AU Stock MarketDetailed Quotes

JAT Jatcorp Ltd

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  • 0.685
  • +0.015+2.24%
20min DelayNot Open Aug 30 15:03 AET
57.04MMarket Cap-12685P/E (Static)

Jatcorp 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
-1.40%3.81M
-1.40%3.81M
-39.83%3.86M
-39.83%3.86M
-44.46%6.41M
-44.46%6.41M
47.22%11.55M
47.22%11.55M
69.85%7.84M
69.85%7.84M
-Cash and cash equivalents
-1.40%3.81M
-1.40%3.81M
-39.83%3.86M
-39.83%3.86M
-43.83%6.41M
-43.83%6.41M
45.57%11.42M
45.57%11.42M
85.96%7.84M
85.96%7.84M
-Accounts receivable
174.50%1.56M
174.50%1.56M
24.83%569.54K
24.83%569.54K
-88.87%456.26K
-88.87%456.26K
200.85%4.1M
200.85%4.1M
536.17%1.36M
536.17%1.36M
-Notes receivable
--40.04K
--40.04K
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----
----
----
----
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-Other receivables
-98.06%123.09K
-98.06%123.09K
67.79%6.33M
67.79%6.33M
-31.87%3.77M
-31.87%3.77M
507.47%5.54M
507.47%5.54M
--912.12K
--912.12K
Current deferred assets
--247.43K
--247.43K
----
----
----
----
----
----
----
----
Total current assets
48.22%16.06M
48.22%16.06M
-9.39%10.84M
-9.39%10.84M
-47.15%11.96M
-47.15%11.96M
42.70%22.63M
42.70%22.63M
109.06%15.86M
109.06%15.86M
Non current assets
-Accumulated depreciation
13.01%-1.72M
13.01%-1.72M
-12.42%-1.98M
-12.42%-1.98M
-16.83%-1.76M
-16.83%-1.76M
---1.5M
---1.5M
----
----
-Long term equity investment
-56.89%2.22M
-56.89%2.22M
0.62%5.16M
0.62%5.16M
-58.49%5.13M
-58.49%5.13M
388.68%12.35M
388.68%12.35M
98.38%2.53M
98.38%2.53M
Non current note receivables
--28.05K
--28.05K
----
----
----
----
----
----
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-Goodwill
-8.30%2.71M
-8.30%2.71M
-56.53%2.96M
-56.53%2.96M
-74.34%6.81M
-74.34%6.81M
-7.84%26.54M
-7.84%26.54M
19.63%28.8M
19.63%28.8M
Regulatory assets
258.30%7.27M
258.30%7.27M
63.75%2.03M
63.75%2.03M
-78.82%1.24M
-78.82%1.24M
37.78%5.85M
37.78%5.85M
45.07%4.25M
45.07%4.25M
Non current deferred assets
136.01%160.13K
136.01%160.13K
-19.83%67.85K
-19.83%67.85K
--84.63K
--84.63K
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----
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Liabilities
Current liabilities
Current debt and capital lease obligation
64.38%3.71M
64.38%3.71M
-69.15%2.26M
-69.15%2.26M
-43.80%7.33M
-43.80%7.33M
677.79%13.03M
677.79%13.03M
--1.68M
--1.68M
-Current debt
92.91%3.17M
92.91%3.17M
-76.01%1.65M
-76.01%1.65M
-45.36%6.86M
-45.36%6.86M
648.98%12.55M
648.98%12.55M
--1.68M
--1.68M
-Current capital lease obligation
-12.02%540.67K
-12.02%540.67K
31.68%614.52K
31.68%614.52K
-3.34%466.69K
-3.34%466.69K
--482.8K
--482.8K
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----
-accounts payable
116.97%1.68M
116.97%1.68M
57.43%774.95K
57.43%774.95K
-73.71%492.25K
-73.71%492.25K
793.74%1.87M
793.74%1.87M
-9.60%209.48K
-9.60%209.48K
-Total tax payable
-56.60%2.44M
-56.60%2.44M
0.57%5.62M
0.57%5.62M
-68.03%5.58M
-68.03%5.58M
391.31%17.47M
391.31%17.47M
-16.36%3.56M
-16.36%3.56M
Current provisions
----
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----
----
----
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--5.25M
--5.25M
Current deferred liabilities
----
----
----
----
-72.88%591.92K
-72.88%591.92K
137.42%2.18M
137.42%2.18M
--919.38K
--919.38K
Other current liabilities
----
----
----
----
----
----
--320.18K
--320.18K
----
----
Current liabilities
38.48%13.43M
38.48%13.43M
-25.45%9.7M
-25.45%9.7M
-42.92%13.01M
-42.92%13.01M
152.69%22.8M
152.69%22.8M
3,793.74%9.02M
3,793.74%9.02M
Non current liabilities
-Long term debt
-38.82%2.22M
-38.82%2.22M
-12.48%3.63M
-12.48%3.63M
-17.78%4.15M
-17.78%4.15M
--5.05M
--5.05M
----
----
Non current accrued expenses
-14.95%7.34M
-14.95%7.34M
-7.18%8.63M
-7.18%8.63M
8.14%9.3M
8.14%9.3M
13,468.07%8.6M
13,468.07%8.6M
--63.38K
--63.38K
Long term provisions
----
----
56.49%1.52M
56.49%1.52M
-86.66%973.56K
-86.66%973.56K
188.84%7.3M
188.84%7.3M
98.38%2.53M
98.38%2.53M
Employee benefits
--40.04K
--40.04K
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----
----
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Regulatory liabilities
-6.26%-525.41K
-6.26%-525.41K
-122.77%-494.46K
-122.77%-494.46K
-515.81%-221.96K
-515.81%-221.96K
---36.04K
---36.04K
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----
Preferred securities outside stock equity
1.18%335.98K
1.18%335.98K
45.52%332.05K
45.52%332.05K
35.40%228.19K
35.40%228.19K
203.81%168.53K
203.81%168.53K
--55.47K
--55.47K
Total non current liabilities
3.62%15.87M
3.62%15.87M
-17.64%15.32M
-17.64%15.32M
-53.82%18.6M
-53.82%18.6M
220.14%40.27M
220.14%40.27M
180.59%12.58M
180.59%12.58M
Shareholders'equity
Share capital
4.94%90.23M
4.94%90.23M
10.43%85.98M
10.43%85.98M
21.09%77.86M
21.09%77.86M
11.71%64.3M
11.71%64.3M
27.29%57.56M
27.29%57.56M
-common stock
4.94%90.23M
4.94%90.23M
10.43%85.98M
10.43%85.98M
21.70%77.86M
21.70%77.86M
11.16%63.98M
11.16%63.98M
27.29%57.56M
27.29%57.56M
Gains losses not affecting retained earnings
----
----
156.20%1.02M
156.20%1.02M
--400K
--400K
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----
----
----
Noncontrolling interests
----
----
-17.42%301.63K
-17.42%301.63K
-30.19%365.27K
-30.19%365.27K
--523.25K
--523.25K
----
----
Total equity
15.39%26.31M
15.39%26.31M
-20.06%22.8M
-20.06%22.8M
-51.08%28.52M
-51.08%28.52M
30.35%58.29M
30.35%58.29M
41.26%44.72M
41.26%44.72M
(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 -1.40%3.81M-1.40%3.81M-39.83%3.86M-39.83%3.86M-44.46%6.41M-44.46%6.41M47.22%11.55M47.22%11.55M69.85%7.84M69.85%7.84M
-Cash and cash equivalents -1.40%3.81M-1.40%3.81M-39.83%3.86M-39.83%3.86M-43.83%6.41M-43.83%6.41M45.57%11.42M45.57%11.42M85.96%7.84M85.96%7.84M
-Accounts receivable 174.50%1.56M174.50%1.56M24.83%569.54K24.83%569.54K-88.87%456.26K-88.87%456.26K200.85%4.1M200.85%4.1M536.17%1.36M536.17%1.36M
-Notes receivable --40.04K--40.04K--------------------------------
-Other receivables -98.06%123.09K-98.06%123.09K67.79%6.33M67.79%6.33M-31.87%3.77M-31.87%3.77M507.47%5.54M507.47%5.54M--912.12K--912.12K
Current deferred assets --247.43K--247.43K--------------------------------
Total current assets 48.22%16.06M48.22%16.06M-9.39%10.84M-9.39%10.84M-47.15%11.96M-47.15%11.96M42.70%22.63M42.70%22.63M109.06%15.86M109.06%15.86M
Non current assets
-Accumulated depreciation 13.01%-1.72M13.01%-1.72M-12.42%-1.98M-12.42%-1.98M-16.83%-1.76M-16.83%-1.76M---1.5M---1.5M--------
-Long term equity investment -56.89%2.22M-56.89%2.22M0.62%5.16M0.62%5.16M-58.49%5.13M-58.49%5.13M388.68%12.35M388.68%12.35M98.38%2.53M98.38%2.53M
Non current note receivables --28.05K--28.05K--------------------------------
-Goodwill -8.30%2.71M-8.30%2.71M-56.53%2.96M-56.53%2.96M-74.34%6.81M-74.34%6.81M-7.84%26.54M-7.84%26.54M19.63%28.8M19.63%28.8M
Regulatory assets 258.30%7.27M258.30%7.27M63.75%2.03M63.75%2.03M-78.82%1.24M-78.82%1.24M37.78%5.85M37.78%5.85M45.07%4.25M45.07%4.25M
Non current deferred assets 136.01%160.13K136.01%160.13K-19.83%67.85K-19.83%67.85K--84.63K--84.63K----------------
Liabilities
Current liabilities
Current debt and capital lease obligation 64.38%3.71M64.38%3.71M-69.15%2.26M-69.15%2.26M-43.80%7.33M-43.80%7.33M677.79%13.03M677.79%13.03M--1.68M--1.68M
-Current debt 92.91%3.17M92.91%3.17M-76.01%1.65M-76.01%1.65M-45.36%6.86M-45.36%6.86M648.98%12.55M648.98%12.55M--1.68M--1.68M
-Current capital lease obligation -12.02%540.67K-12.02%540.67K31.68%614.52K31.68%614.52K-3.34%466.69K-3.34%466.69K--482.8K--482.8K--------
-accounts payable 116.97%1.68M116.97%1.68M57.43%774.95K57.43%774.95K-73.71%492.25K-73.71%492.25K793.74%1.87M793.74%1.87M-9.60%209.48K-9.60%209.48K
-Total tax payable -56.60%2.44M-56.60%2.44M0.57%5.62M0.57%5.62M-68.03%5.58M-68.03%5.58M391.31%17.47M391.31%17.47M-16.36%3.56M-16.36%3.56M
Current provisions ----------------------------------5.25M--5.25M
Current deferred liabilities -----------------72.88%591.92K-72.88%591.92K137.42%2.18M137.42%2.18M--919.38K--919.38K
Other current liabilities --------------------------320.18K--320.18K--------
Current liabilities 38.48%13.43M38.48%13.43M-25.45%9.7M-25.45%9.7M-42.92%13.01M-42.92%13.01M152.69%22.8M152.69%22.8M3,793.74%9.02M3,793.74%9.02M
Non current liabilities
-Long term debt -38.82%2.22M-38.82%2.22M-12.48%3.63M-12.48%3.63M-17.78%4.15M-17.78%4.15M--5.05M--5.05M--------
Non current accrued expenses -14.95%7.34M-14.95%7.34M-7.18%8.63M-7.18%8.63M8.14%9.3M8.14%9.3M13,468.07%8.6M13,468.07%8.6M--63.38K--63.38K
Long term provisions --------56.49%1.52M56.49%1.52M-86.66%973.56K-86.66%973.56K188.84%7.3M188.84%7.3M98.38%2.53M98.38%2.53M
Employee benefits --40.04K--40.04K--------------------------------
Regulatory liabilities -6.26%-525.41K-6.26%-525.41K-122.77%-494.46K-122.77%-494.46K-515.81%-221.96K-515.81%-221.96K---36.04K---36.04K--------
Preferred securities outside stock equity 1.18%335.98K1.18%335.98K45.52%332.05K45.52%332.05K35.40%228.19K35.40%228.19K203.81%168.53K203.81%168.53K--55.47K--55.47K
Total non current liabilities 3.62%15.87M3.62%15.87M-17.64%15.32M-17.64%15.32M-53.82%18.6M-53.82%18.6M220.14%40.27M220.14%40.27M180.59%12.58M180.59%12.58M
Shareholders'equity
Share capital 4.94%90.23M4.94%90.23M10.43%85.98M10.43%85.98M21.09%77.86M21.09%77.86M11.71%64.3M11.71%64.3M27.29%57.56M27.29%57.56M
-common stock 4.94%90.23M4.94%90.23M10.43%85.98M10.43%85.98M21.70%77.86M21.70%77.86M11.16%63.98M11.16%63.98M27.29%57.56M27.29%57.56M
Gains losses not affecting retained earnings --------156.20%1.02M156.20%1.02M--400K--400K----------------
Noncontrolling interests ---------17.42%301.63K-17.42%301.63K-30.19%365.27K-30.19%365.27K--523.25K--523.25K--------
Total equity 15.39%26.31M15.39%26.31M-20.06%22.8M-20.06%22.8M-51.08%28.52M-51.08%28.52M30.35%58.29M30.35%58.29M41.26%44.72M41.26%44.72M

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