AU Stock MarketDetailed Quotes

MVP Medical Developments International Ltd

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  • 0.415
  • -0.005-1.19%
20min DelayMarket Closed Dec 2 16:00 AET
46.75MMarket Cap-896P/E (Static)

Medical Developments International 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
-60.52%9.74M
-60.52%9.74M
20.90%24.66M
20.90%24.66M
-43.77%20.4M
-43.77%20.4M
133.38%36.28M
133.38%36.28M
-39.33%15.54M
-39.33%15.54M
-Cash and cash equivalents
-60.52%9.74M
-60.52%9.74M
20.90%24.66M
20.90%24.66M
-43.77%20.4M
-43.77%20.4M
133.38%36.28M
133.38%36.28M
-39.33%15.54M
-39.33%15.54M
Receivables
-20.84%7.07M
-20.84%7.07M
46.81%8.93M
46.81%8.93M
129.76%6.08M
129.76%6.08M
-35.13%2.65M
-35.13%2.65M
-36.06%4.08M
-36.06%4.08M
-Accounts receivable
-20.48%6.97M
-20.48%6.97M
41.09%8.77M
41.09%8.77M
118.92%6.22M
118.92%6.22M
-27.63%2.84M
-27.63%2.84M
-37.46%3.92M
-37.46%3.92M
-Other receivables
-29.45%115K
-29.45%115K
-13.76%163K
-13.76%163K
83.50%189K
83.50%189K
-35.22%103K
-35.22%103K
43.24%159K
43.24%159K
-Recievables adjustments allowances
---17K
---17K
----
----
-8.84%-320K
-8.84%-320K
---294K
---294K
----
----
Inventory
4.69%8.77M
4.69%8.77M
17.92%8.38M
17.92%8.38M
24.04%7.11M
24.04%7.11M
-2.62%5.73M
-2.62%5.73M
92.92%5.88M
92.92%5.88M
Prepaid assets
-28.57%565K
-28.57%565K
27.58%791K
27.58%791K
56.17%620K
56.17%620K
-4.57%397K
-4.57%397K
38.21%416K
38.21%416K
Current deferred assets
----
----
----
----
-93.07%162K
-93.07%162K
6,981.82%2.34M
6,981.82%2.34M
--33K
--33K
Total current assets
-38.87%26.14M
-38.87%26.14M
24.42%42.76M
24.42%42.76M
-27.47%34.37M
-27.47%34.37M
82.56%47.39M
82.56%47.39M
-26.58%25.96M
-26.58%25.96M
Non current assets
Net PPE
-16.17%10.16M
-16.17%10.16M
4.93%12.12M
4.93%12.12M
-1.29%11.55M
-1.29%11.55M
-0.66%11.7M
-0.66%11.7M
37.66%11.78M
37.66%11.78M
-Gross PPE
2.02%22.7M
2.02%22.7M
10.53%22.25M
10.53%22.25M
6.34%20.13M
6.34%20.13M
7.04%18.93M
7.04%18.93M
34.80%17.69M
34.80%17.69M
-Accumulated depreciation
-23.79%-12.54M
-23.79%-12.54M
-18.07%-10.13M
-18.07%-10.13M
-18.69%-8.58M
-18.69%-8.58M
-22.42%-7.23M
-22.42%-7.23M
-29.43%-5.91M
-29.43%-5.91M
Goodwill and other intangible assets
-40.35%22.86M
-40.35%22.86M
-5.82%38.32M
-5.82%38.32M
4.74%40.69M
4.74%40.69M
-13.51%38.85M
-13.51%38.85M
15.88%44.92M
15.88%44.92M
-Goodwill
0.00%3.81M
0.00%3.81M
0.00%3.81M
0.00%3.81M
-13.24%3.81M
-13.24%3.81M
-51.74%4.39M
-51.74%4.39M
0.00%9.1M
0.00%9.1M
-Other intangible assets
-44.80%19.05M
-44.80%19.05M
-6.43%34.51M
-6.43%34.51M
7.03%36.88M
7.03%36.88M
-3.80%34.46M
-3.80%34.46M
20.74%35.82M
20.74%35.82M
Non current deferred assets
----
----
44.55%8.11M
44.55%8.11M
150.87%5.61M
150.87%5.61M
6.22%2.24M
6.22%2.24M
-1.08%2.11M
-1.08%2.11M
Other non current assets
----
----
----
----
----
----
--1K
--1K
----
----
Total non current assets
-43.61%33.02M
-43.61%33.02M
1.21%58.55M
1.21%58.55M
9.59%57.85M
9.59%57.85M
-10.23%52.79M
-10.23%52.79M
18.92%58.8M
18.92%58.8M
Total assets
-41.61%59.16M
-41.61%59.16M
9.86%101.31M
9.86%101.31M
-7.94%92.22M
-7.94%92.22M
18.19%100.18M
18.19%100.18M
-0.05%84.76M
-0.05%84.76M
Liabilities
Current liabilities
Current debt and capital lease obligation
5.40%371K
5.40%371K
1.15%352K
1.15%352K
3.26%348K
3.26%348K
-19.18%337K
-19.18%337K
358.24%417K
358.24%417K
-Current debt
----
----
----
----
----
----
----
----
0.00%91K
0.00%91K
-Current capital lease obligation
5.40%371K
5.40%371K
1.15%352K
1.15%352K
3.26%348K
3.26%348K
3.37%337K
3.37%337K
--326K
--326K
Payables
-41.82%8.25M
-41.82%8.25M
51.43%14.19M
51.43%14.19M
56.08%9.37M
56.08%9.37M
20.02%6M
20.02%6M
46.83%5M
46.83%5M
-accounts payable
-38.05%8.25M
-38.05%8.25M
157.52%13.32M
157.52%13.32M
56.69%5.17M
56.69%5.17M
-14.03%3.3M
-14.03%3.3M
89.21%3.84M
89.21%3.84M
-Other payable
----
----
-79.45%862K
-79.45%862K
55.33%4.19M
55.33%4.19M
132.76%2.7M
132.76%2.7M
-15.70%1.16M
-15.70%1.16M
Pension and other retirement benefit plans
-12.10%639K
-12.10%639K
6.44%727K
6.44%727K
23.51%683K
23.51%683K
37.91%553K
37.91%553K
12.32%401K
12.32%401K
Current deferred liabilities
0.00%283K
0.00%283K
245.12%283K
245.12%283K
20.59%82K
20.59%82K
-97.16%68K
-97.16%68K
-47.28%2.39M
-47.28%2.39M
Current liabilities
-38.60%9.55M
-38.60%9.55M
48.34%15.55M
48.34%15.55M
50.59%10.48M
50.59%10.48M
-15.26%6.96M
-15.26%6.96M
-2.17%8.21M
-2.17%8.21M
Non current liabilities
Long term debt and capital lease obligation
-13.27%1.92M
-13.27%1.92M
-10.43%2.21M
-10.43%2.21M
-9.11%2.47M
-9.11%2.47M
-7.72%2.71M
-7.72%2.71M
3,129.67%2.94M
3,129.67%2.94M
-Long term capital lease obligation
-13.27%1.92M
-13.27%1.92M
-10.43%2.21M
-10.43%2.21M
-9.11%2.47M
-9.11%2.47M
-7.72%2.71M
-7.72%2.71M
--2.94M
--2.94M
Employee benefits
-9.91%309K
-9.91%309K
-7.05%343K
-7.05%343K
25.51%369K
25.51%369K
9.29%294K
9.29%294K
-10.93%269K
-10.93%269K
Non current deferred liabilities
-12.80%1.66M
-12.80%1.66M
-91.21%1.9M
-91.21%1.9M
-1.37%21.61M
-1.37%21.61M
-26.98%21.91M
-26.98%21.91M
-4.53%30M
-4.53%30M
Total non current liabilities
-12.81%3.88M
-12.81%3.88M
-81.79%4.45M
-81.79%4.45M
-1.89%24.44M
-1.89%24.44M
-24.98%24.91M
-24.98%24.91M
4.37%33.21M
4.37%33.21M
Total liabilities
-32.86%13.43M
-32.86%13.43M
-42.74%20M
-42.74%20M
9.57%34.92M
9.57%34.92M
-23.05%31.87M
-23.05%31.87M
3.00%41.42M
3.00%41.42M
Shareholders'equity
Share capital
0.00%105.73M
0.00%105.73M
37.32%105.73M
37.32%105.73M
0.13%76.99M
0.13%76.99M
87.76%76.9M
87.76%76.9M
1.35%40.95M
1.35%40.95M
-common stock
0.00%105.73M
0.00%105.73M
37.32%105.73M
37.32%105.73M
0.13%76.99M
0.13%76.99M
87.76%76.9M
87.76%76.9M
1.35%40.95M
1.35%40.95M
Retained earnings
-108.46%-62.86M
-108.46%-62.86M
-22.85%-30.15M
-22.85%-30.15M
-102.22%-24.55M
-102.22%-24.55M
-2,942.62%-12.14M
-2,942.62%-12.14M
-84.01%427K
-84.01%427K
Gains losses not affecting retained earnings
-50.10%2.86M
-50.10%2.86M
18.33%5.74M
18.33%5.74M
36.84%4.85M
36.84%4.85M
81.14%3.55M
81.14%3.55M
29.77%1.96M
29.77%1.96M
Total stockholders'equity
-43.76%45.73M
-43.76%45.73M
41.92%81.32M
41.92%81.32M
-16.11%57.3M
-16.11%57.3M
57.60%68.3M
57.60%68.3M
-2.80%43.34M
-2.80%43.34M
Total equity
-43.76%45.73M
-43.76%45.73M
41.92%81.32M
41.92%81.32M
-16.11%57.3M
-16.11%57.3M
57.60%68.3M
57.60%68.3M
-2.80%43.34M
-2.80%43.34M
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 -60.52%9.74M-60.52%9.74M20.90%24.66M20.90%24.66M-43.77%20.4M-43.77%20.4M133.38%36.28M133.38%36.28M-39.33%15.54M-39.33%15.54M
-Cash and cash equivalents -60.52%9.74M-60.52%9.74M20.90%24.66M20.90%24.66M-43.77%20.4M-43.77%20.4M133.38%36.28M133.38%36.28M-39.33%15.54M-39.33%15.54M
Receivables -20.84%7.07M-20.84%7.07M46.81%8.93M46.81%8.93M129.76%6.08M129.76%6.08M-35.13%2.65M-35.13%2.65M-36.06%4.08M-36.06%4.08M
-Accounts receivable -20.48%6.97M-20.48%6.97M41.09%8.77M41.09%8.77M118.92%6.22M118.92%6.22M-27.63%2.84M-27.63%2.84M-37.46%3.92M-37.46%3.92M
-Other receivables -29.45%115K-29.45%115K-13.76%163K-13.76%163K83.50%189K83.50%189K-35.22%103K-35.22%103K43.24%159K43.24%159K
-Recievables adjustments allowances ---17K---17K---------8.84%-320K-8.84%-320K---294K---294K--------
Inventory 4.69%8.77M4.69%8.77M17.92%8.38M17.92%8.38M24.04%7.11M24.04%7.11M-2.62%5.73M-2.62%5.73M92.92%5.88M92.92%5.88M
Prepaid assets -28.57%565K-28.57%565K27.58%791K27.58%791K56.17%620K56.17%620K-4.57%397K-4.57%397K38.21%416K38.21%416K
Current deferred assets -----------------93.07%162K-93.07%162K6,981.82%2.34M6,981.82%2.34M--33K--33K
Total current assets -38.87%26.14M-38.87%26.14M24.42%42.76M24.42%42.76M-27.47%34.37M-27.47%34.37M82.56%47.39M82.56%47.39M-26.58%25.96M-26.58%25.96M
Non current assets
Net PPE -16.17%10.16M-16.17%10.16M4.93%12.12M4.93%12.12M-1.29%11.55M-1.29%11.55M-0.66%11.7M-0.66%11.7M37.66%11.78M37.66%11.78M
-Gross PPE 2.02%22.7M2.02%22.7M10.53%22.25M10.53%22.25M6.34%20.13M6.34%20.13M7.04%18.93M7.04%18.93M34.80%17.69M34.80%17.69M
-Accumulated depreciation -23.79%-12.54M-23.79%-12.54M-18.07%-10.13M-18.07%-10.13M-18.69%-8.58M-18.69%-8.58M-22.42%-7.23M-22.42%-7.23M-29.43%-5.91M-29.43%-5.91M
Goodwill and other intangible assets -40.35%22.86M-40.35%22.86M-5.82%38.32M-5.82%38.32M4.74%40.69M4.74%40.69M-13.51%38.85M-13.51%38.85M15.88%44.92M15.88%44.92M
-Goodwill 0.00%3.81M0.00%3.81M0.00%3.81M0.00%3.81M-13.24%3.81M-13.24%3.81M-51.74%4.39M-51.74%4.39M0.00%9.1M0.00%9.1M
-Other intangible assets -44.80%19.05M-44.80%19.05M-6.43%34.51M-6.43%34.51M7.03%36.88M7.03%36.88M-3.80%34.46M-3.80%34.46M20.74%35.82M20.74%35.82M
Non current deferred assets --------44.55%8.11M44.55%8.11M150.87%5.61M150.87%5.61M6.22%2.24M6.22%2.24M-1.08%2.11M-1.08%2.11M
Other non current assets --------------------------1K--1K--------
Total non current assets -43.61%33.02M-43.61%33.02M1.21%58.55M1.21%58.55M9.59%57.85M9.59%57.85M-10.23%52.79M-10.23%52.79M18.92%58.8M18.92%58.8M
Total assets -41.61%59.16M-41.61%59.16M9.86%101.31M9.86%101.31M-7.94%92.22M-7.94%92.22M18.19%100.18M18.19%100.18M-0.05%84.76M-0.05%84.76M
Liabilities
Current liabilities
Current debt and capital lease obligation 5.40%371K5.40%371K1.15%352K1.15%352K3.26%348K3.26%348K-19.18%337K-19.18%337K358.24%417K358.24%417K
-Current debt --------------------------------0.00%91K0.00%91K
-Current capital lease obligation 5.40%371K5.40%371K1.15%352K1.15%352K3.26%348K3.26%348K3.37%337K3.37%337K--326K--326K
Payables -41.82%8.25M-41.82%8.25M51.43%14.19M51.43%14.19M56.08%9.37M56.08%9.37M20.02%6M20.02%6M46.83%5M46.83%5M
-accounts payable -38.05%8.25M-38.05%8.25M157.52%13.32M157.52%13.32M56.69%5.17M56.69%5.17M-14.03%3.3M-14.03%3.3M89.21%3.84M89.21%3.84M
-Other payable ---------79.45%862K-79.45%862K55.33%4.19M55.33%4.19M132.76%2.7M132.76%2.7M-15.70%1.16M-15.70%1.16M
Pension and other retirement benefit plans -12.10%639K-12.10%639K6.44%727K6.44%727K23.51%683K23.51%683K37.91%553K37.91%553K12.32%401K12.32%401K
Current deferred liabilities 0.00%283K0.00%283K245.12%283K245.12%283K20.59%82K20.59%82K-97.16%68K-97.16%68K-47.28%2.39M-47.28%2.39M
Current liabilities -38.60%9.55M-38.60%9.55M48.34%15.55M48.34%15.55M50.59%10.48M50.59%10.48M-15.26%6.96M-15.26%6.96M-2.17%8.21M-2.17%8.21M
Non current liabilities
Long term debt and capital lease obligation -13.27%1.92M-13.27%1.92M-10.43%2.21M-10.43%2.21M-9.11%2.47M-9.11%2.47M-7.72%2.71M-7.72%2.71M3,129.67%2.94M3,129.67%2.94M
-Long term capital lease obligation -13.27%1.92M-13.27%1.92M-10.43%2.21M-10.43%2.21M-9.11%2.47M-9.11%2.47M-7.72%2.71M-7.72%2.71M--2.94M--2.94M
Employee benefits -9.91%309K-9.91%309K-7.05%343K-7.05%343K25.51%369K25.51%369K9.29%294K9.29%294K-10.93%269K-10.93%269K
Non current deferred liabilities -12.80%1.66M-12.80%1.66M-91.21%1.9M-91.21%1.9M-1.37%21.61M-1.37%21.61M-26.98%21.91M-26.98%21.91M-4.53%30M-4.53%30M
Total non current liabilities -12.81%3.88M-12.81%3.88M-81.79%4.45M-81.79%4.45M-1.89%24.44M-1.89%24.44M-24.98%24.91M-24.98%24.91M4.37%33.21M4.37%33.21M
Total liabilities -32.86%13.43M-32.86%13.43M-42.74%20M-42.74%20M9.57%34.92M9.57%34.92M-23.05%31.87M-23.05%31.87M3.00%41.42M3.00%41.42M
Shareholders'equity
Share capital 0.00%105.73M0.00%105.73M37.32%105.73M37.32%105.73M0.13%76.99M0.13%76.99M87.76%76.9M87.76%76.9M1.35%40.95M1.35%40.95M
-common stock 0.00%105.73M0.00%105.73M37.32%105.73M37.32%105.73M0.13%76.99M0.13%76.99M87.76%76.9M87.76%76.9M1.35%40.95M1.35%40.95M
Retained earnings -108.46%-62.86M-108.46%-62.86M-22.85%-30.15M-22.85%-30.15M-102.22%-24.55M-102.22%-24.55M-2,942.62%-12.14M-2,942.62%-12.14M-84.01%427K-84.01%427K
Gains losses not affecting retained earnings -50.10%2.86M-50.10%2.86M18.33%5.74M18.33%5.74M36.84%4.85M36.84%4.85M81.14%3.55M81.14%3.55M29.77%1.96M29.77%1.96M
Total stockholders'equity -43.76%45.73M-43.76%45.73M41.92%81.32M41.92%81.32M-16.11%57.3M-16.11%57.3M57.60%68.3M57.60%68.3M-2.80%43.34M-2.80%43.34M
Total equity -43.76%45.73M-43.76%45.73M41.92%81.32M41.92%81.32M-16.11%57.3M-16.11%57.3M57.60%68.3M57.60%68.3M-2.80%43.34M-2.80%43.34M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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