-48.51K28.84%-48.51K50.78%-68.16K50.78%-68.16K
Preferred securities outside stock equity ---------7.17%488.77K-7.17%488.77K30.08%526.54K30.08%526.54K25.50%404.79K25.50%404.79K-6.81%322.55K-6.81%322.55K
Total non current liabilities -45.59%8.32M-45.59%8.32M165.06%15.29M165.06%15.29M71.94%5.77M71.94%5.77M-30.06%3.35M-30.06%3.35M-23.41%4.8M-23.41%4.8M
Shareholders'equity
Share capital 15.00%88.11M15.00%88.11M13.42%76.62M13.42%76.62M13.94%67.55M13.94%67.55M11.59%59.29M11.59%59.29M3.16%53.13M3.16%53.13M
-common stock 15.00%88.11M15.00%88.11M13.42%76.62M13.42%76.62M13.94%67.55M13.94%67.55M11.59%59.29M11.59%59.29M3.16%53.13M3.16%53.13M
Gains losses not affecting retained earnings -58.38%2.66M-58.38%2.66M62.77%6.39M62.77%6.39M27.20%3.93M27.20%3.93M56.69%3.09M56.69%3.09M22.08%1.97M22.08%1.97M
Other equity interest -1.31%1.41M-1.31%1.41M91.15%1.43M91.15%1.43M14.53%749.83K14.53%749.83K-12.52%654.68K-12.52%654.68K19.25%748.35K19.25%748.35K
Total equity -20.75%11.52M-20.75%11.52M17.44%14.54M17.44%14.54M9.89%12.38M9.89%12.38M5.52%11.26M5.52%11.26M-19.20%10.68M-19.20%10.68M

Analysis

Analyst Rating

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Price Target

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