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IPH IPH Ltd

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  • 4.780
  • -0.140-2.85%
20min DelayMarket Closed Feb 28 16:00 AET
1.31BMarket Cap19.20P/E (Static)

IPH Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
Assets
Current assets
Cash, cash equivalents and short term investments
-26.89%75.5M
--75.5M
16.82%103.27M
24.24%88.4M
-14.18%71.15M
11.35%82.91M
184.05%74.46M
7.44%26.21M
-58.48%24.4M
999.16%58.76M
-Cash and cash equivalents
-26.89%75.5M
--75.5M
16.82%103.27M
24.24%88.4M
-14.18%71.15M
135.12%82.91M
34.52%35.26M
7.44%26.21M
-58.48%24.4M
999.16%58.76M
-Short term investments
----
----
----
----
----
----
--39.19M
----
----
----
Receivables
11.54%158.2M
--158.2M
52.90%141.83M
11.27%92.76M
-6.47%83.37M
40.57%89.13M
11.02%63.41M
50.22%57.11M
0.27%38.02M
38.34%37.92M
-Accounts receivable
8.56%163.6M
--163.6M
57.47%150.7M
10.98%95.7M
-6.15%86.24M
42.12%91.89M
11.61%64.66M
49.46%57.93M
0.69%38.76M
36.78%38.49M
-Other receivables
--5.9M
--5.9M
----
----
----
----
----
----
----
----
-Recievables adjustments allowances
-27.42%-11.3M
---11.3M
-201.43%-8.87M
-2.51%-2.94M
-4.21%-2.87M
-120.50%-2.75M
-52.69%-1.25M
-10.69%-818K
-28.75%-739K
24.47%-574K
Inventory
----
----
----
----
----
----
----
--2.19M
----
----
Prepaid assets
31.32%8.6M
--8.6M
99.24%6.55M
13.82%3.29M
-21.88%2.89M
46.82%3.7M
72.58%2.52M
30.04%1.46M
-22.51%1.12M
77.02%1.45M
Current deferred assets
-52.54%1.6M
--1.6M
4.98%3.37M
--3.21M
----
----
----
----
----
----
Hedging assets-current
179.07%600K
--600K
-54.45%215K
--472K
----
----
----
----
----
----
Other current assets
34.58%30.6M
--30.6M
155.08%22.74M
19.08%8.91M
40.71%7.49M
10.86%5.32M
183.80%4.8M
-26.61%1.69M
3.32%2.3M
70.75%2.23M
Total current assets
-1.03%275.1M
--275.1M
41.07%277.97M
19.50%197.04M
-8.93%164.89M
24.71%181.06M
63.74%145.18M
34.66%88.67M
-34.39%65.84M
187.72%100.36M
Non current assets
Net PPE
15.36%67.5M
--67.5M
47.98%58.52M
-3.12%39.54M
-21.63%40.82M
678.14%52.08M
8.25%6.69M
105.83%6.18M
-30.94%3M
266.16%4.35M
-Gross PPE
66.04%181M
--181M
43.84%109.01M
-4.95%75.79M
-12.01%79.73M
254.07%90.62M
0.84%25.59M
105.98%25.38M
-2.76%12.32M
67.20%12.67M
-Accumulated depreciation
-124.79%-113.5M
---113.5M
-39.31%-50.49M
6.87%-36.24M
-0.99%-38.92M
-103.89%-38.54M
1.55%-18.9M
-106.03%-19.2M
-11.97%-9.32M
-30.21%-8.32M
Investments and advances
-67.47%2M
--2M
--6.15M
----
----
----
----
0.00%180K
520.69%180K
0.00%29K
-Other investment
-67.47%2M
--2M
--6.15M
----
----
----
----
0.00%180K
520.69%180K
0.00%29K
Goodwill and other intangible assets
15.04%968.7M
--968.7M
88.11%842.07M
-4.37%447.64M
-3.14%468.09M
89.47%483.26M
-4.22%255.05M
25.07%266.3M
11.97%212.93M
450.78%190.16M
-Goodwill
16.73%593.5M
--593.5M
62.67%508.44M
-0.37%312.55M
5.26%313.72M
61.41%298.04M
-0.31%184.65M
28.12%185.22M
16.44%144.57M
269.72%124.16M
-Other intangible assets
12.46%375.2M
--375.2M
146.97%333.63M
-12.49%135.09M
-16.66%154.37M
163.08%185.22M
-13.16%70.41M
18.61%81.08M
3.57%68.36M
6,891.53%66M
Non current deferred assets
----
----
288.37%11.55M
8,647.06%2.97M
-99.85%34K
191.40%22.71M
18.85%7.79M
29.15%6.56M
64.46%5.08M
56.54%3.09M
Other non current assets
-72.97%100K
--100K
-69.55%370K
41.94%1.22M
--856K
----
--176K
----
----
----
Total non current assets
13.02%1.04B
--1.04B
86.96%918.65M
-3.61%491.37M
-8.65%509.8M
106.90%558.05M
-3.40%269.72M
26.24%279.22M
11.92%221.19M
388.35%197.62M
Total assets
9.76%1.31B
--1.31B
73.82%1.2B
2.04%688.42M
-8.72%674.69M
78.14%739.11M
12.78%414.9M
28.17%367.89M
-3.67%287.03M
295.48%297.98M
Liabilities
Current liabilities
Current debt and capital lease obligation
1.73%9.9M
--9.9M
-16.26%9.73M
16.07%11.62M
-9.61%10.01M
--11.08M
----
----
----
----
-Current capital lease obligation
1.73%9.9M
--9.9M
-16.26%9.73M
16.07%11.62M
-9.61%10.01M
--11.08M
----
----
----
----
Payables
23.25%47.8M
--47.8M
32.15%38.78M
22.18%29.35M
-2.88%24.02M
31.04%24.73M
12.87%18.87M
48.72%16.72M
-19.25%11.24M
39.55%13.92M
-accounts payable
15.23%18.2M
--18.2M
-12.75%15.79M
18.88%18.1M
1.08%15.23M
63.69%15.06M
-17.12%9.2M
65.61%11.1M
17.20%6.71M
10.47%5.72M
-Other payable
28.76%29.6M
--29.6M
104.42%22.99M
27.88%11.25M
-9.05%8.79M
-0.02%9.67M
72.14%9.67M
23.77%5.62M
-44.67%4.54M
70.93%8.2M
Current provisions
----
----
----
-63.24%136K
-36.54%370K
-67.23%583K
-4.41%1.78M
134.97%1.86M
-37.69%792K
344.41%1.27M
Pension and other retirement benefit plans
27.82%26.1M
--26.1M
15.44%20.42M
-17.54%17.69M
15.47%21.45M
193.43%18.58M
-0.97%6.33M
16.68%6.39M
8.34%5.48M
14.44%5.06M
Current deferred liabilities
2.76%12.8M
--12.8M
62.76%12.46M
190.88%7.65M
-19.54%2.63M
-68.56%3.27M
40.14%10.4M
-6.43%7.42M
-2.41%7.93M
19.07%8.13M
Other current liabilities
-54.44%2.6M
--2.6M
54.45%5.71M
70.12%3.7M
8.44%2.17M
901.50%2M
0.00%200K
-87.26%200K
-94.77%1.57M
506.38%30.02M
Current liabilities
13.89%99.2M
--99.2M
24.17%87.1M
15.64%70.14M
0.69%60.66M
60.28%60.24M
15.30%37.59M
20.66%32.6M
-53.73%27.02M
99.90%58.4M
Non current liabilities
Long term debt and capital lease obligation
11.67%481.9M
--481.9M
188.47%431.55M
0.15%149.6M
-22.93%149.38M
196.05%193.83M
46.88%65.47M
--44.57M
----
----
-Long term debt
11.96%434.1M
--434.1M
227.27%387.74M
2.00%118.48M
-23.19%116.16M
131.00%151.24M
63.26%65.47M
--40.1M
----
----
-Long term capital lease obligation
9.11%47.8M
--47.8M
40.77%43.81M
-6.32%31.12M
-21.99%33.22M
--42.59M
----
--4.47M
----
----
Derivative product liabilities
----
----
----
----
-35.01%503K
--774K
----
----
----
----
Long term provisions
4.71%1M
--1M
5.52%955K
180.19%905K
-49.77%323K
-85.62%643K
--4.47M
----
--1.33M
----
Employee benefits
29.39%5.2M
--5.2M
34.06%4.02M
310.68%3M
29.20%730K
125.10%565K
25.50%251K
-28.06%200K
-25.47%278K
--373K
Non current deferred liabilities
-4.25%91.8M
--91.8M
190.32%95.87M
-9.02%33.02M
-39.90%36.3M
170.02%60.4M
-2.46%22.37M
22.53%22.93M
7.56%18.72M
--17.4M
Other non current liabilities
----
----
----
--2.04M
----
----
----
----
----
----
Total non current liabilities
8.92%579.9M
--579.9M
182.34%532.4M
0.71%188.56M
-26.92%187.24M
176.79%256.2M
36.71%92.56M
233.19%67.7M
14.34%20.32M
62.20%17.77M
Total liabilities
9.62%679.1M
--679.1M
139.46%619.5M
4.36%258.71M
-21.66%247.9M
143.15%316.45M
29.75%130.15M
111.89%100.3M
-37.85%47.34M
89.62%76.17M
Shareholders'equity
Share capital
14.94%641.5M
--641.5M
31.38%558.12M
1.85%424.81M
3.71%417.08M
53.05%402.15M
0.00%262.76M
12.49%262.76M
6.87%233.6M
519.13%218.58M
-common stock
14.94%641.5M
--641.5M
31.38%558.12M
1.85%424.81M
3.71%417.08M
53.05%402.15M
0.00%262.76M
12.49%262.76M
6.87%233.6M
519.13%218.58M
Retained earnings
-278.05%-26.8M
---26.8M
-336.51%-7.09M
-114.48%-1.62M
-44.06%11.21M
-16.52%20.05M
47.44%24.01M
-11.66%16.29M
11.96%18.44M
13.87%16.47M
Gains losses not affecting retained earnings
-24.89%19.6M
--19.6M
299.86%26.1M
535.07%6.53M
-420.51%-1.5M
123.11%468K
82.33%-2.03M
7.12%-11.46M
6.78%-12.34M
9.25%-13.24M
Total stockholders'equity
9.91%634.3M
--634.3M
34.31%577.13M
0.68%429.71M
0.98%426.79M
48.43%422.66M
6.41%284.75M
11.64%267.59M
8.06%239.69M
530.54%221.81M
Total equity
9.91%634.3M
--634.3M
34.31%577.13M
0.68%429.71M
0.98%426.79M
48.43%422.66M
6.41%284.75M
11.64%267.59M
8.06%239.69M
530.54%221.81M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2024(Q4)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016
Assets
Current assets
Cash, cash equivalents and short term investments -26.89%75.5M--75.5M16.82%103.27M24.24%88.4M-14.18%71.15M11.35%82.91M184.05%74.46M7.44%26.21M-58.48%24.4M999.16%58.76M
-Cash and cash equivalents -26.89%75.5M--75.5M16.82%103.27M24.24%88.4M-14.18%71.15M135.12%82.91M34.52%35.26M7.44%26.21M-58.48%24.4M999.16%58.76M
-Short term investments --------------------------39.19M------------
Receivables 11.54%158.2M--158.2M52.90%141.83M11.27%92.76M-6.47%83.37M40.57%89.13M11.02%63.41M50.22%57.11M0.27%38.02M38.34%37.92M
-Accounts receivable 8.56%163.6M--163.6M57.47%150.7M10.98%95.7M-6.15%86.24M42.12%91.89M11.61%64.66M49.46%57.93M0.69%38.76M36.78%38.49M
-Other receivables --5.9M--5.9M--------------------------------
-Recievables adjustments allowances -27.42%-11.3M---11.3M-201.43%-8.87M-2.51%-2.94M-4.21%-2.87M-120.50%-2.75M-52.69%-1.25M-10.69%-818K-28.75%-739K24.47%-574K
Inventory ------------------------------2.19M--------
Prepaid assets 31.32%8.6M--8.6M99.24%6.55M13.82%3.29M-21.88%2.89M46.82%3.7M72.58%2.52M30.04%1.46M-22.51%1.12M77.02%1.45M
Current deferred assets -52.54%1.6M--1.6M4.98%3.37M--3.21M------------------------
Hedging assets-current 179.07%600K--600K-54.45%215K--472K------------------------
Other current assets 34.58%30.6M--30.6M155.08%22.74M19.08%8.91M40.71%7.49M10.86%5.32M183.80%4.8M-26.61%1.69M3.32%2.3M70.75%2.23M
Total current assets -1.03%275.1M--275.1M41.07%277.97M19.50%197.04M-8.93%164.89M24.71%181.06M63.74%145.18M34.66%88.67M-34.39%65.84M187.72%100.36M
Non current assets
Net PPE 15.36%67.5M--67.5M47.98%58.52M-3.12%39.54M-21.63%40.82M678.14%52.08M8.25%6.69M105.83%6.18M-30.94%3M266.16%4.35M
-Gross PPE 66.04%181M--181M43.84%109.01M-4.95%75.79M-12.01%79.73M254.07%90.62M0.84%25.59M105.98%25.38M-2.76%12.32M67.20%12.67M
-Accumulated depreciation -124.79%-113.5M---113.5M-39.31%-50.49M6.87%-36.24M-0.99%-38.92M-103.89%-38.54M1.55%-18.9M-106.03%-19.2M-11.97%-9.32M-30.21%-8.32M
Investments and advances -67.47%2M--2M--6.15M----------------0.00%180K520.69%180K0.00%29K
-Other investment -67.47%2M--2M--6.15M----------------0.00%180K520.69%180K0.00%29K
Goodwill and other intangible assets 15.04%968.7M--968.7M88.11%842.07M-4.37%447.64M-3.14%468.09M89.47%483.26M-4.22%255.05M25.07%266.3M11.97%212.93M450.78%190.16M
-Goodwill 16.73%593.5M--593.5M62.67%508.44M-0.37%312.55M5.26%313.72M61.41%298.04M-0.31%184.65M28.12%185.22M16.44%144.57M269.72%124.16M
-Other intangible assets 12.46%375.2M--375.2M146.97%333.63M-12.49%135.09M-16.66%154.37M163.08%185.22M-13.16%70.41M18.61%81.08M3.57%68.36M6,891.53%66M
Non current deferred assets --------288.37%11.55M8,647.06%2.97M-99.85%34K191.40%22.71M18.85%7.79M29.15%6.56M64.46%5.08M56.54%3.09M
Other non current assets -72.97%100K--100K-69.55%370K41.94%1.22M--856K------176K------------
Total non current assets 13.02%1.04B--1.04B86.96%918.65M-3.61%491.37M-8.65%509.8M106.90%558.05M-3.40%269.72M26.24%279.22M11.92%221.19M388.35%197.62M
Total assets 9.76%1.31B--1.31B73.82%1.2B2.04%688.42M-8.72%674.69M78.14%739.11M12.78%414.9M28.17%367.89M-3.67%287.03M295.48%297.98M
Liabilities
Current liabilities
Current debt and capital lease obligation 1.73%9.9M--9.9M-16.26%9.73M16.07%11.62M-9.61%10.01M--11.08M----------------
-Current capital lease obligation 1.73%9.9M--9.9M-16.26%9.73M16.07%11.62M-9.61%10.01M--11.08M----------------
Payables 23.25%47.8M--47.8M32.15%38.78M22.18%29.35M-2.88%24.02M31.04%24.73M12.87%18.87M48.72%16.72M-19.25%11.24M39.55%13.92M
-accounts payable 15.23%18.2M--18.2M-12.75%15.79M18.88%18.1M1.08%15.23M63.69%15.06M-17.12%9.2M65.61%11.1M17.20%6.71M10.47%5.72M
-Other payable 28.76%29.6M--29.6M104.42%22.99M27.88%11.25M-9.05%8.79M-0.02%9.67M72.14%9.67M23.77%5.62M-44.67%4.54M70.93%8.2M
Current provisions -------------63.24%136K-36.54%370K-67.23%583K-4.41%1.78M134.97%1.86M-37.69%792K344.41%1.27M
Pension and other retirement benefit plans 27.82%26.1M--26.1M15.44%20.42M-17.54%17.69M15.47%21.45M193.43%18.58M-0.97%6.33M16.68%6.39M8.34%5.48M14.44%5.06M
Current deferred liabilities 2.76%12.8M--12.8M62.76%12.46M190.88%7.65M-19.54%2.63M-68.56%3.27M40.14%10.4M-6.43%7.42M-2.41%7.93M19.07%8.13M
Other current liabilities -54.44%2.6M--2.6M54.45%5.71M70.12%3.7M8.44%2.17M901.50%2M0.00%200K-87.26%200K-94.77%1.57M506.38%30.02M
Current liabilities 13.89%99.2M--99.2M24.17%87.1M15.64%70.14M0.69%60.66M60.28%60.24M15.30%37.59M20.66%32.6M-53.73%27.02M99.90%58.4M
Non current liabilities
Long term debt and capital lease obligation 11.67%481.9M--481.9M188.47%431.55M0.15%149.6M-22.93%149.38M196.05%193.83M46.88%65.47M--44.57M--------
-Long term debt 11.96%434.1M--434.1M227.27%387.74M2.00%118.48M-23.19%116.16M131.00%151.24M63.26%65.47M--40.1M--------
-Long term capital lease obligation 9.11%47.8M--47.8M40.77%43.81M-6.32%31.12M-21.99%33.22M--42.59M------4.47M--------
Derivative product liabilities -----------------35.01%503K--774K----------------
Long term provisions 4.71%1M--1M5.52%955K180.19%905K-49.77%323K-85.62%643K--4.47M------1.33M----
Employee benefits 29.39%5.2M--5.2M34.06%4.02M310.68%3M29.20%730K125.10%565K25.50%251K-28.06%200K-25.47%278K--373K
Non current deferred liabilities -4.25%91.8M--91.8M190.32%95.87M-9.02%33.02M-39.90%36.3M170.02%60.4M-2.46%22.37M22.53%22.93M7.56%18.72M--17.4M
Other non current liabilities --------------2.04M------------------------
Total non current liabilities 8.92%579.9M--579.9M182.34%532.4M0.71%188.56M-26.92%187.24M176.79%256.2M36.71%92.56M233.19%67.7M14.34%20.32M62.20%17.77M
Total liabilities 9.62%679.1M--679.1M139.46%619.5M4.36%258.71M-21.66%247.9M143.15%316.45M29.75%130.15M111.89%100.3M-37.85%47.34M89.62%76.17M
Shareholders'equity
Share capital 14.94%641.5M--641.5M31.38%558.12M1.85%424.81M3.71%417.08M53.05%402.15M0.00%262.76M12.49%262.76M6.87%233.6M519.13%218.58M
-common stock 14.94%641.5M--641.5M31.38%558.12M1.85%424.81M3.71%417.08M53.05%402.15M0.00%262.76M12.49%262.76M6.87%233.6M519.13%218.58M
Retained earnings -278.05%-26.8M---26.8M-336.51%-7.09M-114.48%-1.62M-44.06%11.21M-16.52%20.05M47.44%24.01M-11.66%16.29M11.96%18.44M13.87%16.47M
Gains losses not affecting retained earnings -24.89%19.6M--19.6M299.86%26.1M535.07%6.53M-420.51%-1.5M123.11%468K82.33%-2.03M7.12%-11.46M6.78%-12.34M9.25%-13.24M
Total stockholders'equity 9.91%634.3M--634.3M34.31%577.13M0.68%429.71M0.98%426.79M48.43%422.66M6.41%284.75M11.64%267.59M8.06%239.69M530.54%221.81M
Total equity 9.91%634.3M--634.3M34.31%577.13M0.68%429.71M0.98%426.79M48.43%422.66M6.41%284.75M11.64%267.59M8.06%239.69M530.54%221.81M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP