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NOVOA Novatti Group Ltd

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  • 0.004
  • +0.001+33.33%
20min DelayMarket Closed Dec 27 12:35 AET
1.93MMarket Cap0.00P/E (Static)

Novatti Group 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
-10.89%98.61M
-10.89%98.61M
89.16%110.66M
89.16%110.66M
22.34%58.5M
22.34%58.5M
131.99%47.82M
131.99%47.82M
270.61%20.61M
270.61%20.61M
-Cash and cash equivalents
-71.41%5.21M
-71.41%5.21M
200.63%18.22M
200.63%18.22M
-31.13%6.06M
-31.13%6.06M
238.40%8.8M
238.40%8.8M
43.88%2.6M
43.88%2.6M
-Short term investments
1.04%93.4M
1.04%93.4M
76.29%92.44M
76.29%92.44M
34.40%52.44M
34.40%52.44M
116.63%39.02M
116.63%39.02M
379.73%18.01M
379.73%18.01M
Receivables
11.29%8.62M
11.29%8.62M
-8.00%7.75M
-8.00%7.75M
103.53%8.42M
103.53%8.42M
38.63%4.14M
38.63%4.14M
-30.39%2.98M
-30.39%2.98M
-Accounts receivable
25.62%8.26M
25.62%8.26M
15.26%6.57M
15.26%6.57M
85.40%5.7M
85.40%5.7M
29.45%3.08M
29.45%3.08M
-44.59%2.38M
-44.59%2.38M
-Loans receivable
----
----
----
----
----
----
----
----
--200K
--200K
-Other receivables
-85.38%392K
-85.38%392K
-8.81%2.68M
-8.81%2.68M
163.21%2.94M
163.21%2.94M
125.24%1.12M
125.24%1.12M
--495.92K
--495.92K
-Recievables adjustments allowances
98.27%-26K
98.27%-26K
-581.45%-1.51M
-581.45%-1.51M
-301.82%-221K
-301.82%-221K
36.84%-55K
36.84%-55K
---87.09K
---87.09K
Prepaid assets
----
----
----
----
----
----
----
----
--115.55K
--115.55K
Holding assets for sale
--4.36M
--4.36M
----
----
----
----
----
----
----
----
Other current assets
-53.58%525K
-53.58%525K
21.88%1.13M
21.88%1.13M
186.42%928K
186.42%928K
626.78%324K
626.78%324K
-92.72%44.58K
-92.72%44.58K
Total current assets
-6.21%112.12M
-6.21%112.12M
76.18%119.54M
76.18%119.54M
29.78%67.85M
29.78%67.85M
120.06%52.28M
120.06%52.28M
127.08%23.76M
127.08%23.76M
Non current assets
Net PPE
-66.18%648K
-66.18%648K
-17.38%1.92M
-17.38%1.92M
-6.38%2.32M
-6.38%2.32M
-12.07%2.48M
-12.07%2.48M
352.09%2.82M
352.09%2.82M
-Gross PPE
-79.62%648K
-79.62%648K
-3.37%3.18M
-3.37%3.18M
-14.21%3.29M
-14.21%3.29M
1.75%3.84M
1.75%3.84M
235.78%3.77M
235.78%3.77M
-Accumulated depreciation
----
----
-30.07%-1.26M
-30.07%-1.26M
28.50%-971K
28.50%-971K
-42.68%-1.36M
-42.68%-1.36M
-90.63%-951.78K
-90.63%-951.78K
Investments and advances
-60.30%4.7M
-60.30%4.7M
-57.39%11.85M
-57.39%11.85M
1,415.87%27.8M
1,415.87%27.8M
468.76%1.83M
468.76%1.83M
-59.95%322.46K
-59.95%322.46K
-Long term equity investment
----
----
----
----
-90.42%77K
-90.42%77K
3,480.33%804K
3,480.33%804K
329.86%22.46K
329.86%22.46K
-Other investment
-60.30%4.7M
-60.30%4.7M
-57.27%11.85M
-57.27%11.85M
2,591.65%27.72M
