AU Stock MarketDetailed Quotes

ECT Environmental Clean Technologies Ltd

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  • 0.002
  • 0.0000.00%
20min DelayMarket Closed Oct 4 13:39 AET
6.34MMarket Cap-1000P/E (Static)

Environmental Clean Technologies 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
-40.74%762.17K
-40.74%762.17K
-70.79%1.29M
-70.79%1.29M
334.03%4.4M
334.03%4.4M
-9.52%1.01M
-9.52%1.01M
177.94%1.12M
177.94%1.12M
-Cash and cash equivalents
-40.74%762.17K
-40.74%762.17K
-70.79%1.29M
-70.79%1.29M
334.03%4.4M
334.03%4.4M
-8.17%1.01M
-8.17%1.01M
185.31%1.1M
185.31%1.1M
-Accounts receivable
----
----
----
----
--30.25K
--30.25K
----
----
----
----
-Notes receivable
--28.09K
--28.09K
----
----
----
----
----
----
----
----
-Other receivables
----
----
114.80%121.25K
114.80%121.25K
-73.48%56.45K
-73.48%56.45K
427.48%212.86K
427.48%212.86K
-77.47%40.36K
-77.47%40.36K
Total current assets
-21.85%2.35M
-21.85%2.35M
-54.54%3.01M
-54.54%3.01M
93.19%6.62M
93.19%6.62M
60.82%3.43M
60.82%3.43M
-0.86%2.13M
-0.86%2.13M
Non current assets
-Accumulated depreciation
-14.46%-5.98M
-14.46%-5.98M
-7.08%-5.23M
-7.08%-5.23M
16.97%-4.88M
16.97%-4.88M
-5.62%-5.88M
-5.62%-5.88M
18.81%-5.57M
18.81%-5.57M
-Long term equity investment
-25.57%203.47K
-25.57%203.47K
-29.86%273.35K
-29.86%273.35K
-28.80%389.7K
-28.80%389.7K
-23.60%547.32K
-23.60%547.32K
1,192.01%716.41K
1,192.01%716.41K
-Goodwill
-33.33%101.7K
-33.33%101.7K
-25.00%152.55K
-25.00%152.55K
-20.00%203.4K
-20.00%203.4K
--254.25K
--254.25K
----
----
Regulatory assets
-7.72%1.54M
-7.72%1.54M
-22.91%1.67M
-22.91%1.67M
-5.11%2.16M
-5.11%2.16M
135.54%2.28M
135.54%2.28M
-43.52%966.67K
-43.52%966.67K
Liabilities
Current liabilities
Current debt and capital lease obligation
-49.21%1.07M
-49.21%1.07M
-0.92%2.11M
-0.92%2.11M
48.29%2.13M
48.29%2.13M
844.56%1.43M
844.56%1.43M
-92.67%151.76K
-92.67%151.76K
-Current debt
-50.00%984K
-50.00%984K
0.00%1.97M
0.00%1.97M
53.09%1.97M
53.09%1.97M
4,343.68%1.29M
4,343.68%1.29M
-98.60%28.93K
-98.60%28.93K
-Current capital lease obligation
-38.03%85.58K
-38.03%85.58K
-12.39%138.1K
-12.39%138.1K
6.60%157.63K
6.60%157.63K
20.39%147.87K
20.39%147.87K
--122.83K
--122.83K
-accounts payable
6.60%608.98K
6.60%608.98K
-8.74%571.26K
-8.74%571.26K
-59.46%626K
-59.46%626K
1,711.80%1.54M
1,711.80%1.54M
-77.55%85.23K
-77.55%85.23K
-Total tax payable
-58.54%800.43K
-58.54%800.43K
-6.74%1.93M
-6.74%1.93M
-11.74%2.07M
-11.74%2.07M
14.57%2.35M
14.57%2.35M
34.14%2.05M
34.14%2.05M
Current provisions
----
----
259.37%19.88K
259.37%19.88K
--5.53K
--5.53K
----
----
----
----
Current liabilities
-38.69%1.73M
-38.69%1.73M
-0.64%2.82M
-0.64%2.82M
-11.37%2.84M
-11.37%2.84M
1,053.01%3.2M
1,053.01%3.2M
-90.37%277.57K
-90.37%277.57K
Non current liabilities
-Long term debt
-25.57%203.47K
-25.57%203.47K
-29.86%273.35K
-29.86%273.35K
-28.80%389.7K
-28.80%389.7K
-20.66%547.32K
-20.66%547.32K
--689.89K
--689.89K
Non current accrued expenses
-30.29%3.5M
-30.29%3.5M
-2.31%5.02M
-2.31%5.02M
61.22%5.14M
61.22%5.14M
196.40%3.19M
196.40%3.19M
350.98%1.08M
350.98%1.08M
Long term provisions
----
----
----
----
----
----
----
----
-52.17%26.52K
-52.17%26.52K
Employee benefits
--28.09K
--28.09K
----
----
----
----
----
----
----
----
Preferred securities outside stock equity
--49.49K
--49.49K
----
----
----
----
--6.08K
--6.08K
----
----
Total non current liabilities
-46.76%2.53M
-46.76%2.53M
-3.21%4.75M
-3.21%4.75M
-11.52%4.91M
-11.52%4.91M
138.57%5.55M
138.57%5.55M
-47.27%2.32M
-47.27%2.32M
Shareholders'equity
Share capital
3.88%92.41M
3.88%92.41M
0.02%88.96M
0.02%88.96M
9.68%88.94M
9.68%88.94M
3.16%81.09M
3.16%81.09M
6.68%78.61M
6.68%78.61M
-common stock
3.88%92.41M
3.88%92.41M
0.02%88.96M
0.02%88.96M
9.68%88.94M
9.68%88.94M
3.16%81.09M
3.16%81.09M
6.68%78.61M
6.68%78.61M
Gains losses not affecting retained earnings
11.30%2.53M
11.30%2.53M
-28.43%2.27M
-28.43%2.27M
2,585.78%3.18M
2,585.78%3.18M
-76.14%118.29K
-76.14%118.29K
11.64%495.7K
11.64%495.7K
Other equity interest
----
----
6.41%56.77K
6.41%56.77K
8.65%53.35K
8.65%53.35K
--49.1K
--49.1K
----
----
Total equity
-27.24%5.95M
-27.24%5.95M
-31.59%8.18M
-31.59%8.18M
74.15%11.96M
74.15%11.96M
114.25%6.87M
114.25%6.87M
34.30%3.21M
34.30%3.21M
(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 -40.74%762.17K-40.74%762.17K-70.79%1.29M-70.79%1.29M334.03%4.4M334.03%4.4M-9.52%1.01M-9.52%1.01M177.94%1.12M177.94%1.12M
-Cash and cash equivalents -40.74%762.17K-40.74%762.17K-70.79%1.29M-70.79%1.29M334.03%4.4M334.03%4.4M-8.17%1.01M-8.17%1.01M185.31%1.1M185.31%1.1M
-Accounts receivable ------------------30.25K--30.25K----------------
-Notes receivable --28.09K--28.09K--------------------------------
-Other receivables --------114.80%121.25K114.80%121.25K-73.48%56.45K-73.48%56.45K427.48%212.86K427.48%212.86K-77.47%40.36K-77.47%40.36K
Total current assets -21.85%2.35M-21.85%2.35M-54.54%3.01M-54.54%3.01M93.19%6.62M93.19%6.62M60.82%3.43M60.82%3.43M-0.86%2.13M-0.86%2.13M
Non current assets
-Accumulated depreciation -14.46%-5.98M-14.46%-5.98M-7.08%-5.23M-7.08%-5.23M16.97%-4.88M16.97%-4.88M-5.62%-5.88M-5.62%-5.88M18.81%-5.57M18.81%-5.57M
-Long term equity investment -25.57%203.47K-25.57%203.47K-29.86%273.35K-29.86%273.35K-28.80%389.7K-28.80%389.7K-23.60%547.32K-23.60%547.32K1,192.01%716.41K1,192.01%716.41K
