AU Stock MarketDetailed Quotes

MSB Mesoblast Ltd

Watchlist
  • 2.420
  • -0.630-20.66%
20min DelayMarket Closed Dec 20 16:00 AET
2.76BMarket Cap-0.18P/E (Static)

Mesoblast Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q2)Dec 31, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
(Q1)Sep 30, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-11.78%62.56M
-11.78%62.56M
14.77%77.14M
18.13%70.92M
18.13%70.92M
-36.58%48.4M
-28.80%67.22M
-26.60%85.11M
-56.00%60.03M
-56.00%60.03M
-Cash and cash equivalents
-11.78%62.56M
-11.78%62.56M
14.77%77.14M
18.13%70.92M
18.13%70.92M
-36.58%48.4M
-28.80%67.22M
-26.60%85.11M
-56.00%60.03M
-56.00%60.03M
Receivables
199.40%20.95M
199.40%20.95M
-5.28%4M
58.94%7M
58.94%7M
30.87%7.37M
-30.21%4.22M
-31.35%3.86M
-4.07%4.4M
-4.07%4.4M
-Accounts receivable
-38.36%1.4M
-38.36%1.4M
-10.07%1.8M
2.34%2.28M
2.34%2.28M
-4.92%1.91M
-15.79%2.01M
-74.36%1.44M
11.20%2.22M
11.20%2.22M
-Accrued interest receivable
27.78%23K
27.78%23K
37.50%11K
--18K
--18K
--13K
--8K
----
--0
--0
-Taxes receivable
-61.23%1.75M
-61.23%1.75M
-10.87%1.97M
106.93%4.51M
106.93%4.51M
148.91%5.26M
1.89%2.21M
--2.42M
-15.87%2.18M
-15.87%2.18M
-Other receivables
9,016.92%17.78M
9,016.92%17.78M
--216K
--195K
--195K
-87.36%191K
----
----
----
----
Prepaid assets
-23.67%2.55M
-23.67%2.55M
-33.28%3.6M
-32.99%3.34M
-32.99%3.34M
-27.29%4.17M
-31.66%5.4M
-22.47%3.6M
-26.18%4.99M
-26.18%4.99M
Restricted cash
-0.25%397K
-0.25%397K
2.50%410K
-3.63%398K
-3.63%398K
-10.24%403K
-8.05%400K
--390K
-8.43%413K
-8.43%413K
Other current assets
----
----
----
----
----
--1.02M
--894K
----
----
----
Total current assets
5.88%86.46M
5.88%86.46M
8.99%85.15M
16.93%81.66M
16.93%81.66M
-30.37%61.37M
-28.18%78.13M
-26.35%92.96M
-52.89%69.84M
-52.89%69.84M
Non current assets
Net PPE
-40.87%3.84M
-40.87%3.84M
-32.55%5.5M
-34.86%6.49M
-34.86%6.49M
-32.82%7.13M
-29.11%8.15M
-15.30%9.52M
-17.92%9.97M
-17.92%9.97M
-Gross PPE
-15.26%24.13M
-15.26%24.13M
-32.55%5.5M
0.66%28.47M
0.66%28.47M
-32.82%7.13M
-29.11%8.15M
-15.30%9.52M
5.47%28.29M
5.47%28.29M
-Accumulated depreciation
7.69%-20.29M
7.69%-20.29M
----
-19.98%-21.98M
-19.98%-21.98M
----
----
----
-24.81%-18.32M
-24.81%-18.32M
Investments and advances
-42.29%1.01M
-42.29%1.01M
-57.62%826K
-0.06%1.76M
-0.06%1.76M
0.00%2.03M
-16.96%1.95M
-17.50%1.84M
-15.48%1.76M
-15.48%1.76M
-Financial asset investment
-42.29%1.01M
-42.29%1.01M
-57.62%826K
-0.06%1.76M
-0.06%1.76M
0.00%2.03M
-16.96%1.95M
-17.50%1.84M
-15.48%1.76M
-15.48%1.76M
-Including:Available-for-sale securities
-42.29%1.01M
-42.29%1.01M
-57.62%826K
-0.06%1.76M
-0.06%1.76M
0.00%2.03M
-16.96%1.95M
-17.50%1.84M
-15.48%1.76M
-15.48%1.76M
Non current accounts receivable
-54.11%190K
-54.11%190K
----
--414K
--414K
----
----
----
----
----
Non current note receivables
