AU Stock MarketDetailed Quotes

OSL OncoSil Medical Ltd

Watchlist
  • 0.007
  • 0.0000.00%
20min DelayTrading Dec 12 10:41 AET
31.48MMarket Cap-1.40P/E (Static)

OncoSil Medical 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
-52.67%4.5M
-52.67%4.5M
-16.35%9.51M
-16.35%9.51M
-7.80%11.37M
-7.80%11.37M
-41.28%12.33M
-41.28%12.33M
173.08%21M
173.08%21M
-Cash and cash equivalents
-52.08%4.5M
-52.08%4.5M
-16.72%9.39M
-16.72%9.39M
-7.84%11.28M
-7.84%11.28M
-41.71%12.24M
-41.71%12.24M
173.08%21M
173.08%21M
-Short term investments
----
----
30.58%116.57K
30.58%116.57K
-1.40%89.27K
-1.40%89.27K
--90.53K
--90.53K
----
----
Receivables
-3.56%1.24M
-3.56%1.24M
41.63%1.29M
41.63%1.29M
-23.17%907.74K
-23.17%907.74K
-57.89%1.18M
-57.89%1.18M
-26.53%2.81M
-26.53%2.81M
-Accounts receivable
91.29%117.17K
91.29%117.17K
271.24%61.25K
271.24%61.25K
-42.49%16.5K
-42.49%16.5K
--28.69K
--28.69K
----
----
-Other receivables
-8.31%1.12M
-8.31%1.12M
37.38%1.22M
37.38%1.22M
-22.69%891.24K
-22.69%891.24K
-58.91%1.15M
-58.91%1.15M
-26.53%2.81M
-26.53%2.81M
Prepaid assets
-10.76%391.67K
-10.76%391.67K
-6.16%438.88K
-6.16%438.88K
333.57%467.71K
333.57%467.71K
122.20%107.87K
122.20%107.87K
71.01%48.55K
71.01%48.55K
Other current assets
--195.74K
--195.74K
----
----
----
----
----
----
0.00%69.21K
0.00%69.21K
Total current assets
-43.67%6.33M
-43.67%6.33M
-11.85%11.23M
-11.85%11.23M
-6.43%12.74M
-6.43%12.74M
-43.07%13.62M
-43.07%13.62M
106.12%23.92M
106.12%23.92M
Non current assets
Net PPE
62.89%389.73K
62.89%389.73K
-26.37%239.26K
-26.37%239.26K
-38.78%324.93K
-38.78%324.93K
283.59%530.79K
283.59%530.79K
121.52%138.37K
121.52%138.37K
-Gross PPE
-10.14%525.05K
-10.14%525.05K
7.27%584.32K
7.27%584.32K
-9.31%544.7K
-9.31%544.7K
130.07%600.62K
130.07%600.62K
317.92%261.06K
317.92%261.06K
-Accumulated depreciation
60.79%-135.31K
60.79%-135.31K
-57.01%-345.06K
-57.01%-345.06K
-214.72%-219.77K
-214.72%-219.77K
43.08%-69.83K
43.08%-69.83K
---122.68K
---122.68K
Total non current assets
62.89%389.73K
62.89%389.73K
-26.37%239.26K
-26.37%239.26K
-38.78%324.93K
-38.78%324.93K
283.59%530.79K
283.59%530.79K
121.52%138.37K
121.52%138.37K
Total assets
-41.45%6.72M
-41.45%6.72M
-12.21%11.47M
-12.21%11.47M
-7.64%13.07M
-7.64%13.07M
-41.19%14.15M
-41.19%14.15M
106.20%24.06M
106.20%24.06M
Liabilities
Current liabilities
Current debt and capital lease obligation
-77.97%32.22K
-77.97%32.22K
-11.57%146.25K
-11.57%146.25K
1.31%165.38K
1.31%165.38K
48.48%163.24K
48.48%163.24K
--109.94K
--109.94K
-Current debt
----
----
----
----
----
----
----
----
--26.56K
--26.56K
-Current capital lease obligation
-77.97%32.22K
-77.97%32.22K
-11.57%146.25K
-11.57%146.25K
1.31%165.38K
1.31%165.38K
95.79%163.24K
95.79%163.24K
--83.38K
--83.38K
Payables
34.70%1.83M
34.70%1.83M
-7.04%1.36M
-7.04%1.36M
-15.62%1.46M
-15.62%1.46M
-2.77%1.73M
-2.77%1.73M
131.97%1.78M
131.97%1.78M
-accounts payable
17.00%1.12M
17.00%1.12M
3.13%960.17K
3.13%960.17K
-24.12%931.04K
-24.12%931.04K
-9.49%1.23M
-9.49%1.23M
272.43%1.36M
272.43%1.36M
-Other payable
77.42%705.78K
77.42%705.78K
-24.91%397.8K
-24.91%397.8K
5.04%529.76K
5.04%529.76K
18.67%504.33K
18.67%504.33K
5.29%424.98K
5.29%424.98K
Pension and other retirement benefit plans
26.40%82.11K
26.40%82.11K
-54.14%64.96K
-54.14%64.96K
-40.58%141.65K
-40.58%141.65K
-11.05%238.4K
-11.05%238.4K
18.80%268.03K
18.80%268.03K
Current liabilities
23.86%1.94M
23.86%1.94M
-11.24%1.57M
-11.24%1.57M
-17.12%1.77M
-17.12%1.77M
-1.19%2.13M
-1.19%2.13M
117.33%2.16M
117.33%2.16M
Non current liabilities
Long term debt and capital lease obligation
56.55%38.45K
56.55%38.45K
-82.31%24.56K
-82.31%24.56K
-56.76%138.84K
-56.76%138.84K
--321.13K
--321.13K
----
----
-Long term capital lease obligation
56.55%38.45K
56.55%38.45K
-82.31%24.56K
-82.31%24.56K
-56.76%138.84K
-56.76%138.84K
--321.13K
--321.13K
----
----
Total non current liabilities
56.55%38.45K
56.55%38.45K
-82.31%24.56K
-82.31%24.56K
-56.76%138.84K
-56.76%138.84K
--321.13K
--321.13K
--0
--0
Total liabilities
24.36%1.98M
24.36%1.98M
-16.41%1.59M
-16.41%1.59M
-22.30%1.91M
-22.30%1.91M
13.69%2.45M
13.69%2.45M
117.33%2.16M
117.33%2.16M
Shareholders'equity
Share capital
4.15%90.09M
4.15%90.09M
8.26%86.51M
8.26%86.51M
13.51%79.91M
13.51%79.91M
0.37%70.4M
0.37%70.4M
34.22%70.14M
34.22%70.14M
-common stock
4.15%90.09M
4.15%90.09M
8.26%86.51M
8.26%86.51M
13.51%79.91M
13.51%79.91M
0.37%70.4M
0.37%70.4M
34.22%70.14M
34.22%70.14M
Retained earnings
-9.97%-92.78M
-9.97%-92.78M
-15.53%-84.37M
-15.53%-84.37M
-17.22%-73.02M
-17.22%-73.02M
-20.12%-62.3M
-20.12%-62.3M
-8.95%-51.86M
-8.95%-51.86M
Gains losses not affecting retained earnings
-4.10%7.42M
-4.10%7.42M
80.95%7.74M
80.95%7.74M
18.92%4.28M
18.92%4.28M
-0.86%3.6M
-0.86%3.6M
-39.73%3.63M
-39.73%3.63M
Total stockholders'equity
-52.06%4.74M
-52.06%4.74M
-11.49%9.88M
-11.49%9.88M
-4.56%11.16M
-4.56%11.16M
-46.59%11.7M
-46.59%11.7M
105.16%21.9M
105.16%21.9M
Total equity
-52.06%4.74M
-52.06%4.74M
-11.49%9.88M
-11.49%9.88M
-4.56%11.16M
-4.56%11.16M
-46.59%11.7M
-46.59%11.7M
105.16%21.9M
105.16%21.9M
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 -52.67%4.5M-52.67%4.5M-16.35%9.51M-16.35%9.51M-7.80%11.37M-7.80%11.37M-41.28%12.33M-41.28%12.33M173.08%21M173.08%21M
-Cash and cash equivalents -52.08%4.5M-52.08%4.5M-16.72%9.39M-16.72%9.39M-7.84%11.28M-7.84%11.28M-41.71%12.24M-41.71%12.24M173.08%21M173.08%21M
-Short term investments --------30.58%116.57K30.58%116.57K-1.40%89.27K-1.40%89.27K--90.53K--90.53K--------
Receivables -3.56%1.24M-3.56%1.24M41.63%1.29M41.63%1.29M-23.17%907.74K-23.17%907.74K-57.89%1.18M-57.89%1.18M-26.53%2.81M-26.53%2.81M
-Accounts receivable 91.29%117.17K91.29%117.17K271.24%61.25K271.24%61.25K-42.49%16.5K-42.49%16.5K--28.69K--28.69K--------
-Other receivables -8.31%1.12M-8.31%1.12M37.38%1.22M37.38%1.22M-22.69%891.24K-22.69%891.24K-58.91%1.15M-58.91%1.15M-26.53%2.81M-26.53%2.81M
Prepaid assets -10.76%391.67K-10.76%391.67K-6.16%438.88K-6.16%438.88K333.57%467.71K333.57%467.71K122.20%107.87K122.20%107.87K71.01%48.55K71.01%48.55K
Other current assets --195.74K--195.74K------------------------0.00%69.21K0.00%69.21K
Total current assets -43.67%6.33M-43.67%6.33M-11.85%11.23M-11.85%11.23M-6.43%12.74M-6.43%12.74M-43.07%13.62M-43.07%13.62M106.12%23.92M106.12%23.92M
Non current assets
Net PPE 62.89%389.73K62.89%389.73K-26.37%239.26K-26.37%239.26K-38.78%324.93K-38.78%324.93K283.59%530.79K283.59%530.79K121.52%138.37K121.52%138.37K
-Gross PPE -10.14%525.05K-10.14%525.05K7.27%584.32K7.27%584.32K-9.31%544.7K-9.31%544.7K130.07%600.62K130.07%600.62K317.92%261.06K317.92%261.06K
-Accumulated depreciation 60.79%-135.31K60.79%-135.31K-57.01%-345.06K-57.01%-345.06K-214.72%-219.77K-214.72%-219.77K43.08%-69.83K43.08%-69.83K---122.68K---122.68K
Total non current assets 62.89%389.73K62.89%389.73K-26.37%239.26K-26.37%239.26K-38.78%324.93K-38.78%324.93K283.59%530.79K283.59%530.79K121.52%138.37K121.52%138.37K
Total assets -41.45%6.72M-41.45%6.72M-12.21%11.47M-12.21%11.47M-7.64%13.07M-7.64%13.07M-41.19%14.15M-41.19%14.15M106.20%24.06M106.20%24.06M
Liabilities
Current liabilities
Current debt and capital lease obligation -77.97%32.22K-77.97%32.22K-11.57%146.25K-11.57%146.25K1.31%165.38K1.31%165.38K48.48%163.24K48.48%163.24K--109.94K--109.94K
-Current debt ----------------------------------26.56K--26.56K
-Current capital lease obligation -77.97%32.22K-77.97%32.22K-11.57%146.25K-11.57%146.25K1.31%165.38K1.31%165.38K95.79%163.24K95.79%163.24K--83.38K--83.38K
Payables 34.70%1.83M34.70%1.83M-7.04%1.36M-7.04%1.36M-15.62%1.46M-15.62%1.46M-2.77%1.73M-2.77%1.73M131.97%1.78M131.97%1.78M
-accounts payable 17.00%1.12M17.00%1.12M3.13%960.17K3.13%960.17K-24.12%931.04K-24.12%931.04K-9.49%1.23M-9.49%1.23M272.43%1.36M272.43%1.36M
-Other payable 77.42%705.78K77.42%705.78K-24.91%397.8K-24.91%397.8K5.04%529.76K5.04%529.76K18.67%504.33K18.67%504.33K5.29%424.98K5.29%424.98K
Pension and other retirement benefit plans 26.40%82.11K26.40%82.11K-54.14%64.96K-54.14%64.96K-40.58%141.65K-40.58%141.65K-11.05%238.4K-11.05%238.4K18.80%268.03K18.80%268.03K
Current liabilities 23.86%1.94M23.86%1.94M-11.24%1.57M-11.24%1.57M-17.12%1.77M-17.12%1.77M-1.19%2.13M-1.19%2.13M117.33%2.16M117.33%2.16M
Non current liabilities
Long term debt and capital lease obligation 56.55%38.45K56.55%38.45K-82.31%24.56K-82.31%24.56K-56.76%138.84K-56.76%138.84K--321.13K--321.13K--------
-Long term capital lease obligation 56.55%38.45K56.55%38.45K-82.31%24.56K-82.31%24.56K-56.76%138.84K-56.76%138.84K--321.13K--321.13K--------
Total non current liabilities 56.55%38.45K56.55%38.45K-82.31%24.56K-82.31%24.56K-56.76%138.84K-56.76%138.84K--321.13K--321.13K--0--0
Total liabilities 24.36%1.98M24.36%1.98M-16.41%1.59M-16.41%1.59M-22.30%1.91M-22.30%1.91M13.69%2.45M13.69%2.45M117.33%2.16M117.33%2.16M
Shareholders'equity
Share capital 4.15%90.09M4.15%90.09M8.26%86.51M8.26%86.51M13.51%79.91M13.51%79.91M0.37%70.4M0.37%70.4M34.22%70.14M34.22%70.14M
-common stock 4.15%90.09M4.15%90.09M8.26%86.51M8.26%86.51M13.51%79.91M13.51%79.91M0.37%70.4M0.37%70.4M34.22%70.14M34.22%70.14M
Retained earnings -9.97%-92.78M-9.97%-92.78M-15.53%-84.37M-15.53%-84.37M-17.22%-73.02M-17.22%-73.02M-20.12%-62.3M-20.12%-62.3M-8.95%-51.86M-8.95%-51.86M
Gains losses not affecting retained earnings -4.10%7.42M-4.10%7.42M80.95%7.74M80.95%7.74M18.92%4.28M18.92%4.28M-0.86%3.6M-0.86%3.6M-39.73%3.63M-39.73%3.63M
Total stockholders'equity -52.06%4.74M-52.06%4.74M-11.49%9.88M-11.49%9.88M-4.56%11.16M-4.56%11.16M-46.59%11.7M-46.59%11.7M105.16%21.9M105.16%21.9M
Total equity -52.06%4.74M-52.06%4.74M-11.49%9.88M-11.49%9.88M-4.56%11.16M-4.56%11.16M-46.59%11.7M-46.59%11.7M105.16%21.9M105.16%21.9M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Heat List
AU
Overall
Symbol
Price
% Chg

No Data