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DDT DataDot Technology Ltd

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  • 0.005
  • 0.0000.00%
20min DelayNot Open Dec 3 11:20 AET
6.05MMarket Cap0.00P/E (Static)

DataDot Technology 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
13.31%3.25M
13.31%3.25M
-9.81%2.87M
-9.81%2.87M
36.56%3.18M
36.56%3.18M
131.60%2.33M
131.60%2.33M
416.21%1.01M
416.21%1.01M
-Cash and cash equivalents
-5.59%2M
-5.59%2M
-33.40%2.12M
-33.40%2.12M
36.56%3.18M
36.56%3.18M
131.60%2.33M
131.60%2.33M
416.21%1.01M
416.21%1.01M
-Short term investments
66.67%1.25M
66.67%1.25M
--750K
--750K
----
----
----
----
----
----
Receivables
51.02%584.67K
51.02%584.67K
3.59%387.14K
3.59%387.14K
-51.06%373.72K
-51.06%373.72K
-1.75%763.59K
-1.75%763.59K
90.59%777.18K
90.59%777.18K
-Accounts receivable
35.54%772.33K
35.54%772.33K
4.64%569.81K
4.64%569.81K
-42.10%544.53K
-42.10%544.53K
-3.63%940.49K
-3.63%940.49K
70.52%975.97K
70.52%975.97K
-Other receivables
----
----
----
----
----
----
----
----
168.63%48.57K
168.63%48.57K
-Recievables adjustments allowances
-2.73%-187.65K
-2.73%-187.65K
-6.94%-182.66K
-6.94%-182.66K
3.44%-170.81K
3.44%-170.81K
28.48%-176.9K
28.48%-176.9K
-35.44%-247.35K
-35.44%-247.35K
Inventory
5.79%478.67K
5.79%478.67K
15.36%452.46K
15.36%452.46K
88.34%392.23K
88.34%392.23K
-20.52%208.26K
-20.52%208.26K
-37.86%262.03K
-37.86%262.03K
Prepaid assets
-14.09%117.06K
-14.09%117.06K
19.85%136.27K
19.85%136.27K
-45.02%113.7K
-45.02%113.7K
79.34%206.81K
79.34%206.81K
-15.95%115.31K
-15.95%115.31K
Holding assets for sale
----
----
----
----
---1
---1
----
----
----
----
Other current assets
-58.00%19.47K
-58.00%19.47K
-68.37%46.35K
-68.37%46.35K
40.79%146.52K
40.79%146.52K
-51.46%104.07K
-51.46%104.07K
349.46%214.39K
349.46%214.39K
Total current assets
14.38%4.45M
14.38%4.45M
-7.51%3.89M
-7.51%3.89M
16.47%4.21M
16.47%4.21M
52.09%3.61M
52.09%3.61M
96.36%2.37M
96.36%2.37M
Non current assets
Net PPE
-27.95%594.71K
-27.95%594.71K
93.50%825.38K
93.50%825.38K
9.84%426.54K
9.84%426.54K
-37.01%388.33K
-37.01%388.33K
132.26%616.49K
132.26%616.49K
-Gross PPE
0.79%2.9M
0.79%2.9M
6.92%2.87M
6.92%2.87M
9.42%2.69M
9.42%2.69M
6.89%2.46M
6.89%2.46M
-20.92%2.3M
-20.92%2.3M
-Accumulated depreciation
-12.37%-2.3M
-12.37%-2.3M
9.42%-2.05M
9.42%-2.05M
-9.34%-2.26M
-9.34%-2.26M
-22.98%-2.07M
-22.98%-2.07M
36.31%-1.68M
36.31%-1.68M
Investments and advances
0.00%2.95K
0.00%2.95K
0.00%2.95K
0.00%2.95K
0.00%2.95K
0.00%2.95K
0.00%2.95K
0.00%2.95K
2,356.67%2.95K
2,356.67%2.95K
-Other investment
0.00%2.95K
0.00%2.95K
0.00%2.95K
0.00%2.95K
0.00%2.95K
0.00%2.95K
0.00%2.95K
0.00%2.95K
2,356.67%2.95K
2,356.67%2.95K
Non current deferred assets
-2.72%5.34M
-2.72%5.34M
-3.72%5.49M
-3.72%5.49M
--5.7M
--5.7M
----
----
----
----
Other non current assets
0.00%1
0.00%1
--1
--1
----
----
----
----
---1
---1
Total non current assets
-6.01%5.94M
-6.01%5.94M
3.04%6.32M
3.04%6.32M
1,466.93%6.13M
1,466.93%6.13M
