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MPP Metro Performance Glass Ltd

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  • 0.075
  • 0.0000.00%
20min DelayNot Open Jul 10 11:34 AET
13.90MMarket Cap-551P/E (Static)

Metro Performance Glass Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 30, 2024
(Q4)Mar 30, 2024
(FY)Mar 30, 2023
(Q4)Mar 30, 2023
(FY)Mar 30, 2022
(Q4)Mar 30, 2022
(FY)Mar 30, 2021
(Q4)Mar 30, 2021
(FY)Mar 30, 2020
(Q4)Mar 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-9.12%6.63M
-9.12%6.63M
-44.12%7.3M
-44.12%7.3M
73.49%13.06M
73.49%13.06M
-48.92%7.53M
-48.92%7.53M
168.62%14.74M
168.62%14.74M
-Cash and cash equivalents
-9.12%6.63M
-9.12%6.63M
-44.12%7.3M
-44.12%7.3M
73.49%13.06M
73.49%13.06M
-48.92%7.53M
-48.92%7.53M
168.62%14.74M
168.62%14.74M
-Accounts receivable
-13.31%34.09M
-13.31%34.09M
10.34%39.32M
10.34%39.32M
0.97%35.64M
0.97%35.64M
-2.32%35.3M
-2.32%35.3M
-11.44%36.13M
-11.44%36.13M
-Other receivables
-4.59%9.02M
-4.59%9.02M
8.97%9.45M
8.97%9.45M
-18.05%8.67M
-18.05%8.67M
80.55%10.58M
80.55%10.58M
-37.28%5.86M
-37.28%5.86M
Current deferred assets
0.00%1K
0.00%1K
--1K
--1K
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Total current assets
-14.37%69.1M
-14.37%69.1M
3.38%80.7M
3.38%80.7M
17.38%78.06M
17.38%78.06M
-19.88%66.5M
-19.88%66.5M
14.05%83.01M
14.05%83.01M
Non current assets
-Accumulated depreciation
-15.58%-132.12M
-15.58%-132.12M
-16.99%-114.31M
-16.99%-114.31M
-14.26%-97.72M
-14.26%-97.72M
-7.65%-85.52M
-7.65%-85.52M
-126.07%-79.44M
-126.07%-79.44M
-Long term equity investment
-47.06%72.95M
-47.06%72.95M
-1.61%137.8M
-1.61%137.8M
27.84%140.06M
27.84%140.06M
-19.18%109.56M
-19.18%109.56M
52.61%135.56M
52.61%135.56M
-Including:Held to maturity investments
-30.28%175K
-30.28%175K
269.12%251K
269.12%251K
-50.00%68K
-50.00%68K
-93.14%136K
-93.14%136K
1,052.33%1.98M
1,052.33%1.98M
Non current note receivables
19.67%12.44M
19.67%12.44M
-5.17%10.4M
-5.17%10.4M
7.07%10.97M
7.07%10.97M
36.18%10.24M
36.18%10.24M
51.67%7.52M
51.67%7.52M
-Goodwill
-46.40%23.76M
-46.40%23.76M
-18.96%44.34M
-18.96%44.34M
-5.76%54.71M
-5.76%54.71M
0.96%58.05M
0.96%58.05M
-60.74%57.5M
-60.74%57.5M
Regulatory assets
-12.47%33.34M
-12.47%33.34M
8.94%38.08M
8.94%38.08M
2.88%34.96M
2.88%34.96M
2.05%33.98M
2.05%33.98M
-14.28%33.29M
-14.28%33.29M
Liabilities
Current liabilities
Current debt and capital lease obligation
773.71%65.11M
773.71%65.11M
14.03%7.45M
14.03%7.45M
-0.37%6.54M
-0.37%6.54M
18.14%6.56M
18.14%6.56M
--5.55M
--5.55M
-Current debt
--57.8M
--57.8M
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----
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-Current capital lease obligation
