AU Stock MarketDetailed Quotes

OCL Objective Corp Ltd

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  • 12.990
  • +0.390+3.10%
20min DelayTrading Aug 27 11:19 AET
1.24BMarket Cap40.09P/E (Static)

Objective Corp 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
32.35%95.98M
32.35%95.98M
13.68%72.52M
13.68%72.52M
31.91%63.79M
31.91%63.79M
-5.27%48.36M
-5.27%48.36M
47.73%51.05M
47.73%51.05M
-Cash and cash equivalents
32.35%95.98M
32.35%95.98M
13.68%72.52M
13.68%72.52M
31.91%63.79M
31.91%63.79M
-5.27%48.36M
-5.27%48.36M
47.73%51.05M
47.73%51.05M
-Accounts receivable
-83.85%3.16M
-83.85%3.16M
16.21%19.56M
16.21%19.56M
36.50%16.84M
36.50%16.84M
20.97%12.33M
20.97%12.33M
-3.56%10.2M
-3.56%10.2M
-Notes receivable
21.93%606K
21.93%606K
0.81%497K
0.81%497K
-3.71%493K
-3.71%493K
118.80%512K
118.80%512K
7.83%234K
7.83%234K
-Other receivables
-32.50%2.87M
-32.50%2.87M
-17.00%4.26M
-17.00%4.26M
37.33%5.13M
37.33%5.13M
6.29%3.73M
6.29%3.73M
49.87%3.51M
49.87%3.51M
Current deferred assets
----
----
--967K
--967K
----
----
----
----
----
----
Total current assets
6.23%105.91M
6.23%105.91M
15.37%99.7M
15.37%99.7M
31.37%86.41M
31.37%86.41M
1.37%65.78M
1.37%65.78M
34.79%64.89M
34.79%64.89M
Non current assets
-Accumulated depreciation
-17.89%-26.4M
-17.89%-26.4M
-25.82%-22.39M
-25.82%-22.39M
-30.10%-17.79M
-30.10%-17.79M
-57.53%-13.68M
-57.53%-13.68M
-123.02%-8.68M
-123.02%-8.68M
-Long term equity investment
-20.14%10.69M
-20.14%10.69M
127.48%13.39M
127.48%13.39M
-30.68%5.88M
-30.68%5.88M
-17.21%8.49M
-17.21%8.49M
0.10%10.25M
0.10%10.25M
Non current note receivables
----
----
6.56%2.42M
6.56%2.42M
4.61%2.27M
4.61%2.27M
22.05%2.17M
22.05%2.17M
12.32%1.78M
12.32%1.78M
-Goodwill
29.90%53.41M
29.90%53.41M
0.96%41.12M
0.96%41.12M
14.58%40.73M
14.58%40.73M
103.33%35.54M
103.33%35.54M
32.14%17.48M
32.14%17.48M
Regulatory assets
-78.09%4.52M
-78.09%4.52M
17.06%20.65M
17.06%20.65M
35.95%17.64M
35.95%17.64M
21.50%12.97M
21.50%12.97M
-2.74%10.68M
-2.74%10.68M
Non current deferred assets
-60.00%8K
-60.00%8K
-39.39%20K
-39.39%20K
-61.63%33K
-61.63%33K
-83.68%86K
-83.68%86K
-10.68%527K
-10.68%527K
Liabilities
Current liabilities
Current debt and capital lease obligation
8.97%2.76M
8.97%2.76M
-24.03%2.53M
-24.03%2.53M
10.73%3.33M
10.73%3.33M
20.79%3.01M
20.79%3.01M
47.28%2.49M
47.28%2.49M
-Current capital lease obligation
8.97%2.76M
8.97%2.76M
-24.03%2.53M
-24.03%2.53M
10.73%3.33M
10.73%3.33M
20.79%3.01M
20.79%3.01M
47.28%2.49M
47.28%2.49M
-accounts payable
-1.49%7.09M
-1.49%7.09M
4.79%7.2M
4.79%7.2M
-7.95%6.87M
-7.95%6.87M
50.10%7.46M
50.10%7.46M
8.56%4.97M
8.56%4.97M
-Total tax payable
-12.87%12.45M
-12.87%12.45M
111.03%14.29M
111.03%14.29M
-28.63%6.77M
-28.63%6.77M
-16.34%9.49M
-16.34%9.49M
7.15%11.34M
7.15%11.34M
-Other payable
0.00%6K
0.00%6K
0.00%6K
0.00%6K
--6K
--6K
----
----
--6K
--6K
Current provisions
----
----
----
----
--1.44M
--1.44M
----
----
----
----
Current deferred liabilities
--661K
--661K
----
----
-34.45%312K
-34.45%312K
-52.16%476K
-52.16%476K
64.19%995K
64.19%995K
Current liabilities
-5.37%68.14M
-5.37%68.14M
0.45%72.01M
0.45%72.01M
19.06%71.69M
19.06%71.69M
15.42%60.21M
15.42%60.21M
43.68%52.16M
43.68%52.16M
Non current liabilities
-Long term debt
-20.14%10.69M
-20.14%10.69M
127.48%13.39M
127.48%13.39M
-30.68%5.88M
-30.68%5.88M
-17.21%8.49M
-17.21%8.49M
0.10%10.25M
0.10%10.25M
Non current accrued expenses
-18.26%13.57M
-18.26%13.57M
51.29%16.6M
51.29%16.6M
-16.08%10.97M
-16.08%10.97M
-7.76%13.07M
-7.76%13.07M
4.99%14.17M
4.99%14.17M
Employee benefits
21.93%606K
21.93%606K
0.81%497K
0.81%497K
-3.71%493K
-3.71%493K
118.80%512K
118.80%512K
7.83%234K
7.83%234K
Regulatory liabilities
-356.10%-187K
-356.10%-187K
-2.50%-41K
-2.50%-41K
79.70%-40K
79.70%-40K
-3,840.00%-197K
-3,840.00%-197K
96.67%-5K
96.67%-5K
Preferred securities outside stock equity
5.40%6.16M
5.40%6.16M
5.94%5.85M
5.94%5.85M
11.27%5.52M
11.27%5.52M
42.61%4.96M
42.61%4.96M
30.16%3.48M
30.16%3.48M
Total non current liabilities
-6.61%80.6M
-6.61%80.6M
10.00%86.3M
10.00%86.3M
12.57%78.46M
12.57%78.46M
9.75%69.7M
9.75%69.7M
35.43%63.51M
35.43%63.51M
Shareholders'equity
Share capital
5.66%12.39M
5.66%12.39M
3.64%11.72M
3.64%11.72M
62.90%11.31M
62.90%11.31M
27.44%6.94M
27.44%6.94M
9.09%5.45M
9.09%5.45M
-common stock
5.66%12.39M
5.66%12.39M
3.64%11.72M
3.64%11.72M
62.90%11.31M
62.90%11.31M
27.44%6.94M
27.44%6.94M
9.09%5.45M
9.09%5.45M
Gains losses not affecting retained earnings
-3.78%-10.68M
-3.78%-10.68M
4.77%-10.29M
4.77%-10.29M
-4.19%-10.81M
-4.19%-10.81M
5.28%-10.37M
5.28%-10.37M
-6.96%-10.95M
-6.96%-10.95M
Other equity interest
-14.95%2.81M
-14.95%2.81M
9.26%3.3M
9.26%3.3M
10.20%3.02M
10.20%3.02M
102.66%2.74M
102.66%2.74M
36.77%1.35M
36.77%1.35M
Total equity
8.16%172.9M
8.16%172.9M
13.84%159.85M
13.84%159.85M
20.37%140.42M
20.37%140.42M
18.00%116.65M
18.00%116.65M
28.31%98.85M
28.31%98.85M
(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 32.35%95.98M32.35%95.98M13.68%72.52M13.68%72.52M31.91%63.79M31.91%63.79M-5.27%48.36M-5.27%48.36M47.73%51.05M47.73%51.05M
-Cash and cash equivalents 32.35%95.98M32.35%95.98M13.68%72.52M13.68%72.52M31.91%63.79M31.91%63.79M-5.27%48.36M-5.27%48.36M47.73%51.05M47.73%51.05M
-Accounts receivable -83.85%3.16M-83.85%3.16M16.21%19.56M16.21%19.56M36.50%16.84M36.50%16.84M20.97%12.33M20.97%12.33M-3.56%10.2M-3.56%10.2M
-Notes receivable 21.93%606K21.93%606K0.81%497K0.81%497K-3.71%493K-3.71%493K118.80%512K118.80%512K7.83%234K7.83%234K
-Other receivables -32.50%2.87M-32.50%2.87M-17.00%4.26M-17.00%4.26M37.33%5.13M37.33%5.13M6.29%3.73M6.29%3.73M49.87%3.51M49.87%3.51M
Current deferred assets ----------967K--967K------------------------
Total current assets 6.23%105.91M6.23%105.91M15.37%99.7M15.37%99.7M31.37%86.41M31.37%86.41M1.37%65.78M1.37%65.78M34.79%64.89M34.79%64.89M
Non current assets
-Accumulated depreciation -17.89%-26.4M-17.89%-26.4M-25.82%-22.39M-25.82%-22.39M-30.10%-17.79M-30.10%-17.79M-57.53%-13.68M-57.53%-13.68M-123.02%-8.68M-123.02%-8.68M
-Long term equity investment -20.14%10.69M-20.14%10.69M127.48%13.39M127.48%13.39M-30.68%5.88M-30.68%5.88M-17.21%8.49M-17.21%8.49M0.10%10.25M0.10%10.25M
Non current note receivables --------6.56%2.42M6.56%2.42M4.61%2.27M4.61%2.27M22.05%2.17M22.05%2.17M12.32%1.78M12.32%1.78M
-Goodwill 29.90%53.41M29.90%53.41M0.96%41.12M0.96%41.12M14.58%40.73M14.58%40.73M103.33%35.54M103.33%35.54M32.14%17.48M32.14%17.48M
Regulatory assets -78.09%4.52M-78.09%4.52M17.06%20.65M17.06%20.65M35.95%17.64M35.95%17.64M21.50%12.97M21.50%12.97M-2.74%10.68M-2.74%10.68M
Non current deferred assets -60.00%8K-60.00%8K-39.39%20K-39.39%20K-61.63%33K-61.63%33K-83.68%86K-83.68%86K-10.68%527K-10.68%527K
Liabilities
Current liabilities
Current debt and capital lease obligation 8.97%2.76M8.97%2.76M-24.03%2.53M-24.03%2.53M10.73%3.33M10.73%3.33M20.79%3.01M20.79%3.01M47.28%2.49M47.28%2.49M
-Current capital lease obligation 8.97%2.76M8.97%2.76M-24.03%2.53M-24.03%2.53M10.73%3.33M10.73%3.33M20.79%3.01M20.79%3.01M47.28%2.49M47.28%2.49M
-accounts payable -1.49%7.09M-1.49%7.09M4.79%7.2M4.79%7.2M-7.95%6.87M-7.95%6.87M50.10%7.46M50.10%7.46M8.56%4.97M8.56%4.97M
-Total tax payable -12.87%12.45M-12.87%12.45M111.03%14.29M111.03%14.29M-28.63%6.77M-28.63%6.77M-16.34%9.49M-16.34%9.49M7.15%11.34M7.15%11.34M
-Other payable 0.00%6K0.00%6K0.00%6K0.00%6K--6K--6K----------6K--6K
Current provisions ------------------1.44M--1.44M----------------
Current deferred liabilities --661K--661K---------34.45%312K-34.45%312K-52.16%476K-52.16%476K64.19%995K64.19%995K
Current liabilities -5.37%68.14M-5.37%68.14M0.45%72.01M0.45%72.01M19.06%71.69M19.06%71.69M15.42%60.21M15.42%60.21M43.68%52.16M43.68%52.16M
Non current liabilities
-Long term debt -20.14%10.69M-20.14%10.69M127.48%13.39M127.48%13.39M-30.68%5.88M-30.68%5.88M-17.21%8.49M-17.21%8.49M0.10%10.25M0.10%10.25M
Non current accrued expenses -18.26%13.57M-18.26%13.57M51.29%16.6M51.29%16.6M-16.08%10.97M-16.08%10.97M-7.76%13.07M-7.76%13.07M4.99%14.17M4.99%14.17M
Employee benefits 21.93%606K21.93%606K0.81%497K0.81%497K-3.71%493K-3.71%493K118.80%512K118.80%512K7.83%234K7.83%234K
Regulatory liabilities -356.10%-187K-356.10%-187K-2.50%-41K-2.50%-41K79.70%-40K79.70%-40K-3,840.00%-197K-3,840.00%-197K96.67%-5K96.67%-5K
Preferred securities outside stock equity 5.40%6.16M5.40%6.16M5.94%5.85M5.94%5.85M11.27%5.52M11.27%5.52M42.61%4.96M42.61%4.96M30.16%3.48M30.16%3.48M
Total non current liabilities -6.61%80.6M-6.61%80.6M10.00%86.3M10.00%86.3M12.57%78.46M12.57%78.46M9.75%69.7M9.75%69.7M35.43%63.51M35.43%63.51M
Shareholders'equity
Share capital 5.66%12.39M5.66%12.39M3.64%11.72M3.64%11.72M62.90%11.31M62.90%11.31M27.44%6.94M27.44%6.94M9.09%5.45M9.09%5.45M
-common stock 5.66%12.39M5.66%12.39M3.64%11.72M3.64%11.72M62.90%11.31M62.90%11.31M27.44%6.94M27.44%6.94M9.09%5.45M9.09%5.45M
Gains losses not affecting retained earnings -3.78%-10.68M-3.78%-10.68M4.77%-10.29M4.77%-10.29M-4.19%-10.81M-4.19%-10.81M5.28%-10.37M5.28%-10.37M-6.96%-10.95M-6.96%-10.95M
Other equity interest -14.95%2.81M-14.95%2.81M9.26%3.3M9.26%3.3M10.20%3.02M10.20%3.02M102.66%2.74M102.66%2.74M36.77%1.35M36.77%1.35M
Total equity 8.16%172.9M8.16%172.9M13.84%159.85M13.84%159.85M20.37%140.42M20.37%140.42M18.00%116.65M18.00%116.65M28.31%98.85M28.31%98.85M

Analysis

Analyst Rating

No Data

Price Target

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