AU Stock MarketDetailed Quotes

VIT Vitura Health Ltd

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  • 0.092
  • +0.002+2.22%
20min DelayMarket Closed Jul 30 16:00 AET
52.98MMarket Cap3.83P/E (Static)

Vitura Health 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
Assets
Current assets
Cash, cash equivalents and short term investments
17.24%18.85M
17.24%18.85M
69.82%16.08M
69.82%16.08M
-35.54%9.47M
-35.54%9.47M
-16.59%14.69M
--14.69M
--17.61M
-Cash and cash equivalents
17.24%18.85M
17.24%18.85M
69.82%16.08M
69.82%16.08M
-35.54%9.47M
-35.54%9.47M
-16.59%14.69M
--14.69M
--17.61M
-Accounts receivable
63.32%9.38M
63.32%9.38M
1,707.44%5.74M
1,707.44%5.74M
4,125.41%317.67K
4,125.41%317.67K
-80.72%7.52K
--7.52K
--39K
-Notes receivable
67.17%83.88K
67.17%83.88K
--50.18K
--50.18K
----
----
----
----
----
-Other receivables
-20.50%2.93M
-20.50%2.93M
626.79%3.68M
626.79%3.68M
41.91%506.83K
41.91%506.83K
--357.14K
--357.14K
----
Total current assets
30.51%36M
30.51%36M
134.61%27.59M
134.61%27.59M
-22.87%11.76M
-22.87%11.76M
-13.81%15.25M
--15.25M
--17.69M
Non current assets
-Accumulated depreciation
-71.12%-650.39K
-71.12%-650.39K
-293.13%-380.09K
-293.13%-380.09K
-131.19%-96.68K
-131.19%-96.68K
---41.82K
---41.82K
----
-Long term equity investment
-77.23%1.04M
-77.23%1.04M
1,701.57%4.57M
1,701.57%4.57M
-87.94%253.69K
-87.94%253.69K
25.93%2.1M
--2.1M
--1.67M
Non current note receivables
-48.19%1M
-48.19%1M
--1.94M
--1.94M
----
----
----
----
----
-Goodwill
-0.77%7.1M
-0.77%7.1M
1,356.55%7.16M
1,356.55%7.16M
0.00%491.46K
0.00%491.46K
145.73%491.46K
--491.46K
--200K
Regulatory assets
62.09%9.34M
62.09%9.34M
1,229.03%5.76M
1,229.03%5.76M
1,493.12%433.33K
1,493.12%433.33K
-30.26%27.2K
--27.2K
--39K
Liabilities
Current liabilities
Current debt and capital lease obligation
-51.34%238.05K
-51.34%238.05K
-76.81%489.26K
-76.81%489.26K
1,919.81%2.11M
1,919.81%2.11M
-80.36%104.48K
--104.48K
--532K
-Current debt
----
----
----
----
6,202.85%2.01M
6,202.85%2.01M
-94.01%31.89K
--31.89K
--532K
-Current capital lease obligation
-51.34%238.05K
-51.34%238.05K
388.71%489.26K
388.71%489.26K
37.92%100.11K
37.92%100.11K
--72.58K
--72.58K
----
-accounts payable
17.82%6.92M
17.82%6.92M
1,085.63%5.87M
1,085.63%5.87M
419.85%495.4K
419.85%495.4K
-93.82%95.3K
--95.3K
--1.54M
-Total tax payable
-75.66%1.12M
-75.66%1.12M
1,721.35%4.62M
1,721.35%4.62M
-87.94%253.69K
-87.94%253.69K
25.93%2.1M
--2.1M
--1.67M
Current provisions
----
----
----
----
----
----
----
----
--3K
Current deferred liabilities
-85.30%244.27K
-85.30%244.27K
--1.66M
--1.66M
----
----
----
----
----
Current liabilities
-10.69%10.87M
-10.69%10.87M
278.93%12.17M
278.93%12.17M
411.92%3.21M
411.92%3.21M
-69.79%627.43K
--627.43K
--2.08M
Non current liabilities
-Long term debt
-77.23%1.04M
-77.23%1.04M
1,701.57%4.57M
1,701.57%4.57M
-19.87%253.69K
-19.87%253.69K
--316.59K
--316.59K
----
Non current accrued expenses
-56.80%2.41M
-56.80%2.41M
1,175.48%5.58M
1,175.48%5.58M
-10.71%437.86K
-10.71%437.86K
545.24%490.38K
--490.38K
--76K
Long term provisions
----
----
----
----
----
----
6.98%1.79M
--1.79M
--1.67M
Employee benefits
67.17%83.88K
67.17%83.88K
--50.18K
--50.18K
----
----
----
----
----
Regulatory liabilities
-1,811.87%-111.25K
-1,811.87%-111.25K
---5.82K
---5.82K
----
----
----
----
----
Preferred securities outside stock equity
16.30%538.42K
16.30%538.42K
365.20%462.95K
365.20%462.95K
41.13%99.52K
41.13%99.52K
--70.52K
--70.52K
----
Total non current liabilities
-28.57%11.99M
-28.57%11.99M
384.52%16.79M
384.52%16.79M
26.92%3.47M
26.92%3.47M
-27.13%2.73M
--2.73M
--3.75M
Shareholders'equity
Share capital
5.56%24.04M
5.56%24.04M
13.81%22.78M
13.81%22.78M
0.00%20.01M
0.00%20.01M
19.73%20.01M
--20.01M
--16.72M
-common stock
5.56%24.04M
5.56%24.04M
13.81%22.78M
13.81%22.78M
0.00%20.01M
0.00%20.01M
19.73%20.01M
--20.01M
--16.72M
Gains losses not affecting retained earnings
-20.78%-3.8M
-20.78%-3.8M
-2,795.11%-3.15M
-2,795.11%-3.15M
-45.65%116.83K
-45.65%116.83K
-38.59%214.93K
--214.93K
--350K
Other equity interest
322.50%185.89K
322.50%185.89K
-90.61%44K
-90.61%44K
201.88%468.53K
201.88%468.53K
260.94%155.2K
--155.2K
--43K
Total equity
9.40%46.9M
9.40%46.9M
237.85%42.87M
237.85%42.87M
-21.81%12.69M
-21.81%12.69M
-9.67%16.23M
--16.23M
--17.97M
(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
Assets
Current assets
Cash, cash equivalents and short term investments 17.24%18.85M17.24%18.85M69.82%16.08M69.82%16.08M-35.54%9.47M-35.54%9.47M-16.59%14.69M--14.69M--17.61M
-Cash and cash equivalents 17.24%18.85M17.24%18.85M69.82%16.08M69.82%16.08M-35.54%9.47M-35.54%9.47M-16.59%14.69M--14.69M--17.61M
-Accounts receivable 63.32%9.38M63.32%9.38M1,707.44%5.74M1,707.44%5.74M4,125.41%317.67K4,125.41%317.67K-80.72%7.52K--7.52K--39K
-Notes receivable 67.17%83.88K67.17%83.88K--50.18K--50.18K--------------------
-Other receivables -20.50%2.93M-20.50%2.93M626.79%3.68M626.79%3.68M41.91%506.83K41.91%506.83K--357.14K--357.14K----
Total current assets 30.51%36M30.51%36M134.61%27.59M134.61%27.59M-22.87%11.76M-22.87%11.76M-13.81%15.25M--15.25M--17.69M
Non current assets
-Accumulated depreciation -71.12%-650.39K-71.12%-650.39K-293.13%-380.09K-293.13%-380.09K-131.19%-96.68K-131.19%-96.68K---41.82K---41.82K----
-Long term equity investment -77.23%1.04M-77.23%1.04M1,701.57%4.57M1,701.57%4.57M-87.94%253.69K-87.94%253.69K25.93%2.1M--2.1M--1.67M
Non current note receivables -48.19%1M-48.19%1M--1.94M--1.94M--------------------
-Goodwill -0.77%7.1M-0.77%7.1M1,356.55%7.16M1,356.55%7.16M0.00%491.46K0.00%491.46K145.73%491.46K--491.46K--200K
Regulatory assets 62.09%9.34M62.09%9.34M1,229.03%5.76M1,229.03%5.76M1,493.12%433.33K1,493.12%433.33K-30.26%27.2K--27.2K--39K
Liabilities
Current liabilities
Current debt and capital lease obligation -51.34%238.05K-51.34%238.05K-76.81%489.26K-76.81%489.26K1,919.81%2.11M1,919.81%2.11M-80.36%104.48K--104.48K--532K
-Current debt ----------------6,202.85%2.01M6,202.85%2.01M-94.01%31.89K--31.89K--532K
-Current capital lease obligation -51.34%238.05K-51.34%238.05K388.71%489.26K388.71%489.26K37.92%100.11K37.92%100.11K--72.58K--72.58K----
-accounts payable 17.82%6.92M17.82%6.92M1,085.63%5.87M1,085.63%5.87M419.85%495.4K419.85%495.4K-93.82%95.3K--95.3K--1.54M
-Total tax payable -75.66%1.12M-75.66%1.12M1,721.35%4.62M1,721.35%4.62M-87.94%253.69K-87.94%253.69K25.93%2.1M--2.1M--1.67M
Current provisions ----------------------------------3K
Current deferred liabilities -85.30%244.27K-85.30%244.27K--1.66M--1.66M--------------------
Current liabilities -10.69%10.87M-10.69%10.87M278.93%12.17M278.93%12.17M411.92%3.21M411.92%3.21M-69.79%627.43K--627.43K--2.08M
Non current liabilities
-Long term debt -77.23%1.04M-77.23%1.04M1,701.57%4.57M1,701.57%4.57M-19.87%253.69K-19.87%253.69K--316.59K--316.59K----
Non current accrued expenses -56.80%2.41M-56.80%2.41M1,175.48%5.58M1,175.48%5.58M-10.71%437.86K-10.71%437.86K545.24%490.38K--490.38K--76K
Long term provisions ------------------------6.98%1.79M--1.79M--1.67M
Employee benefits 67.17%83.88K67.17%83.88K--50.18K--50.18K--------------------
Regulatory liabilities -1,811.87%-111.25K-1,811.87%-111.25K---5.82K---5.82K--------------------
Preferred securities outside stock equity 16.30%538.42K16.30%538.42K365.20%462.95K365.20%462.95K41.13%99.52K41.13%99.52K--70.52K--70.52K----
Total non current liabilities -28.57%11.99M-28.57%11.99M384.52%16.79M384.52%16.79M26.92%3.47M26.92%3.47M-27.13%2.73M--2.73M--3.75M
Shareholders'equity
Share capital 5.56%24.04M5.56%24.04M13.81%22.78M13.81%22.78M0.00%20.01M0.00%20.01M19.73%20.01M--20.01M--16.72M
-common stock 5.56%24.04M5.56%24.04M13.81%22.78M13.81%22.78M0.00%20.01M0.00%20.01M19.73%20.01M--20.01M--16.72M
Gains losses not affecting retained earnings -20.78%-3.8M-20.78%-3.8M-2,795.11%-3.15M-2,795.11%-3.15M-45.65%116.83K-45.65%116.83K-38.59%214.93K--214.93K--350K
Other equity interest 322.50%185.89K322.50%185.89K-90.61%44K-90.61%44K201.88%468.53K201.88%468.53K260.94%155.2K--155.2K--43K
Total equity 9.40%46.9M9.40%46.9M237.85%42.87M237.85%42.87M-21.81%12.69M-21.81%12.69M-9.67%16.23M--16.23M--17.97M

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