AU Stock MarketDetailed Quotes

HFY Hubify Ltd

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  • 0.011
  • 0.0000.00%
20min DelayMarket Closed Sep 25 10:04 AET
5.62MMarket Cap-1100P/E (Static)

Hubify 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
-58.68%2.8M
-58.68%2.8M
152.31%6.77M
152.31%6.77M
-47.09%2.68M
-47.09%2.68M
74.19%5.07M
74.19%5.07M
453.86%2.91M
453.86%2.91M
-Cash and cash equivalents
-50.36%2.79M
-50.36%2.79M
109.35%5.61M
109.35%5.61M
-47.09%2.68M
-47.09%2.68M
74.78%5.07M
74.78%5.07M
451.32%2.9M
451.32%2.9M
-Accounts receivable
-11.37%1.65M
-11.37%1.65M
-49.31%1.86M
-49.31%1.86M
93.24%3.67M
93.24%3.67M
43.02%1.9M
43.02%1.9M
311.00%1.33M
311.00%1.33M
-Notes receivable
-54.56%67.21K
-54.56%67.21K
-39.36%147.91K
-39.36%147.91K
56.84%243.91K
56.84%243.91K
53.30%155.52K
53.30%155.52K
--101.45K
--101.45K
-Other receivables
-45.45%930.58K
-45.45%930.58K
-24.58%1.71M
-24.58%1.71M
101.84%2.26M
101.84%2.26M
-5.71%1.12M
-5.71%1.12M
--1.19M
--1.19M
Current deferred assets
--33.95K
--33.95K
----
----
6.72%131.77K
6.72%131.77K
--123.47K
--123.47K
----
----
Total current assets
-48.32%4.84M
-48.32%4.84M
27.24%9.37M
27.24%9.37M
-0.91%7.36M
-0.91%7.36M
65.45%7.43M
65.45%7.43M
335.30%4.49M
335.30%4.49M
Non current assets
-Accumulated depreciation
-15.89%-850.44K
-15.89%-850.44K
30.71%-733.85K
30.71%-733.85K
-55.45%-1.06M
-55.45%-1.06M
-67.73%-681.29K
-67.73%-681.29K
33.18%-406.2K
33.18%-406.2K
-Long term equity investment
-27.83%911.45K
-27.83%911.45K
1,118.79%1.26M
1,118.79%1.26M
-82.03%103.62K
-82.03%103.62K
21.20%576.58K
21.20%576.58K
--475.71K
--475.71K
Non current note receivables
29.55%1.62M
29.55%1.62M
29.39%1.25M
29.39%1.25M
-18.36%969.4K
-18.36%969.4K
-32.23%1.19M
-32.23%1.19M
--1.75M
--1.75M
-Goodwill
-41.43%4.41M
-41.43%4.41M
-3.87%7.53M
-3.87%7.53M
25.04%7.84M
25.04%7.84M
206.80%6.27M
206.80%6.27M
31.63%2.04M
31.63%2.04M
Regulatory assets
-19.16%1.43M
-19.16%1.43M
-51.33%1.77M
-51.33%1.77M
94.53%3.63M
94.53%3.63M
27.79%1.87M
27.79%1.87M
292.55%1.46M
292.55%1.46M
Non current deferred assets
0.00%39.34K
0.00%39.34K
--39.34K
--39.34K
----
----
----
----
----
----
Liabilities
Current liabilities
Current debt and capital lease obligation
-0.85%282.37K
-0.85%282.37K
-14.52%284.79K
-14.52%284.79K
-7.55%333.18K
-7.55%333.18K
-5.29%360.37K
-5.29%360.37K
85.83%380.49K
85.83%380.49K
-Current debt
9.52%45.35K
9.52%45.35K
-6.21%41.4K
-6.21%41.4K
--44.14K
--44.14K
----
----
-17.89%127.84K
-17.89%127.84K
-Current capital lease obligation
-2.61%237.02K
-2.61%237.02K
-15.79%243.39K
-15.79%243.39K
-19.79%289.04K
-19.79%289.04K
42.64%360.37K
42.64%360.37K
414.96%252.65K
414.96%252.65K
-accounts payable
6.96%957.62K
6.96%957.62K
-26.64%895.33K
-26.64%895.33K
42.35%1.22M
42.35%1.22M
30.07%857.39K
30.07%857.39K
34.12%659.17K
34.12%659.17K
-Total tax payable
-44.29%1.79M
-44.29%1.79M
377.20%3.21M
377.20%3.21M
-15.82%672.59K
-15.82%672.59K
10.62%798.94K
10.62%798.94K
1,136.91%722.26K
1,136.91%722.26K
-Other payable
--210.77K
--210.77K
----
----
--236.04K
--236.04K
----
----
--102.5K
--102.5K
Current provisions
----
----
-16.13%1.3M
-16.13%1.3M
244.44%1.55M
244.44%1.55M
75.00%450K
75.00%450K
--257.14K
--257.14K
Current deferred liabilities
0.00%3.38K
0.00%3.38K
--3.38K
--3.38K
----
----
----
----
----
----
Current liabilities
-42.09%3.05M
-42.09%3.05M
-20.48%5.27M
-20.48%5.27M
85.40%6.63M
85.40%6.63M
13.75%3.58M
13.75%3.58M
274.46%3.14M
274.46%3.14M
Non current liabilities
-Long term debt
-28.10%783.09K
-28.10%783.09K
951.15%1.09M
951.15%1.09M
-73.63%103.62K
-73.63%103.62K
-17.41%392.87K
-17.41%392.87K
--475.71K
--475.71K
Non current accrued expenses
-27.60%1.11M
-27.60%1.11M
164.42%1.53M
164.42%1.53M
-32.68%579.75K
-32.68%579.75K
5.13%861.2K
5.13%861.2K
790.27%819.19K
790.27%819.19K
Long term provisions
-26.10%128.36K
-26.10%128.36K
--173.71K
--173.71K
----
----
--183.71K
--183.71K
----
----
Employee benefits
-54.56%67.21K
-54.56%67.21K
-39.36%147.91K
-39.36%147.91K
56.84%243.91K
56.84%243.91K
53.30%155.52K
53.30%155.52K
--101.45K
--101.45K
Regulatory liabilities
-112.23%-218.57K
-112.23%-218.57K
29.87%-102.99K
29.87%-102.99K
-127.23%-146.86K
-127.23%-146.86K
-13.69%-64.63K
-13.69%-64.63K
-1,581.92%-56.85K
-1,581.92%-56.85K
Preferred securities outside stock equity
-7.59%812.85K
-7.59%812.85K
-11.44%879.61K
-11.44%879.61K
25.99%993.25K
25.99%993.25K
58.00%788.35K
58.00%788.35K
304.07%498.96K
304.07%498.96K
Total non current liabilities
-42.92%4.84M
-42.92%4.84M
16.14%8.48M
16.14%8.48M
66.92%7.3M
66.92%7.3M
13.17%4.38M
13.17%4.38M
330.54%3.87M
330.54%3.87M
Shareholders'equity
Share capital
5.42%8.75M
5.42%8.75M
2.22%8.3M
2.22%8.3M
0.00%8.12M
0.00%8.12M
248.18%8.12M
248.18%8.12M
-90.39%2.33M
-90.39%2.33M
-common stock
5.42%8.75M
5.42%8.75M
2.22%8.3M
2.22%8.3M
0.00%8.12M
0.00%8.12M
248.18%8.12M
248.18%8.12M
-90.39%2.33M
-90.39%2.33M
Gains losses not affecting retained earnings
4.14%141.6K
4.14%141.6K
133.34%135.97K
133.34%135.97K
191.36%58.27K
191.36%58.27K
--20K
--20K
----
----
Other equity interest
-22.79%418.95K
-22.79%418.95K
-12.89%542.59K
-12.89%542.59K
199.33%622.88K
199.33%622.88K
122.18%208.09K
122.18%208.09K
30.81%93.66K
30.81%93.66K
Total equity
-39.19%12.24M
-39.19%12.24M
15.09%20.12M
15.09%20.12M
6.32%17.48M
6.32%17.48M
78.61%16.45M
78.61%16.45M
244.13%9.21M
244.13%9.21M
(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 -58.68%2.8M-58.68%2.8M152.31%6.77M152.31%6.77M-47.09%2.68M-47.09%2.68M74.19%5.07M74.19%5.07M453.86%2.91M453.86%2.91M
-Cash and cash equivalents -50.36%2.79M-50.36%2.79M109.35%5.61M109.35%5.61M-47.09%2.68M-47.09%2.68M74.78%5.07M74.78%5.07M451.32%2.9M451.32%2.9M
-Accounts receivable -11.37%1.65M-11.37%1.65M-49.31%1.86M-49.31%1.86M93.24%3.67M93.24%3.67M43.02%1.9M43.02%1.9M311.00%1.33M311.00%1.33M
-Notes receivable -54.56%67.21K-54.56%67.21K-39.36%147.91K-39.36%147.91K56.84%243.91K56.84%243.91K53.30%155.52K53.30%155.52K--101.45K--101.45K
-Other receivables -45.45%930.58K-45.45%930.58K-24.58%1.71M-24.58%1.71M101.84%2.26M101.84%2.26M-5.71%1.12M-5.71%1.12M--1.19M--1.19M
Current deferred assets --33.95K--33.95K--------6.72%131.77K6.72%131.77K--123.47K--123.47K--------
Total current assets -48.32%4.84M-48.32%4.84M27.24%9.37M27.24%9.37M-0.91%7.36M-0.91%7.36M65.45%7.43M65.45%7.43M335.30%4.49M335.30%4.49M
Non current assets
-Accumulated depreciation -15.89%-850.44K-15.89%-850.44K30.71%-733.85K30.71%-733.85K-55.45%-1.06M-55.45%-1.06M-67.73%-681.29K-67.73%-681.29K33.18%-406.2K33.18%-406.2K
-Long term equity investment -27.83%911.45K-27.83%911.45K1,118.79%1.26M1,118.79%1.26M-82.03%103.62K-82.03%103.62K21.20%576.58K21.20%576.58K--475.71K--475.71K
Non current note receivables 29.55%1.62M29.55%1.62M29.39%1.25M29.39%1.25M-18.36%969.4K-18.36%969.4K-32.23%1.19M-32.23%1.19M--1.75M--1.75M
-Goodwill -41.43%4.41M-41.43%4.41M-3.87%7.53M-3.87%7.53M25.04%7.84M25.04%7.84M206.80%6.27M206.80%6.27M31.63%2.04M31.63%2.04M
Regulatory assets -19.16%1.43M-19.16%1.43M-51.33%1.77M-51.33%1.77M94.53%3.63M94.53%3.63M27.79%1.87M27.79%1.87M292.55%1.46M292.55%1.46M
Non current deferred assets 0.00%39.34K0.00%39.34K--39.34K--39.34K------------------------
Liabilities
Current liabilities
Current debt and capital lease obligation -0.85%282.37K-0.85%282.37K-14.52%284.79K-14.52%284.79K-7.55%333.18K-7.55%333.18K-5.29%360.37K-5.29%360.37K85.83%380.49K85.83%380.49K
-Current debt 9.52%45.35K9.52%45.35K-6.21%41.4K-6.21%41.4K--44.14K--44.14K---------17.89%127.84K-17.89%127.84K
-Current capital lease obligation -2.61%237.02K-2.61%237.02K-15.79%243.39K-15.79%243.39K-19.79%289.04K-19.79%289.04K42.64%360.37K42.64%360.37K414.96%252.65K414.96%252.65K
-accounts payable 6.96%957.62K6.96%957.62K-26.64%895.33K-26.64%895.33K42.35%1.22M42.35%1.22M30.07%857.39K30.07%857.39K34.12%659.17K34.12%659.17K
-Total tax payable -44.29%1.79M-44.29%1.79M377.20%3.21M377.20%3.21M-15.82%672.59K-15.82%672.59K10.62%798.94K10.62%798.94K1,136.91%722.26K1,136.91%722.26K
-Other payable --210.77K--210.77K----------236.04K--236.04K----------102.5K--102.5K
Current provisions ---------16.13%1.3M-16.13%1.3M244.44%1.55M244.44%1.55M75.00%450K75.00%450K--257.14K--257.14K
Current deferred liabilities 0.00%3.38K0.00%3.38K--3.38K--3.38K------------------------
Current liabilities -42.09%3.05M-42.09%3.05M-20.48%5.27M-20.48%5.27M85.40%6.63M85.40%6.63M13.75%3.58M13.75%3.58M274.46%3.14M274.46%3.14M
Non current liabilities
-Long term debt -28.10%783.09K-28.10%783.09K951.15%1.09M951.15%1.09M-73.63%103.62K-73.63%103.62K-17.41%392.87K-17.41%392.87K--475.71K--475.71K
Non current accrued expenses -27.60%1.11M-27.60%1.11M164.42%1.53M164.42%1.53M-32.68%579.75K-32.68%579.75K5.13%861.2K5.13%861.2K790.27%819.19K790.27%819.19K
Long term provisions -26.10%128.36K-26.10%128.36K--173.71K--173.71K----------183.71K--183.71K--------
Employee benefits -54.56%67.21K-54.56%67.21K-39.36%147.91K-39.36%147.91K56.84%243.91K56.84%243.91K53.30%155.52K53.30%155.52K--101.45K--101.45K
Regulatory liabilities -112.23%-218.57K-112.23%-218.57K29.87%-102.99K29.87%-102.99K-127.23%-146.86K-127.23%-146.86K-13.69%-64.63K-13.69%-64.63K-1,581.92%-56.85K-1,581.92%-56.85K
Preferred securities outside stock equity -7.59%812.85K-7.59%812.85K-11.44%879.61K-11.44%879.61K25.99%993.25K25.99%993.25K58.00%788.35K58.00%788.35K304.07%498.96K304.07%498.96K
Total non current liabilities -42.92%4.84M-42.92%4.84M16.14%8.48M16.14%8.48M66.92%7.3M66.92%7.3M13.17%4.38M13.17%4.38M330.54%3.87M330.54%3.87M
Shareholders'equity
Share capital 5.42%8.75M5.42%8.75M2.22%8.3M2.22%8.3M0.00%8.12M0.00%8.12M248.18%8.12M248.18%8.12M-90.39%2.33M-90.39%2.33M
-common stock 5.42%8.75M5.42%8.75M2.22%8.3M2.22%8.3M0.00%8.12M0.00%8.12M248.18%8.12M248.18%8.12M-90.39%2.33M-90.39%2.33M
Gains losses not affecting retained earnings 4.14%141.6K4.14%141.6K133.34%135.97K133.34%135.97K191.36%58.27K191.36%58.27K--20K--20K--------
Other equity interest -22.79%418.95K-22.79%418.95K-12.89%542.59K-12.89%542.59K199.33%622.88K199.33%622.88K122.18%208.09K122.18%208.09K30.81%93.66K30.81%93.66K
Total equity -39.19%12.24M-39.19%12.24M15.09%20.12M15.09%20.12M6.32%17.48M6.32%17.48M78.61%16.45M78.61%16.45M244.13%9.21M244.13%9.21M

Analysis

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