0.00%1.18M
0.00%1.18M
----
0.08%1.18M
0.08%1.18M
----
----
----
0.00%1.18M
0.00%1.18M
Non current prepaid assets
0.00%252K
0.00%252K
----
0.00%252K
0.00%252K
----
----
----
--252K
--252K
Goodwill and other intangible assets
-0.25%575.74M
-0.25%575.74M
-0.23%576.56M
-0.25%577.18M
-0.25%577.18M
-0.24%577.53M
-0.33%577.9M
-0.33%578.28M
-0.33%578.65M
-0.33%578.65M
-Goodwill
0.00%134.45M
0.00%134.45M
0.00%134.45M
0.00%134.45M
0.00%134.45M
0.00%134.45M
0.00%134.45M
--134.45M
0.00%134.45M
0.00%134.45M
-Other intangible assets
-0.33%441.28M
-0.33%441.28M
-0.30%442.11M
-0.33%442.73M
-0.33%442.73M
-0.32%443.08M
-0.43%443.45M
--443.82M
-0.42%444.2M
-0.42%444.2M
Other non current assets
0.00%481K
0.00%481K
16.60%2.24M
-3.80%481K
-3.80%481K
21.03%2.39M
-1.74%1.92M
-2.56%1.9M
-8.42%500K
-8.42%500K
Total non current assets
-0.86%582.69M
-0.86%582.69M
-0.81%585.13M
-0.77%587.76M
-0.77%587.76M
-0.75%589.08M
-0.96%589.93M
-0.68%591.54M
-0.70%592.31M
-0.70%592.31M
Total assets
-0.04%669.15M
-0.04%669.15M
0.33%670.29M
1.10%669.42M
1.10%669.42M
-4.58%650.44M
-5.16%668.06M
-5.17%684.5M
-11.09%662.14M
-11.09%662.14M
Liabilities
Current liabilities
Current debt and capital lease obligation
64.68%16.49M
64.68%16.49M
16.20%11.39M
22.05%10.01M
22.05%10.01M
37.28%10.92M
12.72%9.8M
-84.03%9.1M
-85.34%8.2M
-85.34%8.2M
-Current debt
132.90%13.86M
132.90%13.86M
43.72%8.53M
18.64%5.95M
18.64%5.95M
32.43%7.31M
14.13%5.94M
-89.81%5.49M
-90.57%5.02M
-90.57%5.02M
-Current capital lease obligation
-35.32%2.63M
-35.32%2.63M
-26.14%2.85M
27.43%4.06M
27.43%4.06M
48.29%3.61M
10.63%3.86M
14.94%3.61M
15.23%3.19M
15.23%3.19M
Payables
-64.90%7.07M
-64.90%7.07M
-53.20%10.76M
-12.71%20.15M
-12.71%20.15M
10.48%20.97M
9.91%22.99M
8.61%17.66M
17.76%23.08M
17.76%23.08M
-accounts payable
-64.90%7.07M
-64.90%7.07M
-53.20%10.76M
-12.71%20.15M
-12.71%20.15M
10.48%20.97M
9.91%22.99M
8.61%17.66M
17.76%23.08M
17.76%23.08M
Current provisions
603.83%45.04M
603.83%45.04M
-53.90%8.23M
-64.26%6.4M
-64.26%6.4M
-13.06%17.58M
-19.90%17.85M
-0.99%19.46M
-4.30%17.91M
-4.30%17.91M
Other current liabilities
-14.36%4.65M
-14.36%4.65M
-74.78%992K
148.33%5.43M
148.33%5.43M
-11.58%4.45M
-35.05%3.93M
--2.59M
--2.19M
--2.19M
Current liabilities
74.46%73.24M
74.46%73.24M
-42.53%31.37M
-18.28%41.98M
-18.28%41.98M
3.32%53.92M
-5.83%54.58M
-47.47%48.8M
-45.51%51.37M
-45.51%51.37M
Non current liabilities
Long term debt and capital lease obligation
-3.80%102.44M
-3.80%102.44M
8.46%110.61M
7.88%106.48M
7.88%106.48M
7.23%103.69M
7.94%101.98M
100.23%100.53M
99.28%98.7M
99.28%98.7M
-Long term debt
-2.26%100.48M
-2.26%100.48M
10.56%107.23M
12.22%102.81M
12.22%102.81M
11.73%99.04M
12.07%96.98M
120.83%94.19M
123.21%91.62M
123.21%91.62M
-Long term capital lease obligation
-46.84%1.95M
-46.84%1.95M
-32.28%3.39M
-48.17%3.67M
-48.17%3.67M
-42.29%4.65M
-37.04%5M
-16.01%6.35M
-16.50%7.09M
-16.50%7.09M
Long term provisions
-36.07%10.62M
-36.07%10.62M
89.74%17.07M
32.65%16.61M
32.65%16.61M
-38.03%8.17M
-35.69%9M
-40.16%9.85M
-26.41%12.52M
-26.41%12.52M
Non current deferred liabilities
0.00%2.5M
0.00%2.5M
0.00%2.5M
0.00%2.5M
0.00%2.5M
0.00%2.5M
0.00%2.5M
0.00%2.5M
0.00%2.5M
0.00%2.5M
Total non current liabilities
-7.99%115.56M
-7.99%115.56M
14.72%130.19M
10.44%125.6M
10.44%125.6M
1.76%114.36M
2.26%113.48M
63.19%112.89M
64.71%113.73M
64.71%113.73M
Total liabilities
12.66%188.8M
12.66%188.8M
-3.87%161.55M
1.50%167.58M
1.50%167.58M
2.26%168.27M
-0.52%168.06M
-0.24%161.69M
1.09%165.1M
1.09%165.1M
Shareholders'equity
Share capital
4.94%1.31B
4.94%1.31B
6.50%1.29B
7.19%1.25B
7.19%1.25B
3.62%1.21B
3.79%1.21B
3.80%1.21B
0.19%1.17B
0.19%1.17B
-common stock
4.94%1.31B
4.94%1.31B
6.50%1.29B
7.19%1.25B
7.19%1.25B
3.62%1.21B
3.79%1.21B
3.80%1.21B
0.19%1.17B
0.19%1.17B
Retained earnings
-10.72%-908.76M
-10.72%-908.76M
-9.36%-853.34M
-11.08%-820.81M
-11.08%-820.81M
-11.35%-798.89M
-12.08%-780.29M
-12.77%-755.8M
-14.11%-738.92M
-14.11%-738.92M
Gains losses not affecting retained earnings
6.51%78.3M
6.51%78.3M
4.51%75.85M
4.06%73.52M
4.06%73.52M
6.17%73.55M
6.60%72.57M
6.63%70.87M
7.35%70.65M
7.35%70.65M
Total stockholders'equity
-4.28%480.36M
-4.28%480.36M
1.75%508.73M
0.96%501.84M
0.96%501.84M
-6.76%482.17M
-6.63%500M
-6.60%522.81M
-14.51%497.04M
-14.51%497.04M
Total equity
-4.28%480.36M
-4.28%480.36M
1.75%508.73M
0.96%501.84M
0.96%501.84M
-6.76%482.17M
-6.63%500M
-6.60%522.81M
-14.51%497.04M
-14.51%497.04M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q2)Dec 31, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022(Q1)Sep 30, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -11.78%62.56M-11.78%62.56M14.77%77.14M18.13%70.92M18.13%70.92M-36.58%48.4M-28.80%67.22M-26.60%85.11M-56.00%60.03M-56.00%60.03M
-Cash and cash equivalents -11.78%62.56M-11.78%62.56M14.77%77.14M18.13%70.92M18.13%70.92M-36.58%48.4M-28.80%67.22M-26.60%85.11M-56.00%60.03M-56.00%60.03M
Receivables 199.40%20.95M199.40%20.95M-5.28%4M58.94%7M58.94%7M30.87%7.37M-30.21%4.22M-31.35%3.86M-4.07%4.4M-4.07%4.4M
-Accounts receivable -38.36%1.4M-38.36%1.4M-10.07%1.8M2.34%2.28M2.34%2.28M-4.92%1.91M-15.79%2.01M-74.36%1.44M11.20%2.22M11.20%2.22M
-Accrued interest receivable 27.78%23K27.78%23K37.50%11K--18K--18K--13K--8K------0--0
-Taxes receivable -61.23%1.75M-61.23%1.75M-10.87%1.97M106.93%4.51M106.93%4.51M148.91%5.26M1.89%2.21M--2.42M-15.87%2.18M-15.87%2.18M
-Other receivables 9,016.92%17.78M9,016.92%17.78M--216K--195K--195K-87.36%191K----------------
Prepaid assets -23.67%2.55M-23.67%2.55M-33.28%3.6M-32.99%3.34M-32.99%3.34M-27.29%4.17M-31.66%5.4M-22.47%3.6M-26.18%4.99M-26.18%4.99M
Restricted cash -0.25%397K-0.25%397K2.50%410K-3.63%398K-3.63%398K-10.24%403K-8.05%400K--390K-8.43%413K-8.43%413K
Other current assets ----------------------1.02M--894K------------
Total current assets 5.88%86.46M5.88%86.46M8.99%85.15M16.93%81.66M16.93%81.66M-30.37%61.37M-28.18%78.13M-26.35%92.96M-52.89%69.84M-52.89%69.84M
Non current assets
Net PPE -40.87%3.84M-40.87%3.84M-32.55%5.5M-34.86%6.49M-34.86%6.49M-32.82%7.13M-29.11%8.15M-15.30%9.52M-17.92%9.97M-17.92%9.97M
-Gross PPE -15.26%24.13M-15.26%24.13M-32.55%5.5M0.66%28.47M0.66%28.47M-32.82%7.13M-29.11%8.15M-15.30%9.52M5.47%28.29M5.47%28.29M
-Accumulated depreciation 7.69%-20.29M7.69%-20.29M-----19.98%-21.98M-19.98%-21.98M-------------24.81%-18.32M-24.81%-18.32M
Investments and advances -42.29%1.01M-42.29%1.01M-57.62%826K-0.06%1.76M-0.06%1.76M0.00%2.03M-16.96%1.95M-17.50%1.84M-15.48%1.76M-15.48%1.76M
-Financial asset investment -42.29%1.01M-42.29%1.01M-57.62%826K-0.06%1.76M-0.06%1.76M0.00%2.03M-16.96%1.95M-17.50%1.84M-15.48%1.76M-15.48%1.76M
-Including:Available-for-sale securities -42.29%1.01M-42.29%1.01M-57.62%826K-0.06%1.76M-0.06%1.76M0.00%2.03M-16.96%1.95M-17.50%1.84M-15.48%1.76M-15.48%1.76M
Non current accounts receivable -54.11%190K-54.11%190K------414K--414K--------------------
Non current note receivables 0.00%1.18M0.00%1.18M----0.08%1.18M0.08%1.18M------------0.00%1.18M0.00%1.18M
Non current prepaid assets 0.00%252K0.00%252K----0.00%252K0.00%252K--------------252K--252K
Goodwill and other intangible assets -0.25%575.74M-0.25%575.74M-0.23%576.56M-0.25%577.18M-0.25%577.18M-0.24%577.53M-0.33%577.9M-0.33%578.28M-0.33%578.65M-0.33%578.65M
-Goodwill 0.00%134.45M0.00%134.45M0.00%134.45M0.00%134.45M0.00%134.45M0.00%134.45M0.00%134.45M--134.45M0.00%134.45M0.00%134.45M
-Other intangible assets -0.33%441.28M-0.33%441.28M-0.30%442.11M-0.33%442.73M-0.33%442.73M-0.32%443.08M-0.43%443.45M--443.82M-0.42%444.2M-0.42%444.2M
Other non current assets 0.00%481K0.00%481K16.60%2.24M-3.80%481K-3.80%481K21.03%2.39M-1.74%1.92M-2.56%1.9M-8.42%500K-8.42%500K
Total non current assets -0.86%582.69M-0.86%582.69M-0.81%585.13M-0.77%587.76M-0.77%587.76M-0.75%589.08M-0.96%589.93M-0.68%591.54M-0.70%592.31M-0.70%592.31M
Total assets -0.04%669.15M-0.04%669.15M0.33%670.29M1.10%669.42M1.10%669.42M-4.58%650.44M-5.16%668.06M-5.17%684.5M-11.09%662.14M-11.09%662.14M
Liabilities
Current liabilities
Current debt and capital lease obligation 64.68%16.49M64.68%16.49M16.20%11.39M22.05%10.01M22.05%10.01M37.28%10.92M12.72%9.8M-84.03%9.1M-85.34%8.2M-85.34%8.2M
-Current debt 132.90%13.86M132.90%13.86M43.72%8.53M18.64%5.95M18.64%5.95M32.43%7.31M14.13%5.94M-89.81%5.49M-90.57%5.02M-90.57%5.02M
-Current capital lease obligation -35.32%2.63M-35.32%2.63M-26.14%2.85M27.43%4.06M27.43%4.06M48.29%3.61M10.63%3.86M14.94%3.61M15.23%3.19M15.23%3.19M
Payables -64.90%7.07M-64.90%7.07M-53.20%10.76M-12.71%20.15M-12.71%20.15M10.48%20.97M9.91%22.99M8.61%17.66M17.76%23.08M17.76%23.08M
-accounts payable -64.90%7.07M-64.90%7.07M-53.20%10.76M-12.71%20.15M-12.71%20.15M10.48%20.97M9.91%22.99M8.61%17.66M17.76%23.08M17.76%23.08M
Current provisions 603.83%45.04M603.83%45.04M-53.90%8.23M-64.26%6.4M-64.26%6.4M-13.06%17.58M-19.90%17.85M-0.99%19.46M-4.30%17.91M-4.30%17.91M
Other current liabilities -14.36%4.65M-14.36%4.65M-74.78%992K148.33%5.43M148.33%5.43M-11.58%4.45M-35.05%3.93M--2.59M--2.19M--2.19M
Current liabilities 74.46%73.24M74.46%73.24M-42.53%31.37M-18.28%41.98M-18.28%41.98M3.32%53.92M-5.83%54.58M-47.47%48.8M-45.51%51.37M-45.51%51.37M
Non current liabilities
Long term debt and capital lease obligation -3.80%102.44M-3.80%102.44M8.46%110.61M7.88%106.48M7.88%106.48M7.23%103.69M7.94%101.98M100.23%100.53M99.28%98.7M99.28%98.7M
-Long term debt -2.26%100.48M-2.26%100.48M10.56%107.23M12.22%102.81M12.22%102.81M11.73%99.04M12.07%96.98M120.83%94.19M123.21%91.62M123.21%91.62M
-Long term capital lease obligation -46.84%1.95M-46.84%1.95M-32.28%3.39M-48.17%3.67M-48.17%3.67M-42.29%4.65M-37.04%5M-16.01%6.35M-16.50%7.09M-16.50%7.09M
Long term provisions -36.07%10.62M-36.07%10.62M89.74%17.07M32.65%16.61M32.65%16.61M-38.03%8.17M-35.69%9M-40.16%9.85M-26.41%12.52M-26.41%12.52M
Non current deferred liabilities 0.00%2.5M0.00%2.5M0.00%2.5M0.00%2.5M0.00%2.5M0.00%2.5M0.00%2.5M0.00%2.5M0.00%2.5M0.00%2.5M
Total non current liabilities -7.99%115.56M-7.99%115.56M14.72%130.19M10.44%125.6M10.44%125.6M1.76%114.36M2.26%113.48M63.19%112.89M64.71%113.73M64.71%113.73M
Total liabilities 12.66%188.8M12.66%188.8M-3.87%161.55M1.50%167.58M1.50%167.58M2.26%168.27M-0.52%168.06M-0.24%161.69M1.09%165.1M1.09%165.1M
Shareholders'equity
Share capital 4.94%1.31B4.94%1.31B6.50%1.29B7.19%1.25B7.19%1.25B3.62%1.21B3.79%1.21B3.80%1.21B0.19%1.17B0.19%1.17B
-common stock 4.94%1.31B4.94%1.31B6.50%1.29B7.19%1.25B7.19%1.25B3.62%1.21B3.79%1.21B3.80%1.21B0.19%1.17B0.19%1.17B
Retained earnings -10.72%-908.76M-10.72%-908.76M-9.36%-853.34M-11.08%-820.81M-11.08%-820.81M-11.35%-798.89M-12.08%-780.29M-12.77%-755.8M-14.11%-738.92M-14.11%-738.92M
Gains losses not affecting retained earnings 6.51%78.3M6.51%78.3M4.51%75.85M4.06%73.52M4.06%73.52M6.17%73.55M6.60%72.57M6.63%70.87M7.35%70.65M7.35%70.65M
Total stockholders'equity -4.28%480.36M-4.28%480.36M1.75%508.73M0.96%501.84M0.96%501.84M-6.76%482.17M-6.63%500M-6.60%522.81M-14.51%497.04M-14.51%497.04M
Total equity -4.28%480.36M-4.28%480.36M1.75%508.73M0.96%501.84M0.96%501.84M-6.76%482.17M-6.63%500M-6.60%522.81M-14.51%497.04M-14.51%497.04M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion----Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
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