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PPG PRO-PAC Packaging Ltd

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  • 0.039
  • -0.003-7.14%
20min DelayMarket Closed Dec 4 15:48 AET
7.09MMarket Cap-131P/E (Static)

PRO-PAC Packaging 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
-64.80%3.8M
-64.80%3.8M
250.81%10.81M
250.81%10.81M
-72.96%3.08M
-72.96%3.08M
-51.33%11.39M
-51.33%11.39M
-0.68%23.4M
-0.68%23.4M
-Cash and cash equivalents
-87.01%1.08M
-87.01%1.08M
529.58%8.32M
529.58%8.32M
-83.23%1.32M
-83.23%1.32M
-63.12%7.88M
-63.12%7.88M
-9.25%21.38M
-9.25%21.38M
-Short term investments
9.67%2.72M
9.67%2.72M
41.18%2.48M
41.18%2.48M
-49.84%1.76M
-49.84%1.76M
73.60%3.51M
73.60%3.51M
--2.02M
--2.02M
Receivables
-7.04%59.31M
-7.04%59.31M
-23.53%63.8M
-23.53%63.8M
13.91%83.44M
13.91%83.44M
-5.56%73.25M
-5.56%73.25M
-14.09%77.56M
-14.09%77.56M
-Accounts receivable
-8.61%58.06M
-8.61%58.06M
-22.90%63.52M
-22.90%63.52M
36.38%82.39M
36.38%82.39M
-9.86%60.41M
-9.86%60.41M
-17.75%67.02M
-17.75%67.02M
-Other receivables
-2.33%1.59M
-2.33%1.59M
-13.80%1.63M
-13.80%1.63M
-85.73%1.89M
-85.73%1.89M
18.63%13.25M
18.63%13.25M
13.25%11.17M
13.25%11.17M
-Recievables adjustments allowances
75.04%-337K
75.04%-337K
-60.14%-1.35M
-60.14%-1.35M
-104.12%-843K
-104.12%-843K
34.24%-413K
34.24%-413K
41.03%-628K
41.03%-628K
Inventory
-4.18%63.74M
-4.18%63.74M
-12.38%66.52M
-12.38%66.52M
-3.33%75.92M
-3.33%75.92M
11.22%78.53M
11.22%78.53M
-9.60%70.61M
-9.60%70.61M
Current deferred assets
-81.55%121K
-81.55%121K
-11.11%656K
-11.11%656K
64.00%738K
64.00%738K
--450K
--450K
----
----
Hedging assets-current
-87.17%64K
-87.17%64K
-76.95%499K
-76.95%499K
100.28%2.17M
100.28%2.17M
--1.08M
--1.08M
----
----
Other current assets
----
----
----
----
-47.64%1.8M
-47.64%1.8M
243.80%3.44M
243.80%3.44M
-75.53%1M
-75.53%1M
Total current assets
-10.71%127.04M
-10.71%127.04M
-14.87%142.28M
-14.87%142.28M
-0.59%167.14M
-0.59%167.14M
-2.57%168.14M
-2.57%168.14M
-14.76%172.57M
-14.76%172.57M
Non current assets
Net PPE
10.42%95.49M
10.42%95.49M
-8.25%86.48M
-8.25%86.48M
-16.51%94.25M
-16.51%94.25M
4.64%112.89M
4.64%112.89M
77.20%107.88M
77.20%107.88M
-Gross PPE
13.07%181.12M
13.07%181.12M
-0.76%160.19M
-0.76%160.19M
-6.88%161.41M
-6.88%161.41M
7.60%173.33M
7.60%173.33M
51.88%161.1M
51.88%161.1M
-Accumulated depreciation
-16.17%-85.63M
-16.17%-85.63M
-9.75%-73.71M
-9.75%-73.71M
-11.12%-67.16M
-11.12%-67.16M
-13.58%-60.44M
-13.58%-60.44M
-17.77%-53.21M
-17.77%-53.21M
Goodwill and other intangible assets
-54.16%14.81M
-54.16%14.81M
10.24%32.3M
10.24%32.3M
-58.66%29.3M
-58.66%29.3M
6.79%70.86M
6.79%70.86M
-0.30%66.35M
-0.30%66.35M
-Goodwill
----
----
----
----
----
----
0.04%44.23M
0.04%44.23M
0.00%44.21M
0.00%44.21M
-Other intangible assets
-54.16%14.81M
-54.16%14.81M
10.24%32.3M
10.24%32.3M
10.01%29.3M
10.01%29.3M
20.28%26.63M
20.28%26.63M
-0.88%22.14M
-0.88%22.14M
Non current deferred assets
----
----
138.58%6.15M
138.58%6.15M
-68.38%2.58M
-68.38%2.58M
-24.54%8.16M
-24.54%8.16M
32.50%10.81M
32.50%10.81M
Other non current assets
----
----
----
----
----
----
-23.89%2.83M
-23.89%2.83M
--3.72M
--3.72M
Total non current assets
-11.71%110.3M
-11.71%110.3M
-0.95%124.93M
-0.95%124.93M
-35.23%126.12M
-35.23%126.12M
3.17%194.74M
3.17%194.74M
39.22%188.76M
39.22%188.76M
Total assets
-11.18%237.34M
-11.18%237.34M
-8.88%267.21M
-8.88%267.21M
-19.18%293.26M
-19.18%293.26M
0.43%362.88M
0.43%362.88M
6.89%361.33M
6.89%361.33M
Liabilities
Current liabilities
Current debt and capital lease obligation
26.66%31.41M
26.66%31.41M
122.44%24.8M
122.44%24.8M
-35.99%11.15M
-35.99%11.15M
13.58%17.42M
13.58%17.42M
31.95%15.34M
31.95%15.34M
-Current debt
34.23%21.58M
34.23%21.58M
358.63%16.08M
358.63%16.08M
-53.27%3.51M
-53.27%3.51M
0.00%7.5M
0.00%7.5M
-30.61%7.5M
-30.61%7.5M
-Current capital lease obligation
12.71%9.84M
12.71%9.84M
14.15%8.73M
14.15%8.73M
-22.93%7.65M
-22.93%7.65M
26.58%9.92M
26.58%9.92M
861.47%7.84M
861.47%7.84M
Payables
3.98%60.29M
3.98%60.29M
-35.61%57.98M
-35.61%57.98M
21.86%90.05M
21.86%90.05M
8.93%73.9M
8.93%73.9M
-8.45%67.84M
-8.45%67.84M
-accounts payable
14.79%37.2M
14.79%37.2M
-45.52%32.41M
-45.52%32.41M
28.88%59.49M
28.88%59.49M
-5.59%46.16M
-5.59%46.16M
-17.04%48.89M
-17.04%48.89M
-Other payable
-9.72%23.09M
-9.72%23.09M
-16.32%25.57M
-16.32%25.57M
10.19%30.56M
10.19%30.56M
46.38%27.73M
46.38%27.73M
24.92%18.95M
24.92%18.95M
Current provisions
46.57%790K
46.57%790K
-87.72%539K
-87.72%539K
16.21%4.39M
16.21%4.39M
-63.10%3.78M
-63.10%3.78M
62.26%10.23M
62.26%10.23M
Pension and other retirement benefit plans
6.26%10.28M
6.26%10.28M
-7.15%9.68M
-7.15%9.68M
-16.22%10.42M
-16.22%10.42M
7.94%12.44M
7.94%12.44M
6.04%11.53M
6.04%11.53M
Current deferred liabilities
240.00%816K
240.00%816K
-67.08%240K
-67.08%240K
-46.52%729K
-46.52%729K
64.02%1.36M
64.02%1.36M
--831K
--831K
Other current liabilities
53.83%10.42M
53.83%10.42M
573.73%6.77M
573.73%6.77M
-68.52%1.01M
-68.52%1.01M
50.35%3.19M
50.35%3.19M
138.81%2.12M
138.81%2.12M
Current liabilities
14.00%114.01M
14.00%114.01M
-15.06%100.01M
-15.06%100.01M
5.05%117.75M
5.05%117.75M
3.89%112.09M
3.89%112.09M
3.95%107.89M
3.95%107.89M
Non current liabilities
Long term debt and capital lease obligation
37.93%38.63M
37.93%38.63M
-49.35%28.01M
-49.35%28.01M
-45.85%55.31M
-45.85%55.31M
-7.02%102.14M
-7.02%102.14M
15.78%109.85M
15.78%109.85M
-Long term debt
----
----
----
----
-58.26%21.46M
-58.26%21.46M
-12.81%51.4M
-12.81%51.4M
-37.22%58.95M
-37.22%58.95M
-Long term capital lease obligation
37.93%38.63M
37.93%38.63M
-17.25%28.01M
-17.25%28.01M
-33.28%33.85M
-33.28%33.85M
