AU Stock MarketDetailed Quotes

MPA Mad Paws Holdings Ltd

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  • 0.070
  • -0.001-1.41%
20min DelayMarket Closed Dec 27 15:41 AET
28.44MMarket Cap-3.68P/E (Static)

Mad Paws Holdings 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
(FY)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-20.27%2.46M
-20.27%2.46M
-44.50%3.09M
-44.50%3.09M
-55.45%5.56M
--5.56M
-31.86%12.49M
--18.32M
-Cash and cash equivalents
-20.27%2.46M
-20.27%2.46M
-44.50%3.09M
-44.50%3.09M
-55.45%5.56M
--5.56M
-31.86%12.49M
--18.32M
Receivables
65.39%277.61K
65.39%277.61K
-14.30%167.86K
-14.30%167.86K
38.73%195.86K
--195.86K
--141.18K
----
-Accounts receivable
90.53%266.97K
90.53%266.97K
45.57%140.12K
45.57%140.12K
--96.26K
--96.26K
----
----
-Other receivables
-61.64%10.64K
-61.64%10.64K
-72.16%27.73K
-72.16%27.73K
-29.45%99.6K
--99.6K
--141.18K
----
Inventory
22.77%1.83M
22.77%1.83M
62.03%1.49M
62.03%1.49M
409.62%921.37K
--921.37K
--180.8K
----
Prepaid assets
529.10%4.7M
529.10%4.7M
--747.35K
--747.35K
----
----
--137.97K
----
Current deferred assets
--1.07K
--1.07K
----
----
--342.99K
--342.99K
----
----
Other current assets
----
----
----
----
75.15%396.63K
--396.63K
-10.54%226.46K
--253.14K
Total current assets
68.77%9.27M
68.77%9.27M
-25.93%5.5M
-25.93%5.5M
-43.68%7.42M
--7.42M
-29.09%13.17M
--18.58M
Non current assets
Net PPE
-19.25%2.2M
-19.25%2.2M
84.18%2.73M
84.18%2.73M
2,062.11%1.48M
--1.48M
-68.20%68.57K
--215.61K
-Gross PPE
1.18%3.41M
1.18%3.41M
76.46%3.37M
76.46%3.37M
1,973.48%1.91M
--1.91M
-57.34%91.98K
--215.61K
-Accumulated depreciation
-89.02%-1.2M
-89.02%-1.2M
-49.54%-635.18K
-49.54%-635.18K
-1,713.98%-424.76K
---424.76K
---23.42K
----
Investments and advances
----
----
0.00%10.34K
0.00%10.34K
--10.34K
--10.34K
----
----
-Other investment
----
----
0.00%10.34K
0.00%10.34K
--10.34K
--10.34K
----
----
Goodwill and other intangible assets
-10.26%21.22M
-10.26%21.22M
7.43%23.64M
7.43%23.64M
510.16%22.01M
--22.01M
375.58%3.61M
--758.38K
-Goodwill
-14.84%12.14M
-14.84%12.14M
-30.23%14.25M
-30.23%14.25M
621.31%20.42M
--20.42M
--2.83M
----
-Other intangible assets
-3.32%9.08M
-3.32%9.08M
493.76%9.39M
493.76%9.39M
104.09%1.58M
--1.58M
2.20%775.09K
--758.38K
Other non current assets
--449
--449
----
----
----
----
----
----
Total non current assets
-11.22%23.42M
-11.22%23.42M
12.27%26.38M
12.27%26.38M
539.39%23.5M
--23.5M
277.34%3.68M
--973.99K
Total assets
2.57%32.7M
2.57%32.7M
3.11%31.88M
3.11%31.88M
83.51%30.92M
--30.92M
-13.82%16.85M
--19.55M
Liabilities
Current liabilities
Current debt and capital lease obligation
98.43%1.08M
98.43%1.08M
54.19%543.17K
54.19%543.17K
1,136.16%352.27K
--352.27K
-64.06%28.5K
--79.3K
-Current debt
226.77%608.58K
226.77%608.58K
16.37%186.24K
16.37%186.24K
461.61%160.04K
--160.04K
--28.5K
----
-Current capital lease obligation
31.46%469.23K
31.46%469.23K
85.68%356.93K
85.68%356.93K
--192.23K
--192.23K
----
--79.3K
Payables
24.77%5.43M
24.77%5.43M
5.50%4.35M
5.50%4.35M
213.46%4.13M
--4.13M
383.06%1.32M
--272.5K
-accounts payable
51.58%3.86M
51.58%3.86M
26.73%2.55M
26.73%2.55M
162.75%2.01M
--2.01M
180.74%765.03K
--272.5K
-Other payable
-13.06%1.57M
-13.06%1.57M
-14.67%1.81M
-14.67%1.81M
283.82%2.12M
--2.12M
--551.32K
----
Current provisions
----
----
----
----
--2.7M
--2.7M
----
----
Pension and other retirement benefit plans
-11.81%438.72K
-11.81%438.72K
23.73%497.47K
23.73%497.47K
36.59%402.07K
--402.07K
156.61%294.36K
--114.71K
Other current liabilities
14.18%4.18M
14.18%4.18M
711.21%3.66M
711.21%3.66M
-61.81%451.24K
--451.24K
140.68%1.18M
--490.86K
Current liabilities
22.89%11.13M
22.89%11.13M
12.79%9.05M
12.79%9.05M
184.59%8.03M
--8.03M
194.62%2.82M
--957.38K
Non current liabilities
Long term debt and capital lease obligation
-19.02%1.88M
-19.02%1.88M
101.77%2.32M
101.77%2.32M
--1.15M
--1.15M
----
--139.69K
-Long term debt
-56.06%6.95K
-56.06%6.95K
-56.25%15.82K
-56.25%15.82K
--36.16K
--36.16K
----
----
-Long term capital lease obligation
-18.76%1.87M
-18.76%1.87M
106.89%2.31M
106.89%2.31M
--1.11M
--1.11M
----
--139.69K
Employee benefits
-0.16%88.28K
-0.16%88.28K
4.96%88.42K
4.96%88.42K
63.09%84.24K
--84.24K
30.98%51.65K
--39.43K
Non current deferred liabilities
-13.73%1.56M
-13.73%1.56M
3,008.34%1.81M
3,008.34%1.81M
--58.23K
--58.23K
----
----
Total non current liabilities
-16.35%3.53M
-16.35%3.53M
226.30%4.22M
226.30%4.22M
2,404.52%1.29M
--1.29M
-71.16%51.65K
--179.13K
Total liabilities
10.42%14.66M
10.42%14.66M
42.43%13.28M
42.43%13.28M
224.51%9.32M
--9.32M
152.73%2.87M
--1.14M
Shareholders'equity
Share capital
10.72%64.8M
10.72%64.8M
7.85%58.53M
7.85%58.53M
47.06%54.27M
--54.27M
1.02%36.9M
--36.53M
-common stock
10.72%64.8M
10.72%64.8M
7.85%58.53M
7.85%58.53M
47.06%54.27M
--54.27M
1.02%36.9M
--36.53M
Retained earnings
-18.20%-46.88M
-18.20%-46.88M
-23.88%-39.66M
-23.88%-39.66M
-47.74%-32.02M
---32.02M
-35.82%-21.67M
---15.95M
Gains losses not affecting retained earnings
141.24%110.78K
141.24%110.78K
59.17%-268.64K
59.17%-268.64K
47.68%-657.87K
---657.87K
41.83%-1.26M
---2.16M
Total stockholders'equity
-3.04%18.04M
-3.04%18.04M
-13.86%18.6M
-13.86%18.6M
54.53%21.6M
--21.6M
-24.10%13.98M
--18.41M
Total equity
-3.04%18.04M
-3.04%18.04M
-13.86%18.6M
-13.86%18.6M
54.53%21.6M
--21.6M
-24.10%13.98M
--18.41M
Accounting Standards
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(FY)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -20.27%2.46M-20.27%2.46M-44.50%3.09M-44.50%3.09M-55.45%5.56M--5.56M-31.86%12.49M--18.32M
-Cash and cash equivalents -20.27%2.46M-20.27%2.46M-44.50%3.09M-44.50%3.09M-55.45%5.56M--5.56M-31.86%12.49M--18.32M
Receivables 65.39%277.61K65.39%277.61K-14.30%167.86K-14.30%167.86K38.73%195.86K--195.86K--141.18K----
-Accounts receivable 90.53%266.97K90.53%266.97K45.57%140.12K45.57%140.12K--96.26K--96.26K--------
-Other receivables -61.64%10.64K-61.64%10.64K-72.16%27.73K-72.16%27.73K-29.45%99.6K--99.6K--141.18K----
Inventory 22.77%1.83M22.77%1.83M62.03%1.49M62.03%1.49M409.62%921.37K--921.37K--180.8K----
Prepaid assets 529.10%4.7M529.10%4.7M--747.35K--747.35K----------137.97K----
Current deferred assets --1.07K--1.07K----------342.99K--342.99K--------
Other current assets ----------------75.15%396.63K--396.63K-10.54%226.46K--253.14K
Total current assets 68.77%9.27M68.77%9.27M-25.93%5.5M-25.93%5.5M-43.68%7.42M--7.42M-29.09%13.17M--18.58M
Non current assets
Net PPE -19.25%2.2M-19.25%2.2M84.18%2.73M84.18%2.73M2,062.11%1.48M--1.48M-68.20%68.57K--215.61K
-Gross PPE 1.18%3.41M1.18%3.41M76.46%3.37M76.46%3.37M1,973.48%1.91M--1.91M-57.34%91.98K--215.61K
-Accumulated depreciation -89.02%-1.2M-89.02%-1.2M-49.54%-635.18K-49.54%-635.18K-1,713.98%-424.76K---424.76K---23.42K----
Investments and advances --------0.00%10.34K0.00%10.34K--10.34K--10.34K--------
-Other investment --------0.00%10.34K0.00%10.34K--10.34K--10.34K--------
Goodwill and other intangible assets -10.26%21.22M-10.26%21.22M7.43%23.64M7.43%23.64M510.16%22.01M--22.01M375.58%3.61M--758.38K
-Goodwill -14.84%12.14M-14.84%12.14M-30.23%14.25M-30.23%14.25M621.31%20.42M--20.42M--2.83M----
-Other intangible assets -3.32%9.08M-3.32%9.08M493.76%9.39M493.76%9.39M104.09%1.58M--1.58M2.20%775.09K--758.38K
Other non current assets --449--449------------------------
Total non current assets -11.22%23.42M-11.22%23.42M12.27%26.38M12.27%26.38M539.39%23.5M--23.5M277.34%3.68M--973.99K
Total assets 2.57%32.7M2.57%32.7M3.11%31.88M3.11%31.88M83.51%30.92M--30.92M-13.82%16.85M--19.55M
Liabilities
Current liabilities
Current debt and capital lease obligation 98.43%1.08M98.43%1.08M54.19%543.17K54.19%543.17K1,136.16%352.27K--352.27K-64.06%28.5K--79.3K
-Current debt 226.77%608.58K226.77%608.58K16.37%186.24K16.37%186.24K461.61%160.04K--160.04K--28.5K----
-Current capital lease obligation 31.46%469.23K31.46%469.23K85.68%356.93K85.68%356.93K--192.23K--192.23K------79.3K
Payables 24.77%5.43M24.77%5.43M5.50%4.35M5.50%4.35M213.46%4.13M--4.13M383.06%1.32M--272.5K
-accounts payable 51.58%3.86M51.58%3.86M26.73%2.55M26.73%2.55M162.75%2.01M--2.01M180.74%765.03K--272.5K
-Other payable -13.06%1.57M-13.06%1.57M-14.67%1.81M-14.67%1.81M283.82%2.12M--2.12M--551.32K----
Current provisions ------------------2.7M--2.7M--------
Pension and other retirement benefit plans -11.81%438.72K-11.81%438.72K23.73%497.47K23.73%497.47K36.59%402.07K--402.07K156.61%294.36K--114.71K
Other current liabilities 14.18%4.18M14.18%4.18M711.21%3.66M711.21%3.66M-61.81%451.24K--451.24K140.68%1.18M--490.86K
Current liabilities 22.89%11.13M22.89%11.13M12.79%9.05M12.79%9.05M184.59%8.03M--8.03M194.62%2.82M--957.38K
Non current liabilities
Long term debt and capital lease obligation -19.02%1.88M-19.02%1.88M101.77%2.32M101.77%2.32M--1.15M--1.15M------139.69K
-Long term debt -56.06%6.95K-56.06%6.95K-56.25%15.82K-56.25%15.82K--36.16K--36.16K--------
-Long term capital lease obligation -18.76%1.87M-18.76%1.87M106.89%2.31M106.89%2.31M--1.11M--1.11M------139.69K
Employee benefits -0.16%88.28K-0.16%88.28K4.96%88.42K4.96%88.42K63.09%84.24K--84.24K30.98%51.65K--39.43K
Non current deferred liabilities -13.73%1.56M-13.73%1.56M3,008.34%1.81M3,008.34%1.81M--58.23K--58.23K--------
Total non current liabilities -16.35%3.53M-16.35%3.53M226.30%4.22M226.30%4.22M2,404.52%1.29M--1.29M-71.16%51.65K--179.13K
Total liabilities 10.42%14.66M10.42%14.66M42.43%13.28M42.43%13.28M224.51%9.32M--9.32M152.73%2.87M--1.14M
Shareholders'equity
Share capital 10.72%64.8M10.72%64.8M7.85%58.53M7.85%58.53M47.06%54.27M--54.27M1.02%36.9M--36.53M
-common stock 10.72%64.8M10.72%64.8M7.85%58.53M7.85%58.53M47.06%54.27M--54.27M1.02%36.9M--36.53M
Retained earnings -18.20%-46.88M-18.20%-46.88M-23.88%-39.66M-23.88%-39.66M-47.74%-32.02M---32.02M-35.82%-21.67M---15.95M
Gains losses not affecting retained earnings 141.24%110.78K141.24%110.78K59.17%-268.64K59.17%-268.64K47.68%-657.87K---657.87K41.83%-1.26M---2.16M
Total stockholders'equity -3.04%18.04M-3.04%18.04M-13.86%18.6M-13.86%18.6M54.53%21.6M--21.6M-24.10%13.98M--18.41M
Total equity -3.04%18.04M-3.04%18.04M-13.86%18.6M-13.86%18.6M54.53%21.6M--21.6M-24.10%13.98M--18.41M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP