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MKT Market Ltd

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  • 0.130
  • 0.0000.00%
20min DelayMarket Closed Jan 3 11:48 AET
41.73MMarket Cap-5.91P/E (Static)

Market 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
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
Assets
Current assets
Cash, cash equivalents and short term investments
-51.79%9.39M
-51.79%9.39M
33.91%19.48M
--19.48M
-43.25%14.55M
978.68%25.63M
59.22%2.38M
-50.44%1.49M
16.14%3.01M
--2.59M
-Cash and cash equivalents
-69.04%3.92M
-69.04%3.92M
165.84%12.68M
--12.68M
-63.80%4.77M
454.42%13.17M
59.22%2.38M
-50.44%1.49M
16.14%3.01M
--2.59M
-Short term investments
-19.64%5.47M
-19.64%5.47M
-30.42%6.8M
--6.8M
-21.51%9.78M
--12.46M
----
----
----
----
Receivables
69.15%8.81M
69.15%8.81M
118.33%5.21M
--5.21M
-18.63%2.39M
43.82%2.93M
107.64%2.04M
-20.11%981.68K
154.93%1.23M
--482.03K
-Accounts receivable
22.56%8.19M
22.56%8.19M
202.01%6.68M
--6.68M
-0.25%2.21M
5.82%2.22M
431.35%2.1M
-64.25%394.35K
154.05%1.1M
--434.16K
-Loans receivable
----
----
----
----
----
26.20%44.17K
--35K
----
----
----
-Other receivables
915.81%2.23M
915.81%2.23M
-68.15%219.97K
--219.97K
-44.68%690.69K
93.00%1.25M
-0.97%646.92K
377.24%653.25K
128.14%136.88K
--60K
-Recievables adjustments allowances
4.71%-1.61M
4.71%-1.61M
-227.19%-1.69M
---1.69M
10.63%-517.05K
21.71%-578.54K
-1,021.00%-738.93K
-499.25%-65.92K
9.32%-11K
---12.13K
Prepaid assets
----
----
----
----
38.70%280.06K
2.19%201.91K
12.63%197.59K
602.64%175.44K
59.39%24.97K
--15.67K
Current deferred assets
----
----
----
----
----
----
----
--81.38K
----
----
Holding assets for sale
----
----
--3.5M
--3.5M
----
----
----
----
----
----
Other current assets
-31.83%5.85M
-31.83%5.85M
2,436.31%8.58M
--8.58M
--338.34K
----
----
--35K
----
----
Total current assets
-34.59%24.05M
-34.59%24.05M
109.50%36.77M
--36.77M
-38.99%17.55M
523.68%28.76M
66.75%4.61M
-35.15%2.77M
38.00%4.27M
--3.09M
Non current assets
Net PPE
-12.07%3.24M
-12.07%3.24M
-35.70%3.68M
--3.68M
117.03%5.73M
82.32%2.64M
810.84%1.45M
205.94%158.91K
66.33%51.94K
--31.23K
-Gross PPE
-19.16%5.66M
-19.16%5.66M
3.50%7M
--7M
107.77%6.77M
82.38%3.26M
676.83%1.79M
145.11%229.82K
13.15%93.76K
--82.86K
-Accumulated depreciation
27.03%-2.42M
27.03%-2.42M
-219.74%-3.32M
---3.32M
-68.17%-1.04M
-82.65%-617.28K
-376.55%-337.96K
-69.57%-70.92K
19.00%-41.82K
---51.63K
Investments and advances
-86.51%174.43K
-86.51%174.43K
18.85%1.29M
--1.29M
-36.42%1.09M
-81.02%1.71M
547.19%9.02M
352.64%1.39M
3,754.26%307.92K
--7.99K
-Financial asset investment
-67.16%139.09K
-67.16%139.09K
-51.41%423.51K
--423.51K
-44.65%871.55K
-82.27%1.57M
597.74%8.88M
392.28%1.27M
--258.62K
----
-Including:Trading securities
-67.16%139.09K
-67.16%139.09K
-51.41%423.51K
--423.51K
-44.65%871.55K
-82.27%1.57M
597.74%8.88M
392.28%1.27M
--258.62K
----
-Other investment
-95.94%35.35K
-95.94%35.35K
301.39%869.92K
--869.92K
57.96%216.73K
0.09%137.21K
13.64%137.09K
144.69%120.63K
517.06%49.3K
--7.99K
Financial assets
----
----
----
----
----
----
18,064.08%4.23M
--23.27K
----
----
Non current accounts receivable
----
----
----
----
68.64%78.63K
--46.62K
----
----
----
----
Goodwill and other intangible assets
-2.80%120.91M
-2.80%120.91M
380.82%124.4M
--124.4M
5.01%25.87M
16.63%24.64M
5,826.18%21.12M
-24.35%356.47K
-24.71%471.23K
--625.86K
-Goodwill
1,113.72%47.61M
1,113.72%47.61M
0.70%3.92M
--3.92M
4.87%3.9M
--3.71M
----
----
----
----
-Other intangible assets
-39.16%73.3M
-39.16%73.3M
448.19%120.48M
--120.48M
5.04%21.98M
-0.95%20.92M
5,826.18%21.12M
-24.35%356.47K
-24.71%471.23K
--625.86K
Non current deferred assets
----
----
--1.2M
--1.2M
----
----
-58.75%215.41K
20.40%522.19K
337.96%433.73K
--99.03K
Other non current assets
----
----
----
----
---92.4K
----
----
--1
----
--49.3K
Total non current assets
-4.79%124.33M
-4.79%124.33M
299.63%130.57M
--130.57M
12.54%32.67M
-19.42%29.03M
1,368.02%36.03M
94.07%2.45M
55.50%1.26M
--813.41K
Total assets
-11.33%148.38M
-11.33%148.38M
233.19%167.34M
--167.34M
-13.10%50.23M
42.20%57.8M
678.59%40.65M
-5.60%5.22M
41.65%5.53M
--3.9M
Liabilities
Current liabilities
Current debt and capital lease obligation
235.24%38.84M
235.24%38.84M
47.45%11.58M
--11.58M
240.76%7.86M
-2.82%2.31M
--2.37M
----
----
----
-Current debt
255.10%37.69M
255.10%37.69M
40.44%10.61M
--10.61M
252.08%7.56M
0.74%2.15M
--2.13M
----
----
----
-Current capital lease obligation
18.28%1.15M
18.28%1.15M
224.41%971.09K
--971.09K
88.07%299.34K
-34.16%159.17K
--241.76K
----
----
----
Payables
3.52%12.12M
3.52%12.12M
913.02%11.71M
--11.71M
-59.47%1.16M
-6.36%2.85M
815.92%3.04M
9.07%332.4K
-28.64%304.74K
--427.03K
-accounts payable
2.64%6.51M
2.64%6.51M
4,534.60%6.34M
--6.34M
-34.95%136.83K
-0.88%210.34K
49.18%212.21K
204.21%142.25K
-79.27%46.76K
--225.61K
-Other payable
4.57%5.61M
4.57%5.61M
426.54%5.36M
--5.36M
-61.42%1.02M
-6.77%2.64M
1,389.53%2.83M
-26.29%190.15K
28.08%257.98K
--201.42K
Current provisions
----
----
--401.82K
--401.82K
----
----
----
----
----
----
Pension and other retirement benefit plans
62.16%5.56M
62.16%5.56M
341.93%3.43M
--3.43M
44.89%775.41K
126.42%535.17K
310.83%236.36K
78.45%57.53K
-23.80%32.24K
--42.31K
Current deferred liabilities
-0.24%5.07M
-0.24%5.07M
-7.86%5.09M
--5.09M
5.18%5.52M
-1.91%5.25M
273.72%5.35M
4.73%1.43M
319.67%1.37M
--325.79K
Other current liabilities
--0
--0
----
----
----
----
----
----
----
----
Current liabilities
91.23%61.59M
91.23%61.59M
110.38%32.21M
--32.21M
39.92%15.31M
-0.58%10.94M
504.03%11M
6.90%1.82M
114.33%1.7M
--795.13K
Non current liabilities
Long term debt and capital lease obligation
-91.45%3.42M
-91.45%3.42M
10,033.09%40M
--40M
-94.77%394.71K
-23.97%7.55M
--9.93M
----
----
----
-Long term debt
-94.58%2.06M
-94.58%2.06M
--37.94M
--37.94M
----
-23.84%7.21M
--9.46M
----
----
----
-Long term capital lease obligation
-33.70%1.36M
-33.70%1.36M
419.93%2.05M
--2.05M
13.93%394.71K
-26.63%346.43K
--472.18K
----
----
----
Long term accounts payable and other payables
----
----
----
----
----
----
--1.47M
----
----
----
Employee benefits
--150.07K
--150.07K
----
----
----
----
----
----
----
----
Non current deferred liabilities
-20.94%16.33M
-20.94%16.33M
284.95%20.66M
--20.66M
-13.66%5.37M
883.00%6.22M
--632.31K
----
----
----
Total non current liabilities
-67.19%19.9M
-67.19%19.9M
952.78%60.66M
--60.66M
-58.15%5.76M
14.35%13.77M
--12.04M
--0
--0
--0
Total liabilities
-12.25%81.49M
-12.25%81.49M
340.73%92.86M
--92.86M
-14.73%21.07M
7.22%24.71M
1,164.91%23.05M
6.90%1.82M
114.33%1.7M
--795.13K
Shareholders'equity
Share capital
0.00%63.25M
0.00%63.25M
183.48%63.25M
--63.25M
4.28%22.31M
2.93%21.4M
78.58%20.79M
0.00%11.64M
0.00%11.64M
--11.64M
-common stock
0.00%63.25M
0.00%63.25M
183.48%63.25M
--63.25M
4.28%22.31M
2.93%21.4M
78.58%20.79M
0.00%11.64M
0.00%11.64M
--11.64M
Retained earnings
-33.97%13.51M
-33.97%13.51M
33.83%20.46M
--20.46M
-23.21%15.29M
654.90%19.91M
60.68%2.64M
-14.14%1.64M
66.20%1.91M
--1.15M
Gains losses not affecting retained earnings
-6.96%-9.87M
-6.96%-9.87M
-9.27%-9.23M
---9.23M
-2.81%-8.44M
-40.98%-8.21M
41.07%-5.82M
-1.61%-9.88M
-0.46%-9.73M
---9.68M
Total stockholders'equity
-10.19%66.89M
-10.19%66.89M
155.47%74.48M
--74.48M
-11.89%29.16M
88.01%33.09M
417.89%17.6M
-11.17%3.4M
23.06%3.83M
--3.11M
Total equity
-10.19%66.89M
-10.19%66.89M
155.47%74.48M
--74.48M
-11.89%29.16M
88.01%33.09M
417.89%17.6M
-11.17%3.4M
23.06%3.83M
--3.11M
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(Q4)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
Assets
Current assets
Cash, cash equivalents and short term investments -51.79%9.39M-51.79%9.39M33.91%19.48M--19.48M-43.25%14.55M978.68%25.63M59.22%2.38M-50.44%1.49M16.14%3.01M--2.59M
-Cash and cash equivalents -69.04%3.92M-69.04%3.92M165.84%12.68M--12.68M-63.80%4.77M454.42%13.17M59.22%2.38M-50.44%1.49M16.14%3.01M--2.59M
-Short term investments -19.64%5.47M-19.64%5.47M-30.42%6.8M--6.8M-21.51%9.78M--12.46M----------------
Receivables 69.15%8.81M69.15%8.81M118.33%5.21M--5.21M-18.63%2.39M43.82%2.93M107.64%2.04M-20.11%981.68K154.93%1.23M--482.03K
-Accounts receivable 22.56%8.19M22.56%8.19M202.01%6.68M--6.68M-0.25%2.21M5.82%2.22M431.35%2.1M-64.25%394.35K154.05%1.1M--434.16K
-Loans receivable --------------------26.20%44.17K--35K------------
-Other receivables 915.81%2.23M915.81%2.23M-68.15%219.97K--219.97K-44.68%690.69K93.00%1.25M-0.97%646.92K377.24%653.25K128.14%136.88K--60K
-Recievables adjustments allowances 4.71%-1.61M4.71%-1.61M-227.19%-1.69M---1.69M10.63%-517.05K21.71%-578.54K-1,021.00%-738.93K-499.25%-65.92K9.32%-11K---12.13K
Prepaid assets ----------------38.70%280.06K2.19%201.91K12.63%197.59K602.64%175.44K59.39%24.97K--15.67K
Current deferred assets ------------------------------81.38K--------
Holding assets for sale ----------3.5M--3.5M------------------------
Other current assets -31.83%5.85M-31.83%5.85M2,436.31%8.58M--8.58M--338.34K----------35K--------
Total current assets -34.59%24.05M-34.59%24.05M109.50%36.77M--36.77M-38.99%17.55M523.68%28.76M66.75%4.61M-35.15%2.77M38.00%4.27M--3.09M
Non current assets
Net PPE -12.07%3.24M-12.07%3.24M-35.70%3.68M--3.68M117.03%5.73M82.32%2.64M810.84%1.45M205.94%158.91K66.33%51.94K--31.23K
-Gross PPE -19.16%5.66M-19.16%5.66M3.50%7M--7M107.77%6.77M82.38%3.26M676.83%1.79M145.11%229.82K13.15%93.76K--82.86K
-Accumulated depreciation 27.03%-2.42M27.03%-2.42M-219.74%-3.32M---3.32M-68.17%-1.04M-82.65%-617.28K-376.55%-337.96K-69.57%-70.92K19.00%-41.82K---51.63K
Investments and advances -86.51%174.43K-86.51%174.43K18.85%1.29M--1.29M-36.42%1.09M-81.02%1.71M547.19%9.02M352.64%1.39M3,754.26%307.92K--7.99K
-Financial asset investment -67.16%139.09K-67.16%139.09K-51.41%423.51K--423.51K-44.65%871.55K-82.27%1.57M597.74%8.88M392.28%1.27M--258.62K----
-Including:Trading securities -67.16%139.09K-67.16%139.09K-51.41%423.51K--423.51K-44.65%871.55K-82.27%1.57M597.74%8.88M392.28%1.27M--258.62K----
-Other investment -95.94%35.35K-95.94%35.35K301.39%869.92K--869.92K57.96%216.73K0.09%137.21K13.64%137.09K144.69%120.63K517.06%49.3K--7.99K
Financial assets ------------------------18,064.08%4.23M--23.27K--------
Non current accounts receivable ----------------68.64%78.63K--46.62K----------------
Goodwill and other intangible assets -2.80%120.91M-2.80%120.91M380.82%124.4M--124.4M5.01%25.87M16.63%24.64M5,826.18%21.12M-24.35%356.47K-24.71%471.23K--625.86K
-Goodwill 1,113.72%47.61M1,113.72%47.61M0.70%3.92M--3.92M4.87%3.9M--3.71M----------------
-Other intangible assets -39.16%73.3M-39.16%73.3M448.19%120.48M--120.48M5.04%21.98M-0.95%20.92M5,826.18%21.12M-24.35%356.47K-24.71%471.23K--625.86K
Non current deferred assets ----------1.2M--1.2M---------58.75%215.41K20.40%522.19K337.96%433.73K--99.03K
Other non current assets -------------------92.4K----------1------49.3K
Total non current assets -4.79%124.33M-4.79%124.33M299.63%130.57M--130.57M12.54%32.67M-19.42%29.03M1,368.02%36.03M94.07%2.45M55.50%1.26M--813.41K
Total assets -11.33%148.38M-11.33%148.38M233.19%167.34M--167.34M-13.10%50.23M42.20%57.8M678.59%40.65M-5.60%5.22M41.65%5.53M--3.9M
Liabilities
Current liabilities
Current debt and capital lease obligation 235.24%38.84M235.24%38.84M47.45%11.58M--11.58M240.76%7.86M-2.82%2.31M--2.37M------------
-Current debt 255.10%37.69M255.10%37.69M40.44%10.61M--10.61M252.08%7.56M0.74%2.15M--2.13M------------
-Current capital lease obligation 18.28%1.15M18.28%1.15M224.41%971.09K--971.09K88.07%299.34K-34.16%159.17K--241.76K------------
Payables 3.52%12.12M3.52%12.12M913.02%11.71M--11.71M-59.47%1.16M-6.36%2.85M815.92%3.04M9.07%332.4K-28.64%304.74K--427.03K
-accounts payable 2.64%6.51M2.64%6.51M4,534.60%6.34M--6.34M-34.95%136.83K-0.88%210.34K49.18%212.21K204.21%142.25K-79.27%46.76K--225.61K
-Other payable 4.57%5.61M4.57%5.61M426.54%5.36M--5.36M-61.42%1.02M-6.77%2.64M1,389.53%2.83M-26.29%190.15K28.08%257.98K--201.42K
Current provisions ----------401.82K--401.82K------------------------
Pension and other retirement benefit plans 62.16%5.56M62.16%5.56M341.93%3.43M--3.43M44.89%775.41K126.42%535.17K310.83%236.36K78.45%57.53K-23.80%32.24K--42.31K
Current deferred liabilities -0.24%5.07M-0.24%5.07M-7.86%5.09M--5.09M5.18%5.52M-1.91%5.25M273.72%5.35M4.73%1.43M319.67%1.37M--325.79K
Other current liabilities --0--0--------------------------------
Current liabilities 91.23%61.59M91.23%61.59M110.38%32.21M--32.21M39.92%15.31M-0.58%10.94M504.03%11M6.90%1.82M114.33%1.7M--795.13K
Non current liabilities
Long term debt and capital lease obligation -91.45%3.42M-91.45%3.42M10,033.09%40M--40M-94.77%394.71K-23.97%7.55M--9.93M------------
-Long term debt -94.58%2.06M-94.58%2.06M--37.94M--37.94M-----23.84%7.21M--9.46M------------
-Long term capital lease obligation -33.70%1.36M-33.70%1.36M419.93%2.05M--2.05M13.93%394.71K-26.63%346.43K--472.18K------------
Long term accounts payable and other payables --------------------------1.47M------------
Employee benefits --150.07K--150.07K--------------------------------
Non current deferred liabilities -20.94%16.33M-20.94%16.33M284.95%20.66M--20.66M-13.66%5.37M883.00%6.22M--632.31K------------
Total non current liabilities -67.19%19.9M-67.19%19.9M952.78%60.66M--60.66M-58.15%5.76M14.35%13.77M--12.04M--0--0--0
Total liabilities -12.25%81.49M-12.25%81.49M340.73%92.86M--92.86M-14.73%21.07M7.22%24.71M1,164.91%23.05M6.90%1.82M114.33%1.7M--795.13K
Shareholders'equity
Share capital 0.00%63.25M0.00%63.25M183.48%63.25M--63.25M4.28%22.31M2.93%21.4M78.58%20.79M0.00%11.64M0.00%11.64M--11.64M
-common stock 0.00%63.25M0.00%63.25M183.48%63.25M--63.25M4.28%22.31M2.93%21.4M78.58%20.79M0.00%11.64M0.00%11.64M--11.64M
Retained earnings -33.97%13.51M-33.97%13.51M33.83%20.46M--20.46M-23.21%15.29M654.90%19.91M60.68%2.64M-14.14%1.64M66.20%1.91M--1.15M
Gains losses not affecting retained earnings -6.96%-9.87M-6.96%-9.87M-9.27%-9.23M---9.23M-2.81%-8.44M-40.98%-8.21M41.07%-5.82M-1.61%-9.88M-0.46%-9.73M---9.68M
Total stockholders'equity -10.19%66.89M-10.19%66.89M155.47%74.48M--74.48M-11.89%29.16M88.01%33.09M417.89%17.6M-11.17%3.4M23.06%3.83M--3.11M
Total equity -10.19%66.89M-10.19%66.89M155.47%74.48M--74.48M-11.89%29.16M88.01%33.09M417.89%17.6M-11.17%3.4M23.06%3.83M--3.11M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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