-0.31%50.74M
-0.31%50.74M
5,152.43%50.9M
5,152.43%50.9M
Long term provisions
-0.06%3.08M
-0.06%3.08M
0.33%3.08M
0.33%3.08M
-0.55%3.07M
-0.55%3.07M
20.12%3.09M
20.12%3.09M
-0.50%2.57M
-0.50%2.57M
Employee benefits
51.36%501K
51.36%501K
-25.62%331K
-25.62%331K
-27.41%445K
-27.41%445K
-58.36%613K
-58.36%613K
-13.00%1.47M
-13.00%1.47M
Non current deferred liabilities
--22K
--22K
----
----
----
----
----
----
----
----
Total non current liabilities
34.42%42.23M
34.42%42.23M
-46.58%31.42M
-46.58%31.42M
-44.42%58.82M
-44.42%58.82M
-7.07%105.84M
-7.07%105.84M
14.87%113.89M
14.87%113.89M
Total liabilities
18.88%156.24M
18.88%156.24M
-25.56%131.43M
-25.56%131.43M
-18.98%176.57M
-18.98%176.57M
-1.74%217.92M
-1.74%217.92M
9.28%221.78M
9.28%221.78M
Shareholders'equity
Share capital
0.00%320.54M
0.00%320.54M
9.89%320.54M
9.89%320.54M
0.00%291.68M
0.00%291.68M
0.00%291.68M
0.00%291.68M
0.02%291.68M
0.02%291.68M
-common stock
0.00%320.54M
0.00%320.54M
9.89%320.54M
9.89%320.54M
0.00%291.68M
0.00%291.68M
0.00%291.68M
0.00%291.68M
0.02%291.68M
0.02%291.68M
Retained earnings
-28.74%-240.83M
-28.74%-240.83M
-5.79%-187.07M
-5.79%-187.07M
-19.05%-176.83M
-19.05%-176.83M
1.70%-148.53M
1.70%-148.53M
4.21%-151.1M
4.21%-151.1M
Gains losses not affecting retained earnings
-40.01%1.39M
-40.01%1.39M
24.97%2.31M
24.97%2.31M
2.44%1.85M
2.44%1.85M
275.85%1.81M
275.85%1.81M
-184.11%-1.03M
-184.11%-1.03M
Total stockholders'equity
-40.28%81.09M
-40.28%81.09M
16.35%135.78M
16.35%135.78M
-19.49%116.7M
-19.49%116.7M
3.87%144.95M
3.87%144.95M
3.30%139.55M
3.30%139.55M
Total equity
-40.28%81.09M
-40.28%81.09M
16.35%135.78M
16.35%135.78M
-19.49%116.7M
-19.49%116.7M
3.87%144.95M
3.87%144.95M
3.30%139.55M
3.30%139.55M
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 -64.80%3.8M-64.80%3.8M250.81%10.81M250.81%10.81M-72.96%3.08M-72.96%3.08M-51.33%11.39M-51.33%11.39M-0.68%23.4M-0.68%23.4M
-Cash and cash equivalents -87.01%1.08M-87.01%1.08M529.58%8.32M529.58%8.32M-83.23%1.32M-83.23%1.32M-63.12%7.88M-63.12%7.88M-9.25%21.38M-9.25%21.38M
-Short term investments 9.67%2.72M9.67%2.72M41.18%2.48M41.18%2.48M-49.84%1.76M-49.84%1.76M73.60%3.51M73.60%3.51M--2.02M--2.02M
Receivables -7.04%59.31M-7.04%59.31M-23.53%63.8M-23.53%63.8M13.91%83.44M13.91%83.44M-5.56%73.25M-5.56%73.25M-14.09%77.56M-14.09%77.56M
-Accounts receivable -8.61%58.06M-8.61%58.06M-22.90%63.52M-22.90%63.52M36.38%82.39M36.38%82.39M-9.86%60.41M-9.86%60.41M-17.75%67.02M-17.75%67.02M
-Other receivables -2.33%1.59M-2.33%1.59M-13.80%1.63M-13.80%1.63M-85.73%1.89M-85.73%1.89M18.63%13.25M18.63%13.25M13.25%11.17M13.25%11.17M
-Recievables adjustments allowances 75.04%-337K75.04%-337K-60.14%-1.35M-60.14%-1.35M-104.12%-843K-104.12%-843K34.24%-413K34.24%-413K41.03%-628K41.03%-628K
Inventory -4.18%63.74M-4.18%63.74M-12.38%66.52M-12.38%66.52M-3.33%75.92M-3.33%75.92M11.22%78.53M11.22%78.53M-9.60%70.61M-9.60%70.61M
Current deferred assets -81.55%121K-81.55%121K-11.11%656K-11.11%656K64.00%738K64.00%738K--450K--450K--------
Hedging assets-current -87.17%64K-87.17%64K-76.95%499K-76.95%499K100.28%2.17M100.28%2.17M--1.08M--1.08M--------
Other current assets -----------------47.64%1.8M-47.64%1.8M243.80%3.44M243.80%3.44M-75.53%1M-75.53%1M
Total current assets -10.71%127.04M-10.71%127.04M-14.87%142.28M-14.87%142.28M-0.59%167.14M-0.59%167.14M-2.57%168.14M-2.57%168.14M-14.76%172.57M-14.76%172.57M
Non current assets
Net PPE 10.42%95.49M10.42%95.49M-8.25%86.48M-8.25%86.48M-16.51%94.25M-16.51%94.25M4.64%112.89M4.64%112.89M77.20%107.88M77.20%107.88M
-Gross PPE 13.07%181.12M13.07%181.12M-0.76%160.19M-0.76%160.19M-6.88%161.41M-6.88%161.41M7.60%173.33M7.60%173.33M51.88%161.1M51.88%161.1M
-Accumulated depreciation -16.17%-85.63M-16.17%-85.63M-9.75%-73.71M-9.75%-73.71M-11.12%-67.16M-11.12%-67.16M-13.58%-60.44M-13.58%-60.44M-17.77%-53.21M-17.77%-53.21M
Goodwill and other intangible assets -54.16%14.81M-54.16%14.81M10.24%32.3M10.24%32.3M-58.66%29.3M-58.66%29.3M6.79%70.86M6.79%70.86M-0.30%66.35M-0.30%66.35M
-Goodwill ------------------------0.04%44.23M0.04%44.23M0.00%44.21M0.00%44.21M
-Other intangible assets -54.16%14.81M-54.16%14.81M10.24%32.3M10.24%32.3M10.01%29.3M10.01%29.3M20.28%26.63M20.28%26.63M-0.88%22.14M-0.88%22.14M
Non current deferred assets --------138.58%6.15M138.58%6.15M-68.38%2.58M-68.38%2.58M-24.54%8.16M-24.54%8.16M32.50%10.81M32.50%10.81M
Other non current assets -------------------------23.89%2.83M-23.89%2.83M--3.72M--3.72M
Total non current assets -11.71%110.3M-11.71%110.3M-0.95%124.93M-0.95%124.93M-35.23%126.12M-35.23%126.12M3.17%194.74M3.17%194.74M39.22%188.76M39.22%188.76M
Total assets -11.18%237.34M-11.18%237.34M-8.88%267.21M-8.88%267.21M-19.18%293.26M-19.18%293.26M0.43%362.88M0.43%362.88M6.89%361.33M6.89%361.33M
Liabilities
Current liabilities
Current debt and capital lease obligation 26.66%31.41M26.66%31.41M122.44%24.8M122.44%24.8M-35.99%11.15M-35.99%11.15M13.58%17.42M13.58%17.42M31.95%15.34M31.95%15.34M
-Current debt 34.23%21.58M34.23%21.58M358.63%16.08M358.63%16.08M-53.27%3.51M-53.27%3.51M0.00%7.5M0.00%7.5M-30.61%7.5M-30.61%7.5M
-Current capital lease obligation 12.71%9.84M12.71%9.84M14.15%8.73M14.15%8.73M-22.93%7.65M-22.93%7.65M26.58%9.92M26.58%9.92M861.47%7.84M861.47%7.84M
Payables 3.98%60.29M3.98%60.29M-35.61%57.98M-35.61%57.98M21.86%90.05M21.86%90.05M8.93%73.9M8.93%73.9M-8.45%67.84M-8.45%67.84M
-accounts payable 14.79%37.2M14.79%37.2M-45.52%32.41M-45.52%32.41M28.88%59.49M28.88%59.49M-5.59%46.16M-5.59%46.16M-17.04%48.89M-17.04%48.89M
-Other payable -9.72%23.09M-9.72%23.09M-16.32%25.57M-16.32%25.57M10.19%30.56M10.19%30.56M46.38%27.73M46.38%27.73M24.92%18.95M24.92%18.95M
Current provisions 46.57%790K46.57%790K-87.72%539K-87.72%539K16.21%4.39M16.21%4.39M-63.10%3.78M-63.10%3.78M62.26%10.23M62.26%10.23M
Pension and other retirement benefit plans 6.26%10.28M6.26%10.28M-7.15%9.68M-7.15%9.68M-16.22%10.42M-16.22%10.42M7.94%12.44M7.94%12.44M6.04%11.53M6.04%11.53M
Current deferred liabilities 240.00%816K240.00%816K-67.08%240K-67.08%240K-46.52%729K-46.52%729K64.02%1.36M64.02%1.36M--831K--831K
Other current liabilities 53.83%10.42M53.83%10.42M573.73%6.77M573.73%6.77M-68.52%1.01M-68.52%1.01M50.35%3.19M50.35%3.19M138.81%2.12M138.81%2.12M
Current liabilities 14.00%114.01M14.00%114.01M-15.06%100.01M-15.06%100.01M5.05%117.75M5.05%117.75M3.89%112.09M3.89%112.09M3.95%107.89M3.95%107.89M
Non current liabilities
Long term debt and capital lease obligation 37.93%38.63M37.93%38.63M-49.35%28.01M-49.35%28.01M-45.85%55.31M-45.85%55.31M-7.02%102.14M-7.02%102.14M15.78%109.85M15.78%109.85M
-Long term debt -----------------58.26%21.46M-58.26%21.46M-12.81%51.4M-12.81%51.4M-37.22%58.95M-37.22%58.95M
-Long term capital lease obligation 37.93%38.63M37.93%38.63M-17.25%28.01M-17.25%28.01M-33.28%33.85M-33.28%33.85M-0.31%50.74M-0.31%50.74M5,152.43%50.9M5,152.43%50.9M
Long term provisions -0.06%3.08M-0.06%3.08M0.33%3.08M0.33%3.08M-0.55%3.07M-0.55%3.07M20.12%3.09M20.12%3.09M-0.50%2.57M-0.50%2.57M
Employee benefits 51.36%501K51.36%501K-25.62%331K-25.62%331K-27.41%445K-27.41%445K-58.36%613K-58.36%613K-13.00%1.47M-13.00%1.47M
Non current deferred liabilities --22K--22K--------------------------------
Total non current liabilities 34.42%42.23M34.42%42.23M-46.58%31.42M-46.58%31.42M-44.42%58.82M-44.42%58.82M-7.07%105.84M-7.07%105.84M14.87%113.89M14.87%113.89M
Total liabilities 18.88%156.24M18.88%156.24M-25.56%131.43M-25.56%131.43M-18.98%176.57M-18.98%176.57M-1.74%217.92M-1.74%217.92M9.28%221.78M9.28%221.78M
Shareholders'equity
Share capital 0.00%320.54M0.00%320.54M9.89%320.54M9.89%320.54M0.00%291.68M0.00%291.68M0.00%291.68M0.00%291.68M0.02%291.68M0.02%291.68M
-common stock 0.00%320.54M0.00%320.54M9.89%320.54M9.89%320.54M0.00%291.68M0.00%291.68M0.00%291.68M0.00%291.68M0.02%291.68M0.02%291.68M
Retained earnings -28.74%-240.83M-28.74%-240.83M-5.79%-187.07M-5.79%-187.07M-19.05%-176.83M-19.05%-176.83M1.70%-148.53M1.70%-148.53M4.21%-151.1M4.21%-151.1M
Gains losses not affecting retained earnings -40.01%1.39M-40.01%1.39M24.97%2.31M24.97%2.31M2.44%1.85M2.44%1.85M275.85%1.81M275.85%1.81M-184.11%-1.03M-184.11%-1.03M
Total stockholders'equity -40.28%81.09M-40.28%81.09M16.35%135.78M16.35%135.78M-19.49%116.7M-19.49%116.7M3.87%144.95M3.87%144.95M3.30%139.55M3.30%139.55M
Total equity -40.28%81.09M-40.28%81.09M16.35%135.78M16.35%135.78M-19.49%116.7M-19.49%116.7M3.87%144.95M3.87%144.95M3.30%139.55M3.30%139.55M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP