AU Stock MarketDetailed Quotes

PME Pro Medicus Ltd

Watchlist
  • 150.010
  • -0.660-0.44%
20min DelayMarket Closed Aug 19 16:00 AET
15.66BMarket Cap189.65P/E (Static)

Pro Medicus 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
27.49%154.89M
27.49%154.89M
34.17%121.5M
34.17%121.5M
46.49%90.55M
46.49%90.55M
42.39%61.82M
42.39%61.82M
34.34%43.41M
34.34%43.41M
-Cash and cash equivalents
35.80%123.92M
35.80%123.92M
43.35%91.25M
43.35%91.25M
51.42%63.66M
51.42%63.66M
-3.16%42.04M
-3.16%42.04M
34.34%43.41M
34.34%43.41M
-Accounts receivable
20.82%47.91M
20.82%47.91M
42.44%39.65M
42.44%39.65M
23.35%27.84M
23.35%27.84M
69.37%22.57M
69.37%22.57M
-25.40%13.32M
-25.40%13.32M
-Notes receivable
46.75%113K
46.75%113K
16.67%77K
16.67%77K
20.00%66K
20.00%66K
5.77%55K
5.77%55K
4.00%52K
4.00%52K
-Other receivables
46.67%8.46M
46.67%8.46M
45.73%5.77M
45.73%5.77M
38.73%3.96M
38.73%3.96M
58.32%2.85M
58.32%2.85M
-33.65%1.8M
-33.65%1.8M
Current deferred assets
----
----
----
----
----
----
----
----
--2.14M
--2.14M
Total current assets
26.11%206.56M
26.11%206.56M
36.69%163.79M
36.69%163.79M
36.84%119.82M
36.84%119.82M
42.42%87.57M
42.42%87.57M
17.21%61.48M
17.21%61.48M
Non current assets
-Accumulated depreciation
----
----
-11.17%-4.08M
-11.17%-4.08M
4.90%-3.67M
4.90%-3.67M
4.74%-3.86M
4.74%-3.86M
-6.10%-4.05M
-6.10%-4.05M
-Long term equity investment
26.65%1.52M
26.65%1.52M
-28.54%1.2M
-28.54%1.2M
-18.05%1.68M
-18.05%1.68M
16.53%2.04M
16.53%2.04M
--1.75M
--1.75M
-Including:Held to maturity investments
--535K
--535K
----
----
----
----
----
----
--45K
--45K
Non current note receivables
40.77%17.18M
40.77%17.18M
12.33%12.21M
12.33%12.21M
-20.10%10.87M
-20.10%10.87M
18.45%13.6M
18.45%13.6M
-5.35%11.48M
-5.35%11.48M
-Goodwill
-5.99%20.07M
-5.99%20.07M
-4.23%21.35M
-4.23%21.35M
11.41%22.29M
11.41%22.29M
6.21%20.01M
6.21%20.01M
3.69%18.84M
3.69%18.84M
Regulatory assets
20.49%48.06M
20.49%48.06M
45.34%39.88M
45.34%39.88M
20.13%27.44M
20.13%27.44M
64.99%22.84M
64.99%22.84M
-20.52%13.84M
-20.52%13.84M
Liabilities
Current liabilities
Current debt and capital lease obligation
-15.44%553K
-15.44%553K
8.28%654K
8.28%654K
5.23%604K
5.23%604K
9.96%574K
9.96%574K
--522K
--522K
-Current capital lease obligation
-15.44%553K
-15.44%553K
8.28%654K
8.28%654K
5.23%604K
5.23%604K
9.96%574K
9.96%574K
--522K
--522K
-accounts payable
68.34%1.74M
68.34%1.74M
-37.13%1.03M
-37.13%1.03M
88.42%1.64M
88.42%1.64M
4.43%872K
4.43%872K
18.44%835K
18.44%835K
-Total tax payable
8.10%35.14M
8.10%35.14M
14.23%32.51M
14.23%32.51M
8.32%28.46M
8.32%28.46M
15.50%26.27M
15.50%26.27M
7.96%22.75M
7.96%22.75M
-Other payable
49.67%3.9M
49.67%3.9M
77.56%2.6M
77.56%2.6M
5.85%1.47M
5.85%1.47M
39.48%1.39M
39.48%1.39M
92.44%993K
92.44%993K
Current provisions
447.82%2.76M
447.82%2.76M
-59.74%504K
-59.74%504K
1,688.57%1.25M
1,688.57%1.25M
--70K
--70K
----
----
Current deferred liabilities
1.64%19.45M
1.64%19.45M
16.52%19.14M
16.52%19.14M
55.24%16.43M
55.24%16.43M
46.46%10.58M
46.46%10.58M
-13.91%7.23M
-13.91%7.23M
Current liabilities
12.01%34.56M
12.01%34.56M
14.86%30.85M
14.86%30.85M
52.45%26.86M
52.45%26.86M
38.56%17.62M
38.56%17.62M
-8.66%12.72M
-8.66%12.72M
Non current liabilities
-Long term debt
26.65%1.52M
26.65%1.52M
-28.54%1.2M
-28.54%1.2M
-18.05%1.68M
-18.05%1.68M
16.53%2.04M
16.53%2.04M
--1.75M
--1.75M
Non current accrued expenses
8.78%2.38M
8.78%2.38M
-15.95%2.19M
-15.95%2.19M
-13.67%2.6M
-13.67%2.6M
5.83%3.01M
5.83%3.01M
466.20%2.85M
466.20%2.85M
Employee benefits
46.75%113K
46.75%113K
16.67%77K
16.67%77K
20.00%66K
20.00%66K
5.77%55K
5.77%55K
4.00%52K
4.00%52K
Regulatory liabilities
----
----
----
----
---654K
---654K
----
----
----
----
Preferred securities outside stock equity
-57.61%1.59M
-57.61%1.59M
26.04%3.75M
26.04%3.75M
11.54%2.98M
11.54%2.98M
14.41%2.67M
14.41%2.67M
19.59%2.33M
19.59%2.33M
Total non current liabilities
10.00%69.7M
10.00%69.7M
14.53%63.36M
14.53%63.36M
26.04%55.32M
26.04%55.32M
23.77%43.89M
23.77%43.89M
1.35%35.46M
1.35%35.46M
Shareholders'equity
Share capital
1,107.20%23.65M
1,107.20%23.65M
0.00%1.96M
0.00%1.96M
-0.15%1.96M
-0.15%1.96M
0.00%1.96M
0.00%1.96M
0.00%1.96M
0.00%1.96M
-common stock
1,107.20%23.65M
1,107.20%23.65M
0.00%1.96M
0.00%1.96M
-0.15%1.96M
-0.15%1.96M
0.00%1.96M
0.00%1.96M
0.00%1.96M
0.00%1.96M
Gains losses not affecting retained earnings
-195.63%-9.28M
-195.63%-9.28M
34.79%9.7M
34.79%9.7M
-43.77%7.2M
-43.77%7.2M
48.81%12.8M
48.81%12.8M
-12.82%8.6M
-12.82%8.6M
Other equity interest
45.98%1.14M
45.98%1.14M
74.39%783K
74.39%783K
-71.36%449K
-71.36%449K
52.83%1.57M
52.83%1.57M
-48.34%1.03M
-48.34%1.03M
Total equity
27.35%257.43M
27.35%257.43M
28.71%202.14M
28.71%202.14M
25.07%157.05M
25.07%157.05M
31.29%125.57M
31.29%125.57M
13.49%95.65M
13.49%95.65M
(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 27.49%154.89M27.49%154.89M34.17%121.5M34.17%121.5M46.49%90.55M46.49%90.55M42.39%61.82M42.39%61.82M34.34%43.41M34.34%43.41M
-Cash and cash equivalents 35.80%123.92M35.80%123.92M43.35%91.25M43.35%91.25M51.42%63.66M51.42%63.66M-3.16%42.04M-3.16%42.04M34.34%43.41M34.34%43.41M
-Accounts receivable 20.82%47.91M20.82%47.91M42.44%39.65M42.44%39.65M23.35%27.84M23.35%27.84M69.37%22.57M69.37%22.57M-25.40%13.32M-25.40%13.32M
-Notes receivable 46.75%113K46.75%113K16.67%77K16.67%77K20.00%66K20.00%66K5.77%55K5.77%55K4.00%52K4.00%52K
-Other receivables 46.67%8.46M46.67%8.46M45.73%5.77M45.73%5.77M38.73%3.96M38.73%3.96M58.32%2.85M58.32%2.85M-33.65%1.8M-33.65%1.8M
Current deferred assets ----------------------------------2.14M--2.14M
Total current assets 26.11%206.56M26.11%206.56M36.69%163.79M36.69%163.79M36.84%119.82M36.84%119.82M42.42%87.57M42.42%87.57M17.21%61.48M17.21%61.48M
Non current assets
-Accumulated depreciation ---------11.17%-4.08M-11.17%-4.08M4.90%-3.67M4.90%-3.67M4.74%-3.86M4.74%-3.86M-6.10%-4.05M-6.10%-4.05M
-Long term equity investment 26.65%1.52M26.65%1.52M-28.54%1.2M-28.54%1.2M-18.05%1.68M-18.05%1.68M16.53%2.04M16.53%2.04M--1.75M--1.75M
-Including:Held to maturity investments --535K--535K--------------------------45K--45K
Non current note receivables 40.77%17.18M40.77%17.18M12.33%12.21M12.33%12.21M-20.10%10.87M-20.10%10.87M18.45%13.6M18.45%13.6M-5.35%11.48M-5.35%11.48M
-Goodwill -5.99%20.07M-5.99%20.07M-4.23%21.35M-4.23%21.35M11.41%22.29M11.41%22.29M6.21%20.01M6.21%20.01M3.69%18.84M3.69%18.84M
Regulatory assets 20.49%48.06M20.49%48.06M45.34%39.88M45.34%39.88M20.13%27.44M20.13%27.44M64.99%22.84M64.99%22.84M-20.52%13.84M-20.52%13.84M
Liabilities
Current liabilities
Current debt and capital lease obligation -15.44%553K-15.44%553K8.28%654K8.28%654K5.23%604K5.23%604K9.96%574K9.96%574K--522K--522K
-Current capital lease obligation -15.44%553K-15.44%553K8.28%654K8.28%654K5.23%604K5.23%604K9.96%574K9.96%574K--522K--522K
-accounts payable 68.34%1.74M68.34%1.74M-37.13%1.03M-37.13%1.03M88.42%1.64M88.42%1.64M4.43%872K4.43%872K18.44%835K18.44%835K
-Total tax payable 8.10%35.14M8.10%35.14M14.23%32.51M14.23%32.51M8.32%28.46M8.32%28.46M15.50%26.27M15.50%26.27M7.96%22.75M7.96%22.75M
-Other payable 49.67%3.9M49.67%3.9M77.56%2.6M77.56%2.6M5.85%1.47M5.85%1.47M39.48%1.39M39.48%1.39M92.44%993K92.44%993K
Current provisions 447.82%2.76M447.82%2.76M-59.74%504K-59.74%504K1,688.57%1.25M1,688.57%1.25M--70K--70K--------
Current deferred liabilities 1.64%19.45M1.64%19.45M16.52%19.14M16.52%19.14M55.24%16.43M55.24%16.43M46.46%10.58M46.46%10.58M-13.91%7.23M-13.91%7.23M
Current liabilities 12.01%34.56M12.01%34.56M14.86%30.85M14.86%30.85M52.45%26.86M52.45%26.86M38.56%17.62M38.56%17.62M-8.66%12.72M-8.66%12.72M
Non current liabilities
-Long term debt 26.65%1.52M26.65%1.52M-28.54%1.2M-28.54%1.2M-18.05%1.68M-18.05%1.68M16.53%2.04M16.53%2.04M--1.75M--1.75M
Non current accrued expenses 8.78%2.38M8.78%2.38M-15.95%2.19M-15.95%2.19M-13.67%2.6M-13.67%2.6M5.83%3.01M5.83%3.01M466.20%2.85M466.20%2.85M
Employee benefits 46.75%113K46.75%113K16.67%77K16.67%77K20.00%66K20.00%66K5.77%55K5.77%55K4.00%52K4.00%52K
Regulatory liabilities -------------------654K---654K----------------
Preferred securities outside stock equity -57.61%1.59M-57.61%1.59M26.04%3.75M26.04%3.75M11.54%2.98M11.54%2.98M14.41%2.67M14.41%2.67M19.59%2.33M19.59%2.33M
Total non current liabilities 10.00%69.7M10.00%69.7M14.53%63.36M14.53%63.36M26.04%55.32M26.04%55.32M23.77%43.89M23.77%43.89M1.35%35.46M1.35%35.46M
Shareholders'equity
Share capital 1,107.20%23.65M1,107.20%23.65M0.00%1.96M0.00%1.96M-0.15%1.96M-0.15%1.96M0.00%1.96M0.00%1.96M0.00%1.96M0.00%1.96M
-common stock 1,107.20%23.65M1,107.20%23.65M0.00%1.96M0.00%1.96M-0.15%1.96M-0.15%1.96M0.00%1.96M0.00%1.96M0.00%1.96M0.00%1.96M
Gains losses not affecting retained earnings -195.63%-9.28M-195.63%-9.28M34.79%9.7M34.79%9.7M-43.77%7.2M-43.77%7.2M48.81%12.8M48.81%12.8M-12.82%8.6M-12.82%8.6M
Other equity interest 45.98%1.14M45.98%1.14M74.39%783K74.39%783K-71.36%449K-71.36%449K52.83%1.57M52.83%1.57M-48.34%1.03M-48.34%1.03M
Total equity 27.35%257.43M27.35%257.43M28.71%202.14M28.71%202.14M25.07%157.05M25.07%157.05M31.29%125.57M31.29%125.57M13.49%95.65M13.49%95.65M

Analysis

Analyst Rating

No Data

Price Target

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