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DCC Digital X Ltd

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  • 0.054
  • +0.006+12.50%
20min DelayNot Open Dec 13 16:00 AET
46.79MMarket Cap-9.00P/E (Static)

Digital X 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
78.50%55.43M
78.50%55.43M
4.03%31.05M
4.03%31.05M
-30.34%29.85M
-30.34%29.85M
294.63%42.85M
294.63%42.85M
-38.06%10.86M
-38.06%10.86M
-Cash and cash equivalents
79.13%6.05M
79.13%6.05M
-46.16%3.38M
-46.16%3.38M
-39.45%6.28M
-39.45%6.28M
160.34%10.37M
160.34%10.37M
-45.95%3.98M
-45.95%3.98M
-Short term investments
78.42%49.37M
78.42%49.37M
17.41%27.67M
17.41%27.67M
-27.44%23.57M
-27.44%23.57M
372.44%32.48M
372.44%32.48M
-32.33%6.87M
-32.33%6.87M
Receivables
35.15%515.92K
35.15%515.92K
30.10%381.74K
30.10%381.74K
84.74%293.41K
84.74%293.41K
-19.51%158.83K
-19.51%158.83K
-48.14%197.31K
-48.14%197.31K
-Accounts receivable
27.31%300.01K
27.31%300.01K
22.96%235.66K
22.96%235.66K
133.52%191.66K
133.52%191.66K
22.08%82.07K
22.08%82.07K
-17.41%67.23K
-17.41%67.23K
-Other receivables
47.80%215.91K
47.80%215.91K
43.57%146.08K
43.57%146.08K
32.57%101.75K
32.57%101.75K
-41.00%76.75K
-41.00%76.75K
-56.51%130.08K
-56.51%130.08K
Other current assets
3.34%255.39K
3.34%255.39K
22.41%247.13K
22.41%247.13K
-97.61%201.88K
-97.61%201.88K
7,958.31%8.44M
7,958.31%8.44M
--104.73K
--104.73K
Total current assets
77.39%56.2M
77.39%56.2M
4.41%31.68M
4.41%31.68M
-41.02%30.34M
-41.02%30.34M
361.00%51.45M
361.00%51.45M
-37.68%11.16M
-37.68%11.16M
Non current assets
Net PPE
-23.62%316.83K
-23.62%316.83K
158.07%414.81K
158.07%414.81K
-58.53%160.74K
-58.53%160.74K
-48.75%387.62K
-48.75%387.62K
78.05%756.33K
78.05%756.33K
-Gross PPE
-23.62%316.83K
-23.62%316.83K
-64.37%414.81K
-64.37%414.81K
3.32%1.16M
3.32%1.16M
4.43%1.13M
4.43%1.13M
115.10%1.08M
115.10%1.08M
-Accumulated depreciation
----
----
----
----
-35.75%-1M
-35.75%-1M
-129.04%-739.35K
-129.04%-739.35K
-319.73%-322.81K
-319.73%-322.81K
Investments and advances
----
----
-89.52%240K
-89.52%240K
-7.29%2.29M
-7.29%2.29M
64.76%2.47M
64.76%2.47M
96.48%1.5M
96.48%1.5M
-Other investment
----
----
-89.52%240K
-89.52%240K
-7.29%2.29M
-7.29%2.29M
64.76%2.47M
64.76%2.47M
102.64%1.5M
102.64%1.5M
Goodwill and other intangible assets
-4.10%2.1M
-4.10%2.1M
-3.94%2.19M
-3.94%2.19M
747.58%2.28M
747.58%2.28M
--268.77K
--268.77K
----
----
-Goodwill
0.00%1.89M
0.00%1.89M
0.00%1.89M
0.00%1.89M
--1.89M
--1.89M
----
----
----
----
-Other intangible assets
-29.89%210.37K
-29.89%210.37K
-23.01%300.06K
-23.01%300.06K
45.01%389.75K
45.01%389.75K
--268.77K
--268.77K
----
----
Total non current assets
-15.04%2.42M
-15.04%2.42M
-39.89%2.84M
-39.89%2.84M
51.24%4.73M
51.24%4.73M
38.62%3.13M
38.62%3.13M
89.89%2.26M
89.89%2.26M
Total assets
69.78%58.61M
69.78%58.61M
-1.57%34.52M
-1.57%34.52M
-35.74%35.07M
-35.74%35.07M
306.79%54.58M
306.79%54.58M
-29.75%13.42M
-29.75%13.42M
Liabilities
Current liabilities
Current debt and capital lease obligation
15.52%65.88K
15.52%65.88K
-67.67%57.03K
-67.67%57.03K
39.83%176.42K
39.83%176.42K
-5.61%126.17K
-5.61%126.17K
--133.66K
--133.66K
-Current capital lease obligation
15.52%65.88K
15.52%65.88K
-67.67%57.03K
-67.67%57.03K
39.83%176.42K
39.83%176.42K
-5.61%126.17K
-5.61%126.17K
--133.66K
--133.66K
Payables
-4.26%1.06M
-4.26%1.06M
-28.65%1.11M
-28.65%1.11M
-55.31%1.56M
-55.31%1.56M
620.03%3.48M
620.03%3.48M
-67.11%483.73K
-67.11%483.73K
-accounts payable
-20.86%395.16K
-20.86%395.16K
-41.69%499.32K
-41.69%499.32K
83.36%856.38K
83.36%856.38K
42.22%467.05K
42.22%467.05K
-5.25%328.4K
-5.25%328.4K
-Dividends payable
----
----
----
----
----
----
--2.74M
--2.74M
----
----
-Other payable
9.30%668.07K
9.30%668.07K
-12.70%611.23K
-12.70%611.23K
154.18%700.18K
154.18%700.18K
77.34%275.47K
77.34%275.47K
-86.18%155.34K
-86.18%155.34K
Other current liabilities
59.00%14.48M
59.00%14.48M
45.61%9.11M
45.61%9.11M
-24.24%6.26M
-24.24%6.26M
36,653.17%8.26M
36,653.17%8.26M
-91.64%22.47K
-91.64%22.47K
Current liabilities
51.93%15.61M
51.93%15.61M
28.64%10.28M
28.64%10.28M
-32.68%7.99M
-32.68%7.99M
1,754.51%11.87M
1,754.51%11.87M
-63.21%639.86K
-63.21%639.86K
Non current liabilities
Long term debt and capital lease obligation
-21.32%243.17K
-21.32%243.17K
--309.05K
--309.05K
----
----
-50.53%176.42K
-50.53%176.42K
--356.65K
--356.65K
-Long term capital lease obligation
-21.32%243.17K
-21.32%243.17K
--309.05K
--309.05K
----
----
-50.53%176.42K
-50.53%176.42K
--356.65K
--356.65K
Non current deferred liabilities
891,101.24%5.73M
891,101.24%5.73M
0.00%643
0.00%643
--643
--643
----
----
----
----
Total non current liabilities
1,828.86%5.97M
1,828.86%5.97M
48,064.07%309.7K
48,064.07%309.7K
-99.64%643
-99.64%643
-50.53%176.42K
-50.53%176.42K
--356.65K
--356.65K
Total liabilities
103.91%21.59M
103.91%21.59M
32.51%10.59M
32.51%10.59M
-33.66%7.99M
-33.66%7.99M
1,108.48%12.04M
1,108.48%12.04M
-42.71%996.51K
-42.71%996.51K
Shareholders'equity
Share capital
11.09%65.68M
11.09%65.68M
0.16%59.12M
0.16%59.12M
0.40%59.03M
0.40%59.03M
16.24%58.8M
16.24%58.8M
5.24%50.58M
5.24%50.58M
-common stock
11.09%65.68M
11.09%65.68M
0.16%59.12M
0.16%59.12M
0.40%59.03M
0.40%59.03M
16.24%58.8M
16.24%58.8M
5.24%50.58M
5.24%50.58M
Retained earnings
-8.18%-48.31M
-8.18%-48.31M
-20.46%-44.66M
-20.46%-44.66M
-8.29%-37.07M
-8.29%-37.07M
16.64%-34.23M
16.64%-34.23M
-22.47%-41.07M
-22.47%-41.07M
Gains losses not affecting retained earnings
107.51%19.66M
107.51%19.66M
84.77%9.48M
84.77%9.48M
-71.46%5.13M
-71.46%5.13M
705.41%17.97M
705.41%17.97M
12.83%2.23M
12.83%2.23M
Total stockholders'equity
54.69%37.03M
54.69%37.03M
-11.62%23.94M
-11.62%23.94M
-36.32%27.08M
-36.32%27.08M
262.06%42.53M
262.06%42.53M
-28.85%11.75M
-28.85%11.75M
Noncontrolling interests
----
----
----
----
----
----
----
----
-20.59%672.16K
-20.59%672.16K
Total equity
54.69%37.03M
54.69%37.03M
-11.62%23.94M
-11.62%23.94M
-36.32%27.08M
-36.32%27.08M
242.46%42.53M
242.46%42.53M
-28.45%12.42M
-28.45%12.42M
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 78.50%55.43M78.50%55.43M4.03%31.05M4.03%31.05M-30.34%29.85M-30.34%29.85M294.63%42.85M294.63%42.85M-38.06%10.86M-38.06%10.86M
-Cash and cash equivalents 79.13%6.05M79.13%6.05M-46.16%3.38M-46.16%3.38M-39.45%6.28M-39.45%6.28M160.34%10.37M160.34%10.37M-45.95%3.98M-45.95%3.98M
-Short term investments 78.42%49.37M78.42%49.37M17.41%27.67M17.41%27.67M-27.44%23.57M-27.44%23.57M372.44%32.48M372.44%32.48M-32.33%6.87M-32.33%6.87M
Receivables 35.15%515.92K35.15%515.92K30.10%381.74K30.10%381.74K84.74%293.41K84.74%293.41K-19.51%158.83K-19.51%158.83K-48.14%197.31K-48.14%197.31K
-Accounts receivable 27.31%300.01K27.31%300.01K22.96%235.66K22.96%235.66K133.52%191.66K133.52%191.66K22.08%82.07K22.08%82.07K-17.41%67.23K-17.41%67.23K
-Other receivables 47.80%215.91K47.80%215.91K43.57%146.08K43.57%146.08K32.57%101.75K32.57%101.75K-41.00%76.75K-41.00%76.75K-56.51%130.08K-56.51%130.08K
Other current assets 3.34%255.39K3.34%255.39K22.41%247.13K22.41%247.13K-97.61%201.88K-97.61%201.88K7,958.31%8.44M7,958.31%8.44M--104.73K--104.73K
Total current assets 77.39%56.2M77.39%56.2M4.41%31.68M4.41%31.68M-41.02%30.34M-41.02%30.34M361.00%51.45M361.00%51.45M-37.68%11.16M-37.68%11.16M
Non current assets
Net PPE -23.62%316.83K-23.62%316.83K158.07%414.81K158.07%414.81K-58.53%160.74K-58.53%160.74K-48.75%387.62K-48.75%387.62K78.05%756.33K78.05%756.33K
-Gross PPE -23.62%316.83K-23.62%316.83K-64.37%414.81K-64.37%414.81K3.32%1.16M3.32%1.16M4.43%1.13M4.43%1.13M115.10%1.08M115.10%1.08M
-Accumulated depreciation -----------------35.75%-1M-35.75%-1M-129.04%-739.35K-129.04%-739.35K-319.73%-322.81K-319.73%-322.81K
Investments and advances ---------89.52%240K-89.52%240K-7.29%2.29M-7.29%2.29M64.76%2.47M64.76%2.47M96.48%1.5M96.48%1.5M
-Other investment ---------89.52%240K-89.52%240K-7.29%2.29M-7.29%2.29M64.76%2.47M64.76%2.47M102.64%1.5M102.64%1.5M
Goodwill and other intangible assets -4.10%2.1M-4.10%2.1M-3.94%2.19M-3.94%2.19M747.58%2.28M747.58%2.28M--268.77K--268.77K--------
-Goodwill 0.00%1.89M0.00%1.89M0.00%1.89M0.00%1.89M--1.89M--1.89M----------------
-Other intangible assets -29.89%210.37K-29.89%210.37K-23.01%300.06K-23.01%300.06K45.01%389.75K45.01%389.75K--268.77K--268.77K--------
Total non current assets -15.04%2.42M-15.04%2.42M-39.89%2.84M-39.89%2.84M51.24%4.73M51.24%4.73M38.62%3.13M38.62%3.13M89.89%2.26M89.89%2.26M
Total assets 69.78%58.61M69.78%58.61M-1.57%34.52M-1.57%34.52M-35.74%35.07M-35.74%35.07M306.79%54.58M306.79%54.58M-29.75%13.42M-29.75%13.42M
Liabilities
Current liabilities
Current debt and capital lease obligation 15.52%65.88K15.52%65.88K-67.67%57.03K-67.67%57.03K39.83%176.42K39.83%176.42K-5.61%126.17K-5.61%126.17K--133.66K--133.66K
-Current capital lease obligation 15.52%65.88K15.52%65.88K-67.67%57.03K-67.67%57.03K39.83%176.42K39.83%176.42K-5.61%126.17K-5.61%126.17K--133.66K--133.66K
Payables -4.26%1.06M-4.26%1.06M-28.65%1.11M-28.65%1.11M-55.31%1.56M-55.31%1.56M620.03%3.48M620.03%3.48M-67.11%483.73K-67.11%483.73K
-accounts payable -20.86%395.16K-20.86%395.16K-41.69%499.32K-41.69%499.32K83.36%856.38K83.36%856.38K42.22%467.05K42.22%467.05K-5.25%328.4K-5.25%328.4K
-Dividends payable --------------------------2.74M--2.74M--------
-Other payable 9.30%668.07K9.30%668.07K-12.70%611.23K-12.70%611.23K154.18%700.18K154.18%700.18K77.34%275.47K77.34%275.47K-86.18%155.34K-86.18%155.34K
Other current liabilities 59.00%14.48M59.00%14.48M45.61%9.11M45.61%9.11M-24.24%6.26M-24.24%6.26M36,653.17%8.26M36,653.17%8.26M-91.64%22.47K-91.64%22.47K
Current liabilities 51.93%15.61M51.93%15.61M28.64%10.28M28.64%10.28M-32.68%7.99M-32.68%7.99M1,754.51%11.87M1,754.51%11.87M-63.21%639.86K-63.21%639.86K
Non current liabilities
Long term debt and capital lease obligation -21.32%243.17K-21.32%243.17K--309.05K--309.05K---------50.53%176.42K-50.53%176.42K--356.65K--356.65K
-Long term capital lease obligation -21.32%243.17K-21.32%243.17K--309.05K--309.05K---------50.53%176.42K-50.53%176.42K--356.65K--356.65K
Non current deferred liabilities 891,101.24%5.73M891,101.24%5.73M0.00%6430.00%643--643--643----------------
Total non current liabilities 1,828.86%5.97M1,828.86%5.97M48,064.07%309.7K48,064.07%309.7K-99.64%643-99.64%643-50.53%176.42K-50.53%176.42K--356.65K--356.65K
Total liabilities 103.91%21.59M103.91%21.59M32.51%10.59M32.51%10.59M-33.66%7.99M-33.66%7.99M1,108.48%12.04M1,108.48%12.04M-42.71%996.51K-42.71%996.51K
Shareholders'equity
Share capital 11.09%65.68M11.09%65.68M0.16%59.12M0.16%59.12M0.40%59.03M0.40%59.03M16.24%58.8M16.24%58.8M5.24%50.58M5.24%50.58M
-common stock 11.09%65.68M11.09%65.68M0.16%59.12M0.16%59.12M0.40%59.03M0.40%59.03M16.24%58.8M16.24%58.8M5.24%50.58M5.24%50.58M
Retained earnings -8.18%-48.31M-8.18%-48.31M-20.46%-44.66M-20.46%-44.66M-8.29%-37.07M-8.29%-37.07M16.64%-34.23M16.64%-34.23M-22.47%-41.07M-22.47%-41.07M
Gains losses not affecting retained earnings 107.51%19.66M107.51%19.66M84.77%9.48M84.77%9.48M-71.46%5.13M-71.46%5.13M705.41%17.97M705.41%17.97M12.83%2.23M12.83%2.23M
Total stockholders'equity 54.69%37.03M54.69%37.03M-11.62%23.94M-11.62%23.94M-36.32%27.08M-36.32%27.08M262.06%42.53M262.06%42.53M-28.85%11.75M-28.85%11.75M
Noncontrolling interests ---------------------------------20.59%672.16K-20.59%672.16K
Total equity 54.69%37.03M54.69%37.03M-11.62%23.94M-11.62%23.94M-36.32%27.08M-36.32%27.08M242.46%42.53M242.46%42.53M-28.45%12.42M-28.45%12.42M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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