-1.95%7.31M
-1.95%7.31M
14.03%7.45M
14.03%7.45M
-0.37%6.54M
-0.37%6.54M
18.14%6.56M
18.14%6.56M
--5.55M
--5.55M
-accounts payable
-7.25%16.47M
-7.25%16.47M
-19.11%17.76M
-19.11%17.76M
27.05%21.95M
27.05%21.95M
-0.44%17.28M
-0.44%17.28M
-12.96%17.35M
-12.96%17.35M
-Total tax payable
-45.80%76.79M
-45.80%76.79M
-1.70%141.68M
-1.70%141.68M
25.55%144.13M
25.55%144.13M
-18.06%114.8M
-18.06%114.8M
43.77%140.1M
43.77%140.1M
-Other payable
52.31%990K
52.31%990K
-38.15%650K
-38.15%650K
--1.05M
--1.05M
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Current provisions
12.97%836K
12.97%836K
85.46%740K
85.46%740K
-80.98%399K
-80.98%399K
-4.29%2.1M
-4.29%2.1M
39.17%2.19M
39.17%2.19M
Current deferred liabilities
-16.80%1.71M
-16.80%1.71M
-34.29%2.05M
-34.29%2.05M
602.47%3.13M
602.47%3.13M
-95.61%445K
-95.61%445K
320.76%10.13M
320.76%10.13M
Current liabilities
148.68%93.14M
148.68%93.14M
-11.83%37.45M
-11.83%37.45M
8.81%42.48M
8.81%42.48M
-4.99%39.04M
-4.99%39.04M
19.63%41.09M
19.63%41.09M
Non current liabilities
-Long term debt
0.93%71.09M
0.93%71.09M
-5.77%70.43M
-5.77%70.43M
38.31%74.75M
38.31%74.75M
0.20%54.04M
0.20%54.04M
--53.93M
--53.93M
Non current accrued expenses
-4.67%110.6M
-4.67%110.6M
-7.38%116.01M
-7.38%116.01M
21.50%125.25M
21.50%125.25M
-6.29%103.09M
-6.29%103.09M
70.34%110.01M
70.34%110.01M
Derivative product liabilities
----
----
----
----
-82.60%274K
-82.60%274K
-20.69%1.58M
-20.69%1.58M
87.89%1.99M
87.89%1.99M
Long term provisions
-97.24%1.86M
-97.24%1.86M
3.14%67.37M
3.14%67.37M
17.65%65.32M
17.65%65.32M
-31.99%55.52M
-31.99%55.52M
-8.11%81.63M
-8.11%81.63M
Regulatory liabilities
39.26%-752K
39.26%-752K
-82.33%-1.24M
-82.33%-1.24M
48.44%-679K
48.44%-679K
53.59%-1.32M
53.59%-1.32M
-44.72%-2.84M
-44.72%-2.84M
Preferred securities outside stock equity
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----
----
--1.8M
--1.8M
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----
----
----
Total non current liabilities
-5.14%169.93M
-5.14%169.93M
-4.00%179.14M
-4.00%179.14M
21.30%186.61M
21.30%186.61M
-15.10%153.84M
-15.10%153.84M
37.48%181.19M
37.48%181.19M
Shareholders'equity
Share capital
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.16%307.2M
0.16%307.2M
-common stock
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.00%307.2M
0.16%307.2M
0.16%307.2M
Gains losses not affecting retained earnings
0.23%-169.43M
0.23%-169.43M
0.06%-169.83M
0.06%-169.83M
0.17%-169.93M
0.17%-169.93M
-0.20%-170.23M
-0.20%-170.23M
0.69%-169.89M
0.69%-169.89M
Other equity interest
-72.57%888K
-72.57%888K
25.95%3.24M
25.95%3.24M
-59.80%2.57M
-59.80%2.57M
-49.70%6.39M
