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NAN Nanosonics Ltd

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  • 3.370
  • +0.020+0.60%
20min DelayMarket Closed Nov 15 16:00 AET
1.02BMarket Cap80.24P/E (Static)

Nanosonics 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
15.51%129.55M
15.51%129.55M
18.67%112.16M
18.67%112.16M
-1.58%94.51M
-1.58%94.51M
4.63%96.03M
4.63%96.03M
27.16%91.78M
27.16%91.78M
-Cash and cash equivalents
15.51%129.55M
15.51%129.55M
18.67%112.16M
18.67%112.16M
-1.58%94.51M
-1.58%94.51M
4.63%96.03M
4.63%96.03M
27.16%91.78M
27.16%91.78M
Receivables
2.36%39.67M
2.36%39.67M
36.50%38.75M
36.50%38.75M
0.10%28.39M
0.10%28.39M
67.70%28.36M
67.70%28.36M
-14.15%16.91M
-14.15%16.91M
-Accounts receivable
2.36%39.67M
2.36%39.67M
59.56%38.75M
59.56%38.75M
-11.13%24.29M
-11.13%24.29M
68.90%27.33M
68.90%27.33M
-13.09%16.18M
-13.09%16.18M
-Other receivables
----
----
----
----
297.96%4.1M
297.96%4.1M
9.68%1.03M
9.68%1.03M
-12.96%940K
-12.96%940K
-Recievables adjustments allowances
----
----
----
----
----
----
----
----
---210K
---210K
Inventory
-20.60%20.24M
-20.60%20.24M
12.71%25.49M
12.71%25.49M
90.60%22.62M
90.60%22.62M
0.23%11.87M
0.23%11.87M
-15.55%11.84M
-15.55%11.84M
Prepaid assets
42.39%6.37M
42.39%6.37M
-17.62%4.47M
-17.62%4.47M
36.67%5.43M
36.67%5.43M
28.04%3.97M
28.04%3.97M
47.62%3.1M
47.62%3.1M
Current deferred assets
--950K
--950K
----
----
--64K
--64K
----
----
-76.22%34K
-76.22%34K
Hedging assets-current
182.22%1.02M
182.22%1.02M
--360K
--360K
----
----
194.48%1.92M
194.48%1.92M
244.97%652K
244.97%652K
Other current assets
69.09%651K
69.09%651K
59.75%385K
59.75%385K
46.06%241K
46.06%241K
-27.31%165K
-27.31%165K
-18.93%227K
-18.93%227K
Total current assets
9.26%198.45M
9.26%198.45M
20.08%181.62M
20.08%181.62M
6.28%151.25M
6.28%151.25M
14.26%142.31M
14.26%142.31M
14.67%124.55M
14.67%124.55M
Non current assets
Net PPE
-7.78%20.75M
-7.78%20.75M
-0.38%22.5M
-0.38%22.5M
141.91%22.58M
141.91%22.58M
-2.93%9.33M
-2.93%9.33M
42.90%9.62M
42.90%9.62M
-Gross PPE
6.36%47.96M
6.36%47.96M
10.67%45.09M
10.67%45.09M
74.57%40.74M
74.57%40.74M
13.09%23.34M
13.09%23.34M
45.71%20.64M
45.71%20.64M
-Accumulated depreciation
-20.44%-27.22M
-20.44%-27.22M
-24.40%-22.6M
-24.40%-22.6M
-29.70%-18.16M
-29.70%-18.16M
-27.06%-14.01M
-27.06%-14.01M
-48.24%-11.02M
-48.24%-11.02M
Financial assets
11.30%936K
11.30%936K
84,000.00%841K
84,000.00%841K
-99.25%1K
-99.25%1K
-71.00%134K
-71.00%134K
94.94%462K
94.94%462K
Goodwill and other intangible assets
-88.54%11K
-88.54%11K
-55.76%96K
-55.76%96K
-21.94%217K
-21.94%217K
-43.38%278K
-43.38%278K
-38.55%491K
-38.55%491K
-Other intangible assets
-88.54%11K
-88.54%11K
-55.76%96K
-55.76%96K
-21.94%217K
-21.94%217K
-43.38%278K
-43.38%278K
-38.55%491K
-38.55%491K
Non current deferred assets
15.36%16.67M
15.36%16.67M
8.37%14.45M
8.37%14.45M
32.72%13.34M
32.72%13.34M
-14.46%10.05M
-14.46%10.05M
-8.90%11.75M
-8.90%11.75M
Other non current assets
27.71%530K
27.71%530K
46.13%415K
46.13%415K
43.43%284K
43.43%284K
-4.81%198K
-4.81%198K
-17.13%208K
-17.13%208K
Total non current assets
1.55%38.89M
1.55%38.89M
5.17%38.3M
5.17%38.3M
82.16%36.42M
82.16%36.42M
-11.24%19.99M
-11.24%19.99M
7.72%22.52M
7.72%22.52M
Total assets
7.92%237.34M
7.92%237.34M
17.18%219.92M
17.18%219.92M
15.63%187.67M
15.63%187.67M
10.36%162.3M
10.36%162.3M
13.55%147.07M
13.55%147.07M
Liabilities
Current liabilities
Current debt and capital lease obligation
8.99%3.14M
8.99%3.14M
12.84%2.88M
12.84%2.88M
72.68%2.55M
72.68%2.55M
19.76%1.48M
19.76%1.48M
177.53%1.24M
177.53%1.24M
-Current debt
----
----
----
----
----
----
----
----
--77K
--77K
-Current capital lease obligation
8.99%3.14M
8.99%3.14M
12.84%2.88M
12.84%2.88M
72.68%2.55M
72.68%2.55M
27.72%1.48M
27.72%1.48M
160.22%1.16M
160.22%1.16M
Payables
-8.01%9.97M
-8.01%9.97M
13.15%10.84M
13.15%10.84M
33.19%9.58M
33.19%9.58M
-6.25%7.19M
-6.25%7.19M
9.57%7.67M
9.57%7.67M
-accounts payable
-7.71%3.47M
-7.71%3.47M
37.03%3.76M
37.03%3.76M
33.79%2.74M
33.79%2.74M
-39.41%2.05M
-39.41%2.05M
4.96%3.39M
4.96%3.39M
-Other payable
-8.16%6.5M
-8.16%6.5M
3.57%7.08M
3.57%7.08M
32.96%6.84M
32.96%6.84M
19.91%5.14M
19.91%5.14M
13.50%4.29M
13.50%4.29M
Current provisions
-53.29%809K
-53.29%809K
-39.69%1.73M
-39.69%1.73M
326.75%2.87M
326.75%2.87M
-16.08%673K
-16.08%673K
-16.89%802K
-16.89%802K
Pension and other retirement benefit plans
-8.19%7.03M
-8.19%7.03M
17.84%7.65M
17.84%7.65M
9.69%6.5M
9.69%6.5M
70.54%5.92M
70.54%5.92M
0.55%3.47M
0.55%3.47M
Current deferred liabilities
13.63%11.27M
13.63%11.27M
29.63%9.92M
29.63%9.92M
79.17%7.65M
79.17%7.65M
-11.75%4.27M
-11.75%4.27M
5,803.66%4.84M
5,803.66%4.84M
Current liabilities
-2.44%32.23M
-2.44%32.23M
13.29%33.03M
13.29%33.03M
49.22%29.16M
49.22%29.16M
8.41%19.54M
8.41%19.54M
12.93%18.02M
12.93%18.02M
Non current liabilities
Long term debt and capital lease obligation
-21.38%6.16M
-21.38%6.16M
-14.41%7.84M
-14.41%7.84M
804.94%9.16M
804.94%9.16M
-26.35%1.01M
-26.35%1.01M
1,707.89%1.37M
1,707.89%1.37M
-Long term capital lease obligation
-21.38%6.16M
-21.38%6.16M
-14.41%7.84M
-14.41%7.84M
804.94%9.16M
804.94%9.16M
-26.35%1.01M
-26.35%1.01M
1,707.89%1.37M
1,707.89%1.37M
Derivative product liabilities
-90.57%73K
-90.57%73K
42.54%774K
42.54%774K
3,094.12%543K
3,094.12%543K
-61.36%17K
-61.36%17K
-72.50%44K
-72.50%44K
Long term provisions
216.67%95K
216.67%95K
--30K
--30K
----
----
-3.70%130K
-3.70%130K
80.00%135K
80.00%135K
Employee benefits
17.12%554K
17.12%554K
3.50%473K
3.50%473K
-22.54%457K
-22.54%457K
17.06%590K
17.06%590K
-1.75%504K
-1.75%504K
Non current deferred liabilities
15.20%16.03M
15.20%16.03M
43.95%13.91M
43.95%13.91M
77.40%9.67M
77.40%9.67M
97.46%5.45M
97.46%5.45M
--2.76M
--2.76M
Total non current liabilities
-0.50%22.91M
-0.50%22.91M
16.17%23.03M
16.17%23.03M
175.43%19.82M
175.43%19.82M
49.44%7.2M
49.44%7.2M
38.51%4.82M
38.51%4.82M
Total liabilities
-1.65%55.14M
-1.65%55.14M
14.45%56.06M
14.45%56.06M
83.20%48.98M
83.20%48.98M
17.06%26.74M
17.06%26.74M
17.50%22.84M
17.50%22.84M
Shareholders'equity
Share capital
0.29%114.55M
0.29%114.55M
0.31%114.21M
0.31%114.21M
0.28%113.86M
0.28%113.86M
0.32%113.54M
0.32%113.54M
0.41%113.18M
0.41%113.18M
-common stock
0.29%114.55M
0.29%114.55M
0.31%114.21M
0.31%114.21M
0.28%113.86M
0.28%113.86M
0.32%113.54M
0.32%113.54M
0.41%113.18M
0.41%113.18M
Retained earnings
52.43%37.71M
52.43%37.71M
409.20%24.74M
409.20%24.74M
335.00%4.86M
335.00%4.86M
114.97%1.12M
114.97%1.12M
57.24%-7.46M
57.24%-7.46M
Gains losses not affecting retained earnings
20.22%29.94M
20.22%29.94M
24.68%24.91M
24.68%24.91M
-4.47%19.98M
-4.47%19.98M
12.95%20.91M
12.95%20.91M
24.93%18.51M
24.93%18.51M
Total stockholders'equity
11.19%182.2M
11.19%182.2M
18.15%163.86M
18.15%163.86M
2.30%138.69M
2.30%138.69M
9.13%135.57M
9.13%135.57M
12.85%124.23M
12.85%124.23M
Total equity
11.19%182.2M
11.19%182.2M
18.15%163.86M
18.15%163.86M
2.30%138.69M
2.30%138.69M
9.13%135.57M
9.13%135.57M
12.85%124.23M
12.85%124.23M
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 15.51%129.55M15.51%129.55M18.67%112.16M18.67%112.16M-1.58%94.51M-1.58%94.51M4.63%96.03M4.63%96.03M27.16%91.78M27.16%91.78M
-Cash and cash equivalents 15.51%129.55M15.51%129.55M18.67%112.16M18.67%112.16M-1.58%94.51M-1.58%94.51M4.63%96.03M4.63%96.03M27.16%91.78M27.16%91.78M
Receivables 2.36%39.67M2.36%39.67M36.50%38.75M36.50%38.75M0.10%28.39M0.10%28.39M67.70%28.36M67.70%28.36M-14.15%16.91M-14.15%16.91M
-Accounts receivable 2.36%39.67M2.36%39.67M59.56%38.75M59.56%38.75M-11.13%24.29M-11.13%24.29M68.90%27.33M68.90%27.33M-13.09%16.18M-13.09%16.18M
-Other receivables ----------------297.96%4.1M297.96%4.1M9.68%1.03M9.68%1.03M-12.96%940K-12.96%940K
-Recievables adjustments allowances -----------------------------------210K---210K
Inventory -20.60%20.24M-20.60%20.24M12.71%25.49M12.71%25.49M90.60%22.62M90.60%22.62M0.23%11.87M0.23%11.87M-15.55%11.84M-15.55%11.84M
Prepaid assets 42.39%6.37M42.39%6.37M-17.62%4.47M-17.62%4.47M36.67%5.43M36.67%5.43M28.04%3.97M28.04%3.97M47.62%3.1M47.62%3.1M
Current deferred assets --950K--950K----------64K--64K---------76.22%34K-76.22%34K
Hedging assets-current 182.22%1.02M182.22%1.02M--360K--360K--------194.48%1.92M194.48%1.92M244.97%652K244.97%652K
Other current assets 69.09%651K69.09%651K59.75%385K59.75%385K46.06%241K46.06%241K-27.31%165K-27.31%165K-18.93%227K-18.93%227K
Total current assets 9.26%198.45M9.26%198.45M20.08%181.62M20.08%181.62M6.28%151.25M6.28%151.25M14.26%142.31M14.26%142.31M14.67%124.55M14.67%124.55M
Non current assets
Net PPE -7.78%20.75M-7.78%20.75M-0.38%22.5M-0.38%22.5M141.91%22.58M141.91%22.58M-2.93%9.33M-2.93%9.33M42.90%9.62M42.90%9.62M
-Gross PPE 6.36%47.96M6.36%47.96M10.67%45.09M10.67%45.09M74.57%40.74M74.57%40.74M13.09%23.34M13.09%23.34M45.71%20.64M45.71%20.64M
-Accumulated depreciation -20.44%-27.22M-20.44%-27.22M-24.40%-22.6M-24.40%-22.6M-29.70%-18.16M-29.70%-18.16M-27.06%-14.01M-27.06%-14.01M-48.24%-11.02M-48.24%-11.02M
Financial assets 11.30%936K11.30%936K84,000.00%841K84,000.00%841K-99.25%1K-99.25%1K-71.00%134K-71.00%134K94.94%462K94.94%462K
Goodwill and other intangible assets -88.54%11K-88.54%11K-55.76%96K-55.76%96K-21.94%217K-21.94%217K-43.38%278K-43.38%278K-38.55%491K-38.55%491K
-Other intangible assets -88.54%11K-88.54%11K-55.76%96K-55.76%96K-21.94%217K-21.94%217K-43.38%278K-43.38%278K-38.55%491K-38.55%491K
Non current deferred assets 15.36%16.67M15.36%16.67M8.37%14.45M8.37%14.45M32.72%13.34M32.72%13.34M-14.46%10.05M-14.46%10.05M-8.90%11.75M-8.90%11.75M
Other non current assets 27.71%530K27.71%530K46.13%415K46.13%415K43.43%284K43.43%284K-4.81%198K-4.81%198K-17.13%208K-17.13%208K
Total non current assets 1.55%38.89M1.55%38.89M5.17%38.3M5.17%38.3M82.16%36.42M82.16%36.42M-11.24%19.99M-11.24%19.99M7.72%22.52M7.72%22.52M
Total assets 7.92%237.34M7.92%237.34M17.18%219.92M17.18%219.92M15.63%187.67M15.63%187.67M10.36%162.3M10.36%162.3M13.55%147.07M13.55%147.07M
Liabilities
Current liabilities
Current debt and capital lease obligation 8.99%3.14M8.99%3.14M12.84%2.88M12.84%2.88M72.68%2.55M72.68%2.55M19.76%1.48M19.76%1.48M177.53%1.24M177.53%1.24M
-Current debt ----------------------------------77K--77K
-Current capital lease obligation 8.99%3.14M8.99%3.14M12.84%2.88M12.84%2.88M72.68%2.55M72.68%2.55M27.72%1.48M27.72%1.48M160.22%1.16M160.22%1.16M
Payables -8.01%9.97M-8.01%9.97M13.15%10.84M13.15%10.84M33.19%9.58M33.19%9.58M-6.25%7.19M-6.25%7.19M9.57%7.67M9.57%7.67M
-accounts payable -7.71%3.47M-7.71%3.47M37.03%3.76M37.03%3.76M33.79%2.74M33.79%2.74M-39.41%2.05M-39.41%2.05M4.96%3.39M4.96%3.39M
-Other payable -8.16%6.5M-8.16%6.5M3.57%7.08M3.57%7.08M32.96%6.84M32.96%6.84M19.91%5.14M19.91%5.14M13.50%4.29M13.50%4.29M
