AU Stock MarketDetailed Quotes

IGO IGO Ltd

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  • 5.180
  • -0.090-1.71%
20min DelayNot Open Sep 17 16:00 AET
3.92BMarket Cap1295.00P/E (Static)

IGO 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
-36.68%530.4M
-36.68%530.4M
69.59%837.6M
69.59%837.6M
-22.76%493.9M
-22.76%493.9M
3.46%639.46M
3.46%639.46M
64.49%618.07M
64.49%618.07M
-Cash and cash equivalents
-39.63%468M
-39.63%468M
111.17%775.2M
111.17%775.2M
-30.54%367.1M
-30.54%367.1M
3.57%528.51M
3.57%528.51M
46.55%510.31M
46.55%510.31M
-Accounts receivable
-45.14%40.1M
-45.14%40.1M
-23.13%73.1M
-23.13%73.1M
21.13%95.1M
21.13%95.1M
68.50%78.51M
68.50%78.51M
89.66%46.6M
89.66%46.6M
-Notes receivable
-12.96%4.7M
-12.96%4.7M
42.11%5.4M
42.11%5.4M
40.32%3.8M
40.32%3.8M
32.62%2.71M
32.62%2.71M
72.32%2.04M
72.32%2.04M
Current deferred assets
-53.43%34.6M
-53.43%34.6M
--74.3M
--74.3M
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----
----
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Total current assets
-33.34%759.3M
-33.34%759.3M
52.84%1.14B
52.84%1.14B
-1.77%745.2M
-1.77%745.2M
-0.56%758.6M
-0.56%758.6M
54.35%762.87M
54.35%762.87M
Non current assets
-Accumulated depreciation
-36.36%-1.71B
-36.36%-1.71B
-48.94%-1.25B
-48.94%-1.25B
-25.53%-839.6M
-25.53%-839.6M
24.58%-668.85M
24.58%-668.85M
-36.39%-886.78M
-36.39%-886.78M
Investment properties
----
----
-53.92%37.6M
-53.92%37.6M
--81.6M
--81.6M
----
----
----
----
-Long term equity investment
-88.33%26.2M
-88.33%26.2M
-70.09%224.6M
-70.09%224.6M
3,539.89%750.8M
3,539.89%750.8M
-38.52%20.63M
-38.52%20.63M
18.29%33.55M
18.29%33.55M
-Including:Held to maturity investments
1,108.33%14.5M
1,108.33%14.5M
-97.55%1.2M
-97.55%1.2M
1,681.17%49M
1,681.17%49M
4,198.44%2.75M
4,198.44%2.75M
-86.78%64K
-86.78%64K
Financial assets
----
----
----
----
----
----
----
----
--284K
--284K
Non current note receivables
----
----
161.28%69.5M
161.28%69.5M
-13.41%26.6M
-13.41%26.6M
-74.34%30.72M
-74.34%30.72M
-33.57%119.73M
-33.57%119.73M
Regulatory assets
-39.27%50.1M
-39.27%50.1M
-27.12%82.5M
-27.12%82.5M
42.62%113.2M
42.62%113.2M
20.43%79.37M
20.43%79.37M
44.57%65.91M
44.57%65.91M
Non current deferred assets
----
----
----
----
----
----
----
----
-99.97%4K
-99.97%4K
Liabilities
Current liabilities
Current debt and capital lease obligation
-89.16%22.5M
-89.16%22.5M
5.54%207.5M
5.54%207.5M
4,346.96%196.6M
4,346.96%196.6M
-93.00%4.42M
-93.00%4.42M
12.35%63.17M
12.35%63.17M
-Current debt
----
----
1.08%178.4M
1.08%178.4M
--176.5M
--176.5M
----
----
1.26%56.94M
1.26%56.94M
-Current capital lease obligation
-22.68%22.5M
-22.68%22.5M
44.78%29.1M
44.78%29.1M
354.65%20.1M
354.65%20.1M
-29.09%4.42M
-29.09%4.42M
--6.24M
--6.24M
-accounts payable
-57.28%68.7M
-57.28%68.7M
7.77%160.8M
7.77%160.8M
215.53%149.2M
215.53%149.2M
-10.80%47.29M
-10.80%47.29M
1,775.24%53.01M
1,775.24%53.01M
-Total tax payable
-57.63%227.8M
-57.63%227.8M
-44.57%537.7M
-44.57%537.7M
449.65%970M
449.65%970M
-27.67%176.48M
-27.67%176.48M
6.12%243.98M
6.12%243.98M
-Other payable
-28.21%2.8M
-28.21%2.8M
387.50%3.9M
387.50%3.9M
--800K
--800K
----
----
29.12%67.91M
29.12%67.91M
Current provisions
-30.24%14.3M
-30.24%14.3M
--20.5M
--20.5M
----
----
----
----
----
----
Current deferred liabilities
----
----
----
----
-55.22%77M
-55.22%77M
--171.95M
--171.95M
----
----
Current liabilities
-68.37%129.7M
-68.37%129.7M
-6.82%410M
-6.82%410M
89.35%440M
89.35%440M
88.55%232.38M
88.55%232.38M
10.72%123.24M
10.72%123.24M
Non current liabilities
-Long term debt
-41.91%26.2M
-41.91%26.2M
20.91%45.1M
20.91%45.1M
80.83%37.3M
80.83%37.3M
-38.52%20.63M
-38.52%20.63M
--33.55M
--33.55M
Non current accrued expenses
-44.16%602.4M
-44.16%602.4M
-45.97%1.08B
-45.97%1.08B
107.22%2B
107.22%2B
-28.22%963.48M
-28.22%963.48M
-7.32%1.34B
-7.32%1.34B
Long term provisions
----
----
-74.84%179.5M
-74.84%179.5M
--713.5M
--713.5M
----
----
----
----
Employee benefits
-12.96%4.7M
-12.96%4.7M
42.11%5.4M
42.11%5.4M
40.32%3.8M
40.32%3.8M
32.62%2.71M
32.62%2.71M
72.32%2.04M
72.32%2.04M
Trust preferred securities
----
----
-53.92%37.6M
-53.92%37.6M
--81.6M
--81.6M
----
----
----
----
Preferred securities outside stock equity
14.15%24.2M
14.15%24.2M
23.26%21.2M
23.26%21.2M
97.23%17.2M
97.23%17.2M
23.56%8.72M
23.56%8.72M
36.25%7.06M
36.25%7.06M
Total non current liabilities
-62.28%357.5M
-62.28%357.5M
-32.79%947.7M
-32.79%947.7M
244.87%1.41B
244.87%1.41B
11.34%408.86M
11.34%408.86M
7.62%367.22M
7.62%367.22M
Shareholders'equity
Share capital
-0.32%2.62B
-0.32%2.62B
-0.39%2.63B
-0.39%2.63B
-0.26%2.64B
-0.26%2.64B
39.61%2.65B
39.61%2.65B
0.07%1.9B
0.07%1.9B
-common stock
-0.32%2.62B
-0.32%2.62B
-0.39%2.63B
-0.39%2.63B
-0.26%2.64B
-0.26%2.64B
39.61%2.65B
39.61%2.65B
0.07%1.9B
0.07%1.9B
Gains losses not affecting retained earnings
3.05%581M
3.05%581M
-24.59%563.8M
-24.59%563.8M
47.88%747.6M
47.88%747.6M
2,578.52%505.54M
2,578.52%505.54M
19.63%18.87M
19.63%18.87M
Other equity interest
--2.3M
--2.3M
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----
----
----
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Noncontrolling interests
-8.58%2.2B
-8.58%2.2B
20.79%2.41B
20.79%2.41B
7.47%1.99B
7.47%1.99B
--1.86B
--1.86B
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----
Total equity
-24.72%3.57B
-24.72%3.57B
-2.21%4.74B
-2.21%4.74B
34.26%4.85B
34.26%4.85B
57.38%3.61B
57.38%3.61B
4.69%2.29B
4.69%2.29B
(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 -36.68%530.4M-36.68%530.4M69.59%837.6M69.59%837.6M-22.76%493.9M-22.76%493.9M3.46%639.46M3.46%639.46M64.49%618.07M64.49%618.07M
-Cash and cash equivalents -39.63%468M-39.63%468M111.17%775.2M111.17%775.2M-30.54%367.1M-30.54%367.1M3.57%528.51M3.57%528.51M46.55%510.31M46.55%510.31M
-Accounts receivable -45.14%40.1M-45.14%40.1M-23.13%73.1M-23.13%73.1M21.13%95.1M21.13%95.1M68.50%78.51M68.50%78.51M89.66%46.6M89.66%46.6M
-Notes receivable -12.96%4.7M-12.96%4.7M42.11%5.4M42.11%5.4M40.32%3.8M40.32%3.8M32.62%2.71M32.62%2.71M72.32%2.04M72.32%2.04M
Current deferred assets -53.43%34.6M-53.43%34.6M--74.3M--74.3M------------------------
Total current assets -33.34%759.3M-33.34%759.3M52.84%1.14B52.84%1.14B-1.77%745.2M-1.77%745.2M-0.56%758.6M-0.56%758.6M54.35%762.87M54.35%762.87M
Non current assets
-Accumulated depreciation -36.36%-1.71B-36.36%-1.71B-48.94%-1.25B-48.94%-1.25B-25.53%-839.6M-25.53%-839.6M24.58%-668.85M24.58%-668.85M-36.39%-886.78M-36.39%-886.78M
Investment properties ---------53.92%37.6M-53.92%37.6M--81.6M--81.6M----------------
-Long term equity investment -88.33%26.2M-88.33%26.2M-70.09%224.6M-70.09%224.6M3,539.89%750.8M3,539.89%750.8M-38.52%20.63M-38.52%20.63M18.29%33.55M18.29%33.55M
-Including:Held to maturity investments 1,108.33%14.5M1,108.33%14.5M-97.55%1.2M-97.55%1.2M1,681.17%49M1,681.17%49M4,198.44%2.75M4,198.44%2.75M-86.78%64K-86.78%64K
Financial assets ----------------------------------284K--284K
Non current note receivables --------161.28%69.5M161.28%69.5M-13.41%26.6M-13.41%26.6M-74.34%30.72M-74.34%30.72M-33.57%119.73M-33.57%119.73M
Regulatory assets -39.27%50.1M-39.27%50.1M-27.12%82.5M-27.12%82.5M42.62%113.2M42.62%113.2M20.43%79.37M20.43%79.37M44.57%65.91M44.57%65.91M
Non current deferred assets ---------------------------------99.97%4K-99.97%4K
Liabilities
Current liabilities
Current debt and capital lease obligation -89.16%22.5M-89.16%22.5M5.54%207.5M5.54%207.5M4,346.96%196.6M4,346.96%196.6M-93.00%4.42M-93.00%4.42M12.35%63.17M12.35%63.17M
-Current debt --------1.08%178.4M1.08%178.4M--176.5M--176.5M--------1.26%56.94M1.26%56.94M
-Current capital lease obligation -22.68%22.5M-22.68%22.5M44.78%29.1M44.78%29.1M354.65%20.1M354.65%20.1M-29.09%4.42M-29.09%4.42M--6.24M--6.24M
-accounts payable -57.28%68.7M-57.28%68.7M7.77%160.8M7.77%160.8M215.53%149.2M215.53%149.2M-10.80%47.29M-10.80%47.29M1,775.24%53.01M1,775.24%53.01M
-Total tax payable -57.63%227.8M-57.63%227.8M-44.57%537.7M-44.57%537.7M449.65%970M449.65%970M-27.67%176.48M-27.67%176.48M6.12%243.98M6.12%243.98M
-Other payable -28.21%2.8M-28.21%2.8M387.50%3.9M387.50%3.9M--800K--800K--------29.12%67.91M29.12%67.91M
Current provisions -30.24%14.3M-30.24%14.3M--20.5M--20.5M------------------------
Current deferred liabilities -----------------55.22%77M-55.22%77M--171.95M--171.95M--------
Current liabilities -68.37%129.7M-68.37%129.7M-6.82%410M-6.82%410M89.35%440M89.35%440M88.55%232.38M88.55%232.38M10.72%123.24M10.72%123.24M
Non current liabilities
-Long term debt -41.91%26.2M-41.91%26.2M20.91%45.1M20.91%45.1M80.83%37.3M80.83%37.3M-38.52%20.63M-38.52%20.63M--33.55M--33.55M
Non current accrued expenses -44.16%602.4M-44.16%602.4M-45.97%1.08B-45.97%1.08B107.22%2B107.22%2B-28.22%963.48M-28.22%963.48M-7.32%1.34B-7.32%1.34B
Long term provisions ---------74.84%179.5M-74.84%179.5M--713.5M--713.5M----------------
Employee benefits -12.96%4.7M-12.96%4.7M42.11%5.4M42.11%5.4M40.32%3.8M40.32%3.8M32.62%2.71M32.62%2.71M72.32%2.04M72.32%2.04M
Trust preferred securities ---------53.92%37.6M-53.92%37.6M--81.6M--81.6M----------------
Preferred securities outside stock equity 14.15%24.2M14.15%24.2M23.26%21.2M23.26%21.2M97.23%17.2M97.23%17.2M23.56%8.72M23.56%8.72M36.25%7.06M36.25%7.06M
Total non current liabilities -62.28%357.5M-62.28%357.5M-32.79%947.7M-32.79%947.7M244.87%1.41B244.87%1.41B11.34%408.86M11.34%408.86M7.62%367.22M7.62%367.22M
Shareholders'equity
Share capital -0.32%2.62B-0.32%2.62B-0.39%2.63B-0.39%2.63B-0.26%2.64B-0.26%2.64B39.61%2.65B39.61%2.65B0.07%1.9B0.07%1.9B
-common stock -0.32%2.62B-0.32%2.62B-0.39%2.63B-0.39%2.63B-0.26%2.64B-0.26%2.64B39.61%2.65B39.61%2.65B0.07%1.9B0.07%1.9B
Gains losses not affecting retained earnings 3.05%581M3.05%581M-24.59%563.8M-24.59%563.8M47.88%747.6M47.88%747.6M2,578.52%505.54M2,578.52%505.54M19.63%18.87M19.63%18.87M
Other equity interest --2.3M--2.3M--------------------------------
Noncontrolling interests -8.58%2.2B-8.58%2.2B20.79%2.41B20.79%2.41B7.47%1.99B7.47%1.99B--1.86B--1.86B--------
Total equity -24.72%3.57B-24.72%3.57B-2.21%4.74B-2.21%4.74B34.26%4.85B34.26%4.85B57.38%3.61B57.38%3.61B4.69%2.29B4.69%2.29B

Analysis

Analyst Rating

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Price Target

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