-Goodwill -33.33%101.7K-33.33%101.7K-25.00%152.55K-25.00%152.55K-20.00%203.4K-20.00%203.4K--254.25K--254.25K--------
Regulatory assets -7.72%1.54M-7.72%1.54M-22.91%1.67M-22.91%1.67M-5.11%2.16M-5.11%2.16M135.54%2.28M135.54%2.28M-43.52%966.67K-43.52%966.67K
Liabilities
Current liabilities
Current debt and capital lease obligation -49.21%1.07M-49.21%1.07M-0.92%2.11M-0.92%2.11M48.29%2.13M48.29%2.13M844.56%1.43M844.56%1.43M-92.67%151.76K-92.67%151.76K
-Current debt -50.00%984K-50.00%984K0.00%1.97M0.00%1.97M53.09%1.97M53.09%1.97M4,343.68%1.29M4,343.68%1.29M-98.60%28.93K-98.60%28.93K
-Current capital lease obligation -38.03%85.58K-38.03%85.58K-12.39%138.1K-12.39%138.1K6.60%157.63K6.60%157.63K20.39%147.87K20.39%147.87K--122.83K--122.83K
-accounts payable 6.60%608.98K6.60%608.98K-8.74%571.26K-8.74%571.26K-59.46%626K-59.46%626K1,711.80%1.54M1,711.80%1.54M-77.55%85.23K-77.55%85.23K
-Total tax payable -58.54%800.43K-58.54%800.43K-6.74%1.93M-6.74%1.93M-11.74%2.07M-11.74%2.07M14.57%2.35M14.57%2.35M34.14%2.05M34.14%2.05M
Current provisions --------259.37%19.88K259.37%19.88K--5.53K--5.53K----------------
Current liabilities -38.69%1.73M-38.69%1.73M-0.64%2.82M-0.64%2.82M-11.37%2.84M-11.37%2.84M1,053.01%3.2M1,053.01%3.2M-90.37%277.57K-90.37%277.57K
Non current liabilities
-Long term debt -25.57%203.47K-25.57%203.47K-29.86%273.35K-29.86%273.35K-28.80%389.7K-28.80%389.7K-20.66%547.32K-20.66%547.32K--689.89K--689.89K
Non current accrued expenses -30.29%3.5M-30.29%3.5M-2.31%5.02M-2.31%5.02M61.22%5.14M61.22%5.14M196.40%3.19M196.40%3.19M350.98%1.08M350.98%1.08M
Long term provisions ---------------------------------52.17%26.52K-52.17%26.52K
Employee benefits --28.09K--28.09K--------------------------------
Preferred securities outside stock equity --49.49K--49.49K------------------6.08K--6.08K--------
Total non current liabilities -46.76%2.53M-46.76%2.53M-3.21%4.75M-3.21%4.75M-11.52%4.91M-11.52%4.91M138.57%5.55M138.57%5.55M-47.27%2.32M-47.27%2.32M
Shareholders'equity
Share capital 3.88%92.41M3.88%92.41M0.02%88.96M0.02%88.96M9.68%88.94M9.68%88.94M3.16%81.09M3.16%81.09M6.68%78.61M6.68%78.61M
-common stock 3.88%92.41M3.88%92.41M0.02%88.96M0.02%88.96M9.68%88.94M9.68%88.94M3.16%81.09M3.16%81.09M6.68%78.61M6.68%78.61M
Gains losses not affecting retained earnings 11.30%2.53M11.30%2.53M-28.43%2.27M-28.43%2.27M2,585.78%3.18M2,585.78%3.18M-76.14%118.29K-76.14%118.29K11.64%495.7K11.64%495.7K
Other equity interest --------6.41%56.77K6.41%56.77K8.65%53.35K8.65%53.35K--49.1K--49.1K--------
Total equity -27.24%5.95M-27.24%5.95M-31.59%8.18M-31.59%8.18M74.15%11.96M74.15%11.96M114.25%6.87M114.25%6.87M34.30%3.21M34.30%3.21M

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