AU Stock MarketDetailed Quotes

EXTOD Excite Technology Services Ltd

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  • 0.003
  • +0.001+50.00%
20min DelayMarket Closed Jul 12 15:52 AET
0Market Cap0.00P/E (Static)

Excite Technology Services Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 30, 2024
(Q4)Mar 30, 2024
(FY)Mar 30, 2023
(Q4)Mar 30, 2023
(FY)Mar 30, 2022
(Q4)Mar 30, 2022
(FY)Mar 30, 2021
(Q4)Mar 30, 2021
(FY)Mar 30, 2020
(Q4)Mar 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-83.63%204.86K
-83.63%204.86K
-33.91%1.25M
-33.91%1.25M
-52.31%1.89M
-52.31%1.89M
331.25%3.97M
331.25%3.97M
-42.62%920.94K
--920.94K
-Cash and cash equivalents
-83.63%204.86K
-83.63%204.86K
-33.91%1.25M
-33.91%1.25M
-52.31%1.89M
-52.31%1.89M
331.25%3.97M
331.25%3.97M
-42.62%920.94K
--920.94K
-Accounts receivable
-23.38%1.05M
-23.38%1.05M
198.65%1.37M
198.65%1.37M
208.90%457.35K
208.90%457.35K
156.59%148.06K
156.59%148.06K
42.56%57.7K
--57.7K
-Notes receivable
17.61%125.14K
17.61%125.14K
635.90%106.4K
635.90%106.4K
--14.46K
--14.46K
----
----
----
----
-Other receivables
-1.39%500.61K
-1.39%500.61K
-31.52%507.66K
-31.52%507.66K
643.98%741.28K
643.98%741.28K
-66.89%99.64K
-66.89%99.64K
-79.10%300.93K
--300.93K
Total current assets
-54.56%1.39M
-54.56%1.39M
1.12%3.05M
1.12%3.05M
-27.78%3.02M
-27.78%3.02M
299.27%4.18M
299.27%4.18M
-59.68%1.05M
--1.05M
Non current assets
-Accumulated depreciation
-33.41%-856.89K
-33.41%-856.89K
-205.05%-642.32K
-205.05%-642.32K
-539.85%-210.56K
-539.85%-210.56K
-40.08%-32.91K
-40.08%-32.91K
23.99%-23.49K
---23.49K
-Long term equity investment
60.62%415K
60.62%415K
172.55%258.37K
172.55%258.37K
--94.8K
--94.8K
----
----
----
----
-Goodwill
0.19%3.05M
0.19%3.05M
142,038.00%3.04M
142,038.00%3.04M
--2.14K
--2.14K
----
----
----
----
Regulatory assets
-18.99%1.16M
-18.99%1.16M
35.71%1.43M
35.71%1.43M
543.41%1.05M
543.41%1.05M
95.82%163.92K
95.82%163.92K
-88.67%83.71K
--83.71K
Liabilities
Current liabilities
Current debt and capital lease obligation
21.37%165.23K
21.37%165.23K
-25.09%136.14K
-25.09%136.14K
--181.74K
--181.74K
----
----
----
----
-Current capital lease obligation
21.37%165.23K
21.37%165.23K
-25.09%136.14K
-25.09%136.14K
--181.74K
--181.74K
----
----
----
----
-accounts payable
-0.57%1.62M
-0.57%1.62M
512.94%1.63M
512.94%1.63M
101.78%266.47K
101.78%266.47K
22.14%132.06K
22.14%132.06K
189.21%108.12K
--108.12K
-Total tax payable
-15.15%670.13K
-15.15%670.13K
55.08%789.77K
55.08%789.77K
655.15%509.26K
655.15%509.26K
136.36%67.44K
136.36%67.44K
53.82%28.53K
--28.53K
-Other payable
--37K
--37K
----
----
----
----
0.00%15.21K
0.00%15.21K
-70.31%15.21K
--15.21K
Current deferred liabilities
--264.42K
--264.42K
----
----
----
----
----
----
----
----
Current liabilities
-9.84%3.93M
-9.84%3.93M
39.50%4.35M
