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SIT Site Group International Ltd

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  • 0.003
  • 0.0000.00%
20min DelayNot Open Jul 23 10:09 AET
7.81MMarket Cap0.20P/E (Static)

Site Group International Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
41.38%1.05M
41.38%1.05M
345.21%739.29K
345.21%739.29K
-86.68%166.05K
-86.68%166.05K
105.70%1.25M
105.70%1.25M
-60.47%606.15K
-60.47%606.15K
-Cash and cash equivalents
92.36%267.94K
92.36%267.94K
-16.12%139.29K
-16.12%139.29K
-86.68%166.05K
-86.68%166.05K
105.70%1.25M
105.70%1.25M
-60.47%606.15K
-60.47%606.15K
-Accounts receivable
-0.14%21.88M
-0.14%21.88M
-1.67%21.92M
-1.67%21.92M
-5.05%22.29M
-5.05%22.29M
-7.40%23.47M
-7.40%23.47M
3.67%25.35M
3.67%25.35M
-Notes receivable
-55.73%102.93K
-55.73%102.93K
-29.06%232.48K
-29.06%232.48K
-46.39%327.71K
-46.39%327.71K
30.85%611.3K
30.85%611.3K
81.23%467.18K
81.23%467.18K
-Other receivables
-46.84%2.3M
-46.84%2.3M
31.34%4.33M
31.34%4.33M
32.39%3.3M
32.39%3.3M
-3.10%2.49M
-3.10%2.49M
-5.15%2.57M
-5.15%2.57M
Current deferred assets
--5.68K
--5.68K
----
----
----
----
0.03%37.26K
0.03%37.26K
--37.25K
--37.25K
Total current assets
13.75%2.2M
13.75%2.2M
17.65%1.93M
17.65%1.93M
-66.39%1.64M
-66.39%1.64M
-11.68%4.89M
-11.68%4.89M
5.23%5.53M
5.23%5.53M
Non current assets
-Accumulated depreciation
-3.23%-12.82M
-3.23%-12.82M
-9.05%-12.41M
-9.05%-12.41M
1.49%-11.38M
1.49%-11.38M
-34.65%-11.56M
-34.65%-11.56M
-18.49%-8.58M
-18.49%-8.58M
-Long term equity investment
-91.03%574.5K
-91.03%574.5K
-45.48%6.41M
-45.48%6.41M
-11.94%11.75M
-11.94%11.75M
214.84%13.34M
214.84%13.34M
2,445.47%4.24M
2,445.47%4.24M
Non current note receivables
-56.37%335.11K
-56.37%335.11K
-7.56%767.99K
-7.56%767.99K
-9.80%830.84K
-9.80%830.84K
5.15%921.06K
5.15%921.06K
-8.69%875.93K
-8.69%875.93K
-Goodwill
1.28%2.06K
1.28%2.06K
-99.54%2.03K
-99.54%2.03K
-64.42%445K
-64.42%445K
-17.14%1.25M
-17.14%1.25M
3.44%1.51M
3.44%1.51M
Regulatory assets
-7.28%939.02K
-7.28%939.02K
-14.79%1.01M
-14.79%1.01M
-55.26%1.19M
-55.26%1.19M
-39.33%2.66M
-39.33%2.66M
31.31%4.38M
31.31%4.38M
Liabilities
Current liabilities
Current debt and capital lease obligation
-95.78%488.58K
-95.78%488.58K
280.33%11.57M
280.33%11.57M
-12.47%3.04M
-12.47%3.04M
2,339.58%3.48M
2,339.58%3.48M
-60.31%142.52K
-60.31%142.52K
-Current debt
----
----
421.48%10.51M
421.48%10.51M
0.01%2.02M
0.01%2.02M
5,080.76%2.02M
5,080.76%2.02M
-85.42%38.91K
-85.42%38.91K
-Current capital lease obligation
-54.02%488.58K
-54.02%488.58K
3.42%1.06M
3.42%1.06M
-29.68%1.03M
-29.68%1.03M
1,310.25%1.46M
1,310.25%1.46M
12.43%103.61K
12.43%103.61K
-accounts payable
-74.01%1.06M
-74.01%1.06M
34.22%4.1M
34.22%4.1M
58.11%3.05M
58.11%3.05M
-45.02%1.93M
-45.02%1.93M
36.40%3.51M
36.40%3.51M
-Total tax payable
-48.73%6.27M
-48.73%6.27M
-31.14%12.23M
-31.14%12.23M
-13.19%17.77M
-13.19%17.77M
57.76%20.47M
57.76%20.47M
55.82%12.97M
55.82%12.97M
-Other payable
----
----
-47.94%783.09K
-47.94%783.09K
--1.5M
--1.5M
----
----
----
----
Current provisions
-3.91%109.04K
-3.91%109.04K
-42.74%113.49K
-42.74%113.49K
-55.49%198.21K
-55.49%198.21K
252.22%445.3K
252.22%445.3K
0.32%126.43K
0.32%126.43K
Current deferred liabilities
----
----
-77.01%2.6K
-77.01%2.6K
-86.56%11.3K
-86.56%11.3K
-13.21%84.08K
-13.21%84.08K
96.69%96.88K
96.69%96.88K
Current liabilities
-78.32%4.41M
-78.32%4.41M
103.48%20.35M
103.48%20.35M
2.63%10M
2.63%10M
33.47%9.75M
33.47%9.75M
14.14%7.3M
14.14%7.3M
Non current liabilities
-Long term debt
-91.03%574.5K
-91.03%574.5K
-1.68%6.41M
-1.68%6.41M
-22.19%6.52M
-22.19%6.52M
11,669.54%8.37M
11,669.54%8.37M
-57.27%71.14K
-57.27%71.14K
Non current accrued expenses
-44.12%3.8M
-44.12%3.8M
-14.79%6.81M
-14.79%6.81M
-44.67%7.99M
-44.67%7.99M
65.97%14.44M
65.97%14.44M
12.67%8.7M
12.67%8.7M
Derivative product liabilities
----
----
----
----
----
----
--915.94K
--915.94K
----
----
Long term provisions
----
----
----
----
5.31%5.23M
5.31%5.23M
19.29%4.97M
19.29%4.97M
--4.17M
--4.17M
Employee benefits
-55.73%102.93K
-55.73%102.93K
-29.06%232.48K
-29.06%232.48K
-46.39%327.71K
-46.39%327.71K
30.85%611.3K
30.85%611.3K
81.23%467.18K
81.23%467.18K
Regulatory liabilities
-0.12%-21.05M
-0.12%-21.05M
1.06%-21.02M
1.06%-21.02M
-0.62%-21.25M
-0.62%-21.25M
0.87%-21.12M
0.87%-21.12M
1.69%-21.3M
1.69%-21.3M
Preferred securities outside stock equity
106.11%400.1K
106.11%400.1K
-17.31%194.12K
-17.31%194.12K
-53.74%234.77K
-53.74%234.77K
8.94%507.54K
8.94%507.54K
-19.72%465.9K
-19.72%465.9K
Total non current liabilities
-67.21%10.69M
-67.21%10.69M
17.35%32.59M
17.35%32.59M
-8.08%27.77M
-8.08%27.77M
49.01%30.21M
49.01%30.21M
37.71%20.28M
37.71%20.28M
Shareholders'equity
Share capital
6.07%88.8M
6.07%88.8M
0.00%83.72M
0.00%83.72M
0.42%83.72M
0.42%83.72M
6.76%83.37M
6.76%83.37M
0.00%78.09M
0.00%78.09M
-common stock
6.07%88.8M
6.07%88.8M
0.00%83.72M
0.00%83.72M
0.42%83.72M
0.42%83.72M
6.76%83.37M
6.76%83.37M
0.00%78.09M
0.00%78.09M
Gains losses not affecting retained earnings
0.37%2.71M
0.37%2.71M
0.17%2.7M
0.17%2.7M
-9.12%2.7M
-9.12%2.7M
11.71%2.97M
11.71%2.97M
27.53%2.66M
27.53%2.66M
Other equity interest
214.41%32.55K
214.41%32.55K
-74.75%10.35K
-74.75%10.35K
-91.75%41K
-91.75%41K
--496.95K
--496.95K
----
----
Noncontrolling interests
--6.4M
--6.4M
----
----
----
----
----
----
----
----
Total equity
22.31%13.25M
22.31%13.25M
-18.06%10.84M
-18.06%10.84M
-41.90%13.22M
-41.90%13.22M
30.04%22.76M
30.04%22.76M
8.19%17.5M
8.19%17.5M
(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(FY)Jun 30, 2019(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments 41.38%1.05M41.38%1.05M345.21%739.29K345.21%739.29K-86.68%166.05K-86.68%166.05K105.70%1.25M105.70%1.25M-60.47%606.15K-60.47%606.15K
-Cash and cash equivalents 92.36%267.94K92.36%267.94K-16.12%139.29K-16.12%139.29K-86.68%166.05K-86.68%166.05K105.70%1.25M105.70%1.25M-60.47%606.15K-60.47%606.15K
-Accounts receivable -0.14%21.88M-0.14%21.88M-1.67%21.92M-1.67%21.92M-5.05%22.29M-5.05%22.29M-7.40%23.47M-7.40%23.47M3.67%25.35M3.67%25.35M
-Notes receivable -55.73%102.93K-55.73%102.93K-29.06%232.48K-29.06%232.48K-46.39%327.71K-46.39%327.71K30.85%611.3K30.85%611.3K81.23%467.18K81.23%467.18K
-Other receivables -46.84%2.3M-46.84%2.3M31.34%4.33M31.34%4.33M32.39%3.3M32.39%3.3M-3.10%2.49M-3.10%2.49M-5.15%2.57M-5.15%2.57M
Current deferred assets --5.68K--5.68K----------------0.03%37.26K0.03%37.26K--37.25K--37.25K
Total current assets 13.75%2.2M13.75%2.2M17.65%1.93M17.65%1.93M-66.39%1.64M-66.39%1.64M-11.68%4.89M-11.68%4.89M5.23%5.53M5.23%5.53M
Non current assets
-Accumulated depreciation -3.23%-12.82M-3.23%-12.82M-9.05%-12.41M-9.05%-12.41M1.49%-11.38M1.49%-11.38M-34.65%-11.56M-34.65%-11.56M-18.49%-8.58M-18.49%-8.58M
-Long term equity investment -91.03%574.5K-91.03%574.5K-45.48%6.41M-45.48%6.41M-11.94%11.75M-11.94%11.75M214.84%13.34M214.84%13.34M2,445.47%4.24M2,445.47%4.24M
Non current note receivables -56.37%335.11K-56.37%335.11K-7.56%767.99K-7.56%767.99K-9.80%830.84K-9.80%830.84K5.15%921.06K5.15%921.06K-8.69%875.93K-8.69%875.93K
-Goodwill 1.28%2.06K1.28%2.06K-99.54%2.03K-99.54%2.03K-64.42%445K-64.42%445K-17.14%1.25M-17.14%1.25M3.44%1.51M3.44%1.51M
Regulatory assets -7.28%939.02K-7.28%939.02K-14.79%1.01M-14.79%1.01M-55.26%1.19M-55.26%1.19M-39.33%2.66M-39.33%2.66M31.31%4.38M31.31%4.38M
Liabilities
Current liabilities
Current debt and capital lease obligation -95.78%488.58K-95.78%488.58K280.33%11.57M280.33%11.57M-12.47%3.04M-12.47%3.04M2,339.58%3.48M2,339.58%3.48M-60.31%142.52K-60.31%142.52K
-Current debt --------421.48%10.51M421.48%10.51M0.01%2.02M0.01%2.02M5,080.76%2.02M5,080.76%2.02M-85.42%38.91K-85.42%38.91K
-Current capital lease obligation -54.02%488.58K-54.02%488.58K3.42%1.06M3.42%1.06M-29.68%1.03M-29.68%1.03M1,310.25%1.46M1,310.25%1.46M12.43%103.61K12.43%103.61K
-accounts payable -74.01%1.06M-74.01%1.06M34.22%4.1M34.22%4.1M58.11%3.05M58.11%3.05M-45.02%1.93M-45.02%1.93M36.40%3.51M36.40%3.51M
-Total tax payable -48.73%6.27M-48.73%6.27M-31.14%12.23M-31.14%12.23M-13.19%17.77M-13.19%17.77M57.76%20.47M57.76%20.47M55.82%12.97M55.82%12.97M
-Other payable ---------47.94%783.09K-47.94%783.09K--1.5M--1.5M----------------
Current provisions -3.91%109.04K-3.91%109.04K-42.74%113.49K-42.74%113.49K-55.49%198.21K-55.49%198.21K252.22%445.3K252.22%445.3K0.32%126.43K0.32%126.43K
Current deferred liabilities ---------77.01%2.6K-77.01%2.6K-86.56%11.3K-86.56%11.3K-13.21%84.08K-13.21%84.08K96.69%96.88K96.69%96.88K
Current liabilities -78.32%4.41M-78.32%4.41M103.48%20.35M103.48%20.35M2.63%10M2.63%10M33.47%9.75M33.47%9.75M14.14%7.3M14.14%7.3M
Non current liabilities
-Long term debt -91.03%574.5K-91.03%574.5K-1.68%6.41M-1.68%6.41M-22.19%6.52M-22.19%6.52M11,669.54%8.37M11,669.54%8.37M-57.27%71.14K-57.27%71.14K
Non current accrued expenses -44.12%3.8M-44.12%3.8M-14.79%6.81M-14.79%6.81M-44.67%7.99M-44.67%7.99M65.97%14.44M65.97%14.44M12.67%8.7M12.67%8.7M
Derivative product liabilities --------------------------915.94K--915.94K--------
Long term provisions ----------------5.31%5.23M5.31%5.23M19.29%4.97M19.29%4.97M--4.17M--4.17M
Employee benefits -55.73%102.93K-55.73%102.93K-29.06%232.48K-29.06%232.48K-46.39%327.71K-46.39%327.71K30.85%611.3K30.85%611.3K81.23%467.18K81.23%467.18K
Regulatory liabilities -0.12%-21.05M-0.12%-21.05M1.06%-21.02M1.06%-21.02M-0.62%-21.25M-0.62%-21.25M0.87%-21.12M0.87%-21.12M1.69%-21.3M1.69%-21.3M
Preferred securities outside stock equity 106.11%400.1K106.11%400.1K-17.31%194.12K-17.31%194.12K-53.74%234.77K-53.74%234.77K8.94%507.54K8.94%507.54K-19.72%465.9K-19.72%465.9K
Total non current liabilities -67.21%10.69M-67.21%10.69M17.35%32.59M17.35%32.59M-8.08%27.77M-8.08%27.77M49.01%30.21M49.01%30.21M37.71%20.28M37.71%20.28M
Shareholders'equity
Share capital 6.07%88.8M6.07%88.8M0.00%83.72M0.00%83.72M0.42%83.72M0.42%83.72M6.76%83.37M6.76%83.37M0.00%78.09M0.00%78.09M
-common stock 6.07%88.8M6.07%88.8M0.00%83.72M0.00%83.72M0.42%83.72M0.42%83.72M6.76%83.37M6.76%83.37M0.00%78.09M0.00%78.09M
Gains losses not affecting retained earnings 0.37%2.71M0.37%2.71M0.17%2.7M0.17%2.7M-9.12%2.7M-9.12%2.7M11.71%2.97M11.71%2.97M27.53%2.66M27.53%2.66M
Other equity interest 214.41%32.55K214.41%32.55K-74.75%10.35K-74.75%10.35K-91.75%41K-91.75%41K--496.95K--496.95K--------
Noncontrolling interests --6.4M--6.4M--------------------------------
Total equity 22.31%13.25M22.31%13.25M-18.06%10.84M-18.06%10.84M-41.90%13.22M-41.90%13.22M30.04%22.76M30.04%22.76M8.19%17.5M8.19%17.5M

Analysis

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