AU Stock MarketDetailed Quotes

IPH IPH Ltd

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  • 6.120
  • -0.010-0.16%
20min DelayMarket Closed Jul 23 16:00 AET
1.52BMarket Cap21.55P/E (Static)

IPH 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
16.82%103.27M
16.82%103.27M
23.71%88.4M
23.71%88.4M
-13.81%71.46M
-13.81%71.46M
11.35%82.91M
11.35%82.91M
184.05%74.46M
184.05%74.46M
-Cash and cash equivalents
16.82%103.27M
16.82%103.27M
24.24%88.4M
24.24%88.4M
-14.18%71.15M
-14.18%71.15M
135.12%82.91M
135.12%82.91M
34.52%35.26M
34.52%35.26M
-Accounts receivable
57.47%150.7M
57.47%150.7M
10.98%95.7M
10.98%95.7M
-6.15%86.24M
-6.15%86.24M
42.12%91.89M
42.12%91.89M
11.61%64.66M
11.61%64.66M
-Notes receivable
34.06%4.02M
34.06%4.02M
310.68%3M
310.68%3M
29.20%730K
29.20%730K
125.10%565K
125.10%565K
25.50%251K
25.50%251K
-Other receivables
104.42%22.99M
104.42%22.99M
27.88%11.25M
27.88%11.25M
-9.05%8.79M
-9.05%8.79M
-0.02%9.67M
-0.02%9.67M
72.14%9.67M
72.14%9.67M
Current deferred assets
4.98%3.37M
4.98%3.37M
--3.21M
--3.21M
----
----
----
----
----
----
Total current assets
41.07%277.97M
41.07%277.97M
19.50%197.04M
19.50%197.04M
-8.93%164.89M
-8.93%164.89M
24.71%181.06M
24.71%181.06M
63.74%145.18M
63.74%145.18M
Non current assets
-Accumulated depreciation
-39.31%-50.49M
-39.31%-50.49M
6.87%-36.24M
6.87%-36.24M
-0.99%-38.92M
-0.99%-38.92M
-103.89%-38.54M
-103.89%-38.54M
1.55%-18.9M
1.55%-18.9M
-Long term equity investment
188.47%431.55M
188.47%431.55M
0.15%149.6M
0.15%149.6M
-22.93%149.38M
-22.93%149.38M
196.05%193.83M
196.05%193.83M
46.88%65.47M
46.88%65.47M
-Including:Held to maturity investments
-54.45%215K
-54.45%215K
--472K
--472K
----
----
----
----
----
----
Non current note receivables
288.37%11.55M
288.37%11.55M
8,647.06%2.97M
8,647.06%2.97M
-99.85%34K
-99.85%34K
191.40%22.71M
191.40%22.71M
18.85%7.79M
18.85%7.79M
-Goodwill
88.11%842.07M
88.11%842.07M
-4.37%447.64M
-4.37%447.64M
-3.14%468.09M
-3.14%468.09M
89.47%483.26M
89.47%483.26M
-4.22%255.05M
-4.22%255.05M
Regulatory assets
52.90%141.83M
52.90%141.83M
11.27%92.76M
11.27%92.76M
-6.47%83.37M
-6.47%83.37M
40.57%89.13M
40.57%89.13M
11.02%63.41M
11.02%63.41M
Liabilities
Current liabilities
Current debt and capital lease obligation
-16.26%9.73M
-16.26%9.73M
16.07%11.62M
16.07%11.62M
-9.61%10.01M
-9.61%10.01M
--11.08M
--11.08M
----
----
-Current capital lease obligation
-16.26%9.73M
-16.26%9.73M
16.07%11.62M
16.07%11.62M
-9.61%10.01M
-9.61%10.01M
--11.08M
--11.08M
----
----
-accounts payable
-12.75%15.79M
-12.75%15.79M
18.88%18.1M
18.88%18.1M
1.08%15.23M
1.08%15.23M
63.69%15.06M
63.69%15.06M
-17.12%9.2M
-17.12%9.2M
-Total tax payable
182.34%532.4M
182.34%532.4M
0.71%188.56M
0.71%188.56M
-26.92%187.24M
-26.92%187.24M
176.79%256.2M
176.79%256.2M
36.71%92.56M
36.71%92.56M
-Other payable
-69.55%370K
-69.55%370K
41.94%1.22M
41.94%1.22M
--856K
--856K
----
----
--176K
--176K
Current provisions
----
----
-63.24%136K
-63.24%136K
-36.54%370K
-36.54%370K
-67.23%583K
-67.23%583K
-4.41%1.78M
-4.41%1.78M
Current deferred liabilities
62.76%12.46M
62.76%12.46M
190.88%7.65M
190.88%7.65M
-19.54%2.63M
-19.54%2.63M
-68.56%3.27M
-68.56%3.27M
40.14%10.4M
40.14%10.4M
Current liabilities
24.17%87.1M
24.17%87.1M
15.64%70.14M
15.64%70.14M
0.69%60.66M
0.69%60.66M
60.28%60.24M
60.28%60.24M
15.30%37.59M
15.30%37.59M
Non current liabilities
-Long term debt
40.77%43.81M
40.77%43.81M
-6.32%31.12M
-6.32%31.12M
-21.99%33.22M
-21.99%33.22M
--42.59M
--42.59M
----
----
Non current accrued expenses
47.98%58.52M
47.98%58.52M
-3.12%39.54M
-3.12%39.54M
-21.63%40.82M
-21.63%40.82M
678.14%52.08M
678.14%52.08M
8.25%6.69M
8.25%6.69M
Derivative product liabilities
----
----
----
----
-35.01%503K
-35.01%503K
--774K
--774K
----
----
Long term provisions
227.27%387.74M
227.27%387.74M
2.00%118.48M
2.00%118.48M
-23.19%116.16M
-23.19%116.16M
131.00%151.24M
131.00%151.24M
63.26%65.47M
63.26%65.47M
Employee benefits
34.06%4.02M
34.06%4.02M
310.68%3M
310.68%3M
29.20%730K
29.20%730K
125.10%565K
125.10%565K
25.50%251K
25.50%251K
Regulatory liabilities
-201.43%-8.87M
-201.43%-8.87M
-2.51%-2.94M
-2.51%-2.94M
-4.21%-2.87M
-4.21%-2.87M
-120.50%-2.75M
-120.50%-2.75M
-52.69%-1.25M
-52.69%-1.25M
Preferred securities outside stock equity
15.44%20.42M
15.44%20.42M
-17.54%17.69M
-17.54%17.69M
15.47%21.45M
15.47%21.45M
193.43%18.58M
193.43%18.58M
-0.97%6.33M
-0.97%6.33M
Total non current liabilities
139.46%619.5M
139.46%619.5M
4.36%258.71M
4.36%258.71M
-21.66%247.9M
-21.66%247.9M
143.15%316.45M
143.15%316.45M
29.75%130.15M
29.75%130.15M
Shareholders'equity
Share capital
31.38%558.12M
31.38%558.12M
1.85%424.81M
1.85%424.81M
3.71%417.08M
3.71%417.08M
53.05%402.15M
53.05%402.15M
0.00%262.76M
0.00%262.76M
-common stock
31.38%558.12M
31.38%558.12M
1.85%424.81M
1.85%424.81M
3.71%417.08M
3.71%417.08M
53.05%402.15M
53.05%402.15M
0.00%262.76M
0.00%262.76M
Gains losses not affecting retained earnings
299.86%26.1M
299.86%26.1M
535.07%6.53M
535.07%6.53M
-420.51%-1.5M
-420.51%-1.5M
123.11%468K
123.11%468K
82.33%-2.03M
82.33%-2.03M
Other equity interest
155.08%22.74M
155.08%22.74M
24.17%8.91M
24.17%8.91M
34.94%7.18M
34.94%7.18M
10.86%5.32M
10.86%5.32M
183.80%4.8M
183.80%4.8M
Total equity
73.82%1.2B
73.82%1.2B
2.04%688.42M
2.04%688.42M
-8.72%674.69M
-8.72%674.69M
78.14%739.11M
78.14%739.11M
12.78%414.9M
12.78%414.9M
(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 16.82%103.27M16.82%103.27M23.71%88.4M23.71%88.4M-13.81%71.46M-13.81%71.46M11.35%82.91M11.35%82.91M184.05%74.46M184.05%74.46M
-Cash and cash equivalents 16.82%103.27M16.82%103.27M24.24%88.4M24.24%88.4M-14.18%71.15M-14.18%71.15M135.12%82.91M135.12%82.91M34.52%35.26M34.52%35.26M
-Accounts receivable 57.47%150.7M57.47%150.7M10.98%95.7M10.98%95.7M-6.15%86.24M-6.15%86.24M42.12%91.89M42.12%91.89M11.61%64.66M11.61%64.66M
-Notes receivable 34.06%4.02M34.06%4.02M310.68%3M310.68%3M29.20%730K29.20%730K125.10%565K125.10%565K25.50%251K25.50%251K
-Other receivables 104.42%22.99M104.42%22.99M27.88%11.25M27.88%11.25M-9.05%8.79M-9.05%8.79M-0.02%9.67M-0.02%9.67M72.14%9.67M72.14%9.67M
Current deferred assets 4.98%3.37M4.98%3.37M--3.21M--3.21M------------------------
Total current assets 41.07%277.97M41.07%277.97M19.50%197.04M19.50%197.04M-8.93%164.89M-8.93%164.89M24.71%181.06M24.71%181.06M63.74%145.18M63.74%145.18M
Non current assets
-Accumulated depreciation -39.31%-50.49M-39.31%-50.49M6.87%-36.24M6.87%-36.24M-0.99%-38.92M-0.99%-38.92M-103.89%-38.54M-103.89%-38.54M1.55%-18.9M1.55%-18.9M
-Long term equity investment 188.47%431.55M188.47%431.55M0.15%149.6M0.15%149.6M-22.93%149.38M-22.93%149.38M196.05%193.83M196.05%193.83M46.88%65.47M46.88%65.47M
-Including:Held to maturity investments -54.45%215K-54.45%215K--472K--472K------------------------
Non current note receivables 288.37%11.55M288.37%11.55M8,647.06%2.97M8,647.06%2.97M-99.85%34K-99.85%34K191.40%22.71M191.40%22.71M18.85%7.79M18.85%7.79M
-Goodwill 88.11%842.07M88.11%842.07M-4.37%447.64M-4.37%447.64M-3.14%468.09M-3.14%468.09M89.47%483.26M89.47%483.26M-4.22%255.05M-4.22%255.05M
Regulatory assets 52.90%141.83M52.90%141.83M11.27%92.76M11.27%92.76M-6.47%83.37M-6.47%83.37M40.57%89.13M40.57%89.13M11.02%63.41M11.02%63.41M
Liabilities
Current liabilities
Current debt and capital lease obligation -16.26%9.73M-16.26%9.73M16.07%11.62M16.07%11.62M-9.61%10.01M-9.61%10.01M--11.08M--11.08M--------
-Current capital lease obligation -16.26%9.73M-16.26%9.73M16.07%11.62M16.07%11.62M-9.61%10.01M-9.61%10.01M--11.08M--11.08M--------
-accounts payable -12.75%15.79M-12.75%15.79M18.88%18.1M18.88%18.1M1.08%15.23M1.08%15.23M63.69%15.06M63.69%15.06M-17.12%9.2M-17.12%9.2M
-Total tax payable 182.34%532.4M182.34%532.4M0.71%188.56M0.71%188.56M-26.92%187.24M-26.92%187.24M176.79%256.2M176.79%256.2M36.71%92.56M36.71%92.56M
-Other payable -69.55%370K-69.55%370K41.94%1.22M41.94%1.22M--856K--856K----------176K--176K
Current provisions ---------63.24%136K-63.24%136K-36.54%370K-36.54%370K-67.23%583K-67.23%583K-4.41%1.78M-4.41%1.78M
Current deferred liabilities 62.76%12.46M62.76%12.46M190.88%7.65M190.88%7.65M-19.54%2.63M-19.54%2.63M-68.56%3.27M-68.56%3.27M40.14%10.4M40.14%10.4M
Current liabilities 24.17%87.1M24.17%87.1M15.64%70.14M15.64%70.14M0.69%60.66M0.69%60.66M60.28%60.24M60.28%60.24M15.30%37.59M15.30%37.59M
Non current liabilities
-Long term debt 40.77%43.81M40.77%43.81M-6.32%31.12M-6.32%31.12M-21.99%33.22M-21.99%33.22M--42.59M--42.59M--------
Non current accrued expenses 47.98%58.52M47.98%58.52M-3.12%39.54M-3.12%39.54M-21.63%40.82M-21.63%40.82M678.14%52.08M678.14%52.08M8.25%6.69M8.25%6.69M
Derivative product liabilities -----------------35.01%503K-35.01%503K--774K--774K--------
Long term provisions 227.27%387.74M227.27%387.74M2.00%118.48M2.00%118.48M-23.19%116.16M-23.19%116.16M131.00%151.24M131.00%151.24M63.26%65.47M63.26%65.47M
Employee benefits 34.06%4.02M34.06%4.02M310.68%3M310.68%3M29.20%730K29.20%730K125.10%565K125.10%565K25.50%251K25.50%251K
Regulatory liabilities -201.43%-8.87M-201.43%-8.87M-2.51%-2.94M-2.51%-2.94M-4.21%-2.87M-4.21%-2.87M-120.50%-2.75M-120.50%-2.75M-52.69%-1.25M-52.69%-1.25M
Preferred securities outside stock equity 15.44%20.42M15.44%20.42M-17.54%17.69M-17.54%17.69M15.47%21.45M15.47%21.45M193.43%18.58M193.43%18.58M-0.97%6.33M-0.97%6.33M
Total non current liabilities 139.46%619.5M139.46%619.5M4.36%258.71M4.36%258.71M-21.66%247.9M-21.66%247.9M143.15%316.45M143.15%316.45M29.75%130.15M29.75%130.15M
Shareholders'equity
Share capital 31.38%558.12M31.38%558.12M1.85%424.81M1.85%424.81M3.71%417.08M3.71%417.08M53.05%402.15M53.05%402.15M0.00%262.76M0.00%262.76M
-common stock 31.38%558.12M31.38%558.12M1.85%424.81M1.85%424.81M3.71%417.08M3.71%417.08M53.05%402.15M53.05%402.15M0.00%262.76M0.00%262.76M
Gains losses not affecting retained earnings 299.86%26.1M299.86%26.1M535.07%6.53M535.07%6.53M-420.51%-1.5M-420.51%-1.5M123.11%468K123.11%468K82.33%-2.03M82.33%-2.03M
Other equity interest 155.08%22.74M155.08%22.74M24.17%8.91M24.17%8.91M34.94%7.18M34.94%7.18M10.86%5.32M10.86%5.32M183.80%4.8M183.80%4.8M
Total equity 73.82%1.2B73.82%1.2B2.04%688.42M2.04%688.42M-8.72%674.69M-8.72%674.69M78.14%739.11M78.14%739.11M12.78%414.9M12.78%414.9M

Analysis

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Price Target

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