Current provisions -53.29%809K-53.29%809K-39.69%1.73M-39.69%1.73M326.75%2.87M326.75%2.87M-16.08%673K-16.08%673K-16.89%802K-16.89%802K
Pension and other retirement benefit plans -8.19%7.03M-8.19%7.03M17.84%7.65M17.84%7.65M9.69%6.5M9.69%6.5M70.54%5.92M70.54%5.92M0.55%3.47M0.55%3.47M
Current deferred liabilities 13.63%11.27M13.63%11.27M29.63%9.92M29.63%9.92M79.17%7.65M79.17%7.65M-11.75%4.27M-11.75%4.27M5,803.66%4.84M5,803.66%4.84M
Current liabilities -2.44%32.23M-2.44%32.23M13.29%33.03M13.29%33.03M49.22%29.16M49.22%29.16M8.41%19.54M8.41%19.54M12.93%18.02M12.93%18.02M
Non current liabilities
Long term debt and capital lease obligation -21.38%6.16M-21.38%6.16M-14.41%7.84M-14.41%7.84M804.94%9.16M804.94%9.16M-26.35%1.01M-26.35%1.01M1,707.89%1.37M1,707.89%1.37M
-Long term capital lease obligation -21.38%6.16M-21.38%6.16M-14.41%7.84M-14.41%7.84M804.94%9.16M804.94%9.16M-26.35%1.01M-26.35%1.01M1,707.89%1.37M1,707.89%1.37M
Derivative product liabilities -90.57%73K-90.57%73K42.54%774K42.54%774K3,094.12%543K3,094.12%543K-61.36%17K-61.36%17K-72.50%44K-72.50%44K
Long term provisions 216.67%95K216.67%95K--30K--30K---------3.70%130K-3.70%130K80.00%135K80.00%135K
Employee benefits 17.12%554K17.12%554K3.50%473K3.50%473K-22.54%457K-22.54%457K17.06%590K17.06%590K-1.75%504K-1.75%504K
Non current deferred liabilities 15.20%16.03M15.20%16.03M43.95%13.91M43.95%13.91M77.40%9.67M77.40%9.67M97.46%5.45M97.46%5.45M--2.76M--2.76M
Total non current liabilities -0.50%22.91M-0.50%22.91M16.17%23.03M16.17%23.03M175.43%19.82M175.43%19.82M49.44%7.2M49.44%7.2M38.51%4.82M38.51%4.82M
Total liabilities -1.65%55.14M-1.65%55.14M14.45%56.06M14.45%56.06M83.20%48.98M83.20%48.98M17.06%26.74M17.06%26.74M17.50%22.84M17.50%22.84M
Shareholders'equity
Share capital 0.29%114.55M0.29%114.55M0.31%114.21M0.31%114.21M0.28%113.86M0.28%113.86M0.32%113.54M0.32%113.54M0.41%113.18M0.41%113.18M
-common stock 0.29%114.55M0.29%114.55M0.31%114.21M0.31%114.21M0.28%113.86M0.28%113.86M0.32%113.54M0.32%113.54M0.41%113.18M0.41%113.18M
Retained earnings 52.43%37.71M52.43%37.71M409.20%24.74M409.20%24.74M335.00%4.86M335.00%4.86M114.97%1.12M114.97%1.12M57.24%-7.46M57.24%-7.46M
Gains losses not affecting retained earnings 20.22%29.94M20.22%29.94M24.68%24.91M24.68%24.91M-4.47%19.98M-4.47%19.98M12.95%20.91M12.95%20.91M24.93%18.51M24.93%18.51M
Total stockholders'equity 11.19%182.2M11.19%182.2M18.15%163.86M18.15%163.86M2.30%138.69M2.30%138.69M9.13%135.57M9.13%135.57M12.85%124.23M12.85%124.23M
Total equity 11.19%182.2M11.19%182.2M18.15%163.86M18.15%163.86M2.30%138.69M2.30%138.69M9.13%135.57M9.13%135.57M12.85%124.23M12.85%124.23M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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