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QTM Quantum Health Group Ltd

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  • 0.000
  • 0.0000.00%
20min DelayMarket Closed Jul 19 10:00 AET
0Market Cap0.00P/E (Static)

Quantum Health Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(FY)Jun 30, 2020
(Q4)Jun 30, 2020
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
(FY)Jun 30, 2018
(Q4)Jun 30, 2018
(FY)Jun 30, 2017
(Q4)Jun 30, 2017
Assets
Current assets
Cash, cash equivalents and short term investments
33.78%13.12M
33.78%13.12M
98.99%9.81M
98.99%9.81M
-30.20%4.93M
-30.20%4.93M
133.22%7.06M
133.22%7.06M
-49.06%3.03M
-49.06%3.03M
-Cash and cash equivalents
36.28%11.95M
36.28%11.95M
102.57%8.77M
102.57%8.77M
-20.22%4.33M
-20.22%4.33M
155.97%5.42M
155.97%5.42M
-28.89%2.12M
-28.89%2.12M
-Accounts receivable
-2.80%15.26M
-2.80%15.26M
40.47%15.7M
40.47%15.7M
-10.06%11.17M
-10.06%11.17M
-15.33%12.42M
-15.33%12.42M
51.48%14.67M
51.48%14.67M
-Notes receivable
-85.48%113K
-85.48%113K
-31.81%778K
-31.81%778K
-34.05%1.14M
-34.05%1.14M
12.34%1.73M
12.34%1.73M
21.64%1.54M
21.64%1.54M
-Other receivables
-48.56%2.82M
-48.56%2.82M
78.96%5.48M
78.96%5.48M
-73.18%3.06M
-73.18%3.06M
16.07%11.41M
16.07%11.41M
7.37%9.83M
7.37%9.83M
Total current assets
6.57%40.61M
6.57%40.61M
33.75%38.11M
33.75%38.11M
-17.30%28.49M
-17.30%28.49M
8.87%34.45M
8.87%34.45M
-8.64%31.64M
-8.64%31.64M
Non current assets
-Accumulated depreciation
14.61%-4.55M
14.61%-4.55M
-9.26%-5.33M
-9.26%-5.33M
6.75%-4.88M
6.75%-4.88M
16.49%-5.23M
16.49%-5.23M
3.64%-6.27M
3.64%-6.27M
-Long term equity investment
-62.50%180K
-62.50%180K
-25.12%480K
-25.12%480K
-89.11%641K
-89.11%641K
-8.00%5.89M
-8.00%5.89M
59.40%6.4M
59.40%6.4M
Non current note receivables
-1.88%3.08M
-1.88%3.08M
-2.33%3.14M
-2.33%3.14M
22.04%3.21M
22.04%3.21M
15.54%2.63M
15.54%2.63M
21.43%2.28M
21.43%2.28M
-Goodwill
-0.56%22.59M
-0.56%22.59M
13.69%22.72M
13.69%22.72M
-0.72%19.98M
-0.72%19.98M
0.00%20.13M
0.00%20.13M
0.00%20.13M
0.00%20.13M
Defined pension benefit
--44K
--44K
----
----
----
----
----
----
----
----
Regulatory assets
-0.81%14.84M
-0.81%14.84M
39.78%14.96M
39.78%14.96M
-10.55%10.71M
-10.55%10.71M
-16.40%11.97M
-16.40%11.97M
56.95%14.31M
56.95%14.31M
Non current deferred assets
38.80%254K
38.80%254K
-93.34%183K
-93.34%183K
-38.62%2.75M
-38.62%2.75M
-0.07%4.48M
-0.07%4.48M
3,831.58%4.48M
3,831.58%4.48M
Liabilities
Current liabilities
Current debt and capital lease obligation
-20.79%7.78M
-20.79%7.78M
-20.91%9.82M
-20.91%9.82M
39.12%12.41M
39.12%12.41M
-16.30%8.92M
-16.30%8.92M
-22.41%10.66M
-22.41%10.66M
-Current debt
-18.13%7.28M
-18.13%7.28M
-28.11%8.89M
-28.11%8.89M
39.60%12.36M
39.60%12.36M
-16.53%8.86M
-16.53%8.86M
-22.67%10.61M
-22.67%10.61M
-Current capital lease obligation
-46.29%499K
-46.29%499K
1,795.92%929K
1,795.92%929K
-25.76%49K
-25.76%49K
34.69%66K
34.69%66K
188.24%49K
188.24%49K
-accounts payable
-11.36%8.28M
-11.36%8.28M
58.65%9.35M
58.65%9.35M
-25.29%5.89M
-25.29%5.89M
12.56%7.89M
12.56%7.89M
-16.08%7.01M
-16.08%7.01M
-Total tax payable
-62.19%898K
-62.19%898K
21.17%2.38M
21.17%2.38M
-76.24%1.96M
-76.24%1.96M
-14.31%8.25M
-14.31%8.25M
27.95%9.63M
27.95%9.63M
-Other payable
42.17%2.07M
42.17%2.07M
1,654.22%1.46M
1,654.22%1.46M
-89.32%83K
-89.32%83K
103.40%777K
103.40%777K
-41.41%382K
-41.41%382K
Current provisions
401.35%2.6M
401.35%2.6M
-21.99%518K
-21.99%518K
-26.79%664K
-26.79%664K
259.92%907K
259.92%907K
-45.81%252K
-45.81%252K
Current deferred liabilities
89.39%839K
89.39%839K
9.93%443K
9.93%443K
-74.18%403K
-74.18%403K
84.52%1.56M
84.52%1.56M
438.85%846K
438.85%846K
Current liabilities
-14.69%26.23M
-14.69%26.23M
21.51%30.75M
21.51%30.75M
-19.56%25.31M
-19.56%25.31M
7.19%31.46M
7.19%31.46M
-12.09%29.35M
-12.09%29.35M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
-59.31%59K
-59.31%59K
52.63%145K
52.63%145K
--95K
--95K
-Long term debt
-77.73%106K
-77.73%106K
7,833.33%476K
7,833.33%476K
-40.00%6K
-40.00%6K
-23.08%10K
-23.08%10K
-82.67%13K
-82.67%13K
Non current accrued expenses
-42.04%1.81M
-42.04%1.81M
98.34%3.11M
98.34%3.11M
1.42%1.57M
1.42%1.57M
-58.83%1.55M
-58.83%1.55M
-11.36%3.76M
-11.36%3.76M
Long term provisions
1,750.00%74K
1,750.00%74K
-99.37%4K
-99.37%4K
-89.20%635K
-89.20%635K
-7.97%5.88M
-7.97%5.88M
62.11%6.39M
62.11%6.39M
Employee benefits
-85.48%113K
-85.48%113K
-31.81%778K
-31.81%778K
-34.05%1.14M
-34.05%1.14M
12.34%1.73M
12.34%1.73M
21.64%1.54M
21.64%1.54M
Regulatory liabilities
43.58%-413K
43.58%-413K
-38.90%-732K
-38.90%-732K
12.31%-527K
12.31%-527K
-32.67%-601K
-32.67%-601K
19.96%-453K
19.96%-453K
Preferred securities outside stock equity
----
----
66.44%1.73M
66.44%1.73M
34.72%1.04M
34.72%1.04M
2.39%772K
2.39%772K
-50.43%754K
-50.43%754K
Total non current liabilities
-18.10%27.13M
-18.10%27.13M
21.48%33.13M
21.48%33.13M
-31.33%27.27M
-31.33%27.27M
1.88%39.71M
1.88%39.71M
-4.73%38.98M
-4.73%38.98M
Shareholders'equity
Share capital
-79.81%17.45M
-79.81%17.45M
0.00%86.43M
0.00%86.43M
0.00%86.43M
0.00%86.43M
3.15%86.43M
3.15%86.43M
0.00%83.79M
0.00%83.79M
-common stock
-79.81%17.45M
-79.81%17.45M
0.00%86.43M
0.00%86.43M
0.00%86.43M
0.00%86.43M
3.15%86.43M
3.15%86.43M
0.00%83.79M
0.00%83.79M
Gains losses not affecting retained earnings
-33.55%1.51M
-33.55%1.51M
18.87%2.27M
18.87%2.27M
20.23%1.91M
20.23%1.91M
21.52%1.59M
21.52%1.59M
-5.02%1.31M
-5.02%1.31M
Other equity interest
18.72%4.46M
18.72%4.46M
2.48%3.76M
2.48%3.76M
204.91%3.67M
204.91%3.67M
171.95%1.2M
171.95%1.2M
-62.67%442K
-62.67%442K
Total equity
0.48%74.41M
0.48%74.41M
20.68%74.05M
20.68%74.05M
-12.65%61.36M
-12.65%61.36M
8.94%70.25M
8.94%70.25M
-3.99%64.48M
-3.99%64.48M
(FY)Jun 30, 2021(Q4)Jun 30, 2021(FY)Jun 30, 2020(Q4)Jun 30, 2020(FY)Jun 30, 2019(Q4)Jun 30, 2019(FY)Jun 30, 2018(Q4)Jun 30, 2018(FY)Jun 30, 2017(Q4)Jun 30, 2017
Assets
Current assets
Cash, cash equivalents and short term investments 33.78%13.12M33.78%13.12M98.99%9.81M98.99%9.81M-30.20%4.93M-30.20%4.93M133.22%7.06M133.22%7.06M-49.06%3.03M-49.06%3.03M
-Cash and cash equivalents 36.28%11.95M36.28%11.95M102.57%8.77M102.57%8.77M-20.22%4.33M-20.22%4.33M155.97%5.42M155.97%5.42M-28.89%2.12M-28.89%2.12M
-Accounts receivable -2.80%15.26M-2.80%15.26M40.47%15.7M40.47%15.7M-10.06%11.17M-10.06%11.17M-15.33%12.42M-15.33%12.42M51.48%14.67M51.48%14.67M
-Notes receivable -85.48%113K-85.48%113K-31.81%778K-31.81%778K-34.05%1.14M-34.05%1.14M12.34%1.73M12.34%1.73M21.64%1.54M21.64%1.54M
-Other receivables -48.56%2.82M-48.56%2.82M78.96%5.48M78.96%5.48M-73.18%3.06M-73.18%3.06M16.07%11.41M16.07%11.41M7.37%9.83M7.37%9.83M
Total current assets 6.57%40.61M6.57%40.61M33.75%38.11M33.75%38.11M-17.30%28.49M-17.30%28.49M8.87%34.45M8.87%34.45M-8.64%31.64M-8.64%31.64M
Non current assets
-Accumulated depreciation 14.61%-4.55M14.61%-4.55M-9.26%-5.33M-9.26%-5.33M6.75%-4.88M6.75%-4.88M16.49%-5.23M16.49%-5.23M3.64%-6.27M3.64%-6.27M
-Long term equity investment -62.50%180K-62.50%180K-25.12%480K-25.12%480K-89.11%641K-89.11%641K-8.00%5.89M-8.00%5.89M59.40%6.4M59.40%6.4M
Non current note receivables -1.88%3.08M-1.88%3.08M-2.33%3.14M-2.33%3.14M22.04%3.21M22.04%3.21M15.54%2.63M15.54%2.63M21.43%2.28M21.43%2.28M
-Goodwill -0.56%22.59M-0.56%22.59M13.69%22.72M13.69%22.72M-0.72%19.98M-0.72%19.98M0.00%20.13M0.00%20.13M0.00%20.13M0.00%20.13M
Defined pension benefit --44K--44K--------------------------------
Regulatory assets -0.81%14.84M-0.81%14.84M39.78%14.96M39.78%14.96M-10.55%10.71M-10.55%10.71M-16.40%11.97M-16.40%11.97M56.95%14.31M56.95%14.31M
Non current deferred assets 38.80%254K38.80%254K-93.34%183K-93.34%183K-38.62%2.75M-38.62%2.75M-0.07%4.48M-0.07%4.48M3,831.58%4.48M3,831.58%4.48M
Liabilities
Current liabilities
Current debt and capital lease obligation -20.79%7.78M-20.79%7.78M-20.91%9.82M-20.91%9.82M39.12%12.41M39.12%12.41M-16.30%8.92M-16.30%8.92M-22.41%10.66M-22.41%10.66M
-Current debt -18.13%7.28M-18.13%7.28M-28.11%8.89M-28.11%8.89M39.60%12.36M39.60%12.36M-16.53%8.86M-16.53%8.86M-22.67%10.61M-22.67%10.61M
-Current capital lease obligation -46.29%499K-46.29%499K1,795.92%929K1,795.92%929K-25.76%49K-25.76%49K34.69%66K34.69%66K188.24%49K188.24%49K
-accounts payable -11.36%8.28M-11.36%8.28M58.65%9.35M58.65%9.35M-25.29%5.89M-25.29%5.89M12.56%7.89M12.56%7.89M-16.08%7.01M-16.08%7.01M
-Total tax payable -62.19%898K-62.19%898K21.17%2.38M21.17%2.38M-76.24%1.96M-76.24%1.96M-14.31%8.25M-14.31%8.25M27.95%9.63M27.95%9.63M
-Other payable 42.17%2.07M42.17%2.07M1,654.22%1.46M1,654.22%1.46M-89.32%83K-89.32%83K103.40%777K103.40%777K-41.41%382K-41.41%382K
Current provisions 401.35%2.6M401.35%2.6M-21.99%518K-21.99%518K-26.79%664K-26.79%664K259.92%907K259.92%907K-45.81%252K-45.81%252K
Current deferred liabilities 89.39%839K89.39%839K9.93%443K9.93%443K-74.18%403K-74.18%403K84.52%1.56M84.52%1.56M438.85%846K438.85%846K
Current liabilities -14.69%26.23M-14.69%26.23M21.51%30.75M21.51%30.75M-19.56%25.31M-19.56%25.31M7.19%31.46M7.19%31.46M-12.09%29.35M-12.09%29.35M
Non current liabilities
Long term debt and capital lease obligation -----------------59.31%59K-59.31%59K52.63%145K52.63%145K--95K--95K
-Long term debt -77.73%106K-77.73%106K7,833.33%476K7,833.33%476K-40.00%6K-40.00%6K-23.08%10K-23.08%10K-82.67%13K-82.67%13K
Non current accrued expenses -42.04%1.81M-42.04%1.81M98.34%3.11M98.34%3.11M1.42%1.57M1.42%1.57M-58.83%1.55M-58.83%1.55M-11.36%3.76M-11.36%3.76M
Long term provisions 1,750.00%74K1,750.00%74K-99.37%4K-99.37%4K-89.20%635K-89.20%635K-7.97%5.88M-7.97%5.88M62.11%6.39M62.11%6.39M
Employee benefits -85.48%113K-85.48%113K-31.81%778K-31.81%778K-34.05%1.14M-34.05%1.14M12.34%1.73M12.34%1.73M21.64%1.54M21.64%1.54M
Regulatory liabilities 43.58%-413K43.58%-413K-38.90%-732K-38.90%-732K12.31%-527K12.31%-527K-32.67%-601K-32.67%-601K19.96%-453K19.96%-453K
Preferred securities outside stock equity --------66.44%1.73M66.44%1.73M34.72%1.04M34.72%1.04M2.39%772K2.39%772K-50.43%754K-50.43%754K
Total non current liabilities -18.10%27.13M-18.10%27.13M21.48%33.13M21.48%33.13M-31.33%27.27M-31.33%27.27M1.88%39.71M1.88%39.71M-4.73%38.98M-4.73%38.98M
Shareholders'equity
Share capital -79.81%17.45M-79.81%17.45M0.00%86.43M0.00%86.43M0.00%86.43M0.00%86.43M3.15%86.43M3.15%86.43M0.00%83.79M0.00%83.79M
-common stock -79.81%17.45M-79.81%17.45M0.00%86.43M0.00%86.43M0.00%86.43M0.00%86.43M3.15%86.43M3.15%86.43M0.00%83.79M0.00%83.79M
Gains losses not affecting retained earnings -33.55%1.51M-33.55%1.51M18.87%2.27M18.87%2.27M20.23%1.91M20.23%1.91M21.52%1.59M21.52%1.59M-5.02%1.31M-5.02%1.31M
Other equity interest 18.72%4.46M18.72%4.46M2.48%3.76M2.48%3.76M204.91%3.67M204.91%3.67M171.95%1.2M171.95%1.2M-62.67%442K-62.67%442K
Total equity 0.48%74.41M0.48%74.41M20.68%74.05M20.68%74.05M-12.65%61.36M-12.65%61.36M8.94%70.25M8.94%70.25M-3.99%64.48M-3.99%64.48M

Analysis

Analyst Rating

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Price Target

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