AU Stock MarketDetailed Quotes

EBG Eumundi Group Ltd

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  • 1.155
  • 0.0000.00%
20min DelayTrading Oct 1 15:37 AET
57.48MMarket Cap15.00P/E (Static)

Eumundi Group 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
-11.19%1.46M
-11.19%1.46M
-18.85%1.65M
-18.85%1.65M
35.40%2.03M
35.40%2.03M
110.25%1.5M
110.25%1.5M
-25.37%712K
-25.37%712K
-Cash and cash equivalents
-10.90%1.43M
-10.90%1.43M
-12.29%1.61M
-12.29%1.61M
24.73%1.83M
24.73%1.83M
111.83%1.47M
111.83%1.47M
-27.36%693K
-27.36%693K
-Accounts receivable
-29.71%123K
-29.71%123K
-1.13%175K
-1.13%175K
20.41%177K
20.41%177K
-55.59%147K
-55.59%147K
--331K
--331K
-Other receivables
-16.29%1.43M
-16.29%1.43M
-10.91%1.71M
-10.91%1.71M
48.87%1.92M
48.87%1.92M
53.58%1.29M
53.58%1.29M
6.62%838K
6.62%838K
Current deferred assets
----
----
----
----
----
----
----
----
2,033.33%384K
2,033.33%384K
Total current assets
-2.25%3.43M
-2.25%3.43M
-9.40%3.51M
-9.40%3.51M
22.67%3.87M
22.67%3.87M
20.49%3.16M
20.49%3.16M
-7.16%2.62M
-7.16%2.62M
Non current assets
-Accumulated depreciation
-15.21%-1.97M
-15.21%-1.97M
19.39%-1.71M
19.39%-1.71M
15.81%-2.12M
15.81%-2.12M
9.46%-2.52M
9.46%-2.52M
-33.06%-2.78M
-33.06%-2.78M
-Long term equity investment
-11.68%26.47M
-11.68%26.47M
-5.32%29.97M
-5.32%29.97M
11.72%31.66M
11.72%31.66M
0.79%28.34M
0.79%28.34M
11.36%28.12M
11.36%28.12M
-Goodwill
0.00%2.42M
0.00%2.42M
2.15%2.42M
2.15%2.42M
-0.08%2.37M
-0.08%2.37M
31.30%2.37M
31.30%2.37M
-0.11%1.81M
-0.11%1.81M
Regulatory assets
-16.96%186K
-16.96%186K
0.90%224K
0.90%224K
18.09%222K
18.09%222K
-45.82%188K
-45.82%188K
13.77%347K
13.77%347K
Non current deferred assets
----
----
-60.00%2K
-60.00%2K
-28.57%5K
-28.57%5K
-91.57%7K
-91.57%7K
--83K
--83K
Liabilities
Current liabilities
Current debt and capital lease obligation
-25.00%144K
-25.00%144K
-15.42%192K
-15.42%192K
4.61%227K
4.61%227K
53.90%217K
53.90%217K
6.02%141K
6.02%141K
-Current capital lease obligation
-25.00%144K
-25.00%144K
-15.42%192K
-15.42%192K
4.61%227K
4.61%227K
53.90%217K
53.90%217K
6.02%141K
6.02%141K
-accounts payable
10.80%2.07M
10.80%2.07M
-27.14%1.87M
-27.14%1.87M
17.69%2.57M
17.69%2.57M
81.53%2.18M
81.53%2.18M
-49.13%1.2M
-49.13%1.2M
-Total tax payable
-8.50%35.31M
-8.50%35.31M
-2.76%38.59M
-2.76%38.59M
20.98%39.69M
20.98%39.69M
9.15%32.8M
9.15%32.8M
3.06%30.05M
3.06%30.05M
Current provisions
----
----
----
----
----
----
----
----
--30K
--30K
Current deferred liabilities
-30.13%364K
-30.13%364K
31.57%521K
31.57%521K
13,100.00%396K
13,100.00%396K
--3K
--3K
----
----
Current liabilities
-5.68%4.6M
-5.68%4.6M
-14.36%4.88M
-14.36%4.88M
34.95%5.7M
34.95%5.7M
57.64%4.22M
57.64%4.22M
-26.70%2.68M
-26.70%2.68M
Non current liabilities
-Long term debt
-35.38%263K
-35.38%263K
81.70%407K
81.70%407K
-50.33%224K
-50.33%224K
54.98%451K
54.98%451K
37.26%291K
37.26%291K
Non current accrued expenses
-0.25%53.77M
-0.25%53.77M
10.63%53.9M
10.63%53.9M
19.70%48.72M
19.70%48.72M
28.42%40.7M
28.42%40.7M
-11.04%31.7M
-11.04%31.7M
Long term provisions
-11.36%26.21M
-11.36%26.21M
-5.94%29.56M
-5.94%29.56M
12.72%31.43M
12.72%31.43M
0.22%27.89M
0.22%27.89M
11.14%27.82M
11.14%27.82M
Regulatory liabilities
----
----
----
----
----
----
----
----
---20K
---20K
Preferred securities outside stock equity
0.68%590K
0.68%590K
-0.34%586K
-0.34%586K
10.73%588K
10.73%588K
13.95%531K
13.95%531K
25.95%466K
25.95%466K
Total non current liabilities
-8.19%39.91M
-8.19%39.91M
-4.21%43.47M
-4.21%43.47M
22.58%45.38M
22.58%45.38M
13.12%37.02M
13.12%37.02M
-0.26%32.73M
-0.26%32.73M
Shareholders'equity
Share capital
9.97%33.08M
9.97%33.08M
10.28%30.08M
10.28%30.08M
5.16%27.28M
5.16%27.28M
0.00%25.94M
0.00%25.94M
7.50%25.94M
7.50%25.94M
-common stock
9.97%33.08M
9.97%33.08M
10.28%30.08M
10.28%30.08M
5.16%27.28M
5.16%27.28M
0.00%25.94M
0.00%25.94M
7.50%25.94M
7.50%25.94M
Gains losses not affecting retained earnings
3.44%21.13M
3.44%21.13M
22.42%20.43M
22.42%20.43M
57.35%16.69M
57.35%16.69M
68.56%10.6M
68.56%10.6M
-37.00%6.29M
-37.00%6.29M
Total equity
0.50%106.72M
0.50%106.72M
2.97%106.18M
2.97%106.18M
26.10%103.12M
26.10%103.12M
18.68%81.77M
18.68%81.77M
-6.60%68.91M
-6.60%68.91M
(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 -11.19%1.46M-11.19%1.46M-18.85%1.65M-18.85%1.65M35.40%2.03M35.40%2.03M110.25%1.5M110.25%1.5M-25.37%712K-25.37%712K
-Cash and cash equivalents -10.90%1.43M-10.90%1.43M-12.29%1.61M-12.29%1.61M24.73%1.83M24.73%1.83M111.83%1.47M111.83%1.47M-27.36%693K-27.36%693K
-Accounts receivable -29.71%123K-29.71%123K-1.13%175K-1.13%175K20.41%177K20.41%177K-55.59%147K-55.59%147K--331K--331K
-Other receivables -16.29%1.43M-16.29%1.43M-10.91%1.71M-10.91%1.71M48.87%1.92M48.87%1.92M53.58%1.29M53.58%1.29M6.62%838K6.62%838K
Current deferred assets --------------------------------2,033.33%384K2,033.33%384K
Total current assets -2.25%3.43M-2.25%3.43M-9.40%3.51M-9.40%3.51M22.67%3.87M22.67%3.87M20.49%3.16M20.49%3.16M-7.16%2.62M-7.16%2.62M
Non current assets
-Accumulated depreciation -15.21%-1.97M-15.21%-1.97M19.39%-1.71M19.39%-1.71M15.81%-2.12M15.81%-2.12M9.46%-2.52M9.46%-2.52M-33.06%-2.78M-33.06%-2.78M
-Long term equity investment -11.68%26.47M-11.68%26.47M-5.32%29.97M-5.32%29.97M11.72%31.66M11.72%31.66M0.79%28.34M0.79%28.34M11.36%28.12M11.36%28.12M
-Goodwill 0.00%2.42M0.00%2.42M2.15%2.42M2.15%2.42M-0.08%2.37M-0.08%2.37M31.30%2.37M31.30%2.37M-0.11%1.81M-0.11%1.81M
Regulatory assets -16.96%186K-16.96%186K0.90%224K0.90%224K18.09%222K18.09%222K-45.82%188K-45.82%188K13.77%347K13.77%347K
Non current deferred assets ---------60.00%2K-60.00%2K-28.57%5K-28.57%5K-91.57%7K-91.57%7K--83K--83K
Liabilities
Current liabilities
Current debt and capital lease obligation -25.00%144K-25.00%144K-15.42%192K-15.42%192K4.61%227K4.61%227K53.90%217K53.90%217K6.02%141K6.02%141K
-Current capital lease obligation -25.00%144K-25.00%144K-15.42%192K-15.42%192K4.61%227K4.61%227K53.90%217K53.90%217K6.02%141K6.02%141K
-accounts payable 10.80%2.07M10.80%2.07M-27.14%1.87M-27.14%1.87M17.69%2.57M17.69%2.57M81.53%2.18M81.53%2.18M-49.13%1.2M-49.13%1.2M
-Total tax payable -8.50%35.31M-8.50%35.31M-2.76%38.59M-2.76%38.59M20.98%39.69M20.98%39.69M9.15%32.8M9.15%32.8M3.06%30.05M3.06%30.05M
Current provisions ----------------------------------30K--30K
Current deferred liabilities -30.13%364K-30.13%364K31.57%521K31.57%521K13,100.00%396K13,100.00%396K--3K--3K--------
Current liabilities -5.68%4.6M-5.68%4.6M-14.36%4.88M-14.36%4.88M34.95%5.7M34.95%5.7M57.64%4.22M57.64%4.22M-26.70%2.68M-26.70%2.68M
Non current liabilities
-Long term debt -35.38%263K-35.38%263K81.70%407K81.70%407K-50.33%224K-50.33%224K54.98%451K54.98%451K37.26%291K37.26%291K
Non current accrued expenses -0.25%53.77M-0.25%53.77M10.63%53.9M10.63%53.9M19.70%48.72M19.70%48.72M28.42%40.7M28.42%40.7M-11.04%31.7M-11.04%31.7M
Long term provisions -11.36%26.21M-11.36%26.21M-5.94%29.56M-5.94%29.56M12.72%31.43M12.72%31.43M0.22%27.89M0.22%27.89M11.14%27.82M11.14%27.82M
Regulatory liabilities -----------------------------------20K---20K
Preferred securities outside stock equity 0.68%590K0.68%590K-0.34%586K-0.34%586K10.73%588K10.73%588K13.95%531K13.95%531K25.95%466K25.95%466K
Total non current liabilities -8.19%39.91M-8.19%39.91M-4.21%43.47M-4.21%43.47M22.58%45.38M22.58%45.38M13.12%37.02M13.12%37.02M-0.26%32.73M-0.26%32.73M
Shareholders'equity
Share capital 9.97%33.08M9.97%33.08M10.28%30.08M10.28%30.08M5.16%27.28M5.16%27.28M0.00%25.94M0.00%25.94M7.50%25.94M7.50%25.94M
-common stock 9.97%33.08M9.97%33.08M10.28%30.08M10.28%30.08M5.16%27.28M5.16%27.28M0.00%25.94M0.00%25.94M7.50%25.94M7.50%25.94M
Gains losses not affecting retained earnings 3.44%21.13M3.44%21.13M22.42%20.43M22.42%20.43M57.35%16.69M57.35%16.69M68.56%10.6M68.56%10.6M-37.00%6.29M-37.00%6.29M
Total equity 0.50%106.72M0.50%106.72M2.97%106.18M2.97%106.18M26.10%103.12M26.10%103.12M18.68%81.77M18.68%81.77M-6.60%68.91M-6.60%68.91M

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