39.50%4.35M
580.79%3.12M
580.79%3.12M
-27.13%458.46K
-27.13%458.46K
-81.07%629.18K
--629.18K
Non current liabilities
-Long term debt
153.57%265K
153.57%265K
10.24%104.51K
10.24%104.51K
--94.8K
--94.8K
----
----
----
----
Non current accrued expenses
-0.46%454.45K
-0.46%454.45K
-18.25%456.55K
-18.25%456.55K
3,829.28%558.47K
3,829.28%558.47K
-40.99%14.21K
-40.99%14.21K
105.07%24.09K
--24.09K
Long term provisions
-2.51%150K
-2.51%150K
--153.86K
--153.86K
----
----
----
----
----
----
Employee benefits
17.61%125.14K
17.61%125.14K
635.90%106.4K
635.90%106.4K
--14.46K
--14.46K
----
----
----
----
Regulatory liabilities
----
----
----
----
----
----
-1,276.96%-34.55K
-1,276.96%-34.55K
59.28%-2.51K
---2.51K
Preferred securities outside stock equity
5.01%296.23K
5.01%296.23K
32.38%282.11K
32.38%282.11K
429.82%213.11K
429.82%213.11K
29.18%40.22K
29.18%40.22K
-44.56%31.14K
--31.14K
Total non current liabilities
-10.65%4.6M
-10.65%4.6M
41.68%5.14M
41.68%5.14M
590.33%3.63M
590.33%3.63M
-20.04%525.89K
-20.04%525.89K
-80.33%657.71K
--657.71K
Shareholders'equity
Share capital
0.76%108.18M
0.76%108.18M
4.11%107.36M
4.11%107.36M
4.73%103.12M
4.73%103.12M
5.74%98.47M
5.74%98.47M
0.00%93.12M
--93.12M
-common stock
0.76%108.18M
0.76%108.18M
4.11%107.36M
4.11%107.36M
4.73%103.12M
4.73%103.12M
5.74%98.47M
5.74%98.47M
0.00%93.12M
--93.12M
Gains losses not affecting retained earnings
-2.99%4.69M
-2.99%4.69M
18.25%4.84M
18.25%4.84M
14.96%4.09M
14.96%4.09M
7.44%3.56M
7.44%3.56M
-62.19%3.31M
--3.31M
Total equity
-25.20%4.93M
-25.20%4.93M
79.56%6.59M
79.56%6.59M
-14.07%3.67M
-14.07%3.67M
268.43%4.27M
268.43%4.27M
-70.95%1.16M
--1.16M
(FY)Mar 30, 2024(Q4)Mar 30, 2024(FY)Mar 30, 2023(Q4)Mar 30, 2023(FY)Mar 30, 2022(Q4)Mar 30, 2022(FY)Mar 30, 2021(Q4)Mar 30, 2021(FY)Mar 30, 2020(Q4)Mar 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -83.63%204.86K-83.63%204.86K-33.91%1.25M-33.91%1.25M-52.31%1.89M-52.31%1.89M331.25%3.97M331.25%3.97M-42.62%920.94K--920.94K
-Cash and cash equivalents -83.63%204.86K-83.63%204.86K-33.91%1.25M-33.91%1.25M-52.31%1.89M-52.31%1.89M331.25%3.97M331.25%3.97M-42.62%920.94K--920.94K
-Accounts receivable -23.38%1.05M-23.38%1.05M198.65%1.37M198.65%1.37M208.90%457.35K208.90%457.35K156.59%148.06K156.59%148.06K42.56%57.7K--57.7K
-Notes receivable 17.61%125.14K17.61%125.14K635.90%106.4K635.90%106.4K--14.46K--14.46K----------------
-Other receivables -1.39%500.61K-1.39%500.61K-31.52%507.66K-31.52%507.66K643.98%741.28K643.98%741.28K-66.89%99.64K-66.89%99.64K-79.10%300.93K--300.93K
Total current assets -54.56%1.39M-54.56%1.39M1.12%3.05M1.12%3.05M-27.78%3.02M-27.78%3.02M299.27%4.18M299.27%4.18M-59.68%1.05M--1.05M
Non current assets
-Accumulated depreciation -33.41%-856.89K-33.41%-856.89K-205.05%-642.32K-205.05%-642.32K-539.85%-210.56K-539.85%-210.56K-40.08%-32.91K-40.08%-32.91K23.99%-23.49K---23.49K
-Long term equity investment 60.62%415K60.62%415K172.55%258.37K172.55%258.37K--94.8K--94.8K----------------
-Goodwill 0.19%3.05M0.19%3.05M142,038.00%3.04M142,038.00%3.04M--2.14K--2.14K----------------
Regulatory assets -18.99%1.16M-18.99%1.16M35.71%1.43M35.71%1.43M543.41%1.05M543.41%1.05M95.82%163.92K95.82%163.92K-88.67%83.71K--83.71K
Liabilities
Current liabilities
Current debt and capital lease obligation 21.37%165.23K21.37%165.23K-25.09%136.14K-25.09%136.14K--181.74K--181.74K----------------
-Current capital lease obligation 21.37%165.23K21.37%165.23K-25.09%136.14K-25.09%136.14K--181.74K--181.74K----------------
-accounts payable -0.57%1.62M-0.57%1.62M512.94%1.63M512.94%1.63M101.78%266.47K101.78%266.47K22.14%132.06K22.14%132.06K189.21%108.12K--108.12K
-Total tax payable -15.15%670.13K-15.15%670.13K55.08%789.77K55.08%789.77K655.15%509.26K655.15%509.26K136.36%67.44K136.36%67.44K53.82%28.53K--28.53K
-Other payable --37K--37K----------------0.00%15.21K0.00%15.21K-70.31%15.21K--15.21K
Current deferred liabilities --264.42K--264.42K--------------------------------
Current liabilities -9.84%3.93M-9.84%3.93M39.50%4.35M39.50%4.35M580.79%3.12M580.79%3.12M-27.13%458.46K-27.13%458.46K-81.07%629.18K--629.18K
Non current liabilities
-Long term debt 153.57%265K153.57%265K10.24%104.51K10.24%104.51K--94.8K--94.8K----------------
Non current accrued expenses -0.46%454.45K-0.46%454.45K-18.25%456.55K-18.25%456.55K3,829.28%558.47K3,829.28%558.47K-40.99%14.21K-40.99%14.21K105.07%24.09K--24.09K
Long term provisions -2.51%150K-2.51%150K--153.86K--153.86K------------------------
Employee benefits 17.61%125.14K17.61%125.14K635.90%106.4K635.90%106.4K--14.46K--14.46K----------------
Regulatory liabilities -------------------------1,276.96%-34.55K-1,276.96%-34.55K59.28%-2.51K---2.51K
Preferred securities outside stock equity 5.01%296.23K5.01%296.23K32.38%282.11K32.38%282.11K429.82%213.11K429.82%213.11K29.18%40.22K29.18%40.22K-44.56%31.14K--31.14K
Total non current liabilities -10.65%4.6M-10.65%4.6M41.68%5.14M41.68%5.14M590.33%3.63M590.33%3.63M-20.04%525.89K-20.04%525.89K-80.33%657.71K--657.71K
Shareholders'equity
Share capital 0.76%108.18M0.76%108.18M4.11%107.36M4.11%107.36M4.73%103.12M4.73%103.12M5.74%98.47M5.74%98.47M0.00%93.12M--93.12M
-common stock 0.76%108.18M0.76%108.18M4.11%107.36M4.11%107.36M4.73%103.12M4.73%103.12M5.74%98.47M5.74%98.47M0.00%93.12M--93.12M
Gains losses not affecting retained earnings -2.99%4.69M-2.99%4.69M18.25%4.84M18.25%4.84M14.96%4.09M14.96%4.09M7.44%3.56M7.44%3.56M-62.19%3.31M--3.31M
Total equity -25.20%4.93M-25.20%4.93M79.56%6.59M79.56%6.59M-14.07%3.67M-14.07%3.67M268.43%4.27M268.43%4.27M-70.95%1.16M--1.16M

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