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VIT Vitura Health Ltd

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  • 0.112
  • +0.018+19.15%
20min DelayNot Open Feb 14 15:48 AET
73.52MMarket Cap18.67P/E (Static)

Vitura Health Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-39.80%11.35M
--11.35M
17.24%18.85M
69.82%16.08M
-35.54%9.47M
-16.59%14.69M
--17.61M
-Cash and cash equivalents
-39.80%11.35M
--11.35M
17.24%18.85M
69.82%16.08M
-35.54%9.47M
-16.59%14.69M
--17.61M
Receivables
47.15%13.74M
--13.74M
62.09%9.34M
1,229.03%5.76M
1,493.12%433.33K
-30.26%27.2K
--39K
-Accounts receivable
27.03%11.91M
--11.91M
63.32%9.38M
1,707.44%5.74M
4,125.41%317.67K
-80.72%7.52K
--39K
-Other receivables
2,570.99%1.84M
--1.84M
196.41%68.93K
-79.89%23.25K
487.65%115.66K
--19.68K
----
-Recievables adjustments allowances
84.91%-16.79K
---16.79K
-1,811.87%-111.25K
---5.82K
----
----
----
Inventory
-27.47%5.01M
--5.01M
37.35%6.91M
275.72%5.03M
595.63%1.34M
--192.45K
----
Prepaid assets
8.85%790.12K
--790.12K
7.22%725.87K
1,227.86%676.97K
-72.38%50.98K
--184.58K
----
Other current assets
-52.87%87.6K
--87.6K
322.50%185.89K
-90.61%44K
201.88%468.53K
260.94%155.2K
--43K
Total current assets
-13.98%30.97M
--30.97M
30.51%36M
134.61%27.59M
-22.87%11.76M
-13.81%15.25M
--17.69M
Non current assets
Net PPE
168.12%6.47M
--6.47M
-56.80%2.41M
1,175.48%5.58M
-10.71%437.86K
545.24%490.38K
--76K
-Gross PPE
143.40%7.46M
--7.46M
-48.65%3.06M
1,015.89%5.96M
0.44%534.55K
600.26%532.2K
--76K
-Accumulated depreciation
-51.74%-986.92K
---986.92K
-71.12%-650.39K
-293.13%-380.09K
-131.19%-96.68K
---41.82K
----
Investments and advances
108.07%772.56K
--772.56K
-37.91%371.3K
--597.98K
----
----
----
-Other investment
108.07%772.56K
--772.56K
-37.91%371.3K
--597.98K
----
----
----
Goodwill and other intangible assets
339.74%31.24M
--31.24M
-0.77%7.1M
1,356.55%7.16M
0.00%491.46K
145.73%491.46K
--200K
-Goodwill
171.06%18.52M
--18.52M
0.00%6.83M
2,244.23%6.83M
0.00%291.46K
--291.46K
----
-Other intangible assets
4,592.80%12.72M
--12.72M
-16.86%270.98K
62.96%325.92K
0.00%200K
0.00%200K
--200K
Non current deferred assets
82.55%1.83M
--1.83M
-48.19%1M
--1.94M
----
----
----
Total non current assets
270.11%40.31M
--40.31M
-28.72%10.89M
1,544.15%15.28M
-5.35%929.32K
255.74%981.84K
--276K
Total assets
52.00%71.28M
--71.28M
9.40%46.9M
237.85%42.87M
-21.81%12.69M
-9.67%16.23M
--17.97M
Liabilities
Current liabilities
Current debt and capital lease obligation
625.21%1.73M
--1.73M
-51.34%238.05K
-76.81%489.26K
1,919.81%2.11M
-80.36%104.48K
--532K
-Current debt
--1.2M
--1.2M
----
----
6,202.85%2.01M
-94.01%31.89K
--532K
-Current capital lease obligation
121.12%526.38K
--526.38K
-51.34%238.05K
388.71%489.26K
37.92%100.11K
--72.58K
----
Payables
48.24%14.6M
--14.6M
3.05%9.85M
853.59%9.56M
121.52%1M
-70.66%452.44K
--1.54M
-accounts payable
59.32%11.03M
--11.03M
17.82%6.92M
1,085.63%5.87M
419.85%495.4K
-93.82%95.3K
--1.54M
-Other payable
22.06%3.57M
--3.57M
-20.50%2.93M
626.79%3.68M
41.91%506.83K
--357.14K
----
Current provisions
----
----
----
----
----
----
--3K
Pension and other retirement benefit plans
43.92%774.88K
--774.88K
16.30%538.42K
365.20%462.95K
41.13%99.52K
--70.52K
----
Current deferred liabilities
2,461.56%6.26M
--6.26M
-85.30%244.27K
--1.66M
----
----
----
Current liabilities
114.90%23.36M
--23.36M
-10.69%10.87M
278.93%12.17M
411.92%3.21M
-69.79%627.43K
--2.08M
Non current liabilities
Long term debt and capital lease obligation
793.07%9.3M
--9.3M
-77.23%1.04M
1,701.57%4.57M
-87.94%253.69K
25.93%2.1M
--1.67M
-Long term debt
--4.12M
--4.12M
----
----
----
6.98%1.79M
--1.67M
-Long term capital lease obligation
397.34%5.18M
--5.18M
-77.23%1.04M
1,701.57%4.57M
-19.87%253.69K
--316.59K
----
Employee benefits
120.50%184.96K
--184.96K
67.17%83.88K
--50.18K
----
----
----
Total non current liabilities
742.91%9.48M
--9.48M
-75.66%1.12M
1,721.35%4.62M
-87.94%253.69K
25.93%2.1M
--1.67M
Total liabilities
173.79%32.84M
--32.84M
-28.57%11.99M
384.52%16.79M
26.92%3.47M
-27.13%2.73M
--3.75M
Shareholders'equity
Share capital
28.07%30.79M
--30.79M
5.56%24.04M
13.81%22.78M
0.00%20.01M
19.73%20.01M
--16.72M
-common stock
28.07%30.79M
--30.79M
5.56%24.04M
13.81%22.78M
0.00%20.01M
19.73%20.01M
--16.72M
Retained earnings
-14.03%12.67M
--12.67M
127.66%14.74M
159.77%6.47M
-59.69%-10.83M
-138.29%-6.78M
---2.85M
Gains losses not affecting retained earnings
-23.01%-4.68M
---4.68M
-20.78%-3.8M
-2,795.11%-3.15M
-45.65%116.83K
-38.59%214.93K
--350K
Total stockholders'equity
10.88%38.78M
--38.78M
34.01%34.98M
180.80%26.1M
-30.85%9.3M
-5.45%13.44M
--14.22M
Noncontrolling interests
-337.82%-339.78K
---339.78K
-179.72%-77.61K
62.09%-27.75K
-236.17%-73.18K
--53.74K
----
Total equity
10.15%38.44M
--38.44M
33.85%34.9M
182.73%26.07M
-31.67%9.22M
-5.07%13.5M
--14.22M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2024(Q4)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -39.80%11.35M--11.35M17.24%18.85M69.82%16.08M-35.54%9.47M-16.59%14.69M--17.61M
-Cash and cash equivalents -39.80%11.35M--11.35M17.24%18.85M69.82%16.08M-35.54%9.47M-16.59%14.69M--17.61M
Receivables 47.15%13.74M--13.74M62.09%9.34M1,229.03%5.76M1,493.12%433.33K-30.26%27.2K--39K
-Accounts receivable 27.03%11.91M--11.91M63.32%9.38M1,707.44%5.74M4,125.41%317.67K-80.72%7.52K--39K
-Other receivables 2,570.99%1.84M--1.84M196.41%68.93K-79.89%23.25K487.65%115.66K--19.68K----
-Recievables adjustments allowances 84.91%-16.79K---16.79K-1,811.87%-111.25K---5.82K------------
Inventory -27.47%5.01M--5.01M37.35%6.91M275.72%5.03M595.63%1.34M--192.45K----
Prepaid assets 8.85%790.12K--790.12K7.22%725.87K1,227.86%676.97K-72.38%50.98K--184.58K----
Other current assets -52.87%87.6K--87.6K322.50%185.89K-90.61%44K201.88%468.53K260.94%155.2K--43K
Total current assets -13.98%30.97M--30.97M30.51%36M134.61%27.59M-22.87%11.76M-13.81%15.25M--17.69M
Non current assets
Net PPE 168.12%6.47M--6.47M-56.80%2.41M1,175.48%5.58M-10.71%437.86K545.24%490.38K--76K
-Gross PPE 143.40%7.46M--7.46M-48.65%3.06M1,015.89%5.96M0.44%534.55K600.26%532.2K--76K
-Accumulated depreciation -51.74%-986.92K---986.92K-71.12%-650.39K-293.13%-380.09K-131.19%-96.68K---41.82K----
Investments and advances 108.07%772.56K--772.56K-37.91%371.3K--597.98K------------
-Other investment 108.07%772.56K--772.56K-37.91%371.3K--597.98K------------
Goodwill and other intangible assets 339.74%31.24M--31.24M-0.77%7.1M1,356.55%7.16M0.00%491.46K145.73%491.46K--200K
-Goodwill 171.06%18.52M--18.52M0.00%6.83M2,244.23%6.83M0.00%291.46K--291.46K----
-Other intangible assets 4,592.80%12.72M--12.72M-16.86%270.98K62.96%325.92K0.00%200K0.00%200K--200K
Non current deferred assets 82.55%1.83M--1.83M-48.19%1M--1.94M------------
Total non current assets 270.11%40.31M--40.31M-28.72%10.89M1,544.15%15.28M-5.35%929.32K255.74%981.84K--276K
Total assets 52.00%71.28M--71.28M9.40%46.9M237.85%42.87M-21.81%12.69M-9.67%16.23M--17.97M
Liabilities
Current liabilities
Current debt and capital lease obligation 625.21%1.73M--1.73M-51.34%238.05K-76.81%489.26K1,919.81%2.11M-80.36%104.48K--532K
-Current debt --1.2M--1.2M--------6,202.85%2.01M-94.01%31.89K--532K
-Current capital lease obligation 121.12%526.38K--526.38K-51.34%238.05K388.71%489.26K37.92%100.11K--72.58K----
Payables 48.24%14.6M--14.6M3.05%9.85M853.59%9.56M121.52%1M-70.66%452.44K--1.54M
-accounts payable 59.32%11.03M--11.03M17.82%6.92M1,085.63%5.87M419.85%495.4K-93.82%95.3K--1.54M
-Other payable 22.06%3.57M--3.57M-20.50%2.93M626.79%3.68M41.91%506.83K--357.14K----
Current provisions --------------------------3K
Pension and other retirement benefit plans 43.92%774.88K--774.88K16.30%538.42K365.20%462.95K41.13%99.52K--70.52K----
Current deferred liabilities 2,461.56%6.26M--6.26M-85.30%244.27K--1.66M------------
Current liabilities 114.90%23.36M--23.36M-10.69%10.87M278.93%12.17M411.92%3.21M-69.79%627.43K--2.08M
Non current liabilities
Long term debt and capital lease obligation 793.07%9.3M--9.3M-77.23%1.04M1,701.57%4.57M-87.94%253.69K25.93%2.1M--1.67M
-Long term debt --4.12M--4.12M------------6.98%1.79M--1.67M
-Long term capital lease obligation 397.34%5.18M--5.18M-77.23%1.04M1,701.57%4.57M-19.87%253.69K--316.59K----
Employee benefits 120.50%184.96K--184.96K67.17%83.88K--50.18K------------
Total non current liabilities 742.91%9.48M--9.48M-75.66%1.12M1,721.35%4.62M-87.94%253.69K25.93%2.1M--1.67M
Total liabilities 173.79%32.84M--32.84M-28.57%11.99M384.52%16.79M26.92%3.47M-27.13%2.73M--3.75M
Shareholders'equity
Share capital 28.07%30.79M--30.79M5.56%24.04M13.81%22.78M0.00%20.01M19.73%20.01M--16.72M
-common stock 28.07%30.79M--30.79M5.56%24.04M13.81%22.78M0.00%20.01M19.73%20.01M--16.72M
Retained earnings -14.03%12.67M--12.67M127.66%14.74M159.77%6.47M-59.69%-10.83M-138.29%-6.78M---2.85M
Gains losses not affecting retained earnings -23.01%-4.68M---4.68M-20.78%-3.8M-2,795.11%-3.15M-45.65%116.83K-38.59%214.93K--350K
Total stockholders'equity 10.88%38.78M--38.78M34.01%34.98M180.80%26.1M-30.85%9.3M-5.45%13.44M--14.22M
Noncontrolling interests -337.82%-339.78K---339.78K-179.72%-77.61K62.09%-27.75K-236.17%-73.18K--53.74K----
Total equity 10.15%38.44M--38.44M33.85%34.9M182.73%26.07M-31.67%9.22M-5.07%13.5M--14.22M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP