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MME MoneyMe Ltd

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  • 0.210
  • +0.030+16.67%
20min DelayMarket Closed Dec 27 16:00 AET
168.02MMarket Cap7.24P/E (Static)

MoneyMe 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
-19.72%73.63M
-19.72%73.63M
13.68%91.71M
13.68%91.71M
208.34%80.68M
208.34%80.68M
-26.05%26.16M
-26.05%26.16M
-14.95%35.38M
--35.38M
-Cash and cash equivalents
-19.72%73.63M
-19.72%73.63M
13.68%91.71M
13.68%91.71M
208.34%80.68M
208.34%80.68M
-26.05%26.16M
-26.05%26.16M
-14.95%35.38M
--35.38M
Receivables
8.21%1.16B
8.21%1.16B
-15.04%1.07B
-15.04%1.07B
593.67%1.26B
593.67%1.26B
18,137.04%182.19M
18,137.04%182.19M
-98.73%999K
--999K
-Accounts receivable
6.00%1.22B
6.00%1.22B
-14.54%1.15B
-14.54%1.15B
--1.35B
--1.35B
----
----
----
----
-Other receivables
----
----
----
----
----
----
18,137.04%182.19M
18,137.04%182.19M
--999K
--999K
-Recievables adjustments allowances
25.27%-56.79M
25.27%-56.79M
6.74%-75.99M
6.74%-75.99M
---81.49M
---81.49M
----
----
----
----
Current deferred assets
----
----
----
----
0.00%13K
0.00%13K
--13K
--13K
----
----
Hedging assets-current
-67.28%2.6M
-67.28%2.6M
--7.93M
--7.93M
----
----
----
----
----
----
Total current assets
5.52%1.24B
5.52%1.24B
-12.73%1.17B
-12.73%1.17B
545.25%1.34B
545.25%1.34B
472.78%208.37M
472.78%208.37M
-70.45%36.38M
--36.38M
Non current assets
Net PPE
-31.71%4.13M
-31.71%4.13M
55.75%6.04M
55.75%6.04M
36.76%3.88M
36.76%3.88M
-5.75%2.84M
-5.75%2.84M
58.42%3.01M
--3.01M
-Gross PPE
-20.86%7.12M
-20.86%7.12M
58.08%9M
58.08%9M
78.27%5.69M
78.27%5.69M
-3.48%3.19M
-3.48%3.19M
74.16%3.31M
--3.31M
-Accumulated depreciation
-1.28%-3M
-1.28%-3M
-63.07%-2.96M
-63.07%-2.96M
-408.12%-1.81M
-408.12%-1.81M
-19.40%-357K
-19.40%-357K
---299K
---299K
Financial assets
----
----
----
----
--10.49M
--10.49M
----
----
----
----
Non current accounts receivable
35.08%19.48M
35.08%19.48M
41.43%14.42M
41.43%14.42M
-91.85%10.2M
-91.85%10.2M
3.62%125.13M
3.62%125.13M
--120.75M
--120.75M
Goodwill and other intangible assets
-4.08%92.34M
-4.08%92.34M
-3.31%96.27M
-3.31%96.27M
2,949.40%99.56M
2,949.40%99.56M
50.74%3.27M
50.74%3.27M
170.75%2.17M
--2.17M
-Goodwill
0.00%63.51M
0.00%63.51M
0.00%63.51M
0.00%63.51M
--63.51M
--63.51M
----
----
----
----
-Other intangible assets
-11.99%28.83M
-11.99%28.83M
-9.14%32.76M
-9.14%32.76M
1,004.23%36.05M
1,004.23%36.05M
50.74%3.27M
50.74%3.27M
170.75%2.17M
--2.17M
Non current deferred assets
323.87%13.53M
323.87%13.53M
0.00%3.19M
0.00%3.19M
-49.98%3.19M
-49.98%3.19M
48.53%6.38M
48.53%6.38M
--4.3M
--4.3M
Total non current assets
7.97%129.48M
7.97%129.48M
-5.81%119.92M
-5.81%119.92M
-7.48%127.32M
-7.48%127.32M
5.67%137.61M
5.67%137.61M
4,723.07%130.22M
--130.22M
Total assets
5.74%1.37B
5.74%1.37B
-12.13%1.29B
-12.13%1.29B
325.41%1.47B
325.41%1.47B
107.67%345.97M
107.67%345.97M
32.43%166.6M
--166.6M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
----
----
79.58%1.04M
79.58%1.04M
-72.74%578K
-72.74%578K
-97.38%2.12M
--2.12M
-Current capital lease obligation
----
----
----
----
79.58%1.04M
79.58%1.04M
-72.74%578K
-72.74%578K
-21.48%2.12M
--2.12M
Payables
-3.97%5.95M
-3.97%5.95M
-59.91%6.2M
-59.91%6.2M
431.67%15.46M
431.67%15.46M
52.01%2.91M
52.01%2.91M
73.91%1.91M
--1.91M
-Other payable
-3.97%5.95M
-3.97%5.95M
-59.91%6.2M
-59.91%6.2M
431.67%15.46M
431.67%15.46M
52.01%2.91M
52.01%2.91M
--1.91M
--1.91M
Pension and other retirement benefit plans
----
----
----
----
167.44%4.12M
167.44%4.12M
52.67%1.54M
52.67%1.54M
405.00%1.01M
--1.01M
Current deferred liabilities
----
----
----
----
----
----
----
----
--1.58M
--1.58M
Current liabilities
-3.97%5.95M
-3.97%5.95M
-69.94%6.2M
-69.94%6.2M
310.16%20.62M
310.16%20.62M
-24.08%5.03M
-24.08%5.03M
-91.95%6.62M
--6.62M
Non current liabilities
Long term debt and capital lease obligation
4.50%1.17B
4.50%1.17B
-17.75%1.12B
-17.75%1.12B
352.23%1.36B
352.23%1.36B
165.82%300.71M
165.82%300.71M
--113.13M
--113.13M
-Long term debt
4.60%1.17B
4.60%1.17B
-17.88%1.12B
-17.88%1.12B
353.17%1.36B
353.17%1.36B
164.95%299.73M
164.95%299.73M
--113.13M
--113.13M
-Long term capital lease obligation
-30.19%2.18M
-30.19%2.18M
91.93%3.12M
91.93%3.12M
65.88%1.62M
65.88%1.62M
--979K
--979K
----
----
Employee benefits
14.43%2.78M
14.43%2.78M
--2.43M
--2.43M
----
----
----
----
----
----
Total non current liabilities
4.52%1.17B
4.52%1.17B
-17.57%1.12B
-17.57%1.12B
352.23%1.36B
352.23%1.36B
165.82%300.71M
165.82%300.71M
--113.13M
--113.13M
Total liabilities
4.48%1.18B
4.48%1.18B
-18.35%1.13B
-18.35%1.13B
351.54%1.38B
351.54%1.38B
155.31%305.74M
155.31%305.74M
45.50%119.75M
--119.75M
Shareholders'equity
Share capital
0.00%203.43M
0.00%203.43M
42.20%203.43M
42.20%203.43M
224.33%143.06M
224.33%143.06M
-79.17%44.11M
-79.17%44.11M
0.00%211.8M
--211.8M
-common stock
0.00%203.43M
0.00%203.43M
42.20%203.43M
42.20%203.43M
224.33%143.06M
224.33%143.06M
-79.17%44.11M
-79.17%44.11M
0.00%211.8M
--211.8M
Retained earnings
51.62%-21.3M
51.62%-21.3M
21.82%-44.02M
21.82%-44.02M
-847.31%-56.31M
-847.31%-56.31M
-399.45%-5.94M
-399.45%-5.94M
194.52%1.99M
--1.99M
Gains losses not affecting retained earnings
16.52%7.76M
16.52%7.76M
46.99%6.66M
46.99%6.66M
118.37%4.53M
118.37%4.53M
101.24%2.07M
101.24%2.07M
-0.44%-166.93M
---166.93M
Total stockholders'equity
14.35%189.89M
14.35%189.89M
81.94%166.06M
81.94%166.06M
126.84%91.28M
126.84%91.28M
-14.12%40.24M
-14.12%40.24M
7.71%46.85M
--46.85M
Total equity
14.35%189.89M
14.35%189.89M
81.94%166.06M
81.94%166.06M
126.84%91.28M
126.84%91.28M
-14.12%40.24M
-14.12%40.24M
7.71%46.85M
--46.85M
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(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 -19.72%73.63M-19.72%73.63M13.68%91.71M13.68%91.71M208.34%80.68M208.34%80.68M-26.05%26.16M-26.05%26.16M-14.95%35.38M--35.38M
-Cash and cash equivalents -19.72%73.63M-19.72%73.63M13.68%91.71M13.68%91.71M208.34%80.68M208.34%80.68M-26.05%26.16M-26.05%26.16M-14.95%35.38M--35.38M
Receivables 8.21%1.16B8.21%1.16B-15.04%1.07B-15.04%1.07B593.67%1.26B593.67%1.26B18,137.04%182.19M18,137.04%182.19M-98.73%999K--999K
-Accounts receivable 6.00%1.22B6.00%1.22B-14.54%1.15B-14.54%1.15B--1.35B--1.35B----------------
-Other receivables ------------------------18,137.04%182.19M18,137.04%182.19M--999K--999K
-Recievables adjustments allowances 25.27%-56.79M25.27%-56.79M6.74%-75.99M6.74%-75.99M---81.49M---81.49M----------------
Current deferred assets ----------------0.00%13K0.00%13K--13K--13K--------
Hedging assets-current -67.28%2.6M-67.28%2.6M--7.93M--7.93M------------------------
Total current assets 5.52%1.24B5.52%1.24B-12.73%1.17B-12.73%1.17B545.25%1.34B545.25%1.34B472.78%208.37M472.78%208.37M-70.45%36.38M--36.38M
Non current assets
Net PPE -31.71%4.13M-31.71%4.13M55.75%6.04M55.75%6.04M36.76%3.88M36.76%3.88M-5.75%2.84M-5.75%2.84M58.42%3.01M--3.01M
-Gross PPE -20.86%7.12M-20.86%7.12M58.08%9M58.08%9M78.27%5.69M78.27%5.69M-3.48%3.19M-3.48%3.19M74.16%3.31M--3.31M
-Accumulated depreciation -1.28%-3M-1.28%-3M-63.07%-2.96M-63.07%-2.96M-408.12%-1.81M-408.12%-1.81M-19.40%-357K-19.40%-357K---299K---299K
Financial assets ------------------10.49M--10.49M----------------
Non current accounts receivable 35.08%19.48M35.08%19.48M41.43%14.42M41.43%14.42M-91.85%10.2M-91.85%10.2M3.62%125.13M3.62%125.13M--120.75M--120.75M
Goodwill and other intangible assets -4.08%92.34M-4.08%92.34M-3.31%96.27M-3.31%96.27M2,949.40%99.56M2,949.40%99.56M50.74%3.27M50.74%3.27M170.75%2.17M--2.17M
-Goodwill 0.00%63.51M0.00%63.51M0.00%63.51M0.00%63.51M--63.51M--63.51M----------------
-Other intangible assets -11.99%28.83M-11.99%28.83M-9.14%32.76M-9.14%32.76M1,004.23%36.05M1,004.23%36.05M50.74%3.27M50.74%3.27M170.75%2.17M--2.17M
Non current deferred assets 323.87%13.53M323.87%13.53M0.00%3.19M0.00%3.19M-49.98%3.19M-49.98%3.19M48.53%6.38M48.53%6.38M--4.3M--4.3M
Total non current assets 7.97%129.48M7.97%129.48M-5.81%119.92M-5.81%119.92M-7.48%127.32M-7.48%127.32M5.67%137.61M5.67%137.61M4,723.07%130.22M--130.22M
Total assets 5.74%1.37B5.74%1.37B-12.13%1.29B-12.13%1.29B325.41%1.47B325.41%1.47B107.67%345.97M107.67%345.97M32.43%166.6M--166.6M
Liabilities
Current liabilities
Current debt and capital lease obligation ----------------79.58%1.04M79.58%1.04M-72.74%578K-72.74%578K-97.38%2.12M--2.12M
-Current capital lease obligation ----------------79.58%1.04M79.58%1.04M-72.74%578K-72.74%578K-21.48%2.12M--2.12M
Payables -3.97%5.95M-3.97%5.95M-59.91%6.2M-59.91%6.2M431.67%15.46M431.67%15.46M52.01%2.91M52.01%2.91M73.91%1.91M--1.91M
-Other payable -3.97%5.95M-3.97%5.95M-59.91%6.2M-59.91%6.2M431.67%15.46M431.67%15.46M52.01%2.91M52.01%2.91M--1.91M--1.91M
Pension and other retirement benefit plans ----------------167.44%4.12M167.44%4.12M52.67%1.54M52.67%1.54M405.00%1.01M--1.01M
Current deferred liabilities ----------------------------------1.58M--1.58M
Current liabilities -3.97%5.95M-3.97%5.95M-69.94%6.2M-69.94%6.2M310.16%20.62M310.16%20.62M-24.08%5.03M-24.08%5.03M-91.95%6.62M--6.62M
Non current liabilities
Long term debt and capital lease obligation 4.50%1.17B4.50%1.17B-17.75%1.12B-17.75%1.12B352.23%1.36B352.23%1.36B165.82%300.71M165.82%300.71M--113.13M--113.13M
-Long term debt 4.60%1.17B4.60%1.17B-17.88%1.12B-17.88%1.12B353.17%1.36B353.17%1.36B164.95%299.73M164.95%299.73M--113.13M--113.13M
-Long term capital lease obligation -30.19%2.18M-30.19%2.18M91.93%3.12M91.93%3.12M65.88%1.62M65.88%1.62M--979K--979K--------
Employee benefits 14.43%2.78M14.43%2.78M--2.43M--2.43M------------------------
Total non current liabilities 4.52%1.17B4.52%1.17B-17.57%1.12B-17.57%1.12B352.23%1.36B352.23%1.36B165.82%300.71M165.82%300.71M--113.13M--113.13M
Total liabilities 4.48%1.18B4.48%1.18B-18.35%1.13B-18.35%1.13B351.54%1.38B351.54%1.38B155.31%305.74M155.31%305.74M45.50%119.75M--119.75M
Shareholders'equity
Share capital 0.00%203.43M0.00%203.43M42.20%203.43M42.20%203.43M224.33%143.06M224.33%143.06M-79.17%44.11M-79.17%44.11M0.00%211.8M--211.8M
-common stock 0.00%203.43M0.00%203.43M42.20%203.43M42.20%203.43M224.33%143.06M224.33%143.06M-79.17%44.11M-79.17%44.11M0.00%211.8M--211.8M
Retained earnings 51.62%-21.3M51.62%-21.3M21.82%-44.02M21.82%-44.02M-847.31%-56.31M-847.31%-56.31M-399.45%-5.94M-399.45%-5.94M194.52%1.99M--1.99M
Gains losses not affecting retained earnings 16.52%7.76M16.52%7.76M46.99%6.66M46.99%6.66M118.37%4.53M118.37%4.53M101.24%2.07M101.24%2.07M-0.44%-166.93M---166.93M
Total stockholders'equity 14.35%189.89M14.35%189.89M81.94%166.06M81.94%166.06M126.84%91.28M126.84%91.28M-14.12%40.24M-14.12%40.24M7.71%46.85M--46.85M
Total equity 14.35%189.89M14.35%189.89M81.94%166.06M81.94%166.06M126.84%91.28M126.84%91.28M-14.12%40.24M-14.12%40.24M7.71%46.85M--46.85M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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