2,591.65%27.72M
243.33%1.03M
243.33%1.03M
--300K
--300K
Goodwill and other intangible assets
-19.15%6.39M
-19.15%6.39M
-15.21%7.9M
-15.21%7.9M
86.78%9.32M
86.78%9.32M
-12.49%4.99M
-12.49%4.99M
22.78%5.7M
22.78%5.7M
-Other intangible assets
-19.15%6.39M
-19.15%6.39M
-15.21%7.9M
-15.21%7.9M
86.78%9.32M
86.78%9.32M
-12.49%4.99M
-12.49%4.99M
22.83%5.7M
22.83%5.7M
Other non current assets
----
----
19.57%4.43M
19.57%4.43M
67.91%3.7M
67.91%3.7M
820.83%2.21M
820.83%2.21M
--239.57K
--239.57K
Total non current assets
-55.01%11.74M
-55.01%11.74M
-39.52%26.1M
-39.52%26.1M
274.92%43.15M
274.92%43.15M
26.70%11.51M
26.70%11.51M
49.54%9.08M
49.54%9.08M
Total assets
-14.95%123.86M
-14.95%123.86M
31.21%145.63M
31.21%145.63M
74.01%111M
74.01%111M
94.24%63.79M
94.24%63.79M
98.60%32.84M
98.60%32.84M
Liabilities
Current liabilities
Current debt and capital lease obligation
314.39%1.12M
314.39%1.12M
-13.42%271K
-13.42%271K
-93.93%313K
-93.93%313K
283.19%5.15M
283.19%5.15M
234.16%1.35M
234.16%1.35M
-Current debt
--880K
--880K
----
----
-99.18%40K
-99.18%40K
346.09%4.91M
346.09%4.91M
173.29%1.1M
173.29%1.1M
-Current capital lease obligation
-10.33%243K
-10.33%243K
-0.73%271K
-0.73%271K
10.53%273K
10.53%273K
0.81%247K
0.81%247K
--245.03K
--245.03K
Payables
1.70%22.8M
1.70%22.8M
38.22%22.42M
38.22%22.42M
137.95%16.22M
137.95%16.22M
16.45%6.82M
16.45%6.82M
-30.27%5.85M
-30.27%5.85M
-accounts payable
15.90%9.34M
15.90%9.34M
15.68%8.06M
15.68%8.06M
93.80%6.97M
93.80%6.97M
19.15%3.6M
19.15%3.6M
-15.99%3.02M
-15.99%3.02M
-Other payable
-6.28%13.46M
-6.28%13.46M
55.19%14.36M
55.19%14.36M
187.24%9.25M
187.24%9.25M
13.57%3.22M
13.57%3.22M
-40.95%2.84M
-40.95%2.84M
Pension and other retirement benefit plans
-7.79%3.08M
-7.79%3.08M
70.39%3.34M
70.39%3.34M
49.09%1.96M
49.09%1.96M
42.72%1.31M
42.72%1.31M
81.21%920.71K
81.21%920.71K
Current deferred liabilities
65.03%472K
65.03%472K
-64.16%286K
-64.16%286K
-8.90%798K
-8.90%798K
1.76%876K
1.76%876K
-8.14%860.86K
-8.14%860.86K
Other current liabilities
2.35%93.79M
2.35%93.79M
76.00%91.63M
76.00%91.63M
34.84%52.06M
34.84%52.06M
121.23%38.61M
121.23%38.61M
--17.45M
--17.45M
Current liabilities
2.81%121.26M
2.81%121.26M
65.30%117.94M
65.30%117.94M
35.22%71.35M
35.22%71.35M
99.64%52.77M
99.64%52.77M
158.04%26.43M
158.04%26.43M
Non current liabilities
Long term debt and capital lease obligation
-81.02%2.29M
-81.02%2.29M
560.20%12.08M
560.20%12.08M
-7.20%1.83M
-7.20%1.83M
-70.92%1.97M
-70.92%1.97M
--6.78M
--6.78M
-Long term debt
-79.56%2.15M
-79.56%2.15M
--10.5M
--10.5M
----
----
----
----
--4.54M
--4.54M
-Long term capital lease obligation
-90.73%146K
-90.73%146K
-13.89%1.58M
-13.89%1.58M
-7.20%1.83M
-7.20%1.83M
-11.75%1.97M
-11.75%1.97M
--2.23M
--2.23M
Employee benefits
-54.29%64K
-54.29%64K
-84.73%140K
-84.73%140K
519.59%917K
519.59%917K
29.43%148K
29.43%148K
122.02%114.35K
122.02%114.35K
Other non current liabilities
----
----
----
----
--255K
--255K
----
----
----
----
Total non current liabilities
-80.71%2.36M
-80.71%2.36M
307.03%12.22M
307.03%12.22M
41.62%3M
41.62%3M
-69.26%2.12M
-69.26%2.12M
3,982.24%6.89M
3,982.24%6.89M
Total liabilities
-5.03%123.62M
-5.03%123.62M
75.05%130.16M
75.05%130.16M
35.46%74.35M
35.46%74.35M
64.71%54.89M
64.71%54.89M
220.04%33.33M
220.04%33.33M
Shareholders'equity
Share capital
1.24%91.81M
1.24%91.81M
1.51%90.69M
1.51%90.69M
102.37%89.34M
102.37%89.34M
65.43%44.14M
65.43%44.14M
10.84%26.68M
10.84%26.68M
-common stock
1.24%91.81M
1.24%91.81M
1.51%90.69M
1.51%90.69M
102.37%89.34M
102.37%89.34M
65.43%44.14M
65.43%44.14M
10.84%26.68M
10.84%26.68M
Retained earnings
-22.60%-102.35M
-22.60%-102.35M
-44.73%-83.48M
-44.73%-83.48M
-40.61%-57.68M
-40.61%-57.68M
-38.82%-41.02M
-38.82%-41.02M
-46.77%-29.55M
-46.77%-29.55M
Gains losses not affecting retained earnings
10.57%5.97M
10.57%5.97M
8.43%5.4M
8.43%5.4M
30.98%4.98M
30.98%4.98M
60.01%3.8M
60.01%3.8M
8.98%2.38M
8.98%2.38M
Total stockholders'equity
-136.22%-4.57M
-136.22%-4.57M
-65.59%12.61M
-65.59%12.61M
428.81%36.64M
428.81%36.64M
1,527.00%6.93M
1,527.00%6.93M
-107.93%-485.56K
-107.93%-485.56K
Noncontrolling interests
67.82%4.81M
67.82%4.81M
--2.87M
--2.87M
----
----
--1.97M
--1.97M
----
----
Total equity
-98.44%241K
-98.44%241K
-57.77%15.48M
-57.77%15.48M
311.79%36.64M
311.79%36.64M
1,932.51%8.9M
1,932.51%8.9M
-107.93%-485.56K
-107.93%-485.56K
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 -10.89%98.61M-10.89%98.61M89.16%110.66M89.16%110.66M22.34%58.5M22.34%58.5M131.99%47.82M131.99%47.82M270.61%20.61M270.61%20.61M
-Cash and cash equivalents -71.41%5.21M-71.41%5.21M200.63%18.22M200.63%18.22M-31.13%6.06M-31.13%6.06M238.40%8.8M238.40%8.8M43.88%2.6M43.88%2.6M
-Short term investments 1.04%93.4M1.04%93.4M76.29%92.44M76.29%92.44M34.40%52.44M34.40%52.44M116.63%39.02M116.63%39.02M379.73%18.01M379.73%18.01M
Receivables 11.29%8.62M11.29%8.62M-8.00%7.75M-8.00%7.75M103.53%8.42M103.53%8.42M38.63%4.14M38.63%4.14M-30.39%2.98M-30.39%2.98M
-Accounts receivable 25.62%8.26M25.62%8.26M15.26%6.57M15.26%6.57M85.40%5.7M85.40%5.7M29.45%3.08M29.45%3.08M-44.59%2.38M-44.59%2.38M
-Loans receivable ----------------------------------200K--200K
-Other receivables -85.38%392K-85.38%392K-8.81%2.68M-8.81%2.68M163.21%2.94M163.21%2.94M125.24%1.12M125.24%1.12M--495.92K--495.92K
-Recievables adjustments allowances 98.27%-26K98.27%-26K-581.45%-1.51M-581.45%-1.51M-301.82%-221K-301.82%-221K36.84%-55K36.84%-55K---87.09K---87.09K
Prepaid assets ----------------------------------115.55K--115.55K
Holding assets for sale --4.36M--4.36M--------------------------------
Other current assets -53.58%525K-53.58%525K21.88%1.13M21.88%1.13M186.42%928K186.42%928K626.78%324K626.78%324K-92.72%44.58K-92.72%44.58K
Total current assets -6.21%112.12M-6.21%112.12M76.18%119.54M76.18%119.54M29.78%67.85M29.78%67.85M120.06%52.28M120.06%52.28M127.08%23.76M127.08%23.76M
Non current assets
Net PPE -66.18%648K-66.18%648K-17.38%1.92M-17.38%1.92M-6.38%2.32M-6.38%2.32M-12.07%2.48M-12.07%2.48M352.09%2.82M352.09%2.82M
-Gross PPE -79.62%648K-79.62%648K-3.37%3.18M-3.37%3.18M-14.21%3.29M-14.21%3.29M1.75%3.84M1.75%3.84M235.78%3.77M235.78%3.77M
-Accumulated depreciation ---------30.07%-1.26M-30.07%-1.26M28.50%-971K28.50%-971K-42.68%-1.36M-42.68%-1.36M-90.63%-951.78K-90.63%-951.78K
Investments and advances -60.30%4.7M-60.30%4.7M-57.39%11.85M-57.39%11.85M1,415.87%27.8M1,415.87%27.8M468.76%1.83M468.76%1.83M-59.95%322.46K-59.95%322.46K
-Long term equity investment -----------------90.42%77K-90.42%77K3,480.33%804K3,480.33%804K329.86%22.46K329.86%22.46K
-Other investment -60.30%4.7M-60.30%4.7M-57.27%11.85M-57.27%11.85M2,591.65%27.72M2,591.65%27.72M243.33%1.03M243.33%1.03M--300K--300K
Goodwill and other intangible assets -19.15%6.39M-19.15%6.39M-15.21%7.9M-15.21%7.9M86.78%9.32M86.78%9.32M-12.49%4.99M-12.49%4.99M22.78%5.7M22.78%5.7M
-Other intangible assets -19.15%6.39M-19.15%6.39M-15.21%7.9M-15.21%7.9M86.78%9.32M86.78%9.32M-12.49%4.99M-12.49%4.99M22.83%5.7M22.83%5.7M
Other non current assets --------19.57%4.43M19.57%4.43M67.91%3.7M67.91%3.7M820.83%2.21M820.83%2.21M--239.57K--239.57K
Total non current assets -55.01%11.74M-55.01%11.74M-39.52%26.1M-39.52%26.1M274.92%43.15M274.92%43.15M26.70%11.51M26.70%11.51M49.54%9.08M49.54%9.08M
Total assets -14.95%123.86M-14.95%123.86M31.21%145.63M31.21%145.63M74.01%111M74.01%111M94.24%63.79M94.24%63.79M98.60%32.84M98.60%32.84M
Liabilities
Current liabilities
Current debt and capital lease obligation 314.39%1.12M314.39%1.12M-13.42%271K-13.42%271K-93.93%313K-93.93%313K283.19%5.15M283.19%5.15M234.16%1.35M234.16%1.35M
-Current debt --880K--880K---------99.18%40K-99.18%40K346.09%4.91M346.09%4.91M173.29%1.1M173.29%1.1M
-Current capital lease obligation -10.33%243K-10.33%243K-0.73%271K-0.73%271K10.53%273K10.53%273K0.81%247K0.81%247K--245.03K--245.03K
Payables 1.70%22.8M1.70%22.8M38.22%22.42M38.22%22.42M137.95%16.22M137.95%16.22M16.45%6.82M16.45%6.82M-30.27%5.85M-30.27%5.85M
-accounts payable 15.90%9.34M15.90%9.34M15.68%8.06M15.68%8.06M93.80%6.97M93.80%6.97M19.15%3.6M19.15%3.6M-15.99%3.02M-15.99%3.02M
-Other payable -6.28%13.46M-6.28%13.46M55.19%14.36M55.19%14.36M187.24%9.25M187.24%9.25M13.57%3.22M13.57%3.22M-40.95%2.84M-40.95%2.84M
Pension and other retirement benefit plans -7.79%3.08M-7.79%3.08M70.39%3.34M70.39%3.34M49.09%1.96M49.09%1.96M42.72%1.31M42.72%1.31M81.21%920.71K81.21%920.71K
Current deferred liabilities 65.03%472K65.03%472K-64.16%286K-64.16%286K-8.90%798K-8.90%798K1.76%876K1.76%876K-8.14%860.86K-8.14%860.86K
Other current liabilities 2.35%93.79M2.35%93.79M76.00%91.63M76.00%91.63M34.84%52.06M34.84%52.06M121.23%38.61M121.23%38.61M--17.45M--17.45M
Current liabilities 2.81%121.26M2.81%121.26M65.30%117.94M65.30%117.94M35.22%71.35M35.22%71.35M99.64%52.77M99.64%52.77M158.04%26.43M158.04%26.43M
Non current liabilities
Long term debt and capital lease obligation -81.02%2.29M-81.02%2.29M560.20%12.08M560.20%12.08M-7.20%1.83M-7.20%1.83M-70.92%1.97M-70.92%1.97M--6.78M--6.78M
-Long term debt -79.56%2.15M-79.56%2.15M--10.5M--10.5M------------------4.54M--4.54M
-Long term capital lease obligation -90.73%146K-90.73%146K-13.89%1.58M-13.89%1.58M-7.20%1.83M-7.20%1.83M-11.75%1.97M-11.75%1.97M--2.23M--2.23M
Employee benefits -54.29%64K-54.29%64K-84.73%140K-84.73%140K519.59%917K519.59%917K29.43%148K29.43%148K122.02%114.35K122.02%114.35K
Other non current liabilities ------------------255K--255K----------------
Total non current liabilities -80.71%2.36M-80.71%2.36M307.03%12.22M307.03%12.22M41.62%3M41.62%3M-69.26%2.12M-69.26%2.12M3,982.24%6.89M3,982.24%6.89M
Total liabilities -5.03%123.62M-5.03%123.62M75.05%130.16M75.05%130.16M35.46%74.35M35.46%74.35M64.71%54.89M64.71%54.89M220.04%33.33M220.04%33.33M
Shareholders'equity
Share capital 1.24%91.81M1.24%91.81M1.51%90.69M1.51%90.69M102.37%89.34M102.37%89.34M65.43%44.14M65.43%44.14M10.84%26.68M10.84%26.68M
-common stock 1.24%91.81M1.24%91.81M1.51%90.69M1.51%90.69M102.37%89.34M102.37%89.34M65.43%44.14M65.43%44.14M10.84%26.68M10.84%26.68M
Retained earnings -22.60%-102.35M-22.60%-102.35M-44.73%-83.48M-44.73%-83.48M-40.61%-57.68M-40.61%-57.68M-38.82%-41.02M-38.82%-41.02M-46.77%-29.55M-46.77%-29.55M
Gains losses not affecting retained earnings 10.57%5.97M10.57%5.97M8.43%5.4M8.43%5.4M30.98%4.98M30.98%4.98M60.01%3.8M60.01%3.8M8.98%2.38M8.98%2.38M
Total stockholders'equity -136.22%-4.57M-136.22%-4.57M-65.59%12.61M-65.59%12.61M428.81%36.64M428.81%36.64M1,527.00%6.93M1,527.00%6.93M-107.93%-485.56K-107.93%-485.56K
Noncontrolling interests 67.82%4.81M67.82%4.81M--2.87M--2.87M----------1.97M--1.97M--------
Total equity -98.44%241K-98.44%241K-57.77%15.48M-57.77%15.48M311.79%36.64M311.79%36.64M1,932.51%8.9M1,932.51%8.9M-107.93%-485.56K-107.93%-485.56K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP