AU Stock MarketDetailed Quotes

PPS Praemium Ltd

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  • 0.510
  • +0.015+3.03%
20min DelayNot Open Sep 18 16:00 AET
245.83MMarket Cap28.33P/E (Static)

Praemium 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
-4.14%44.34M
-4.14%44.34M
-42.57%46.25M
-42.57%46.25M
201.24%80.55M
201.24%80.55M
68.01%26.74M
68.01%26.74M
15.76%15.91M
15.76%15.91M
-Cash and cash equivalents
-4.14%44.34M
-4.14%44.34M
-42.57%46.25M
-42.57%46.25M
201.24%80.55M
201.24%80.55M
68.01%26.74M
68.01%26.74M
15.76%15.91M
15.76%15.91M
-Accounts receivable
45.11%4.38M
45.11%4.38M
-5.06%3.02M
-5.06%3.02M
5.33%3.18M
5.33%3.18M
-12.90%3.02M
-12.90%3.02M
27.29%3.47M
27.29%3.47M
-Notes receivable
41.09%610.1K
41.09%610.1K
7.91%432.42K
7.91%432.42K
-10.52%400.74K
-10.52%400.74K
122.92%447.85K
122.92%447.85K
56.08%200.9K
56.08%200.9K
-Other receivables
-0.95%9.4M
-0.95%9.4M
0.42%9.49M
0.42%9.49M
24.91%9.45M
24.91%9.45M
36.67%7.56M
36.67%7.56M
2.97%5.53M
2.97%5.53M
Current deferred assets
----
----
389.49%2.86M
389.49%2.86M
--585.1K
--585.1K
----
----
----
----
Total current assets
-1.46%57.91M
-1.46%57.91M
-34.94%58.77M
-34.94%58.77M
132.50%90.33M
132.50%90.33M
59.09%38.85M
59.09%38.85M
14.20%24.42M
14.20%24.42M
Non current assets
-Accumulated depreciation
11.43%-3.95M
11.43%-3.95M
15.28%-4.45M
15.28%-4.45M
40.34%-5.26M
40.34%-5.26M
-16.93%-8.81M
-16.93%-8.81M
-31.96%-7.54M
-31.96%-7.54M
Investment properties
19.46%520.02K
19.46%520.02K
166.59%435.31K
166.59%435.31K
-1.07%163.29K
-1.07%163.29K
-96.87%165.05K
-96.87%165.05K
3,940.54%5.27M
3,940.54%5.27M
-Long term equity investment
-19.60%1.42M
-19.60%1.42M
-76.44%1.77M
-76.44%1.77M
-34.23%7.5M
-34.23%7.5M
1,013.18%11.4M
1,013.18%11.4M
--1.02M
--1.02M
Non current note receivables
-48.55%2.61M
-48.55%2.61M
3.67%5.07M
3.67%5.07M
47.56%4.89M
47.56%4.89M
168.93%3.32M
168.93%3.32M
-11.81%1.23M
-11.81%1.23M
-Goodwill
13.68%68.83M
13.68%68.83M
3.73%60.54M
3.73%60.54M
-8.29%58.37M
-8.29%58.37M
429.14%63.65M
429.14%63.65M
21.14%12.03M
21.14%12.03M
Regulatory assets
44.73%4.56M
44.73%4.56M
-2.93%3.15M
-2.93%3.15M
-29.82%3.25M
-29.82%3.25M
19.11%4.63M
19.11%4.63M
-32.15%3.89M
-32.15%3.89M
Liabilities
Current liabilities
Current debt and capital lease obligation
30.09%540.24K
30.09%540.24K
-89.35%415.27K
-89.35%415.27K
-21.51%3.9M
-21.51%3.9M
55.12%4.97M
55.12%4.97M
--3.2M
--3.2M
-Current debt
----
----
----
----
-0.28%3.1M
-0.28%3.1M
--3.11M
--3.11M
----
----
-Current capital lease obligation
30.09%540.24K
30.09%540.24K
-48.11%415.27K
-48.11%415.27K
-56.97%800.36K
-56.97%800.36K
-41.91%1.86M
-41.91%1.86M
--3.2M
--3.2M
-accounts payable
-44.61%1.47M
-44.61%1.47M
287.84%2.65M
287.84%2.65M
-61.92%684.3K
-61.92%684.3K
60.60%1.8M
60.60%1.8M
75.20%1.12M
75.20%1.12M
-Total tax payable
-45.76%2.03M
-45.76%2.03M
-61.11%3.74M
-61.11%3.74M
-18.80%9.63M
-18.80%9.63M
390.29%11.86M
390.29%11.86M
930.92%2.42M
930.92%2.42M
Current deferred liabilities
133.90%4M
133.90%4M
-11.90%1.71M
-11.90%1.71M
-25.23%1.94M
-25.23%1.94M
-49.21%2.6M
-49.21%2.6M
25.74%5.11M
25.74%5.11M
Current liabilities
32.74%23.4M
32.74%23.4M
-60.76%17.63M
-60.76%17.63M
126.83%44.94M
126.83%44.94M
22.11%19.81M
22.11%19.81M
40.22%16.22M
40.22%16.22M
Non current liabilities
-Long term debt
-19.60%1.42M
-19.60%1.42M
--1.77M
--1.77M
----
----
-11.85%902.94K
-11.85%902.94K
--1.02M
--1.02M
Non current accrued expenses
-2.90%2.97M
-2.90%2.97M
89.78%3.05M
89.78%3.05M
-57.86%1.61M
-57.86%1.61M
-24.40%3.82M
-24.40%3.82M
287.66%5.05M
287.66%5.05M
Long term provisions
----
----
----
----
-28.57%7.5M
-28.57%7.5M
--10.5M
--10.5M
----
----
Employee benefits
41.09%610.1K
41.09%610.1K
7.91%432.42K
7.91%432.42K
-10.52%400.74K
-10.52%400.74K
122.92%447.85K
122.92%447.85K
56.08%200.9K
56.08%200.9K
Regulatory liabilities
-0.76%-96K
-0.76%-96K
42.60%-95.28K
42.60%-95.28K
-14.55%-166K
-14.55%-166K
-106.46%-144.91K
-106.46%-144.91K
-1,163.49%-70.19K
-1,163.49%-70.19K
Trust preferred securities
19.46%520.02K
19.46%520.02K
166.59%435.31K
166.59%435.31K
-1.07%163.29K
-1.07%163.29K
-96.87%165.05K
-96.87%165.05K
3,940.54%5.27M
3,940.54%5.27M
Preferred securities outside stock equity
43.68%4.84M
43.68%4.84M
6.40%3.37M
6.40%3.37M
9.53%3.16M
9.53%3.16M
129.52%2.89M
129.52%2.89M
-15.74%1.26M
-15.74%1.26M
Total non current liabilities
18.99%25.44M
18.99%25.44M
-60.83%21.38M
-60.83%21.38M
72.30%54.57M
72.30%54.57M
69.88%31.67M
69.88%31.67M
57.92%18.64M
57.92%18.64M
Shareholders'equity
Share capital
-8.29%103.03M
-8.29%103.03M
-8.12%112.34M
-8.12%112.34M
5.34%122.27M
5.34%122.27M
69.68%116.07M
69.68%116.07M
2.06%68.4M
2.06%68.4M
-common stock
-8.29%103.03M
-8.29%103.03M
-8.12%112.34M
-8.12%112.34M
5.34%122.27M
5.34%122.27M
69.68%116.07M
69.68%116.07M
2.06%68.4M
2.06%68.4M
Gains losses not affecting retained earnings
111.33%3.01M
111.33%3.01M
63.12%1.42M
63.12%1.42M
-63.91%872.73K
-63.91%872.73K
15.30%2.42M
15.30%2.42M
57.76%2.1M
57.76%2.1M
Other equity interest
38.73%6.28M
38.73%6.28M
12.03%4.53M
12.03%4.53M
-7.43%4.04M
-7.43%4.04M
69.74%4.37M
69.74%4.37M
--2.57M
--2.57M
Total equity
3.93%134.58M
3.93%134.58M
-17.47%129.5M
-17.47%129.5M
40.38%156.91M
40.38%156.91M
127.05%111.78M
127.05%111.78M
39.15%49.23M
39.15%49.23M
(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 -4.14%44.34M-4.14%44.34M-42.57%46.25M-42.57%46.25M201.24%80.55M201.24%80.55M68.01%26.74M68.01%26.74M15.76%15.91M15.76%15.91M
-Cash and cash equivalents -4.14%44.34M-4.14%44.34M-42.57%46.25M-42.57%46.25M201.24%80.55M201.24%80.55M68.01%26.74M68.01%26.74M15.76%15.91M15.76%15.91M
-Accounts receivable 45.11%4.38M45.11%4.38M-5.06%3.02M-5.06%3.02M5.33%3.18M5.33%3.18M-12.90%3.02M-12.90%3.02M27.29%3.47M27.29%3.47M
-Notes receivable 41.09%610.1K41.09%610.1K7.91%432.42K7.91%432.42K-10.52%400.74K-10.52%400.74K122.92%447.85K122.92%447.85K56.08%200.9K56.08%200.9K
-Other receivables -0.95%9.4M-0.95%9.4M0.42%9.49M0.42%9.49M24.91%9.45M24.91%9.45M36.67%7.56M36.67%7.56M2.97%5.53M2.97%5.53M
Current deferred assets --------389.49%2.86M389.49%2.86M--585.1K--585.1K----------------
Total current assets -1.46%57.91M-1.46%57.91M-34.94%58.77M-34.94%58.77M132.50%90.33M132.50%90.33M59.09%38.85M59.09%38.85M14.20%24.42M14.20%24.42M
Non current assets
-Accumulated depreciation 11.43%-3.95M11.43%-3.95M15.28%-4.45M15.28%-4.45M40.34%-5.26M40.34%-5.26M-16.93%-8.81M-16.93%-8.81M-31.96%-7.54M-31.96%-7.54M
Investment properties 19.46%520.02K19.46%520.02K166.59%435.31K166.59%435.31K-1.07%163.29K-1.07%163.29K-96.87%165.05K-96.87%165.05K3,940.54%5.27M3,940.54%5.27M
-Long term equity investment -19.60%1.42M-19.60%1.42M-76.44%1.77M-76.44%1.77M-34.23%7.5M-34.23%7.5M1,013.18%11.4M1,013.18%11.4M--1.02M--1.02M
Non current note receivables -48.55%2.61M-48.55%2.61M3.67%5.07M3.67%5.07M47.56%4.89M47.56%4.89M168.93%3.32M168.93%3.32M-11.81%1.23M-11.81%1.23M
-Goodwill 13.68%68.83M13.68%68.83M3.73%60.54M3.73%60.54M-8.29%58.37M-8.29%58.37M429.14%63.65M429.14%63.65M21.14%12.03M21.14%12.03M
Regulatory assets 44.73%4.56M44.73%4.56M-2.93%3.15M-2.93%3.15M-29.82%3.25M-29.82%3.25M19.11%4.63M19.11%4.63M-32.15%3.89M-32.15%3.89M
Liabilities
Current liabilities
Current debt and capital lease obligation 30.09%540.24K30.09%540.24K-89.35%415.27K-89.35%415.27K-21.51%3.9M-21.51%3.9M55.12%4.97M55.12%4.97M--3.2M--3.2M
-Current debt -----------------0.28%3.1M-0.28%3.1M--3.11M--3.11M--------
-Current capital lease obligation 30.09%540.24K30.09%540.24K-48.11%415.27K-48.11%415.27K-56.97%800.36K-56.97%800.36K-41.91%1.86M-41.91%1.86M--3.2M--3.2M
-accounts payable -44.61%1.47M-44.61%1.47M287.84%2.65M287.84%2.65M-61.92%684.3K-61.92%684.3K60.60%1.8M60.60%1.8M75.20%1.12M75.20%1.12M
-Total tax payable -45.76%2.03M-45.76%2.03M-61.11%3.74M-61.11%3.74M-18.80%9.63M-18.80%9.63M390.29%11.86M390.29%11.86M930.92%2.42M930.92%2.42M
Current deferred liabilities 133.90%4M133.90%4M-11.90%1.71M-11.90%1.71M-25.23%1.94M-25.23%1.94M-49.21%2.6M-49.21%2.6M25.74%5.11M25.74%5.11M
Current liabilities 32.74%23.4M32.74%23.4M-60.76%17.63M-60.76%17.63M126.83%44.94M126.83%44.94M22.11%19.81M22.11%19.81M40.22%16.22M40.22%16.22M
Non current liabilities
-Long term debt -19.60%1.42M-19.60%1.42M--1.77M--1.77M---------11.85%902.94K-11.85%902.94K--1.02M--1.02M
Non current accrued expenses -2.90%2.97M-2.90%2.97M89.78%3.05M89.78%3.05M-57.86%1.61M-57.86%1.61M-24.40%3.82M-24.40%3.82M287.66%5.05M287.66%5.05M
Long term provisions -----------------28.57%7.5M-28.57%7.5M--10.5M--10.5M--------
Employee benefits 41.09%610.1K41.09%610.1K7.91%432.42K7.91%432.42K-10.52%400.74K-10.52%400.74K122.92%447.85K122.92%447.85K56.08%200.9K56.08%200.9K
Regulatory liabilities -0.76%-96K-0.76%-96K42.60%-95.28K42.60%-95.28K-14.55%-166K-14.55%-166K-106.46%-144.91K-106.46%-144.91K-1,163.49%-70.19K-1,163.49%-70.19K
Trust preferred securities 19.46%520.02K19.46%520.02K166.59%435.31K166.59%435.31K-1.07%163.29K-1.07%163.29K-96.87%165.05K-96.87%165.05K3,940.54%5.27M3,940.54%5.27M
Preferred securities outside stock equity 43.68%4.84M43.68%4.84M6.40%3.37M6.40%3.37M9.53%3.16M9.53%3.16M129.52%2.89M129.52%2.89M-15.74%1.26M-15.74%1.26M
Total non current liabilities 18.99%25.44M18.99%25.44M-60.83%21.38M-60.83%21.38M72.30%54.57M72.30%54.57M69.88%31.67M69.88%31.67M57.92%18.64M57.92%18.64M
Shareholders'equity
Share capital -8.29%103.03M-8.29%103.03M-8.12%112.34M-8.12%112.34M5.34%122.27M5.34%122.27M69.68%116.07M69.68%116.07M2.06%68.4M2.06%68.4M
-common stock -8.29%103.03M-8.29%103.03M-8.12%112.34M-8.12%112.34M5.34%122.27M5.34%122.27M69.68%116.07M69.68%116.07M2.06%68.4M2.06%68.4M
Gains losses not affecting retained earnings 111.33%3.01M111.33%3.01M63.12%1.42M63.12%1.42M-63.91%872.73K-63.91%872.73K15.30%2.42M15.30%2.42M57.76%2.1M57.76%2.1M
Other equity interest 38.73%6.28M38.73%6.28M12.03%4.53M12.03%4.53M-7.43%4.04M-7.43%4.04M69.74%4.37M69.74%4.37M--2.57M--2.57M
Total equity 3.93%134.58M3.93%134.58M-17.47%129.5M-17.47%129.5M40.38%156.91M40.38%156.91M127.05%111.78M127.05%111.78M39.15%49.23M39.15%49.23M

Analysis

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