AU Stock MarketDetailed Quotes

PNV Polynovo Ltd

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  • 2.430
  • -0.090-3.57%
20min DelayMarket Closed Oct 4 16:00 AET
1.68BMarket Cap303.75P/E (Static)

Polynovo 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
-2.00%45.96M
-2.00%45.96M
662.28%46.9M
662.28%46.9M
-20.50%6.15M
-20.50%6.15M
-33.85%7.74M
-33.85%7.74M
-16.27%11.7M
-16.27%11.7M
-Cash and cash equivalents
-2.01%45.91M
-2.01%45.91M
667.71%46.85M
667.71%46.85M
-20.63%6.1M
-20.63%6.1M
-33.99%7.69M
-33.99%7.69M
-16.33%11.65M
-16.33%11.65M
-Accounts receivable
54.13%19.06M
54.13%19.06M
123.71%12.37M
123.71%12.37M
10.06%5.53M
10.06%5.53M
73.11%5.02M
73.11%5.02M
16.83%2.9M
16.83%2.9M
-Notes receivable
47.58%272K
47.58%272K
--184.31K
--184.31K
----
----
53.49%140.96K
53.49%140.96K
92.37%91.83K
92.37%91.83K
-Other receivables
85.56%11.87M
85.56%11.87M
106.55%6.4M
106.55%6.4M
-1.58%3.1M
-1.58%3.1M
101.72%3.15M
101.72%3.15M
33.32%1.56M
33.32%1.56M
Current deferred assets
----
----
461.58%24.03K
461.58%24.03K
--4.28K
--4.28K
----
----
----
----
Total current assets
17.73%79.3M
17.73%79.3M
316.04%67.35M
316.04%67.35M
-0.34%16.19M
-0.34%16.19M
-15.74%16.24M
-15.74%16.24M
-3.13%19.28M
-3.13%19.28M
Non current assets
-Accumulated depreciation
-25.03%-9.76M
-25.03%-9.76M
-35.35%-7.81M
-35.35%-7.81M
-31.31%-5.77M
-31.31%-5.77M
-24.54%-4.39M
-24.54%-4.39M
-12.54%-3.53M
-12.54%-3.53M
-Long term equity investment
-9.25%12.85M
-9.25%12.85M
53.73%14.15M
53.73%14.15M
29.28%9.21M
29.28%9.21M
61.73%7.12M
61.73%7.12M
--4.4M
--4.4M
Non current note receivables
--3.74M
--3.74M
----
----
----
----
----
----
----
----
-Goodwill
-21.41%909K
-21.41%909K
-17.65%1.16M
-17.65%1.16M
-15.00%1.4M
-15.00%1.4M
-13.04%1.65M
-13.04%1.65M
-11.54%1.9M
-11.54%1.9M
Regulatory assets
51.34%20.72M
51.34%20.72M
124.86%13.69M
124.86%13.69M
7.45%6.09M
7.45%6.09M
80.55%5.67M
80.55%5.67M
-20.79%3.14M
-20.79%3.14M
Liabilities
Current liabilities
Current debt and capital lease obligation
34.12%2.54M
34.12%2.54M
5.72%1.89M
5.72%1.89M
-37.82%1.79M
-37.82%1.79M
-48.91%2.88M
-48.91%2.88M
--5.63M
--5.63M
-Current debt
35.03%1.89M
35.03%1.89M
5.12%1.4M
5.12%1.4M
-47.32%1.33M
-47.32%1.33M
-52.40%2.53M
-52.40%2.53M
--5.3M
--5.3M
-Current capital lease obligation
31.51%647K
31.51%647K
7.48%491.98K
7.48%491.98K
30.65%457.75K
30.65%457.75K
8.18%350.37K
8.18%350.37K
--323.88K
--323.88K
-accounts payable
133.46%6.39M
133.46%6.39M
46.35%2.74M
46.35%2.74M
3.12%1.87M
3.12%1.87M
12.55%1.81M
12.55%1.81M
177.11%1.61M
177.11%1.61M
-Total tax payable
-8.38%13.35M
-8.38%13.35M
53.37%14.57M
53.37%14.57M
29.47%9.5M
29.47%9.5M
60.55%7.34M
60.55%7.34M
6,927.58%4.57M
6,927.58%4.57M
-Other payable
-79.77%37K
-79.77%37K
-44.44%182.89K
-44.44%182.89K
-30.77%329.21K
-30.77%329.21K
--475.52K
--475.52K
----
----
Current deferred liabilities
--206K
--206K
----
----
----
----
13.01%74.09K
13.01%74.09K
--65.57K
--65.57K
Current liabilities
83.52%23.25M
83.52%23.25M
63.32%12.67M
63.32%12.67M
-10.33%7.76M
-10.33%7.76M
-8.71%8.65M
-8.71%8.65M
359.04%9.47M
359.04%9.47M
Non current liabilities
-Long term debt
-2.12%12.1M
-2.12%12.1M
93.09%12.36M
93.09%12.36M
210.36%6.4M
210.36%6.4M
-14.74%2.06M
-14.74%2.06M
--2.42M
--2.42M
Non current accrued expenses
3.42%24.17M
3.42%24.17M
39.50%23.37M
39.50%23.37M
-15.50%16.75M
-15.50%16.75M
19.87%19.82M
19.87%19.82M
175.24%16.54M
175.24%16.54M
Long term provisions
-58.52%742K
-58.52%742K
-36.18%1.79M
-36.18%1.79M
-44.59%2.8M
-44.59%2.8M
155.02%5.06M
155.02%5.06M
--1.98M
--1.98M
Employee benefits
47.58%272K
47.58%272K
--184.31K
--184.31K
----
----
53.49%140.96K
53.49%140.96K
92.37%91.83K
92.37%91.83K
Preferred securities outside stock equity
36.64%2.24M
36.64%2.24M
64.13%1.64M
64.13%1.64M
35.40%1M
35.40%1M
21.40%739.01K
21.40%739.01K
95.00%608.72K
95.00%608.72K
Total non current liabilities
34.36%36.6M
34.36%36.6M
57.84%27.24M
57.84%27.24M
7.94%17.26M
7.94%17.26M
13.83%15.99M
13.83%15.99M
559.68%14.04M
559.68%14.04M
Shareholders'equity
Share capital
0.01%191.6M
0.01%191.6M
37.41%191.59M
37.41%191.59M
0.13%139.43M
0.13%139.43M
0.13%139.25M
0.13%139.25M
0.00%139.07M
0.00%139.07M
-common stock
0.01%191.6M
0.01%191.6M
37.41%191.59M
37.41%191.59M
0.13%139.43M
0.13%139.43M
0.13%139.25M
0.13%139.25M
0.00%139.07M
0.00%139.07M
Gains losses not affecting retained earnings
30.43%-3.36M
30.43%-3.36M
8.21%-4.83M
8.21%-4.83M
-221.38%-5.26M
-221.38%-5.26M
64.43%-1.64M
64.43%-1.64M
29.33%-4.6M
29.33%-4.6M
Other equity interest
11.79%343K
11.79%343K
109.71%306.83K
109.71%306.83K
0.00%146.32K
0.00%146.32K
-81.31%146.32K
-81.31%146.32K
76.92%782.72K
76.92%782.72K
Total equity
17.38%108.72M
17.38%108.72M
164.85%92.62M
164.85%92.62M
-8.78%34.97M
-8.78%34.97M
1.27%38.34M
1.27%38.34M
34.11%37.86M
34.11%37.86M
(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 -2.00%45.96M-2.00%45.96M662.28%46.9M662.28%46.9M-20.50%6.15M-20.50%6.15M-33.85%7.74M-33.85%7.74M-16.27%11.7M-16.27%11.7M
-Cash and cash equivalents -2.01%45.91M-2.01%45.91M667.71%46.85M667.71%46.85M-20.63%6.1M-20.63%6.1M-33.99%7.69M-33.99%7.69M-16.33%11.65M-16.33%11.65M
-Accounts receivable 54.13%19.06M54.13%19.06M123.71%12.37M123.71%12.37M10.06%5.53M10.06%5.53M73.11%5.02M73.11%5.02M16.83%2.9M16.83%2.9M
-Notes receivable 47.58%272K47.58%272K--184.31K--184.31K--------53.49%140.96K53.49%140.96K92.37%91.83K92.37%91.83K
-Other receivables 85.56%11.87M85.56%11.87M106.55%6.4M106.55%6.4M-1.58%3.1M-1.58%3.1M101.72%3.15M101.72%3.15M33.32%1.56M33.32%1.56M
Current deferred assets --------461.58%24.03K461.58%24.03K--4.28K--4.28K----------------
Total current assets 17.73%79.3M17.73%79.3M316.04%67.35M316.04%67.35M-0.34%16.19M-0.34%16.19M-15.74%16.24M-15.74%16.24M-3.13%19.28M-3.13%19.28M
Non current assets
-Accumulated depreciation -25.03%-9.76M-25.03%-9.76M-35.35%-7.81M-35.35%-7.81M-31.31%-5.77M-31.31%-5.77M-24.54%-4.39M-24.54%-4.39M-12.54%-3.53M-12.54%-3.53M
-Long term equity investment -9.25%12.85M-9.25%12.85M53.73%14.15M53.73%14.15M29.28%9.21M29.28%9.21M61.73%7.12M61.73%7.12M--4.4M--4.4M
Non current note receivables --3.74M--3.74M--------------------------------
-Goodwill -21.41%909K-21.41%909K-17.65%1.16M-17.65%1.16M-15.00%1.4M-15.00%1.4M-13.04%1.65M-13.04%1.65M-11.54%1.9M-11.54%1.9M
Regulatory assets 51.34%20.72M51.34%20.72M124.86%13.69M124.86%13.69M7.45%6.09M7.45%6.09M80.55%5.67M80.55%5.67M-20.79%3.14M-20.79%3.14M
Liabilities
Current liabilities
Current debt and capital lease obligation 34.12%2.54M34.12%2.54M5.72%1.89M5.72%1.89M-37.82%1.79M-37.82%1.79M-48.91%2.88M-48.91%2.88M--5.63M--5.63M
-Current debt 35.03%1.89M35.03%1.89M5.12%1.4M5.12%1.4M-47.32%1.33M-47.32%1.33M-52.40%2.53M-52.40%2.53M--5.3M--5.3M
-Current capital lease obligation 31.51%647K31.51%647K7.48%491.98K7.48%491.98K30.65%457.75K30.65%457.75K8.18%350.37K8.18%350.37K--323.88K--323.88K
-accounts payable 133.46%6.39M133.46%6.39M46.35%2.74M46.35%2.74M3.12%1.87M3.12%1.87M12.55%1.81M12.55%1.81M177.11%1.61M177.11%1.61M
-Total tax payable -8.38%13.35M-8.38%13.35M53.37%14.57M53.37%14.57M29.47%9.5M29.47%9.5M60.55%7.34M60.55%7.34M6,927.58%4.57M6,927.58%4.57M
-Other payable -79.77%37K-79.77%37K-44.44%182.89K-44.44%182.89K-30.77%329.21K-30.77%329.21K--475.52K--475.52K--------
Current deferred liabilities --206K--206K----------------13.01%74.09K13.01%74.09K--65.57K--65.57K
Current liabilities 83.52%23.25M83.52%23.25M63.32%12.67M63.32%12.67M-10.33%7.76M-10.33%7.76M-8.71%8.65M-8.71%8.65M359.04%9.47M359.04%9.47M
Non current liabilities
-Long term debt -2.12%12.1M-2.12%12.1M93.09%12.36M93.09%12.36M210.36%6.4M210.36%6.4M-14.74%2.06M-14.74%2.06M--2.42M--2.42M
Non current accrued expenses 3.42%24.17M3.42%24.17M39.50%23.37M39.50%23.37M-15.50%16.75M-15.50%16.75M19.87%19.82M19.87%19.82M175.24%16.54M175.24%16.54M
Long term provisions -58.52%742K-58.52%742K-36.18%1.79M-36.18%1.79M-44.59%2.8M-44.59%2.8M155.02%5.06M155.02%5.06M--1.98M--1.98M
Employee benefits 47.58%272K47.58%272K--184.31K--184.31K--------53.49%140.96K53.49%140.96K92.37%91.83K92.37%91.83K
Preferred securities outside stock equity 36.64%2.24M36.64%2.24M64.13%1.64M64.13%1.64M35.40%1M35.40%1M21.40%739.01K21.40%739.01K95.00%608.72K95.00%608.72K
Total non current liabilities 34.36%36.6M34.36%36.6M57.84%27.24M57.84%27.24M7.94%17.26M7.94%17.26M13.83%15.99M13.83%15.99M559.68%14.04M559.68%14.04M
Shareholders'equity
Share capital 0.01%191.6M0.01%191.6M37.41%191.59M37.41%191.59M0.13%139.43M0.13%139.43M0.13%139.25M0.13%139.25M0.00%139.07M0.00%139.07M
-common stock 0.01%191.6M0.01%191.6M37.41%191.59M37.41%191.59M0.13%139.43M0.13%139.43M0.13%139.25M0.13%139.25M0.00%139.07M0.00%139.07M
Gains losses not affecting retained earnings 30.43%-3.36M30.43%-3.36M8.21%-4.83M8.21%-4.83M-221.38%-5.26M-221.38%-5.26M64.43%-1.64M64.43%-1.64M29.33%-4.6M29.33%-4.6M
Other equity interest 11.79%343K11.79%343K109.71%306.83K109.71%306.83K0.00%146.32K0.00%146.32K-81.31%146.32K-81.31%146.32K76.92%782.72K76.92%782.72K
Total equity 17.38%108.72M17.38%108.72M164.85%92.62M164.85%92.62M-8.78%34.97M-8.78%34.97M1.27%38.34M1.27%38.34M34.11%37.86M34.11%37.86M

Analysis

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Price Target

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