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TLX Telix Pharmaceuticals Ltd

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  • 24.530
  • +0.420+1.74%
20min DelayMarket Closed Dec 13 16:00 AET
8.21BMarket Cap1533.13P/E (Static)

Telix Pharmaceuticals Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(Q4)Dec 30, 2023
(FY)Dec 30, 2022
(Q4)Dec 30, 2022
(FY)Dec 30, 2021
(Q4)Dec 30, 2021
(FY)Dec 30, 2020
(Q4)Dec 30, 2020
(FY)Dec 30, 2019
(Q4)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
5.94%123.24M
5.94%123.24M
427.88%116.33M
427.88%116.33M
-71.73%22.04M
-71.73%22.04M
74.77%77.95M
74.77%77.95M
73.05%44.6M
73.05%44.6M
-Cash and cash equivalents
5.94%123.24M
5.94%123.24M
427.88%116.33M
427.88%116.33M
-71.73%22.04M
-71.73%22.04M
74.77%77.95M
74.77%77.95M
73.05%44.6M
73.05%44.6M
Receivables
64.60%64.78M
64.60%64.78M
102.65%39.35M
102.65%39.35M
56.63%19.42M
56.63%19.42M
2.72%12.4M
2.72%12.4M
43.09%12.07M
43.09%12.07M
-Accounts receivable
64.60%64.78M
64.60%64.78M
5,290.96%39.35M
5,290.96%39.35M
356.25%730K
356.25%730K
-78.52%160K
-78.52%160K
9.88%745K
9.88%745K
-Other receivables
----
----
----
----
52.71%18.69M
52.71%18.69M
8.06%12.24M
8.06%12.24M
45.99%11.33M
45.99%11.33M
Inventory
104.20%17.31M
104.20%17.31M
145.43%8.48M
145.43%8.48M
445.66%3.45M
445.66%3.45M
16.79%633K
16.79%633K
-15.65%542K
-15.65%542K
Prepaid assets
395.30%12.42M
395.30%12.42M
107.79%2.51M
107.79%2.51M
40.51%1.21M
40.51%1.21M
62.08%859K
62.08%859K
12.22%530K
12.22%530K
Other current assets
8.18%7.1M
8.18%7.1M
360.70%6.57M
360.70%6.57M
-20.48%1.43M
-20.48%1.43M
91.04%1.79M
91.04%1.79M
75.44%938K
75.44%938K
Total current assets
29.80%224.85M
29.80%224.85M
264.37%173.23M
264.37%173.23M
-49.22%47.54M
-49.22%47.54M
59.56%93.63M
59.56%93.63M
63.65%58.68M
63.65%58.68M
Non current assets
Net PPE
61.87%30.49M
61.87%30.49M
197.65%18.84M
197.65%18.84M
31.28%6.33M
31.28%6.33M
153.87%4.82M
153.87%4.82M
739.63%1.9M
739.63%1.9M
-Gross PPE
63.46%36.31M
63.46%36.31M
163.72%22.21M
163.72%22.21M
43.01%8.42M
43.01%8.42M
165.08%5.89M
165.08%5.89M
882.44%2.22M
882.44%2.22M
-Accumulated depreciation
-72.33%-5.82M
-72.33%-5.82M
-61.17%-3.38M
-61.17%-3.38M
-95.88%-2.09M
-95.88%-2.09M
-230.96%-1.07M
-230.96%-1.07M
---323K
---323K
Investments and advances
--12.26M
--12.26M
----
----
----
----
----
----
----
----
-Other investment
--12.26M
--12.26M
----
----
----
----
----
----
----
----
Non current accounts receivable
79.20%586K
79.20%586K
54.25%327K
54.25%327K
15.85%212K
15.85%212K
123.17%183K
123.17%183K
-93.02%82K
-93.02%82K
Goodwill and other intangible assets
85.92%109.66M
85.92%109.66M
5.84%58.98M
5.84%58.98M
-5.85%55.73M
-5.85%55.73M
41.10%59.19M
41.10%59.19M
6.33%41.95M
6.33%41.95M
-Goodwill
-12.18%4.85M
-12.18%4.85M
34.71%5.52M
34.71%5.52M
-3.01%4.1M
-3.01%4.1M
0.00%4.22M
0.00%4.22M
34.52%4.22M
34.52%4.22M
-Other intangible assets
96.05%104.82M
96.05%104.82M
3.55%53.47M
3.55%53.47M
-6.06%51.63M
-6.06%51.63M
45.70%54.97M
45.70%54.97M
3.89%37.72M
3.89%37.72M
Non current deferred assets
415.03%20.45M
415.03%20.45M
--3.97M
--3.97M
----
----
----
----
----
----
Total non current assets
111.22%173.45M
111.22%173.45M
31.88%82.12M
31.88%82.12M
-3.00%62.27M
-3.00%62.27M
46.13%64.19M
46.13%64.19M
7.53%43.93M
7.53%43.93M
Total assets
55.98%398.3M
55.98%398.3M
132.53%255.35M
132.53%255.35M
-30.42%109.81M
-30.42%109.81M
53.81%157.82M
53.81%157.82M
33.76%102.61M
33.76%102.61M
Liabilities
Current liabilities
Current debt and capital lease obligation
143.21%1.56M
143.21%1.56M
1.42%641K
1.42%641K
-17.60%632K
-17.60%632K
56.53%767K
56.53%767K
-56.75%490K
-56.75%490K
-Current debt
--964K
--964K
----
----
-92.80%19K
-92.80%19K
-43.71%264K
-43.71%264K
-58.60%469K
-58.60%469K
-Current capital lease obligation
-7.18%595K
-7.18%595K
4.57%641K
4.57%641K
21.87%613K
21.87%613K
2,295.24%503K
2,295.24%503K
--21K
--21K
Payables
65.00%81.7M
65.00%81.7M
160.08%49.52M
160.08%49.52M
74.81%19.04M
74.81%19.04M
18.16%10.89M
18.16%10.89M
33.73%9.22M
33.73%9.22M
-accounts payable
95.39%32.84M
95.39%32.84M
41.42%16.81M
41.42%16.81M
104.61%11.88M
104.61%11.88M
-16.60%5.81M
-16.60%5.81M
114.37%6.96M
114.37%6.96M
-Other payable
49.38%48.87M
49.38%48.87M
357.14%32.71M
357.14%32.71M
40.76%7.16M
40.76%7.16M
125.55%5.08M
125.55%5.08M
-38.15%2.25M
-38.15%2.25M
Current provisions
142.09%37.73M
142.09%37.73M
110.52%15.59M
110.52%15.59M
--7.4M
--7.4M
----
----
----
----
Pension and other retirement benefit plans
84.24%13.91M
84.24%13.91M
58.50%7.55M
58.50%7.55M
137.13%4.76M
137.13%4.76M
119.08%2.01M
119.08%2.01M
325.08%917K
325.08%917K
Current deferred liabilities
57.21%11.51M
57.21%11.51M
--7.32M
--7.32M
----
----
----
----
----
----
Other current liabilities
122.57%11M
122.57%11M
-19.58%4.94M
-19.58%4.94M
-2.31%6.14M
-2.31%6.14M
--6.29M
--6.29M
----
----
Current liabilities
83.98%157.41M
83.98%157.41M
125.25%85.56M
125.25%85.56M
90.33%37.98M
90.33%37.98M
87.82%19.96M
87.82%19.96M
28.92%10.63M
28.92%10.63M
Non current liabilities
Long term debt and capital lease obligation
62.02%15.89M
62.02%15.89M
414.16%9.81M
414.16%9.81M
32.43%1.91M
32.43%1.91M
-12.25%1.44M
-12.25%1.44M
175.20%1.64M
175.20%1.64M
-Long term debt
147.86%8.21M
147.86%8.21M
--3.31M
--3.31M
----
----
-67.47%95K
-67.47%95K
-51.03%292K
-51.03%292K
-Long term capital lease obligation
18.24%7.68M
18.24%7.68M
240.48%6.49M
240.48%6.49M
41.78%1.91M
41.78%1.91M
-0.30%1.35M
-0.30%1.35M
--1.35M
--1.35M
Long term provisions
11.10%63.61M
11.10%63.61M
28.42%57.25M
28.42%57.25M
--44.58M
--44.58M
----
----
----
----
Employee benefits
53.49%330K
53.49%330K
62.88%215K
62.88%215K
--132K
--132K
----
----
----
----
Non current deferred liabilities
----
----
----
----
----
----
----
----
-27.52%3.17M
-27.52%3.17M
Other non current liabilities
-46.00%12.16M
-46.00%12.16M
-2.32%22.52M
-2.32%22.52M
-59.84%23.06M
-59.84%23.06M
235.90%57.41M
235.90%57.41M
61.36%17.09M
61.36%17.09M
Total non current liabilities
2.44%91.98M
2.44%91.98M
28.87%89.79M
28.87%89.79M
18.39%69.67M
18.39%69.67M
168.69%58.85M
168.69%58.85M
40.74%21.9M
40.74%21.9M
Total liabilities
42.23%249.39M
42.23%249.39M
62.88%175.35M
62.88%175.35M
36.61%107.66M
36.61%107.66M
142.28%78.81M
142.28%78.81M
36.65%32.53M
36.65%32.53M
Shareholders'equity
Share capital
20.30%446.27M
20.30%446.27M
117.15%370.97M
117.15%370.97M
2.26%170.84M
2.26%170.84M
44.09%167.06M
44.09%167.06M
60.91%115.94M
60.91%115.94M
-common stock
20.30%446.27M
20.30%446.27M
117.15%370.97M
117.15%370.97M
2.26%170.84M
2.26%170.84M
44.09%167.06M
44.09%167.06M
60.91%115.94M
60.91%115.94M
Retained earnings
3.35%-263.67M
3.35%-263.67M
-57.27%-272.82M
-57.27%-272.82M
-86.61%-173.47M
-86.61%-173.47M
-93.37%-92.96M
-93.37%-92.96M
-137.91%-48.07M
-137.91%-48.07M
Gains losses not affecting retained earnings
-85.63%-33.69M
-85.63%-33.69M
-478.99%-18.15M
-478.99%-18.15M
-2.64%4.79M
-2.64%4.79M
122.38%4.92M
122.38%4.92M
108.94%2.21M
108.94%2.21M
Total stockholders'equity
86.12%148.91M
86.12%148.91M
3,607.46%80.01M
3,607.46%80.01M
-97.27%2.16M
-97.27%2.16M
12.75%79.02M
12.75%79.02M
32.47%70.08M
32.47%70.08M
Total equity
86.12%148.91M
86.12%148.91M
3,607.46%80.01M
3,607.46%80.01M
-97.27%2.16M
-97.27%2.16M
12.75%79.02M
12.75%79.02M
32.47%70.08M
32.47%70.08M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2023(Q4)Dec 30, 2023(FY)Dec 30, 2022(Q4)Dec 30, 2022(FY)Dec 30, 2021(Q4)Dec 30, 2021(FY)Dec 30, 2020(Q4)Dec 30, 2020(FY)Dec 30, 2019(Q4)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments 5.94%123.24M5.94%123.24M427.88%116.33M427.88%116.33M-71.73%22.04M-71.73%22.04M74.77%77.95M74.77%77.95M73.05%44.6M73.05%44.6M
-Cash and cash equivalents 5.94%123.24M5.94%123.24M427.88%116.33M427.88%116.33M-71.73%22.04M-71.73%22.04M74.77%77.95M74.77%77.95M73.05%44.6M73.05%44.6M
Receivables 64.60%64.78M64.60%64.78M102.65%39.35M102.65%39.35M56.63%19.42M56.63%19.42M2.72%12.4M2.72%12.4M43.09%12.07M43.09%12.07M
-Accounts receivable 64.60%64.78M64.60%64.78M5,290.96%39.35M5,290.96%39.35M356.25%730K356.25%730K-78.52%160K-78.52%160K9.88%745K9.88%745K
-Other receivables ----------------52.71%18.69M52.71%18.69M8.06%12.24M8.06%12.24M45.99%11.33M45.99%11.33M
Inventory 104.20%17.31M104.20%17.31M145.43%8.48M145.43%8.48M445.66%3.45M445.66%3.45M16.79%633K16.79%633K-15.65%542K-15.65%542K
Prepaid assets 395.30%12.42M395.30%12.42M107.79%2.51M107.79%2.51M40.51%1.21M40.51%1.21M62.08%859K62.08%859K12.22%530K12.22%530K
Other current assets 8.18%7.1M8.18%7.1M360.70%6.57M360.70%6.57M-20.48%1.43M-20.48%1.43M91.04%1.79M91.04%1.79M75.44%938K75.44%938K
Total current assets 29.80%224.85M29.80%224.85M264.37%173.23M264.37%173.23M-49.22%47.54M-49.22%47.54M59.56%93.63M59.56%93.63M63.65%58.68M63.65%58.68M
Non current assets
Net PPE 61.87%30.49M61.87%30.49M197.65%18.84M197.65%18.84M31.28%6.33M31.28%6.33M153.87%4.82M153.87%4.82M739.63%1.9M739.63%1.9M
-Gross PPE 63.46%36.31M63.46%36.31M163.72%22.21M163.72%22.21M43.01%8.42M43.01%8.42M165.08%5.89M165.08%5.89M882.44%2.22M882.44%2.22M
-Accumulated depreciation -72.33%-5.82M-72.33%-5.82M-61.17%-3.38M-61.17%-3.38M-95.88%-2.09M-95.88%-2.09M-230.96%-1.07M-230.96%-1.07M---323K---323K
Investments and advances --12.26M--12.26M--------------------------------
-Other investment --12.26M--12.26M--------------------------------
Non current accounts receivable 79.20%586K79.20%586K54.25%327K54.25%327K15.85%212K15.85%212K123.17%183K123.17%183K-93.02%82K-93.02%82K
Goodwill and other intangible assets 85.92%109.66M85.92%109.66M5.84%58.98M5.84%58.98M-5.85%55.73M-5.85%55.73M41.10%59.19M41.10%59.19M6.33%41.95M6.33%41.95M
-Goodwill -12.18%4.85M-12.18%4.85M34.71%5.52M34.71%5.52M-3.01%4.1M-3.01%4.1M0.00%4.22M0.00%4.22M34.52%4.22M34.52%4.22M
-Other intangible assets 96.05%104.82M96.05%104.82M3.55%53.47M3.55%53.47M-6.06%51.63M-6.06%51.63M45.70%54.97M45.70%54.97M3.89%37.72M3.89%37.72M
Non current deferred assets 415.03%20.45M415.03%20.45M--3.97M--3.97M------------------------
Total non current assets 111.22%173.45M111.22%173.45M31.88%82.12M31.88%82.12M-3.00%62.27M-3.00%62.27M46.13%64.19M46.13%64.19M7.53%43.93M7.53%43.93M
Total assets 55.98%398.3M55.98%398.3M132.53%255.35M132.53%255.35M-30.42%109.81M-30.42%109.81M53.81%157.82M53.81%157.82M33.76%102.61M33.76%102.61M
Liabilities
Current liabilities
Current debt and capital lease obligation 143.21%1.56M143.21%1.56M1.42%641K1.42%641K-17.60%632K-17.60%632K56.53%767K56.53%767K-56.75%490K-56.75%490K
-Current debt --964K--964K---------92.80%19K-92.80%19K-43.71%264K-43.71%264K-58.60%469K-58.60%469K
-Current capital lease obligation -7.18%595K-7.18%595K4.57%641K4.57%641K21.87%613K21.87%613K2,295.24%503K2,295.24%503K--21K--21K
Payables 65.00%81.7M65.00%81.7M160.08%49.52M160.08%49.52M74.81%19.04M74.81%19.04M18.16%10.89M18.16%10.89M33.73%9.22M33.73%9.22M
-accounts payable 95.39%32.84M95.39%32.84M41.42%16.81M41.42%16.81M104.61%11.88M104.61%11.88M-16.60%5.81M-16.60%5.81M114.37%6.96M114.37%6.96M
-Other payable 49.38%48.87M49.38%48.87M357.14%32.71M357.14%32.71M40.76%7.16M40.76%7.16M125.55%5.08M125.55%5.08M-38.15%2.25M-38.15%2.25M
Current provisions 142.09%37.73M142.09%37.73M110.52%15.59M110.52%15.59M--7.4M--7.4M----------------
Pension and other retirement benefit plans 84.24%13.91M84.24%13.91M58.50%7.55M58.50%7.55M137.13%4.76M137.13%4.76M119.08%2.01M119.08%2.01M325.08%917K325.08%917K
Current deferred liabilities 57.21%11.51M57.21%11.51M--7.32M--7.32M------------------------
Other current liabilities 122.57%11M122.57%11M-19.58%4.94M-19.58%4.94M-2.31%6.14M-2.31%6.14M--6.29M--6.29M--------
Current liabilities 83.98%157.41M83.98%157.41M125.25%85.56M125.25%85.56M90.33%37.98M90.33%37.98M87.82%19.96M87.82%19.96M28.92%10.63M28.92%10.63M
Non current liabilities
Long term debt and capital lease obligation 62.02%15.89M62.02%15.89M414.16%9.81M414.16%9.81M32.43%1.91M32.43%1.91M-12.25%1.44M-12.25%1.44M175.20%1.64M175.20%1.64M
-Long term debt 147.86%8.21M147.86%8.21M--3.31M--3.31M---------67.47%95K-67.47%95K-51.03%292K-51.03%292K
-Long term capital lease obligation 18.24%7.68M18.24%7.68M240.48%6.49M240.48%6.49M41.78%1.91M41.78%1.91M-0.30%1.35M-0.30%1.35M--1.35M--1.35M
Long term provisions 11.10%63.61M11.10%63.61M28.42%57.25M28.42%57.25M--44.58M--44.58M----------------
Employee benefits 53.49%330K53.49%330K62.88%215K62.88%215K--132K--132K----------------
Non current deferred liabilities ---------------------------------27.52%3.17M-27.52%3.17M
Other non current liabilities -46.00%12.16M-46.00%12.16M-2.32%22.52M-2.32%22.52M-59.84%23.06M-59.84%23.06M235.90%57.41M235.90%57.41M61.36%17.09M61.36%17.09M
Total non current liabilities 2.44%91.98M2.44%91.98M28.87%89.79M28.87%89.79M18.39%69.67M18.39%69.67M168.69%58.85M168.69%58.85M40.74%21.9M40.74%21.9M
Total liabilities 42.23%249.39M42.23%249.39M62.88%175.35M62.88%175.35M36.61%107.66M36.61%107.66M142.28%78.81M142.28%78.81M36.65%32.53M36.65%32.53M
Shareholders'equity
Share capital 20.30%446.27M20.30%446.27M117.15%370.97M117.15%370.97M2.26%170.84M2.26%170.84M44.09%167.06M44.09%167.06M60.91%115.94M60.91%115.94M
-common stock 20.30%446.27M20.30%446.27M117.15%370.97M117.15%370.97M2.26%170.84M2.26%170.84M44.09%167.06M44.09%167.06M60.91%115.94M60.91%115.94M
Retained earnings 3.35%-263.67M3.35%-263.67M-57.27%-272.82M-57.27%-272.82M-86.61%-173.47M-86.61%-173.47M-93.37%-92.96M-93.37%-92.96M-137.91%-48.07M-137.91%-48.07M
Gains losses not affecting retained earnings -85.63%-33.69M-85.63%-33.69M-478.99%-18.15M-478.99%-18.15M-2.64%4.79M-2.64%4.79M122.38%4.92M122.38%4.92M108.94%2.21M108.94%2.21M
Total stockholders'equity 86.12%148.91M86.12%148.91M3,607.46%80.01M3,607.46%80.01M-97.27%2.16M-97.27%2.16M12.75%79.02M12.75%79.02M32.47%70.08M32.47%70.08M
Total equity 86.12%148.91M86.12%148.91M3,607.46%80.01M3,607.46%80.01M-97.27%2.16M-97.27%2.16M12.75%79.02M12.75%79.02M32.47%70.08M32.47%70.08M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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