-49.70%6.39M
137.81%12.71M
137.81%12.71M
Noncontrolling interests
-19.31%2.03M
-19.31%2.03M
--2.51M
--2.51M
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Total equity
-14.01%218.92M
-14.01%218.92M
-6.44%254.6M
-6.44%254.6M
14.40%272.14M
14.40%272.14M
-7.81%237.89M
-7.81%237.89M
-10.64%258.03M
-10.64%258.03M
(FY)Mar 30, 2024(Q4)Mar 30, 2024(FY)Mar 30, 2023(Q4)Mar 30, 2023(FY)Mar 30, 2022(Q4)Mar 30, 2022(FY)Mar 30, 2021(Q4)Mar 30, 2021(FY)Mar 30, 2020(Q4)Mar 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -9.12%6.63M-9.12%6.63M-44.12%7.3M-44.12%7.3M73.49%13.06M73.49%13.06M-48.92%7.53M-48.92%7.53M168.62%14.74M168.62%14.74M
-Cash and cash equivalents -9.12%6.63M-9.12%6.63M-44.12%7.3M-44.12%7.3M73.49%13.06M73.49%13.06M-48.92%7.53M-48.92%7.53M168.62%14.74M168.62%14.74M
-Accounts receivable -13.31%34.09M-13.31%34.09M10.34%39.32M10.34%39.32M0.97%35.64M0.97%35.64M-2.32%35.3M-2.32%35.3M-11.44%36.13M-11.44%36.13M
-Other receivables -4.59%9.02M-4.59%9.02M8.97%9.45M8.97%9.45M-18.05%8.67M-18.05%8.67M80.55%10.58M80.55%10.58M-37.28%5.86M-37.28%5.86M
Current deferred assets 0.00%1K0.00%1K--1K--1K------------------------
Total current assets -14.37%69.1M-14.37%69.1M3.38%80.7M3.38%80.7M17.38%78.06M17.38%78.06M-19.88%66.5M-19.88%66.5M14.05%83.01M14.05%83.01M
Non current assets
-Accumulated depreciation -15.58%-132.12M-15.58%-132.12M-16.99%-114.31M-16.99%-114.31M-14.26%-97.72M-14.26%-97.72M-7.65%-85.52M-7.65%-85.52M-126.07%-79.44M-126.07%-79.44M
-Long term equity investment -47.06%72.95M-47.06%72.95M-1.61%137.8M-1.61%137.8M27.84%140.06M27.84%140.06M-19.18%109.56M-19.18%109.56M52.61%135.56M52.61%135.56M
-Including:Held to maturity investments -30.28%175K-30.28%175K269.12%251K269.12%251K-50.00%68K-50.00%68K-93.14%136K-93.14%136K1,052.33%1.98M1,052.33%1.98M
Non current note receivables 19.67%12.44M19.67%12.44M-5.17%10.4M-5.17%10.4M7.07%10.97M7.07%10.97M36.18%10.24M36.18%10.24M51.67%7.52M51.67%7.52M
-Goodwill -46.40%23.76M-46.40%23.76M-18.96%44.34M-18.96%44.34M-5.76%54.71M-5.76%54.71M0.96%58.05M0.96%58.05M-60.74%57.5M-60.74%57.5M
Regulatory assets -12.47%33.34M-12.47%33.34M8.94%38.08M8.94%38.08M2.88%34.96M2.88%34.96M2.05%33.98M2.05%33.98M-14.28%33.29M-14.28%33.29M
Liabilities
Current liabilities
Current debt and capital lease obligation 773.71%65.11M773.71%65.11M14.03%7.45M14.03%7.45M-0.37%6.54M-0.37%6.54M18.14%6.56M18.14%6.56M--5.55M--5.55M
-Current debt --57.8M--57.8M--------------------------------
-Current capital lease obligation -1.95%7.31M-1.95%7.31M14.03%7.45M14.03%7.45M-0.37%6.54M-0.37%6.54M18.14%6.56M18.14%6.56M--5.55M--5.55M
-accounts payable -7.25%16.47M-7.25%16.47M-19.11%17.76M-19.11%17.76M27.05%21.95M27.05%21.95M-0.44%17.28M-0.44%17.28M-12.96%17.35M-12.96%17.35M
-Total tax payable -45.80%76.79M-45.80%76.79M-1.70%141.68M-1.70%141.68M25.55%144.13M25.55%144.13M-18.06%114.8M-18.06%114.8M43.77%140.1M43.77%140.1M
-Other payable 52.31%990K52.31%990K-38.15%650K-38.15%650K--1.05M--1.05M----------------
Current provisions 12.97%836K12.97%836K85.46%740K85.46%740K-80.98%399K-80.98%399K-4.29%2.1M-4.29%2.1M39.17%2.19M39.17%2.19M
Current deferred liabilities -16.80%1.71M-16.80%1.71M-34.29%2.05M-34.29%2.05M602.47%3.13M602.47%3.13M-95.61%445K-95.61%445K320.76%10.13M320.76%10.13M
Current liabilities 148.68%93.14M148.68%93.14M-11.83%37.45M-11.83%37.45M8.81%42.48M8.81%42.48M-4.99%39.04M-4.99%39.04M19.63%41.09M19.63%41.09M
Non current liabilities
-Long term debt 0.93%71.09M0.93%71.09M-5.77%70.43M-5.77%70.43M38.31%74.75M38.31%74.75M0.20%54.04M0.20%54.04M--53.93M--53.93M
Non current accrued expenses -4.67%110.6M-4.67%110.6M-7.38%116.01M-7.38%116.01M21.50%125.25M21.50%125.25M-6.29%103.09M-6.29%103.09M70.34%110.01M70.34%110.01M
Derivative product liabilities -----------------82.60%274K-82.60%274K-20.69%1.58M-20.69%1.58M87.89%1.99M87.89%1.99M
Long term provisions -97.24%1.86M-97.24%1.86M3.14%67.37M3.14%67.37M17.65%65.32M17.65%65.32M-31.99%55.52M-31.99%55.52M-8.11%81.63M-8.11%81.63M
Regulatory liabilities 39.26%-752K39.26%-752K-82.33%-1.24M-82.33%-1.24M48.44%-679K48.44%-679K53.59%-1.32M53.59%-1.32M-44.72%-2.84M-44.72%-2.84M
Preferred securities outside stock equity ------------------1.8M--1.8M----------------
Total non current liabilities -5.14%169.93M-5.14%169.93M-4.00%179.14M-4.00%179.14M21.30%186.61M21.30%186.61M-15.10%153.84M-15.10%153.84M37.48%181.19M37.48%181.19M
Shareholders'equity
Share capital 0.00%307.2M0.00%307.2M0.00%307.2M0.00%307.2M0.00%307.2M0.00%307.2M0.00%307.2M0.00%307.2M0.16%307.2M0.16%307.2M
-common stock 0.00%307.2M0.00%307.2M0.00%307.2M0.00%307.2M0.00%307.2M0.00%307.2M0.00%307.2M0.00%307.2M0.16%307.2M0.16%307.2M
Gains losses not affecting retained earnings 0.23%-169.43M0.23%-169.43M0.06%-169.83M0.06%-169.83M0.17%-169.93M0.17%-169.93M-0.20%-170.23M-0.20%-170.23M0.69%-169.89M0.69%-169.89M
Other equity interest -72.57%888K-72.57%888K25.95%3.24M25.95%3.24M-59.80%2.57M-59.80%2.57M-49.70%6.39M-49.70%6.39M137.81%12.71M137.81%12.71M
Noncontrolling interests -19.31%2.03M-19.31%2.03M--2.51M--2.51M------------------------
Total equity -14.01%218.92M-14.01%218.92M-6.44%254.6M-6.44%254.6M14.40%272.14M14.40%272.14M-7.81%237.89M-7.81%237.89M-10.64%258.03M-10.64%258.03M

Analysis

Analyst Rating

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Price Target

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