AU Stock MarketDetailed Quotes

OIL Optiscan Imaging Ltd

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  • 0.220
  • -0.005-2.22%
20min DelayMarket Closed Jul 19 16:00 AET
183.77MMarket Cap-31428P/E (Static)

Optiscan Imaging Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-79.49%928.98K
-79.49%928.98K
-46.35%4.53M
-46.35%4.53M
1,503.90%8.44M
1,503.90%8.44M
-69.96%526.36K
-69.96%526.36K
12.16%1.75M
12.16%1.75M
-Cash and cash equivalents
-80.67%875.37K
-80.67%875.37K
-46.35%4.53M
-46.35%4.53M
1,503.90%8.44M
1,503.90%8.44M
-69.96%526.36K
-69.96%526.36K
12.16%1.75M
12.16%1.75M
-Accounts receivable
-58.20%163.37K
-58.20%163.37K
51.90%390.88K
51.90%390.88K
1,970.19%257.33K
1,970.19%257.33K
-91.73%12.43K
-91.73%12.43K
-56.61%150.35K
-56.61%150.35K
-Notes receivable
27.62%23.74K
27.62%23.74K
81.36%18.6K
81.36%18.6K
110.03%10.26K
110.03%10.26K
120.30%4.88K
120.30%4.88K
-83.62%2.22K
-83.62%2.22K
-Other receivables
88.21%251.88K
88.21%251.88K
37.83%133.83K
37.83%133.83K
-32.79%97.1K
-32.79%97.1K
-14.47%144.48K
-14.47%144.48K
-47.71%168.92K
-47.71%168.92K
Total current assets
-50.21%3.65M
-50.21%3.65M
-33.24%7.32M
-33.24%7.32M
337.06%10.97M
337.06%10.97M
-25.39%2.51M
-25.39%2.51M
-9.62%3.36M
-9.62%3.36M
Non current assets
-Accumulated depreciation
-13.31%-577.48K
-13.31%-577.48K
-20.78%-509.67K
-20.78%-509.67K
74.35%-422K
74.35%-422K
-38.19%-1.65M
-38.19%-1.65M
16.94%-1.19M
16.94%-1.19M
-Long term equity investment
-51.54%180.6K
-51.54%180.6K
-24.85%372.7K
-24.85%372.7K
-23.32%495.93K
-23.32%495.93K
--646.77K
--646.77K
----
----
-Goodwill
--450K
--450K
----
----
----
----
----
----
----
----
Regulatory assets
-30.93%975.93K
-30.93%975.93K
13.58%1.41M
13.58%1.41M
64.03%1.24M
64.03%1.24M
78.72%758.43K
78.72%758.43K
-65.98%424.37K
-65.98%424.37K
Liabilities
Current liabilities
Current debt and capital lease obligation
31.66%231.69K
31.66%231.69K
2.25%175.97K
2.25%175.97K
-66.21%172.09K
-66.21%172.09K
154.66%509.31K
154.66%509.31K
--200K
--200K
-Current debt
--39.59K
--39.59K
----
----
----
----
87.90%375.8K
87.90%375.8K
--200K
--200K
-Current capital lease obligation
9.17%192.1K
9.17%192.1K
2.25%175.97K
2.25%175.97K
28.89%172.09K
28.89%172.09K
--133.52K
--133.52K
----
----
-accounts payable
72.99%524.48K
72.99%524.48K
-23.56%303.18K
-23.56%303.18K
17.75%396.61K
17.75%396.61K
50.11%336.81K
50.11%336.81K
-31.33%224.38K
-31.33%224.38K
-Total tax payable
-47.78%204.34K
-47.78%204.34K
-22.70%391.31K
-22.70%391.31K
-22.32%506.19K
-22.32%506.19K
29,293.37%651.65K
29,293.37%651.65K
-83.62%2.22K
-83.62%2.22K
Current liabilities
42.26%1.42M
42.26%1.42M
2.77%1M
2.77%1M
-21.81%973.38K
-21.81%973.38K
52.11%1.24M
52.11%1.24M
-10.57%818.43K
-10.57%818.43K
Non current liabilities
-Long term debt
-51.54%180.6K
-51.54%180.6K
-24.85%372.7K
-24.85%372.7K
-23.32%495.93K
-23.32%495.93K
--646.77K
--646.77K
----
----
Non current accrued expenses
-5.46%575.73K
-5.46%575.73K
-9.80%608.97K
-9.80%608.97K
-23.50%675.17K
-23.50%675.17K
287.29%882.59K
287.29%882.59K
-34.02%227.89K
-34.02%227.89K
Employee benefits
27.62%23.74K
27.62%23.74K
81.36%18.6K
81.36%18.6K
110.03%10.26K
110.03%10.26K
120.30%4.88K
120.30%4.88K
-83.62%2.22K
-83.62%2.22K
Preferred securities outside stock equity
7.16%415.15K
7.16%415.15K
25.96%387.41K
25.96%387.41K
20.94%307.58K
20.94%307.58K
12.96%254.31K
12.96%254.31K
-15.16%225.13K
-15.16%225.13K
Total non current liabilities
16.95%1.63M
16.95%1.63M
-5.94%1.39M
-5.94%1.39M
-21.99%1.48M
-21.99%1.48M
131.11%1.9M
131.11%1.9M
-11.63%820.64K
-11.63%820.64K
Shareholders'equity
Share capital
0.85%71.86M
0.85%71.86M
0.44%71.26M
0.44%71.26M
18.77%70.94M
18.77%70.94M
0.57%59.73M
0.57%59.73M
2.42%59.39M
2.42%59.39M
-common stock
0.85%71.86M
0.85%71.86M
0.44%71.26M
0.44%71.26M
18.77%70.94M
18.77%70.94M
0.57%59.73M
0.57%59.73M
2.42%59.39M
2.42%59.39M
Gains losses not affecting retained earnings
-4.79%2.12M
-4.79%2.12M
15.22%2.23M
15.22%2.23M
-18.04%1.94M
-18.04%1.94M
6.86%2.36M
6.86%2.36M
17.54%2.21M
17.54%2.21M
Total equity
-41.48%4.67M
-41.48%4.67M
-31.74%7.98M
-31.74%7.98M
239.54%11.7M
239.54%11.7M
-5.48%3.44M
-5.48%3.44M
-11.76%3.64M
-11.76%3.64M
(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(FY)Jun 30, 2019(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -79.49%928.98K-79.49%928.98K-46.35%4.53M-46.35%4.53M1,503.90%8.44M1,503.90%8.44M-69.96%526.36K-69.96%526.36K12.16%1.75M12.16%1.75M
-Cash and cash equivalents -80.67%875.37K-80.67%875.37K-46.35%4.53M-46.35%4.53M1,503.90%8.44M1,503.90%8.44M-69.96%526.36K-69.96%526.36K12.16%1.75M12.16%1.75M
-Accounts receivable -58.20%163.37K-58.20%163.37K51.90%390.88K51.90%390.88K1,970.19%257.33K1,970.19%257.33K-91.73%12.43K-91.73%12.43K-56.61%150.35K-56.61%150.35K
-Notes receivable 27.62%23.74K27.62%23.74K81.36%18.6K81.36%18.6K110.03%10.26K110.03%10.26K120.30%4.88K120.30%4.88K-83.62%2.22K-83.62%2.22K
-Other receivables 88.21%251.88K88.21%251.88K37.83%133.83K37.83%133.83K-32.79%97.1K-32.79%97.1K-14.47%144.48K-14.47%144.48K-47.71%168.92K-47.71%168.92K
Total current assets -50.21%3.65M-50.21%3.65M-33.24%7.32M-33.24%7.32M337.06%10.97M337.06%10.97M-25.39%2.51M-25.39%2.51M-9.62%3.36M-9.62%3.36M
Non current assets
-Accumulated depreciation -13.31%-577.48K-13.31%-577.48K-20.78%-509.67K-20.78%-509.67K74.35%-422K74.35%-422K-38.19%-1.65M-38.19%-1.65M16.94%-1.19M16.94%-1.19M
-Long term equity investment -51.54%180.6K-51.54%180.6K-24.85%372.7K-24.85%372.7K-23.32%495.93K-23.32%495.93K--646.77K--646.77K--------
-Goodwill --450K--450K--------------------------------
Regulatory assets -30.93%975.93K-30.93%975.93K13.58%1.41M13.58%1.41M64.03%1.24M64.03%1.24M78.72%758.43K78.72%758.43K-65.98%424.37K-65.98%424.37K
Liabilities
Current liabilities
Current debt and capital lease obligation 31.66%231.69K31.66%231.69K2.25%175.97K2.25%175.97K-66.21%172.09K-66.21%172.09K154.66%509.31K154.66%509.31K--200K--200K
-Current debt --39.59K--39.59K----------------87.90%375.8K87.90%375.8K--200K--200K
-Current capital lease obligation 9.17%192.1K9.17%192.1K2.25%175.97K2.25%175.97K28.89%172.09K28.89%172.09K--133.52K--133.52K--------
-accounts payable 72.99%524.48K72.99%524.48K-23.56%303.18K-23.56%303.18K17.75%396.61K17.75%396.61K50.11%336.81K50.11%336.81K-31.33%224.38K-31.33%224.38K
-Total tax payable -47.78%204.34K-47.78%204.34K-22.70%391.31K-22.70%391.31K-22.32%506.19K-22.32%506.19K29,293.37%651.65K29,293.37%651.65K-83.62%2.22K-83.62%2.22K
Current liabilities 42.26%1.42M42.26%1.42M2.77%1M2.77%1M-21.81%973.38K-21.81%973.38K52.11%1.24M52.11%1.24M-10.57%818.43K-10.57%818.43K
Non current liabilities
-Long term debt -51.54%180.6K-51.54%180.6K-24.85%372.7K-24.85%372.7K-23.32%495.93K-23.32%495.93K--646.77K--646.77K--------
Non current accrued expenses -5.46%575.73K-5.46%575.73K-9.80%608.97K-9.80%608.97K-23.50%675.17K-23.50%675.17K287.29%882.59K287.29%882.59K-34.02%227.89K-34.02%227.89K
Employee benefits 27.62%23.74K27.62%23.74K81.36%18.6K81.36%18.6K110.03%10.26K110.03%10.26K120.30%4.88K120.30%4.88K-83.62%2.22K-83.62%2.22K
Preferred securities outside stock equity 7.16%415.15K7.16%415.15K25.96%387.41K25.96%387.41K20.94%307.58K20.94%307.58K12.96%254.31K12.96%254.31K-15.16%225.13K-15.16%225.13K
Total non current liabilities 16.95%1.63M16.95%1.63M-5.94%1.39M-5.94%1.39M-21.99%1.48M-21.99%1.48M131.11%1.9M131.11%1.9M-11.63%820.64K-11.63%820.64K
Shareholders'equity
Share capital 0.85%71.86M0.85%71.86M0.44%71.26M0.44%71.26M18.77%70.94M18.77%70.94M0.57%59.73M0.57%59.73M2.42%59.39M2.42%59.39M
-common stock 0.85%71.86M0.85%71.86M0.44%71.26M0.44%71.26M18.77%70.94M18.77%70.94M0.57%59.73M0.57%59.73M2.42%59.39M2.42%59.39M
Gains losses not affecting retained earnings -4.79%2.12M-4.79%2.12M15.22%2.23M15.22%2.23M-18.04%1.94M-18.04%1.94M6.86%2.36M6.86%2.36M17.54%2.21M17.54%2.21M
Total equity -41.48%4.67M-41.48%4.67M-31.74%7.98M-31.74%7.98M239.54%11.7M239.54%11.7M-5.48%3.44M-5.48%3.44M-11.76%3.64M-11.76%3.64M

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