US Stock MarketDetailed Quotes

NXLLF NUIX LTD

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  • 3.700
  • 0.0000.00%
15min DelayClose Dec 17 16:00 ET
1.22BMarket Cap370.00P/E (TTM)

NUIX 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
Assets
Current assets
Cash, cash equivalents and short term investments
28.54%38.03M
28.54%38.03M
-36.84%29.59M
-36.84%29.59M
-33.89%46.85M
-33.89%46.85M
5.77%70.87M
--70.87M
--67M
-Cash and cash equivalents
28.54%38.03M
28.54%38.03M
-36.84%29.59M
-36.84%29.59M
-33.89%46.85M
-33.89%46.85M
5.77%70.87M
--70.87M
--67M
Receivables
-0.74%68.36M
-0.74%68.36M
34.78%68.87M
34.78%68.87M
-20.06%51.1M
-20.06%51.1M
6.18%63.92M
--63.92M
--60.2M
-Accounts receivable
-2.47%66.84M
-2.47%66.84M
34.87%68.53M
34.87%68.53M
-20.31%50.81M
-20.31%50.81M
5.93%63.77M
--63.77M
--60.2M
-Other receivables
352.40%1.51M
352.40%1.51M
17.61%334K
17.61%334K
86.84%284K
86.84%284K
--152K
--152K
----
Prepaid assets
-0.73%5.46M
-0.73%5.46M
-10.71%5.5M
-10.71%5.5M
1.77%6.16M
1.77%6.16M
--6.06M
--6.06M
----
Current deferred assets
27.13%1.83M
27.13%1.83M
-24.87%1.44M
-24.87%1.44M
--1.92M
--1.92M
----
----
----
Other current assets
12.93%1.68M
12.93%1.68M
-10.00%1.49M
-10.00%1.49M
--1.65M
--1.65M
----
----
--1.9M
Total current assets
7.93%115.36M
7.93%115.36M
-0.73%106.89M
-0.73%106.89M
-23.55%107.68M
-23.55%107.68M
9.09%140.84M
--140.84M
--129.1M
Non current assets
Net PPE
-8.85%10.57M
-8.85%10.57M
-18.54%11.59M
-18.54%11.59M
28.72%14.23M
28.72%14.23M
-27.75%11.05M
--11.05M
--15.3M
-Gross PPE
0.76%29.99M
0.76%29.99M
-1.90%29.76M
-1.90%29.76M
21.56%30.34M
21.56%30.34M
63.12%24.96M
--24.96M
--15.3M
-Accumulated depreciation
-6.88%-19.42M
-6.88%-19.42M
-12.80%-18.17M
-12.80%-18.17M
-15.87%-16.11M
-15.87%-16.11M
---13.9M
---13.9M
----
Goodwill and other intangible assets
-0.07%244.4M
-0.07%244.4M
3.14%244.57M
3.14%244.57M
20.11%237.13M
20.11%237.13M
0.11%197.42M
--197.42M
--197.2M
-Goodwill
19.15%22.77M
19.15%22.77M
3.86%19.11M
3.86%19.11M
343.93%18.4M
343.93%18.4M
--4.15M
--4.15M
----
-Other intangible assets
-1.70%221.63M
-1.70%221.63M
3.08%225.46M
3.08%225.46M
13.17%218.72M
13.17%218.72M
-1.99%193.27M
--193.27M
--197.2M
Non current accounts receivable
72.40%21.66M
72.40%21.66M
6.84%12.57M
6.84%12.57M
24.15%11.76M
24.15%11.76M
--9.47M
--9.47M
----
Non current deferred assets
40.37%5.56M
40.37%5.56M
19.00%3.96M
19.00%3.96M
-36.34%3.33M
-36.34%3.33M
-63.46%5.23M
--5.23M
--14.3M
Total non current assets
3.49%282.19M
3.49%282.19M
2.34%272.68M
2.34%272.68M
19.39%266.44M
19.39%266.44M
-1.60%223.17M
--223.17M
--226.8M
Total assets
4.74%397.55M
4.74%397.55M
1.46%379.57M
1.46%379.57M
2.78%374.12M
2.78%374.12M
2.28%364.01M
--364.01M
--355.9M
Liabilities
Current liabilities
Payables
9.37%35.33M
9.37%35.33M
36.07%32.31M
36.07%32.31M
20.19%23.74M
20.19%23.74M
-4.57%19.75M
--19.75M
--20.7M
-accounts payable
-24.06%3.2M
-24.06%3.2M
-20.64%4.22M
-20.64%4.22M
-9.15%5.31M
-9.15%5.31M
-71.76%5.85M
--5.85M
--20.7M
-Other payable
14.39%32.13M
14.39%32.13M
52.41%28.09M
52.41%28.09M
32.52%18.43M
32.52%18.43M
--13.91M
--13.91M
----
Current provisions
5.90%3.18M
5.90%3.18M
3.52%3M
3.52%3M
0.69%2.9M
0.69%2.9M
6.59%2.88M
--2.88M
--2.7M
Current debt and capital lease obligation
5.32%3.19M
5.32%3.19M
8.07%3.03M
8.07%3.03M
6.34%2.8M
6.34%2.8M
-28.78%2.64M
--2.64M
--3.7M
-Current capital lease obligation
5.32%3.19M
5.32%3.19M
8.07%3.03M
8.07%3.03M
6.34%2.8M
6.34%2.8M
-28.78%2.64M
--2.64M
--3.7M
Current deferred liabilities
-1.42%38.44M
-1.42%38.44M
19.83%39M
19.83%39M
-5.40%32.54M
-5.40%32.54M
-28.48%34.4M
--34.4M
--48.1M
Other current liabilities
-36.18%3.95M
-36.18%3.95M
-17.80%6.19M
-17.80%6.19M
--7.53M
--7.53M
----
----
----
Current liabilities
0.69%84.09M
0.69%84.09M
20.15%83.52M
20.15%83.52M
16.50%69.51M
16.50%69.51M
-20.65%59.67M
--59.67M
--75.2M
Non current liabilities
Long term provisions
5.81%1.24M
5.81%1.24M
40.07%1.17M
40.07%1.17M
174.10%836K
174.10%836K
-39.00%305K
--305K
--500K
Long term debt and capital lease obligation
-18.61%6.58M
-18.61%6.58M
-25.44%8.09M
-25.44%8.09M
24.30%10.85M
24.30%10.85M
-24.11%8.73M
--8.73M
--11.5M
-Long term capital lease obligation
-18.61%6.58M
-18.61%6.58M
-25.44%8.09M
-25.44%8.09M
24.30%10.85M
24.30%10.85M
-24.11%8.73M
--8.73M
--11.5M
Non current deferred liabilities
1.78%16.23M
1.78%16.23M
-4.74%15.95M
-4.74%15.95M
19.62%16.74M
19.62%16.74M
164.06%14M
--14M
--5.3M
Employee benefits
----
----
----
----
-23.63%181K
-23.63%181K
--237K
--237K
----
Other non current liabilities
--2.71M
--2.71M
----
----
--6.93M
--6.93M
----
----
--100K
Total non current liabilities
6.17%26.76M
6.17%26.76M
-29.07%25.21M
-29.07%25.21M
52.75%35.54M
52.75%35.54M
33.70%23.26M
--23.26M
--17.4M
Total liabilities
1.96%110.85M
1.96%110.85M
3.50%108.73M
3.50%108.73M
26.67%105.05M
26.67%105.05M
-10.44%82.93M
--82.93M
--92.6M
Shareholders'equity
Share capital
1.69%376.95M
1.69%376.95M
0.00%370.7M
0.00%370.7M
0.00%370.7M
0.00%370.7M
-0.14%370.7M
--370.7M
--371.2M
-common stock
1.69%376.95M
1.69%376.95M
0.00%370.7M
0.00%370.7M
0.00%370.7M
0.00%370.7M
-0.14%370.7M
--370.7M
--371.2M
Retained earnings
8.92%61.35M
8.92%61.35M
-9.03%56.32M
-9.03%56.32M
-26.91%61.91M
-26.91%61.91M
34.02%84.7M
--84.7M
--63.2M
Gains losses not affecting retained earnings
2.93%-151.6M
2.93%-151.6M
4.50%-156.18M
4.50%-156.18M
6.19%-163.54M
6.19%-163.54M
-1.88%-174.32M
---174.32M
---171.1M
Total stockholders'equity
5.85%286.69M
5.85%286.69M
0.66%270.84M
0.66%270.84M
-4.27%269.07M
-4.27%269.07M
6.75%281.08M
--281.08M
--263.3M
Total equity
5.85%286.69M
5.85%286.69M
0.66%270.84M
0.66%270.84M
-4.27%269.07M
-4.27%269.07M
6.75%281.08M
--281.08M
--263.3M
Currency Unit
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
Accounting Standards
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
Assets
Current assets
Cash, cash equivalents and short term investments 28.54%38.03M28.54%38.03M-36.84%29.59M-36.84%29.59M-33.89%46.85M-33.89%46.85M5.77%70.87M--70.87M--67M
-Cash and cash equivalents 28.54%38.03M28.54%38.03M-36.84%29.59M-36.84%29.59M-33.89%46.85M-33.89%46.85M5.77%70.87M--70.87M--67M
Receivables -0.74%68.36M-0.74%68.36M34.78%68.87M34.78%68.87M-20.06%51.1M-20.06%51.1M6.18%63.92M--63.92M--60.2M
-Accounts receivable -2.47%66.84M-2.47%66.84M34.87%68.53M34.87%68.53M-20.31%50.81M-20.31%50.81M5.93%63.77M--63.77M--60.2M
-Other receivables 352.40%1.51M352.40%1.51M17.61%334K17.61%334K86.84%284K86.84%284K--152K--152K----
Prepaid assets -0.73%5.46M-0.73%5.46M-10.71%5.5M-10.71%5.5M1.77%6.16M1.77%6.16M--6.06M--6.06M----
Current deferred assets 27.13%1.83M27.13%1.83M-24.87%1.44M-24.87%1.44M--1.92M--1.92M------------
Other current assets 12.93%1.68M12.93%1.68M-10.00%1.49M-10.00%1.49M--1.65M--1.65M----------1.9M
Total current assets 7.93%115.36M7.93%115.36M-0.73%106.89M-0.73%106.89M-23.55%107.68M-23.55%107.68M9.09%140.84M--140.84M--129.1M
Non current assets
Net PPE -8.85%10.57M-8.85%10.57M-18.54%11.59M-18.54%11.59M28.72%14.23M28.72%14.23M-27.75%11.05M--11.05M--15.3M
-Gross PPE 0.76%29.99M0.76%29.99M-1.90%29.76M-1.90%29.76M21.56%30.34M21.56%30.34M63.12%24.96M--24.96M--15.3M
-Accumulated depreciation -6.88%-19.42M-6.88%-19.42M-12.80%-18.17M-12.80%-18.17M-15.87%-16.11M-15.87%-16.11M---13.9M---13.9M----
Goodwill and other intangible assets -0.07%244.4M-0.07%244.4M3.14%244.57M3.14%244.57M20.11%237.13M20.11%237.13M0.11%197.42M--197.42M--197.2M
-Goodwill 19.15%22.77M19.15%22.77M3.86%19.11M3.86%19.11M343.93%18.4M343.93%18.4M--4.15M--4.15M----
-Other intangible assets -1.70%221.63M-1.70%221.63M3.08%225.46M3.08%225.46M13.17%218.72M13.17%218.72M-1.99%193.27M--193.27M--197.2M
Non current accounts receivable 72.40%21.66M72.40%21.66M6.84%12.57M6.84%12.57M24.15%11.76M24.15%11.76M--9.47M--9.47M----
Non current deferred assets 40.37%5.56M40.37%5.56M19.00%3.96M19.00%3.96M-36.34%3.33M-36.34%3.33M-63.46%5.23M--5.23M--14.3M
Total non current assets 3.49%282.19M3.49%282.19M2.34%272.68M2.34%272.68M19.39%266.44M19.39%266.44M-1.60%223.17M--223.17M--226.8M
Total assets 4.74%397.55M4.74%397.55M1.46%379.57M1.46%379.57M2.78%374.12M2.78%374.12M2.28%364.01M--364.01M--355.9M
Liabilities
Current liabilities
Payables 9.37%35.33M9.37%35.33M36.07%32.31M36.07%32.31M20.19%23.74M20.19%23.74M-4.57%19.75M--19.75M--20.7M
-accounts payable -24.06%3.2M-24.06%3.2M-20.64%4.22M-20.64%4.22M-9.15%5.31M-9.15%5.31M-71.76%5.85M--5.85M--20.7M
-Other payable 14.39%32.13M14.39%32.13M52.41%28.09M52.41%28.09M32.52%18.43M32.52%18.43M--13.91M--13.91M----
Current provisions 5.90%3.18M5.90%3.18M3.52%3M3.52%3M0.69%2.9M0.69%2.9M6.59%2.88M--2.88M--2.7M
Current debt and capital lease obligation 5.32%3.19M5.32%3.19M8.07%3.03M8.07%3.03M6.34%2.8M6.34%2.8M-28.78%2.64M--2.64M--3.7M
-Current capital lease obligation 5.32%3.19M5.32%3.19M8.07%3.03M8.07%3.03M6.34%2.8M6.34%2.8M-28.78%2.64M--2.64M--3.7M
Current deferred liabilities -1.42%38.44M-1.42%38.44M19.83%39M19.83%39M-5.40%32.54M-5.40%32.54M-28.48%34.4M--34.4M--48.1M
Other current liabilities -36.18%3.95M-36.18%3.95M-17.80%6.19M-17.80%6.19M--7.53M--7.53M------------
Current liabilities 0.69%84.09M0.69%84.09M20.15%83.52M20.15%83.52M16.50%69.51M16.50%69.51M-20.65%59.67M--59.67M--75.2M
Non current liabilities
Long term provisions 5.81%1.24M5.81%1.24M40.07%1.17M40.07%1.17M174.10%836K174.10%836K-39.00%305K--305K--500K
Long term debt and capital lease obligation -18.61%6.58M-18.61%6.58M-25.44%8.09M-25.44%8.09M24.30%10.85M24.30%10.85M-24.11%8.73M--8.73M--11.5M
-Long term capital lease obligation -18.61%6.58M-18.61%6.58M-25.44%8.09M-25.44%8.09M24.30%10.85M24.30%10.85M-24.11%8.73M--8.73M--11.5M
Non current deferred liabilities 1.78%16.23M1.78%16.23M-4.74%15.95M-4.74%15.95M19.62%16.74M19.62%16.74M164.06%14M--14M--5.3M
Employee benefits -----------------23.63%181K-23.63%181K--237K--237K----
Other non current liabilities --2.71M--2.71M----------6.93M--6.93M----------100K
Total non current liabilities 6.17%26.76M6.17%26.76M-29.07%25.21M-29.07%25.21M52.75%35.54M52.75%35.54M33.70%23.26M--23.26M--17.4M
Total liabilities 1.96%110.85M1.96%110.85M3.50%108.73M3.50%108.73M26.67%105.05M26.67%105.05M-10.44%82.93M--82.93M--92.6M
Shareholders'equity
Share capital 1.69%376.95M1.69%376.95M0.00%370.7M0.00%370.7M0.00%370.7M0.00%370.7M-0.14%370.7M--370.7M--371.2M
-common stock 1.69%376.95M1.69%376.95M0.00%370.7M0.00%370.7M0.00%370.7M0.00%370.7M-0.14%370.7M--370.7M--371.2M
Retained earnings 8.92%61.35M8.92%61.35M-9.03%56.32M-9.03%56.32M-26.91%61.91M-26.91%61.91M34.02%84.7M--84.7M--63.2M
Gains losses not affecting retained earnings 2.93%-151.6M2.93%-151.6M4.50%-156.18M4.50%-156.18M6.19%-163.54M6.19%-163.54M-1.88%-174.32M---174.32M---171.1M
Total stockholders'equity 5.85%286.69M5.85%286.69M0.66%270.84M0.66%270.84M-4.27%269.07M-4.27%269.07M6.75%281.08M--281.08M--263.3M
Total equity 5.85%286.69M5.85%286.69M0.66%270.84M0.66%270.84M-4.27%269.07M-4.27%269.07M6.75%281.08M--281.08M--263.3M
Currency Unit AUDAUDAUDAUDAUDAUDAUDAUDAUD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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