-36.83%391.27K
-36.83%391.27K
119.81%619.44K
119.81%619.44K
Total assets
1.76%10.39M
1.76%10.39M
-1.25%10.21M
-1.25%10.21M
158.27%10.34M
158.27%10.34M
33.69%4M
33.69%4M
100.79%2.99M
100.79%2.99M
Liabilities
Current liabilities
Payables
55.00%458.05K
55.00%458.05K
-30.98%295.52K
-30.98%295.52K
4.63%428.15K
4.63%428.15K
-8.45%409.21K
-8.45%409.21K
-37.31%446.98K
-37.31%446.98K
-accounts payable
248.02%240.79K
248.02%240.79K
-73.00%69.19K
-73.00%69.19K
39.83%256.27K
39.83%256.27K
15.55%183.28K
15.55%183.28K
0.32%158.61K
0.32%158.61K
-Other payable
-4.01%217.26K
-4.01%217.26K
31.67%226.33K
31.67%226.33K
-23.92%171.89K
-23.92%171.89K
-21.65%225.94K
-21.65%225.94K
-48.03%288.37K
-48.03%288.37K
Current provisions
0.00%7.11K
0.00%7.11K
0.00%7.11K
0.00%7.11K
0.00%7.11K
0.00%7.11K
0.00%7.11K
0.00%7.11K
-91.27%7.11K
-91.27%7.11K
Pension and other retirement benefit plans
34.28%132.89K
34.28%132.89K
23.15%98.97K
23.15%98.97K
-21.93%80.36K
-21.93%80.36K
30.73%102.93K
30.73%102.93K
-2.64%78.74K
-2.64%78.74K
Current deferred liabilities
578.23%114.19K
578.23%114.19K
0.00%16.84K
0.00%16.84K
89.29%16.84K
89.29%16.84K
-89.70%8.9K
-89.70%8.9K
97.75%86.33K
97.75%86.33K
Other current liabilities
2.70%213.06K
2.70%213.06K
95.04%207.45K
95.04%207.45K
-42.19%106.36K
-42.19%106.36K
352.74%183.99K
352.74%183.99K
--40.64K
--40.64K
Current liabilities
47.84%925.3K
47.84%925.3K
-2.03%625.88K
-2.03%625.88K
-10.29%638.82K
-10.29%638.82K
7.93%712.13K
7.93%712.13K
-28.38%659.79K
-28.38%659.79K
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
----
----
----
----
-9.45%411.86K
-9.45%411.86K
-Long term capital lease obligation
----
----
----
----
----
----
----
----
--411.86K
--411.86K
Employee benefits
109.10%13.79K
109.10%13.79K
24.95%6.6K
24.95%6.6K
-67.50%5.28K
-67.50%5.28K
59.83%16.24K
59.83%16.24K
19.48%10.16K
19.48%10.16K
Other non current liabilities
-63.49%111.54K
-63.49%111.54K
2,183.03%305.49K
2,183.03%305.49K
-86.69%13.38K
-86.69%13.38K
--100.53K
--100.53K
----
----
Total non current liabilities
-59.84%125.33K
-59.84%125.33K
1,572.58%312.09K
1,572.58%312.09K
-84.02%18.66K
-84.02%18.66K
-72.33%116.77K
-72.33%116.77K
-8.94%422.02K
-8.94%422.02K
Total liabilities
12.01%1.05M
12.01%1.05M
42.66%937.96K
42.66%937.96K
-20.68%657.48K
-20.68%657.48K
-23.38%828.9K
-23.38%828.9K
-21.88%1.08M
-21.88%1.08M
Shareholders'equity
Share capital
0.00%41.42M
0.00%41.42M
-0.47%41.42M
-0.47%41.42M
0.04%41.61M
0.04%41.61M
0.09%41.6M
0.09%41.6M
4.70%41.56M
4.70%41.56M
-common stock
0.00%41.42M
0.00%41.42M
-0.47%41.42M
-0.47%41.42M
0.04%41.61M
0.04%41.61M
0.09%41.6M
0.09%41.6M
4.70%41.56M
4.70%41.56M
Retained earnings
0.22%-32.36M
0.22%-32.36M
-0.36%-32.43M
-0.36%-32.43M
11.24%-32.31M
11.24%-32.31M
3.28%-36.41M
3.28%-36.41M
0.08%-37.64M
0.08%-37.64M
Gains losses not affecting retained earnings
-1.93%276.82K
-1.93%276.82K
-25.59%282.27K
-25.59%282.27K
118.80%379.33K
118.80%379.33K
-0.63%-2.02M
-0.63%-2.02M
-4.62%-2M
-4.62%-2M
Total stockholders'equity
0.72%9.34M
0.72%9.34M
-4.24%9.27M
-4.24%9.27M
205.01%9.68M
205.01%9.68M
65.99%3.17M
65.99%3.17M
1,700.11%1.91M
1,700.11%1.91M
Total equity
0.72%9.34M
0.72%9.34M
-4.24%9.27M
-4.24%9.27M
205.01%9.68M
205.01%9.68M
65.99%3.17M
65.99%3.17M
1,700.11%1.91M
1,700.11%1.91M
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 13.31%3.25M13.31%3.25M-9.81%2.87M-9.81%2.87M36.56%3.18M36.56%3.18M131.60%2.33M131.60%2.33M416.21%1.01M416.21%1.01M
-Cash and cash equivalents -5.59%2M-5.59%2M-33.40%2.12M-33.40%2.12M36.56%3.18M36.56%3.18M131.60%2.33M131.60%2.33M416.21%1.01M416.21%1.01M
-Short term investments 66.67%1.25M66.67%1.25M--750K--750K------------------------
Receivables 51.02%584.67K51.02%584.67K3.59%387.14K3.59%387.14K-51.06%373.72K-51.06%373.72K-1.75%763.59K-1.75%763.59K90.59%777.18K90.59%777.18K
-Accounts receivable 35.54%772.33K35.54%772.33K4.64%569.81K4.64%569.81K-42.10%544.53K-42.10%544.53K-3.63%940.49K-3.63%940.49K70.52%975.97K70.52%975.97K
-Other receivables --------------------------------168.63%48.57K168.63%48.57K
-Recievables adjustments allowances -2.73%-187.65K-2.73%-187.65K-6.94%-182.66K-6.94%-182.66K3.44%-170.81K3.44%-170.81K28.48%-176.9K28.48%-176.9K-35.44%-247.35K-35.44%-247.35K
Inventory 5.79%478.67K5.79%478.67K15.36%452.46K15.36%452.46K88.34%392.23K88.34%392.23K-20.52%208.26K-20.52%208.26K-37.86%262.03K-37.86%262.03K
Prepaid assets -14.09%117.06K-14.09%117.06K19.85%136.27K19.85%136.27K-45.02%113.7K-45.02%113.7K79.34%206.81K79.34%206.81K-15.95%115.31K-15.95%115.31K
Holding assets for sale -------------------1---1----------------
Other current assets -58.00%19.47K-58.00%19.47K-68.37%46.35K-68.37%46.35K40.79%146.52K40.79%146.52K-51.46%104.07K-51.46%104.07K349.46%214.39K349.46%214.39K
Total current assets 14.38%4.45M14.38%4.45M-7.51%3.89M-7.51%3.89M16.47%4.21M16.47%4.21M52.09%3.61M52.09%3.61M96.36%2.37M96.36%2.37M
Non current assets
Net PPE -27.95%594.71K-27.95%594.71K93.50%825.38K93.50%825.38K9.84%426.54K9.84%426.54K-37.01%388.33K-37.01%388.33K132.26%616.49K132.26%616.49K
-Gross PPE 0.79%2.9M0.79%2.9M6.92%2.87M6.92%2.87M9.42%2.69M9.42%2.69M6.89%2.46M6.89%2.46M-20.92%2.3M-20.92%2.3M
-Accumulated depreciation -12.37%-2.3M-12.37%-2.3M9.42%-2.05M9.42%-2.05M-9.34%-2.26M-9.34%-2.26M-22.98%-2.07M-22.98%-2.07M36.31%-1.68M36.31%-1.68M
Investments and advances 0.00%2.95K0.00%2.95K0.00%2.95K0.00%2.95K0.00%2.95K0.00%2.95K0.00%2.95K0.00%2.95K2,356.67%2.95K2,356.67%2.95K
-Other investment 0.00%2.95K0.00%2.95K0.00%2.95K0.00%2.95K0.00%2.95K0.00%2.95K0.00%2.95K0.00%2.95K2,356.67%2.95K2,356.67%2.95K
Non current deferred assets -2.72%5.34M-2.72%5.34M-3.72%5.49M-3.72%5.49M--5.7M--5.7M----------------
Other non current assets 0.00%10.00%1--1--1-------------------1---1
Total non current assets -6.01%5.94M-6.01%5.94M3.04%6.32M3.04%6.32M1,466.93%6.13M1,466.93%6.13M-36.83%391.27K-36.83%391.27K119.81%619.44K119.81%619.44K
Total assets 1.76%10.39M1.76%10.39M-1.25%10.21M-1.25%10.21M158.27%10.34M158.27%10.34M33.69%4M33.69%4M100.79%2.99M100.79%2.99M
Liabilities
Current liabilities
Payables 55.00%458.05K55.00%458.05K-30.98%295.52K-30.98%295.52K4.63%428.15K4.63%428.15K-8.45%409.21K-8.45%409.21K-37.31%446.98K-37.31%446.98K
-accounts payable 248.02%240.79K248.02%240.79K-73.00%69.19K-73.00%69.19K39.83%256.27K39.83%256.27K15.55%183.28K15.55%183.28K0.32%158.61K0.32%158.61K
-Other payable -4.01%217.26K-4.01%217.26K31.67%226.33K31.67%226.33K-23.92%171.89K-23.92%171.89K-21.65%225.94K-21.65%225.94K-48.03%288.37K-48.03%288.37K
Current provisions 0.00%7.11K0.00%7.11K0.00%7.11K0.00%7.11K0.00%7.11K0.00%7.11K0.00%7.11K0.00%7.11K-91.27%7.11K-91.27%7.11K
Pension and other retirement benefit plans 34.28%132.89K34.28%132.89K23.15%98.97K23.15%98.97K-21.93%80.36K-21.93%80.36K30.73%102.93K30.73%102.93K-2.64%78.74K-2.64%78.74K
Current deferred liabilities 578.23%114.19K578.23%114.19K0.00%16.84K0.00%16.84K89.29%16.84K89.29%16.84K-89.70%8.9K-89.70%8.9K97.75%86.33K97.75%86.33K
Other current liabilities 2.70%213.06K2.70%213.06K95.04%207.45K95.04%207.45K-42.19%106.36K-42.19%106.36K352.74%183.99K352.74%183.99K--40.64K--40.64K
Current liabilities 47.84%925.3K47.84%925.3K-2.03%625.88K-2.03%625.88K-10.29%638.82K-10.29%638.82K7.93%712.13K7.93%712.13K-28.38%659.79K-28.38%659.79K
Non current liabilities
Long term debt and capital lease obligation ---------------------------------9.45%411.86K-9.45%411.86K
-Long term capital lease obligation ----------------------------------411.86K--411.86K
Employee benefits 109.10%13.79K109.10%13.79K24.95%6.6K24.95%6.6K-67.50%5.28K-67.50%5.28K59.83%16.24K59.83%16.24K19.48%10.16K19.48%10.16K
Other non current liabilities -63.49%111.54K-63.49%111.54K2,183.03%305.49K2,183.03%305.49K-86.69%13.38K-86.69%13.38K--100.53K--100.53K--------
Total non current liabilities -59.84%125.33K-59.84%125.33K1,572.58%312.09K1,572.58%312.09K-84.02%18.66K-84.02%18.66K-72.33%116.77K-72.33%116.77K-8.94%422.02K-8.94%422.02K
Total liabilities 12.01%1.05M12.01%1.05M42.66%937.96K42.66%937.96K-20.68%657.48K-20.68%657.48K-23.38%828.9K-23.38%828.9K-21.88%1.08M-21.88%1.08M
Shareholders'equity
Share capital 0.00%41.42M0.00%41.42M-0.47%41.42M-0.47%41.42M0.04%41.61M0.04%41.61M0.09%41.6M0.09%41.6M4.70%41.56M4.70%41.56M
-common stock 0.00%41.42M0.00%41.42M-0.47%41.42M-0.47%41.42M0.04%41.61M0.04%41.61M0.09%41.6M0.09%41.6M4.70%41.56M4.70%41.56M
Retained earnings 0.22%-32.36M0.22%-32.36M-0.36%-32.43M-0.36%-32.43M11.24%-32.31M11.24%-32.31M3.28%-36.41M3.28%-36.41M0.08%-37.64M0.08%-37.64M
Gains losses not affecting retained earnings -1.93%276.82K-1.93%276.82K-25.59%282.27K-25.59%282.27K118.80%379.33K118.80%379.33K-0.63%-2.02M-0.63%-2.02M-4.62%-2M-4.62%-2M
Total stockholders'equity 0.72%9.34M0.72%9.34M-4.24%9.27M-4.24%9.27M205.01%9.68M205.01%9.68M65.99%3.17M65.99%3.17M1,700.11%1.91M1,700.11%1.91M
Total equity 0.72%9.34M0.72%9.34M-4.24%9.27M-4.24%9.27M205.01%9.68M205.01%9.68M65.99%3.17M65.99%3.17M1,700.11%1.91M1,700.11%1.91M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP