AU Stock MarketDetailed Quotes

HUB HUB24 Ltd

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  • 46.380
  • +0.100+0.22%
20min DelayNot Open Jul 3 16:00 AET
3.76BMarket Cap100.61P/E (Static)

HUB24 Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
67.41%72.75M
67.41%72.75M
-31.53%43.45M
-31.53%43.45M
87.70%63.46M
87.70%63.46M
83.09%33.81M
83.09%33.81M
8.89%18.47M
8.89%18.47M
-Cash and cash equivalents
67.41%72.75M
67.41%72.75M
-31.53%43.45M
-31.53%43.45M
87.70%63.46M
87.70%63.46M
83.09%33.81M
83.09%33.81M
8.89%18.47M
8.89%18.47M
-Accounts receivable
22.82%29.38M
22.82%29.38M
60.41%23.93M
60.41%23.93M
49.96%14.91M
49.96%14.91M
30.79%9.95M
30.79%9.95M
49.69%7.6M
49.69%7.6M
-Notes receivable
31.20%3.65M
31.20%3.65M
21.85%2.78M
21.85%2.78M
63.31%2.28M
63.31%2.28M
80.29%1.4M
80.29%1.4M
11.75%775.49K
11.75%775.49K
-Other receivables
21.40%12.21M
21.40%12.21M
19.57%10.06M
19.57%10.06M
128.54%8.41M
128.54%8.41M
15.20%3.68M
15.20%3.68M
-24.02%3.19M
-24.02%3.19M
Current deferred assets
--1.85M
--1.85M
----
----
----
----
----
----
----
----
Total current assets
47.84%110.94M
47.84%110.94M
-9.22%75.04M
-9.22%75.04M
81.06%82.66M
81.06%82.66M
70.28%45.65M
70.28%45.65M
17.54%26.81M
17.54%26.81M
Non current assets
-Accumulated depreciation
-19.33%-8.66M
-19.33%-8.66M
-109.38%-7.26M
-109.38%-7.26M
-28.94%-3.47M
-28.94%-3.47M
-32.24%-2.69M
-32.24%-2.69M
-48.41%-2.03M
-48.41%-2.03M
-Long term equity investment
0.67%36.41M
0.67%36.41M
159.73%36.17M
159.73%36.17M
217.53%13.92M
217.53%13.92M
--4.39M
--4.39M
----
----
Non current note receivables
--539K
--539K
----
----
150.17%12.76M
150.17%12.76M
-47.33%5.1M
-47.33%5.1M
-27.51%9.69M
-27.51%9.69M
-Goodwill
6.95%459.21M
6.95%459.21M
312.95%429.37M
312.95%429.37M
160.18%103.98M
160.18%103.98M
7.81%39.96M
7.81%39.96M
15.75%37.07M
15.75%37.07M
Regulatory assets
12.26%29.53M
12.26%29.53M
58.16%26.31M
58.16%26.31M
65.57%16.63M
65.57%16.63M
32.79%10.05M
32.79%10.05M
48.69%7.57M
48.69%7.57M
Non current deferred assets
-92.02%1.25M
-92.02%1.25M
107.35%15.66M
107.35%15.66M
--7.55M
--7.55M
----
----
-0.56%2M
-0.56%2M
Liabilities
Current liabilities
Current debt and capital lease obligation
-71.72%3.77M
-71.72%3.77M
149.78%13.31M
149.78%13.31M
219.07%5.33M
219.07%5.33M
--1.67M
--1.67M
----
----
-Current debt
----
----
221.89%10.06M
221.89%10.06M
--3.13M
--3.13M
----
----
----
----
-Current capital lease obligation
15.74%3.77M
15.74%3.77M
47.56%3.25M
47.56%3.25M
31.98%2.2M
31.98%2.2M
--1.67M
--1.67M
----
----
-accounts payable
13.71%4.42M
13.71%4.42M
467.42%3.89M
467.42%3.89M
-59.45%685.39K
-59.45%685.39K
902.11%1.69M
902.11%1.69M
-83.52%168.65K
-83.52%168.65K
-Total tax payable
3.47%41.32M
3.47%41.32M
133.68%39.94M
133.68%39.94M
112.19%17.09M
112.19%17.09M
105.32%8.05M
105.32%8.05M
-18.80%3.92M
-18.80%3.92M
Current provisions
----
----
-69.83%1.91M
-69.83%1.91M
541.54%6.33M
541.54%6.33M
155.41%987.23K
155.41%987.23K
35.56%386.53K
35.56%386.53K
Current deferred liabilities
-74.57%685K
-74.57%685K
753.07%2.69M
753.07%2.69M
255.31%315.8K
255.31%315.8K
-65.74%88.88K
-65.74%88.88K
-37.86%259.42K
-37.86%259.42K
Current liabilities
-13.77%44.95M
-13.77%44.95M
68.91%52.12M
68.91%52.12M
106.55%30.86M
106.55%30.86M
72.21%14.94M
72.21%14.94M
-10.79%8.68M
-10.79%8.68M
Non current liabilities
-Long term debt
-7.17%6.43M
-7.17%6.43M
52.34%6.93M
52.34%6.93M
3.75%4.55M
3.75%4.55M
--4.39M
--4.39M
----
----
Non current accrued expenses
0.74%12.57M
0.74%12.57M
65.34%12.48M
65.34%12.48M
6.34%7.55M
6.34%7.55M
262.99%7.1M
262.99%7.1M
-11.69%1.96M
-11.69%1.96M
Long term provisions
2.53%29.98M
2.53%29.98M
211.85%29.24M
211.85%29.24M
--9.38M
--9.38M
----
----
----
----
Employee benefits
31.20%3.65M
31.20%3.65M
21.85%2.78M
21.85%2.78M
63.31%2.28M
63.31%2.28M
80.29%1.4M
80.29%1.4M
11.75%775.49K
11.75%775.49K
Regulatory liabilities
-56.54%-371K
-56.54%-371K
-523.37%-237K
-523.37%-237K
12.13%-38.02K
12.13%-38.02K
-123.73%-43.27K
-123.73%-43.27K
-70.06%-19.34K
-70.06%-19.34K
Preferred securities outside stock equity
23.31%23.74M
23.31%23.74M
96.77%19.25M
96.77%19.25M
43.39%9.78M
43.39%9.78M
46.23%6.82M
46.23%6.82M
22.97%4.67M
22.97%4.67M
Total non current liabilities
-6.29%86.27M
-6.29%86.27M
91.99%92.06M
91.99%92.06M
108.52%47.95M
108.52%47.95M
82.52%22.99M
82.52%22.99M
-13.45%12.6M
-13.45%12.6M
Shareholders'equity
Share capital
6.74%491.48M
6.74%491.48M
131.13%460.45M
131.13%460.45M
98.92%199.21M
98.92%199.21M
1.99%100.15M
1.99%100.15M
2.08%98.19M
2.08%98.19M
-common stock
6.74%491.48M
6.74%491.48M
131.13%460.45M
131.13%460.45M
98.92%199.21M
98.92%199.21M
1.99%100.15M
1.99%100.15M
2.08%98.19M
2.08%98.19M
Gains losses not affecting retained earnings
33.79%93.93M
33.79%93.93M
23.50%70.21M
23.50%70.21M
14.45%56.85M
14.45%56.85M
171.85%49.67M
171.85%49.67M
102.32%18.27M
102.32%18.27M
Other equity interest
29.04%6.82M
29.04%6.82M
105.54%5.28M
105.54%5.28M
42.85%2.57M
42.85%2.57M
130.39%1.8M
130.39%1.8M
2.13%781K
2.13%781K
Noncontrolling interests
-19.75%12.17M
-19.75%12.17M
4.47%15.17M
4.47%15.17M
--14.52M
--14.52M
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----
----
----
Total equity
8.94%596.68M
8.94%596.68M
139.16%547.72M
139.16%547.72M
134.13%229.02M
134.13%229.02M
26.18%97.82M
26.18%97.82M
7.04%77.52M
7.04%77.52M
(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(FY)Jun 30, 2019(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments 67.41%72.75M67.41%72.75M-31.53%43.45M-31.53%43.45M87.70%63.46M87.70%63.46M83.09%33.81M83.09%33.81M8.89%18.47M8.89%18.47M
-Cash and cash equivalents 67.41%72.75M67.41%72.75M-31.53%43.45M-31.53%43.45M87.70%63.46M87.70%63.46M83.09%33.81M83.09%33.81M8.89%18.47M8.89%18.47M
-Accounts receivable 22.82%29.38M22.82%29.38M60.41%23.93M60.41%23.93M49.96%14.91M49.96%14.91M30.79%9.95M30.79%9.95M49.69%7.6M49.69%7.6M
-Notes receivable 31.20%3.65M31.20%3.65M21.85%2.78M21.85%2.78M63.31%2.28M63.31%2.28M80.29%1.4M80.29%1.4M11.75%775.49K11.75%775.49K
-Other receivables 21.40%12.21M21.40%12.21M19.57%10.06M19.57%10.06M128.54%8.41M128.54%8.41M15.20%3.68M15.20%3.68M-24.02%3.19M-24.02%3.19M
Current deferred assets --1.85M--1.85M--------------------------------
Total current assets 47.84%110.94M47.84%110.94M-9.22%75.04M-9.22%75.04M81.06%82.66M81.06%82.66M70.28%45.65M70.28%45.65M17.54%26.81M17.54%26.81M
Non current assets
-Accumulated depreciation -19.33%-8.66M-19.33%-8.66M-109.38%-7.26M-109.38%-7.26M-28.94%-3.47M-28.94%-3.47M-32.24%-2.69M-32.24%-2.69M-48.41%-2.03M-48.41%-2.03M
-Long term equity investment 0.67%36.41M0.67%36.41M159.73%36.17M159.73%36.17M217.53%13.92M217.53%13.92M--4.39M--4.39M--------
Non current note receivables --539K--539K--------150.17%12.76M150.17%12.76M-47.33%5.1M-47.33%5.1M-27.51%9.69M-27.51%9.69M
-Goodwill 6.95%459.21M6.95%459.21M312.95%429.37M312.95%429.37M160.18%103.98M160.18%103.98M7.81%39.96M7.81%39.96M15.75%37.07M15.75%37.07M
Regulatory assets 12.26%29.53M12.26%29.53M58.16%26.31M58.16%26.31M65.57%16.63M65.57%16.63M32.79%10.05M32.79%10.05M48.69%7.57M48.69%7.57M
Non current deferred assets -92.02%1.25M-92.02%1.25M107.35%15.66M107.35%15.66M--7.55M--7.55M---------0.56%2M-0.56%2M
Liabilities
Current liabilities
Current debt and capital lease obligation -71.72%3.77M-71.72%3.77M149.78%13.31M149.78%13.31M219.07%5.33M219.07%5.33M--1.67M--1.67M--------
-Current debt --------221.89%10.06M221.89%10.06M--3.13M--3.13M----------------
-Current capital lease obligation 15.74%3.77M15.74%3.77M47.56%3.25M47.56%3.25M31.98%2.2M31.98%2.2M--1.67M--1.67M--------
-accounts payable 13.71%4.42M13.71%4.42M467.42%3.89M467.42%3.89M-59.45%685.39K-59.45%685.39K902.11%1.69M902.11%1.69M-83.52%168.65K-83.52%168.65K
-Total tax payable 3.47%41.32M3.47%41.32M133.68%39.94M133.68%39.94M112.19%17.09M112.19%17.09M105.32%8.05M105.32%8.05M-18.80%3.92M-18.80%3.92M
Current provisions ---------69.83%1.91M-69.83%1.91M541.54%6.33M541.54%6.33M155.41%987.23K155.41%987.23K35.56%386.53K35.56%386.53K
Current deferred liabilities -74.57%685K-74.57%685K753.07%2.69M753.07%2.69M255.31%315.8K255.31%315.8K-65.74%88.88K-65.74%88.88K-37.86%259.42K-37.86%259.42K
Current liabilities -13.77%44.95M-13.77%44.95M68.91%52.12M68.91%52.12M106.55%30.86M106.55%30.86M72.21%14.94M72.21%14.94M-10.79%8.68M-10.79%8.68M
Non current liabilities
-Long term debt -7.17%6.43M-7.17%6.43M52.34%6.93M52.34%6.93M3.75%4.55M3.75%4.55M--4.39M--4.39M--------
Non current accrued expenses 0.74%12.57M0.74%12.57M65.34%12.48M65.34%12.48M6.34%7.55M6.34%7.55M262.99%7.1M262.99%7.1M-11.69%1.96M-11.69%1.96M
Long term provisions 2.53%29.98M2.53%29.98M211.85%29.24M211.85%29.24M--9.38M--9.38M----------------
Employee benefits 31.20%3.65M31.20%3.65M21.85%2.78M21.85%2.78M63.31%2.28M63.31%2.28M80.29%1.4M80.29%1.4M11.75%775.49K11.75%775.49K
Regulatory liabilities -56.54%-371K-56.54%-371K-523.37%-237K-523.37%-237K12.13%-38.02K12.13%-38.02K-123.73%-43.27K-123.73%-43.27K-70.06%-19.34K-70.06%-19.34K
Preferred securities outside stock equity 23.31%23.74M23.31%23.74M96.77%19.25M96.77%19.25M43.39%9.78M43.39%9.78M46.23%6.82M46.23%6.82M22.97%4.67M22.97%4.67M
Total non current liabilities -6.29%86.27M-6.29%86.27M91.99%92.06M91.99%92.06M108.52%47.95M108.52%47.95M82.52%22.99M82.52%22.99M-13.45%12.6M-13.45%12.6M
Shareholders'equity
Share capital 6.74%491.48M6.74%491.48M131.13%460.45M131.13%460.45M98.92%199.21M98.92%199.21M1.99%100.15M1.99%100.15M2.08%98.19M2.08%98.19M
-common stock 6.74%491.48M6.74%491.48M131.13%460.45M131.13%460.45M98.92%199.21M98.92%199.21M1.99%100.15M1.99%100.15M2.08%98.19M2.08%98.19M
Gains losses not affecting retained earnings 33.79%93.93M33.79%93.93M23.50%70.21M23.50%70.21M14.45%56.85M14.45%56.85M171.85%49.67M171.85%49.67M102.32%18.27M102.32%18.27M
Other equity interest 29.04%6.82M29.04%6.82M105.54%5.28M105.54%5.28M42.85%2.57M42.85%2.57M130.39%1.8M130.39%1.8M2.13%781K2.13%781K
Noncontrolling interests -19.75%12.17M-19.75%12.17M4.47%15.17M4.47%15.17M--14.52M--14.52M----------------
Total equity 8.94%596.68M8.94%596.68M139.16%547.72M139.16%547.72M134.13%229.02M134.13%229.02M26.18%97.82M26.18%97.82M7.04%77.52M7.04%77.52M

Analysis

Analyst Rating

No Data

Price Target

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