AU Stock MarketDetailed Quotes

NRZ NeuRizer Ltd

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  • 0.002
  • 0.0000.00%
20min DelayTrading Dec 12 10:06 AET
5.64MMarket Cap-0.50P/E (Static)

NeuRizer 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
-53.06%568.72K
-53.06%568.72K
12.86%1.21M
12.86%1.21M
-95.29%1.07M
-95.29%1.07M
234.77%22.81M
234.77%22.81M
122.88%6.81M
122.88%6.81M
-Cash and cash equivalents
-53.06%568.72K
-53.06%568.72K
173.36%1.21M
173.36%1.21M
-98.06%443.25K
-98.06%443.25K
234.77%22.81M
234.77%22.81M
122.88%6.81M
122.88%6.81M
-Short term investments
----
----
----
----
--630.37K
--630.37K
----
----
----
----
Receivables
----
----
-99.87%19.72K
-99.87%19.72K
5,597.04%14.65M
5,597.04%14.65M
-53.86%257.2K
-53.86%257.2K
-91.35%557.5K
-91.35%557.5K
-Other receivables
----
----
-99.87%19.72K
-99.87%19.72K
5,597.04%14.65M
5,597.04%14.65M
-53.86%257.2K
-53.86%257.2K
-91.33%557.5K
-91.33%557.5K
Prepaid assets
-99.00%2.01K
-99.00%2.01K
-40.89%200.9K
-40.89%200.9K
69.76%339.85K
69.76%339.85K
59.89%200.2K
59.89%200.2K
59.32%125.21K
59.32%125.21K
Total current assets
-60.15%570.73K
-60.15%570.73K
-91.09%1.43M
-91.09%1.43M
-30.96%16.07M
-30.96%16.07M
210.38%23.27M
210.38%23.27M
-21.75%7.5M
-21.75%7.5M
Non current assets
Net PPE
1.24%128.13M
1.24%128.13M
133.45%126.57M
133.45%126.57M
72.96%54.22M
72.96%54.22M
12.48%31.35M
12.48%31.35M
9.56%27.87M
9.56%27.87M
-Gross PPE
1.27%128.98M
1.27%128.98M
131.99%127.36M
131.99%127.36M
71.16%54.9M
71.16%54.9M
13.09%32.08M
13.09%32.08M
9.87%28.36M
9.87%28.36M
-Accumulated depreciation
-6.69%-847.77K
-6.69%-847.77K
-16.28%-794.64K
-16.28%-794.64K
6.25%-683.41K
6.25%-683.41K
-47.78%-728.95K
-47.78%-728.95K
-31.08%-493.26K
-31.08%-493.26K
Investments and advances
-7.70%613.59K
-7.70%613.59K
17.59%664.81K
17.59%664.81K
--565.34K
--565.34K
----
----
----
----
-Other investment
-7.70%613.59K
-7.70%613.59K
17.59%664.81K
17.59%664.81K
--565.34K
--565.34K
----
----
----
----
Other non current assets
----
----
----
----
3,571.49%20.76M
3,571.49%20.76M
0.09%565.34K
0.09%565.34K
--564.8K
--564.8K
Total non current assets
1.19%128.75M
1.19%128.75M
68.43%127.24M
68.43%127.24M
136.70%75.54M
136.70%75.54M
12.23%31.91M
12.23%31.91M
11.78%28.44M
11.78%28.44M
Total assets
0.51%129.32M
0.51%129.32M
40.46%128.67M
40.46%128.67M
66.01%91.61M
66.01%91.61M
53.57%55.18M
53.57%55.18M
2.61%35.93M
2.61%35.93M
Liabilities
Current liabilities
Current debt and capital lease obligation
-52.23%1.1M
-52.23%1.1M
1,686.38%2.31M
1,686.38%2.31M
-42.56%129.16K
-42.56%129.16K
-62.45%224.84K
-62.45%224.84K
-84.99%598.71K
-84.99%598.71K
-Current debt
-54.47%1M
-54.47%1M
2,763.19%2.2M
2,763.19%2.2M
-21.19%76.7K
-21.19%76.7K
-78.41%97.32K
-78.41%97.32K
-88.70%450.85K
-88.70%450.85K
-Current capital lease obligation
-7.97%102.22K
-7.97%102.22K
111.75%111.07K
111.75%111.07K
-58.87%52.45K
-58.87%52.45K
-13.76%127.52K
-13.76%127.52K
--147.86K
--147.86K
Payables
6.93%52.66M
6.93%52.66M
245.50%49.24M
245.50%49.24M
1,055.28%14.25M
1,055.28%14.25M
158.64%1.23M
158.64%1.23M
-37.88%477K
-37.88%477K
-accounts payable
21.55%29.64M
21.55%29.64M
164.72%24.39M
164.72%24.39M
962.96%9.21M
962.96%9.21M
266.33%866.69K
266.33%866.69K
-36.64%236.59K
-36.64%236.59K
-Other payable
-7.41%23.01M
-7.41%23.01M
393.17%24.86M
393.17%24.86M
1,273.28%5.04M
1,273.28%5.04M
52.67%367.03K
52.67%367.03K
-39.06%240.41K
-39.06%240.41K
Pension and other retirement benefit plans
-60.96%771.21K
-60.96%771.21K
88.61%1.98M
88.61%1.98M
87.28%1.05M
87.28%1.05M
17.42%559.26K
17.42%559.26K
-7.95%476.28K
-7.95%476.28K
Other current liabilities
----
----
-91.80%1.55M
-91.80%1.55M
972.21%18.84M
972.21%18.84M
--1.76M
--1.76M
----
----
Current liabilities
-0.99%54.53M
-0.99%54.53M
60.70%55.07M
60.70%55.07M
807.82%34.27M
807.82%34.27M
143.23%3.77M
143.23%3.77M
-70.57%1.55M
-70.57%1.55M
Non current liabilities
Long term debt and capital lease obligation
642.61%1.01M
642.61%1.01M
-29.71%135.39K
-29.71%135.39K
--192.61K
--192.61K
----
----
--223.36K
--223.36K
-Long term debt
--885.64K
--885.64K
----
----
----
----
----
----
--102.35K
--102.35K
-Long term capital lease obligation
-11.54%119.76K
-11.54%119.76K
-29.71%135.39K
-29.71%135.39K
--192.61K
--192.61K
----
----
--121.01K
--121.01K
Long term provisions
0.00%595K
0.00%595K
0.00%595K
0.00%595K
--595K
--595K
----
----
----
----
Employee benefits
53.72%170.02K
53.72%170.02K
80.20%110.6K
80.20%110.6K
-41.62%61.38K
-41.62%61.38K
--105.14K
--105.14K
----
----
Total non current liabilities
110.52%1.77M
110.52%1.77M
-0.94%840.99K
-0.94%840.99K
707.52%848.99K
707.52%848.99K
-52.93%105.14K
-52.93%105.14K
--223.36K
--223.36K
Total liabilities
0.69%56.3M
0.69%56.3M
59.21%55.91M
59.21%55.91M
805.10%35.12M
805.10%35.12M
118.55%3.88M
118.55%3.88M
-66.34%1.78M
-66.34%1.78M
Shareholders'equity
Share capital
3.75%163.31M
3.75%163.31M
22.32%157.41M
22.32%157.41M
19.58%128.68M
19.58%128.68M
32.69%107.61M
32.69%107.61M
14.22%81.09M
14.22%81.09M
-common stock
3.75%163.31M
3.75%163.31M
22.32%157.41M
22.32%157.41M
19.58%128.68M
19.58%128.68M
32.69%107.61M
32.69%107.61M
14.22%81.09M
14.22%81.09M
Retained earnings
-5.54%-106.83M
-5.54%-106.83M
-19.14%-101.23M
-19.14%-101.23M
-31.59%-84.96M
-31.59%-84.96M
-26.62%-64.57M
-26.62%-64.57M
-16.32%-50.99M
-16.32%-50.99M
Gains losses not affecting retained earnings
-0.24%16.53M
-0.24%16.53M
29.78%16.57M
29.78%16.57M
54.61%12.77M
54.61%12.77M
103.76%8.26M
103.76%8.26M
57.02%4.05M
57.02%4.05M
Total stockholders'equity
0.36%73.02M
0.36%73.02M
28.80%72.75M
28.80%72.75M
10.11%56.49M
10.11%56.49M
50.20%51.3M
50.20%51.3M
14.83%34.16M
14.83%34.16M
Total equity
0.36%73.02M
0.36%73.02M
28.80%72.75M
28.80%72.75M
10.11%56.49M
10.11%56.49M
50.20%51.3M
50.20%51.3M
14.83%34.16M
14.83%34.16M
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 -53.06%568.72K-53.06%568.72K12.86%1.21M12.86%1.21M-95.29%1.07M-95.29%1.07M234.77%22.81M234.77%22.81M122.88%6.81M122.88%6.81M
-Cash and cash equivalents -53.06%568.72K-53.06%568.72K173.36%1.21M173.36%1.21M-98.06%443.25K-98.06%443.25K234.77%22.81M234.77%22.81M122.88%6.81M122.88%6.81M
-Short term investments ------------------630.37K--630.37K----------------
Receivables ---------99.87%19.72K-99.87%19.72K5,597.04%14.65M5,597.04%14.65M-53.86%257.2K-53.86%257.2K-91.35%557.5K-91.35%557.5K
-Other receivables ---------99.87%19.72K-99.87%19.72K5,597.04%14.65M5,597.04%14.65M-53.86%257.2K-53.86%257.2K-91.33%557.5K-91.33%557.5K
Prepaid assets -99.00%2.01K-99.00%2.01K-40.89%200.9K-40.89%200.9K69.76%339.85K69.76%339.85K59.89%200.2K59.89%200.2K59.32%125.21K59.32%125.21K
Total current assets -60.15%570.73K-60.15%570.73K-91.09%1.43M-91.09%1.43M-30.96%16.07M-30.96%16.07M210.38%23.27M210.38%23.27M-21.75%7.5M-21.75%7.5M
Non current assets
Net PPE 1.24%128.13M1.24%128.13M133.45%126.57M133.45%126.57M72.96%54.22M72.96%54.22M12.48%31.35M12.48%31.35M9.56%27.87M9.56%27.87M
-Gross PPE 1.27%128.98M1.27%128.98M131.99%127.36M131.99%127.36M71.16%54.9M71.16%54.9M13.09%32.08M13.09%32.08M9.87%28.36M9.87%28.36M
-Accumulated depreciation -6.69%-847.77K-6.69%-847.77K-16.28%-794.64K-16.28%-794.64K6.25%-683.41K6.25%-683.41K-47.78%-728.95K-47.78%-728.95K-31.08%-493.26K-31.08%-493.26K
Investments and advances -7.70%613.59K-7.70%613.59K17.59%664.81K17.59%664.81K--565.34K--565.34K----------------
-Other investment -7.70%613.59K-7.70%613.59K17.59%664.81K17.59%664.81K--565.34K--565.34K----------------
Other non current assets ----------------3,571.49%20.76M3,571.49%20.76M0.09%565.34K0.09%565.34K--564.8K--564.8K
Total non current assets 1.19%128.75M1.19%128.75M68.43%127.24M68.43%127.24M136.70%75.54M136.70%75.54M12.23%31.91M12.23%31.91M11.78%28.44M11.78%28.44M
Total assets 0.51%129.32M0.51%129.32M40.46%128.67M40.46%128.67M66.01%91.61M66.01%91.61M53.57%55.18M53.57%55.18M2.61%35.93M2.61%35.93M
Liabilities
Current liabilities
Current debt and capital lease obligation -52.23%1.1M-52.23%1.1M1,686.38%2.31M1,686.38%2.31M-42.56%129.16K-42.56%129.16K-62.45%224.84K-62.45%224.84K-84.99%598.71K-84.99%598.71K
-Current debt -54.47%1M-54.47%1M2,763.19%2.2M2,763.19%2.2M-21.19%76.7K-21.19%76.7K-78.41%97.32K-78.41%97.32K-88.70%450.85K-88.70%450.85K
-Current capital lease obligation -7.97%102.22K-7.97%102.22K111.75%111.07K111.75%111.07K-58.87%52.45K-58.87%52.45K-13.76%127.52K-13.76%127.52K--147.86K--147.86K
Payables 6.93%52.66M6.93%52.66M245.50%49.24M245.50%49.24M1,055.28%14.25M1,055.28%14.25M158.64%1.23M158.64%1.23M-37.88%477K-37.88%477K
-accounts payable 21.55%29.64M21.55%29.64M164.72%24.39M164.72%24.39M962.96%9.21M962.96%9.21M266.33%866.69K266.33%866.69K-36.64%236.59K-36.64%236.59K
-Other payable -7.41%23.01M-7.41%23.01M393.17%24.86M393.17%24.86M1,273.28%5.04M1,273.28%5.04M52.67%367.03K52.67%367.03K-39.06%240.41K-39.06%240.41K
Pension and other retirement benefit plans -60.96%771.21K-60.96%771.21K88.61%1.98M88.61%1.98M87.28%1.05M87.28%1.05M17.42%559.26K17.42%559.26K-7.95%476.28K-7.95%476.28K
Other current liabilities ---------91.80%1.55M-91.80%1.55M972.21%18.84M972.21%18.84M--1.76M--1.76M--------
Current liabilities -0.99%54.53M-0.99%54.53M60.70%55.07M60.70%55.07M807.82%34.27M807.82%34.27M143.23%3.77M143.23%3.77M-70.57%1.55M-70.57%1.55M
Non current liabilities
Long term debt and capital lease obligation 642.61%1.01M642.61%1.01M-29.71%135.39K-29.71%135.39K--192.61K--192.61K----------223.36K--223.36K
-Long term debt --885.64K--885.64K--------------------------102.35K--102.35K
-Long term capital lease obligation -11.54%119.76K-11.54%119.76K-29.71%135.39K-29.71%135.39K--192.61K--192.61K----------121.01K--121.01K
Long term provisions 0.00%595K0.00%595K0.00%595K0.00%595K--595K--595K----------------
Employee benefits 53.72%170.02K53.72%170.02K80.20%110.6K80.20%110.6K-41.62%61.38K-41.62%61.38K--105.14K--105.14K--------
Total non current liabilities 110.52%1.77M110.52%1.77M-0.94%840.99K-0.94%840.99K707.52%848.99K707.52%848.99K-52.93%105.14K-52.93%105.14K--223.36K--223.36K
Total liabilities 0.69%56.3M0.69%56.3M59.21%55.91M59.21%55.91M805.10%35.12M805.10%35.12M118.55%3.88M118.55%3.88M-66.34%1.78M-66.34%1.78M
Shareholders'equity
Share capital 3.75%163.31M3.75%163.31M22.32%157.41M22.32%157.41M19.58%128.68M19.58%128.68M32.69%107.61M32.69%107.61M14.22%81.09M14.22%81.09M
-common stock 3.75%163.31M3.75%163.31M22.32%157.41M22.32%157.41M19.58%128.68M19.58%128.68M32.69%107.61M32.69%107.61M14.22%81.09M14.22%81.09M
Retained earnings -5.54%-106.83M-5.54%-106.83M-19.14%-101.23M-19.14%-101.23M-31.59%-84.96M-31.59%-84.96M-26.62%-64.57M-26.62%-64.57M-16.32%-50.99M-16.32%-50.99M
Gains losses not affecting retained earnings -0.24%16.53M-0.24%16.53M29.78%16.57M29.78%16.57M54.61%12.77M54.61%12.77M103.76%8.26M103.76%8.26M57.02%4.05M57.02%4.05M
Total stockholders'equity 0.36%73.02M0.36%73.02M28.80%72.75M28.80%72.75M10.11%56.49M10.11%56.49M50.20%51.3M50.20%51.3M14.83%34.16M14.83%34.16M
Total equity 0.36%73.02M0.36%73.02M28.80%72.75M28.80%72.75M10.11%56.49M10.11%56.49M50.20%51.3M50.20%51.3M14.83%34.16M14.83%34.16M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP