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XRF XRF Scientific Ltd

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  • 1.830
  • 0.0000.00%
20min DelayMarket Closed Dec 24 14:10 AET
257.10MMarket Cap28.59P/E (Static)

XRF Scientific Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
15.83%12.05M
15.83%12.05M
56.42%10.4M
56.42%10.4M
26.50%6.65M
26.50%6.65M
44.64%5.26M
44.64%5.26M
12.22%3.63M
12.22%3.63M
-Cash and cash equivalents
15.83%12.05M
15.83%12.05M
56.42%10.4M
56.42%10.4M
26.50%6.65M
26.50%6.65M
44.64%5.26M
44.64%5.26M
12.22%3.63M
12.22%3.63M
Receivables
10.37%9.52M
10.37%9.52M
38.54%8.63M
38.54%8.63M
39.08%6.23M
39.08%6.23M
18.79%4.48M
18.79%4.48M
-7.31%3.77M
-7.31%3.77M
-Accounts receivable
10.87%9.59M
10.87%9.59M
37.62%8.65M
37.62%8.65M
40.62%6.28M
40.62%6.28M
19.34%4.47M
19.34%4.47M
-5.91%3.74M
-5.91%3.74M
-Other receivables
-62.20%4.01K
-62.20%4.01K
-11.24%10.62K
-11.24%10.62K
8.33%11.96K
8.33%11.96K
-58.25%11.04K
-58.25%11.04K
-70.14%26.44K
-70.14%26.44K
-Recievables adjustments allowances
-138.36%-65.4K
-138.36%-65.4K
58.28%-27.44K
58.28%-27.44K
---65.77K
---65.77K
----
----
----
----
Inventory
0.83%17.02M
0.83%17.02M
8.75%16.88M
8.75%16.88M
24.01%15.52M
24.01%15.52M
10.80%12.52M
10.80%12.52M
29.85%11.3M
29.85%11.3M
Prepaid assets
11.46%566.34K
11.46%566.34K
8.24%508.1K
8.24%508.1K
25.74%469.41K
25.74%469.41K
0.30%373.32K
0.30%373.32K
-6.37%372.2K
-6.37%372.2K
Other current assets
-58.96%46.6K
-58.96%46.6K
147.92%113.55K
147.92%113.55K
73.70%45.8K
73.70%45.8K
-29.52%26.37K
-29.52%26.37K
76.21%37.41K
76.21%37.41K
Total current assets
7.32%39.2M
7.32%39.2M
26.34%36.53M
26.34%36.53M
27.65%28.91M
27.65%28.91M
18.53%22.65M
18.53%22.65M
16.36%19.11M
16.36%19.11M
Non current assets
Net PPE
3.95%10.83M
3.95%10.83M
20.22%10.41M
20.22%10.41M
-1.02%8.66M
-1.02%8.66M
-5.64%8.75M
-5.64%8.75M
10.45%9.28M
10.45%9.28M
-Gross PPE
9.92%17.44M
9.92%17.44M
17.58%15.87M
17.58%15.87M
3.54%13.5M
3.54%13.5M
2.46%13.04M
2.46%13.04M
14.55%12.72M
14.55%12.72M
-Accumulated depreciation
-21.33%-6.62M
-21.33%-6.62M
-12.84%-5.45M
-12.84%-5.45M
-12.86%-4.83M
-12.86%-4.83M
-24.23%-4.28M
-24.23%-4.28M
-27.28%-3.45M
-27.28%-3.45M
Goodwill and other intangible assets
-1.47%16.62M
-1.47%16.62M
-0.49%16.87M
-0.49%16.87M
6.50%16.95M
6.50%16.95M
0.15%15.91M
0.15%15.91M
-0.52%15.89M
-0.52%15.89M
-Goodwill
-0.63%15.42M
-0.63%15.42M
0.36%15.52M
0.36%15.52M
5.70%15.46M
5.70%15.46M
0.03%14.63M
0.03%14.63M
-0.26%14.62M
-0.26%14.62M
-Other intangible assets
-11.05%1.2M
-11.05%1.2M
-9.34%1.35M
-9.34%1.35M
15.66%1.49M
15.66%1.49M
1.48%1.29M
1.48%1.29M
-3.36%1.27M
-3.36%1.27M
Non current deferred assets
-8.70%1.58M
-8.70%1.58M
68.33%1.74M
68.33%1.74M
-2.30%1.03M
-2.30%1.03M
18.33%1.06M
18.33%1.06M
-3.55%891.69K
-3.55%891.69K
Total non current assets
0.04%29.03M
0.04%29.03M
8.90%29.02M
8.90%29.02M
3.58%26.64M
3.58%26.64M
-1.29%25.72M
-1.29%25.72M
3.01%26.06M
3.01%26.06M
Total assets
4.10%68.23M
4.10%68.23M
17.98%65.55M
17.98%65.55M
14.85%55.56M
14.85%55.56M
7.10%48.37M
7.10%48.37M
8.27%45.17M
8.27%45.17M
Liabilities
Current liabilities
Current debt and capital lease obligation
61.32%2.23M
61.32%2.23M
-17.16%1.39M
-17.16%1.39M
38.43%1.67M
38.43%1.67M
120.53%1.21M
120.53%1.21M
-21.51%547.71K
-21.51%547.71K
-Current debt
107.21%1.62M
107.21%1.62M
-40.06%781.41K
-40.06%781.41K
58.06%1.3M
58.06%1.3M
641.74%824.75K
641.74%824.75K
-84.07%111.19K
-84.07%111.19K
-Current capital lease obligation
1.91%615.26K
1.91%615.26K
63.84%603.7K
63.84%603.7K
-3.82%368.46K
-3.82%368.46K
-12.24%383.11K
-12.24%383.11K
--436.52K
--436.52K
Payables
3.05%4.33M
3.05%4.33M
30.29%4.2M
30.29%4.2M
58.71%3.22M
58.71%3.22M
18.76%2.03M
18.76%2.03M
-18.20%1.71M
-18.20%1.71M
-accounts payable
30.44%1.25M
30.44%1.25M
-10.68%955.01K
-10.68%955.01K
97.18%1.07M
97.18%1.07M
-14.16%542.25K
-14.16%542.25K
-35.30%631.71K
-35.30%631.71K
-Dividends payable
18.39%228.83K
18.39%228.83K
32.93%193.29K
32.93%193.29K
--145.4K
--145.4K
----
----
----
----
-Other payable
-6.50%2.85M
-6.50%2.85M
51.91%3.05M
51.91%3.05M
34.92%2.01M
34.92%2.01M
38.05%1.49M
38.05%1.49M
-3.20%1.08M
-3.20%1.08M
Current provisions
-23.61%1.33M
-23.61%1.33M
-35.78%1.74M
-35.78%1.74M
-30.29%2.72M
-30.29%2.72M
-10.07%3.9M
-10.07%3.9M
102.18%4.33M
102.18%4.33M
Pension and other retirement benefit plans
8.50%566.96K
8.50%566.96K
15.80%522.56K
15.80%522.56K
-15.09%451.26K
-15.09%451.26K
3.14%531.48K
3.14%531.48K
5.85%515.31K
5.85%515.31K
Current deferred liabilities
-22.28%1.06M
-22.28%1.06M
92.68%1.36M
92.68%1.36M
26.11%708.29K
26.11%708.29K
23.29%561.64K
23.29%561.64K
8.66%455.54K
8.66%455.54K
Other current liabilities
-61.36%928.54K
-61.36%928.54K
170.62%2.4M
170.62%2.4M
322.34%887.97K
322.34%887.97K
-10.99%210.25K
-10.99%210.25K
20.72%236.22K
20.72%236.22K
Current liabilities
-10.06%10.45M
-10.06%10.45M
20.30%11.62M
20.30%11.62M
14.46%9.66M
14.46%9.66M
8.22%8.44M
8.22%8.44M
29.25%7.8M
29.25%7.8M
Non current liabilities
Long term debt and capital lease obligation
-60.89%1.15M
-60.89%1.15M
59.03%2.93M
59.03%2.93M
690.16%1.84M
690.16%1.84M
-83.22%233.1K
-83.22%233.1K
-11.01%1.39M
-11.01%1.39M
-Long term debt
----
----
-11.88%1.29M
-11.88%1.29M
--1.46M
--1.46M
----
----
-47.17%824.75K
-47.17%824.75K
-Long term capital lease obligation
-30.08%1.15M
-30.08%1.15M
334.21%1.64M
334.21%1.64M
61.89%377.36K
61.89%377.36K
-58.71%233.1K
-58.71%233.1K
--564.52K
--564.52K
Employee benefits
11.82%132.44K
11.82%132.44K
24.52%118.45K
24.52%118.45K
38.29%95.13K
38.29%95.13K
36.08%68.79K
36.08%68.79K
-39.63%50.55K
-39.63%50.55K
Non current deferred liabilities
-25.99%965.1K
-25.99%965.1K
111.95%1.3M
111.95%1.3M
15.95%615.22K
15.95%615.22K
79.62%530.61K
79.62%530.61K
28.20%295.41K
28.20%295.41K
Total non current liabilities
-48.45%2.24M
-48.45%2.24M
70.50%4.35M
70.50%4.35M
206.57%2.55M
206.57%2.55M
-52.02%832.5K
-52.02%832.5K
-7.47%1.74M
-7.47%1.74M
Total liabilities
-20.52%12.69M
-20.52%12.69M
30.79%15.97M
30.79%15.97M
31.72%12.21M
31.72%12.21M
-2.75%9.27M
-2.75%9.27M
20.54%9.53M
20.54%9.53M
Shareholders'equity
Share capital
4.88%21.41M
4.88%21.41M
3.98%20.41M
3.98%20.41M
4.41%19.63M
4.41%19.63M
1.17%18.8M
1.17%18.8M
0.00%18.58M
0.00%18.58M
-common stock
4.88%21.41M
4.88%21.41M
3.98%20.41M
3.98%20.41M
4.41%19.63M
4.41%19.63M
1.17%18.8M
1.17%18.8M
0.00%18.58M
0.00%18.58M
Retained earnings
19.22%31.78M
19.22%31.78M
19.18%26.65M
19.18%26.65M
17.84%22.37M
17.84%22.37M
20.72%18.98M
20.72%18.98M
12.79%15.72M
12.79%15.72M
Gains losses not affecting retained earnings
-22.30%1.7M
-22.30%1.7M
47.48%2.19M
47.48%2.19M
12.16%1.48M
12.16%1.48M
-0.56%1.32M
-0.56%1.32M
3.18%1.33M
3.18%1.33M
Total stockholders'equity
11.43%54.89M
11.43%54.89M
13.28%49.25M
13.28%49.25M
11.19%43.48M
11.19%43.48M
9.73%39.1M
9.73%39.1M
5.39%35.64M
5.39%35.64M
Noncontrolling interests
102.49%655.18K
102.49%655.18K
345.77%323.57K
345.77%323.57K
---131.65K
---131.65K
----
----
----
----
Total equity
12.03%55.54M
12.03%55.54M
14.37%49.58M
14.37%49.58M
10.86%43.35M
10.86%43.35M
9.73%39.1M
9.73%39.1M
5.39%35.64M
5.39%35.64M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
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(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
Assets
Current assets
Cash, cash equivalents and short term investments 15.83%12.05M15.83%12.05M56.42%10.4M56.42%10.4M26.50%6.65M26.50%6.65M44.64%5.26M44.64%5.26M12.22%3.63M12.22%3.63M
-Cash and cash equivalents 15.83%12.05M15.83%12.05M56.42%10.4M56.42%10.4M26.50%6.65M26.50%6.65M44.64%5.26M44.64%5.26M12.22%3.63M12.22%3.63M
Receivables 10.37%9.52M10.37%9.52M38.54%8.63M38.54%8.63M39.08%6.23M39.08%6.23M18.79%4.48M18.79%4.48M-7.31%3.77M-7.31%3.77M
-Accounts receivable 10.87%9.59M10.87%9.59M37.62%8.65M37.62%8.65M40.62%6.28M40.62%6.28M19.34%4.47M19.34%4.47M-5.91%3.74M-5.91%3.74M
-Other receivables -62.20%4.01K-62.20%4.01K-11.24%10.62K-11.24%10.62K8.33%11.96K8.33%11.96K-58.25%11.04K-58.25%11.04K-70.14%26.44K-70.14%26.44K
-Recievables adjustments allowances -138.36%-65.4K-138.36%-65.4K58.28%-27.44K58.28%-27.44K---65.77K---65.77K----------------
Inventory 0.83%17.02M0.83%17.02M8.75%16.88M8.75%16.88M24.01%15.52M24.01%15.52M10.80%12.52M10.80%12.52M29.85%11.3M29.85%11.3M
Prepaid assets 11.46%566.34K11.46%566.34K8.24%508.1K8.24%508.1K25.74%469.41K25.74%469.41K0.30%373.32K0.30%373.32K-6.37%372.2K-6.37%372.2K
Other current assets -58.96%46.6K-58.96%46.6K147.92%113.55K147.92%113.55K73.70%45.8K73.70%45.8K-29.52%26.37K-29.52%26.37K76.21%37.41K76.21%37.41K
Total current assets 7.32%39.2M7.32%39.2M26.34%36.53M26.34%36.53M27.65%28.91M27.65%28.91M18.53%22.65M18.53%22.65M16.36%19.11M16.36%19.11M
Non current assets
Net PPE 3.95%10.83M3.95%10.83M20.22%10.41M20.22%10.41M-1.02%8.66M-1.02%8.66M-5.64%8.75M-5.64%8.75M10.45%9.28M10.45%9.28M
-Gross PPE 9.92%17.44M9.92%17.44M17.58%15.87M17.58%15.87M3.54%13.5M3.54%13.5M2.46%13.04M2.46%13.04M14.55%12.72M14.55%12.72M
-Accumulated depreciation -21.33%-6.62M-21.33%-6.62M-12.84%-5.45M-12.84%-5.45M-12.86%-4.83M-12.86%-4.83M-24.23%-4.28M-24.23%-4.28M-27.28%-3.45M-27.28%-3.45M
Goodwill and other intangible assets -1.47%16.62M-1.47%16.62M-0.49%16.87M-0.49%16.87M6.50%16.95M6.50%16.95M0.15%15.91M0.15%15.91M-0.52%15.89M-0.52%15.89M
-Goodwill -0.63%15.42M-0.63%15.42M0.36%15.52M0.36%15.52M5.70%15.46M5.70%15.46M0.03%14.63M0.03%14.63M-0.26%14.62M-0.26%14.62M
-Other intangible assets -11.05%1.2M-11.05%1.2M-9.34%1.35M-9.34%1.35M15.66%1.49M15.66%1.49M1.48%1.29M1.48%1.29M-3.36%1.27M-3.36%1.27M
Non current deferred assets -8.70%1.58M-8.70%1.58M68.33%1.74M68.33%1.74M-2.30%1.03M-2.30%1.03M18.33%1.06M18.33%1.06M-3.55%891.69K-3.55%891.69K
Total non current assets 0.04%29.03M0.04%29.03M8.90%29.02M8.90%29.02M3.58%26.64M3.58%26.64M-1.29%25.72M-1.29%25.72M3.01%26.06M3.01%26.06M
Total assets 4.10%68.23M4.10%68.23M17.98%65.55M17.98%65.55M14.85%55.56M14.85%55.56M7.10%48.37M7.10%48.37M8.27%45.17M8.27%45.17M
Liabilities
Current liabilities
Current debt and capital lease obligation 61.32%2.23M61.32%2.23M-17.16%1.39M-17.16%1.39M38.43%1.67M38.43%1.67M120.53%1.21M120.53%1.21M-21.51%547.71K-21.51%547.71K
-Current debt 107.21%1.62M107.21%1.62M-40.06%781.41K-40.06%781.41K58.06%1.3M58.06%1.3M641.74%824.75K641.74%824.75K-84.07%111.19K-84.07%111.19K
-Current capital lease obligation 1.91%615.26K1.91%615.26K63.84%603.7K63.84%603.7K-3.82%368.46K-3.82%368.46K-12.24%383.11K-12.24%383.11K--436.52K--436.52K
Payables 3.05%4.33M3.05%4.33M30.29%4.2M30.29%4.2M58.71%3.22M58.71%3.22M18.76%2.03M18.76%2.03M-18.20%1.71M-18.20%1.71M
-accounts payable 30.44%1.25M30.44%1.25M-10.68%955.01K-10.68%955.01K97.18%1.07M97.18%1.07M-14.16%542.25K-14.16%542.25K-35.30%631.71K-35.30%631.71K
-Dividends payable 18.39%228.83K18.39%228.83K32.93%193.29K32.93%193.29K--145.4K--145.4K----------------
-Other payable -6.50%2.85M-6.50%2.85M51.91%3.05M51.91%3.05M34.92%2.01M34.92%2.01M38.05%1.49M38.05%1.49M-3.20%1.08M-3.20%1.08M
Current provisions -23.61%1.33M-23.61%1.33M-35.78%1.74M-35.78%1.74M-30.29%2.72M-30.29%2.72M-10.07%3.9M-10.07%3.9M102.18%4.33M102.18%4.33M
Pension and other retirement benefit plans 8.50%566.96K8.50%566.96K15.80%522.56K15.80%522.56K-15.09%451.26K-15.09%451.26K3.14%531.48K3.14%531.48K5.85%515.31K5.85%515.31K
Current deferred liabilities -22.28%1.06M-22.28%1.06M92.68%1.36M92.68%1.36M26.11%708.29K26.11%708.29K23.29%561.64K23.29%561.64K8.66%455.54K8.66%455.54K
Other current liabilities -61.36%928.54K-61.36%928.54K170.62%2.4M170.62%2.4M322.34%887.97K322.34%887.97K-10.99%210.25K-10.99%210.25K20.72%236.22K20.72%236.22K
Current liabilities -10.06%10.45M-10.06%10.45M20.30%11.62M20.30%11.62M14.46%9.66M14.46%9.66M8.22%8.44M8.22%8.44M29.25%7.8M29.25%7.8M
Non current liabilities
Long term debt and capital lease obligation -60.89%1.15M-60.89%1.15M59.03%2.93M59.03%2.93M690.16%1.84M690.16%1.84M-83.22%233.1K-83.22%233.1K-11.01%1.39M-11.01%1.39M
-Long term debt ---------11.88%1.29M-11.88%1.29M--1.46M--1.46M---------47.17%824.75K-47.17%824.75K
-Long term capital lease obligation -30.08%1.15M-30.08%1.15M334.21%1.64M334.21%1.64M61.89%377.36K61.89%377.36K-58.71%233.1K-58.71%233.1K--564.52K--564.52K
Employee benefits 11.82%132.44K11.82%132.44K24.52%118.45K24.52%118.45K38.29%95.13K38.29%95.13K36.08%68.79K36.08%68.79K-39.63%50.55K-39.63%50.55K
Non current deferred liabilities -25.99%965.1K-25.99%965.1K111.95%1.3M111.95%1.3M15.95%615.22K15.95%615.22K79.62%530.61K79.62%530.61K28.20%295.41K28.20%295.41K
Total non current liabilities -48.45%2.24M-48.45%2.24M70.50%4.35M70.50%4.35M206.57%2.55M206.57%2.55M-52.02%832.5K-52.02%832.5K-7.47%1.74M-7.47%1.74M
Total liabilities -20.52%12.69M-20.52%12.69M30.79%15.97M30.79%15.97M31.72%12.21M31.72%12.21M-2.75%9.27M-2.75%9.27M20.54%9.53M20.54%9.53M
Shareholders'equity
Share capital 4.88%21.41M4.88%21.41M3.98%20.41M3.98%20.41M4.41%19.63M4.41%19.63M1.17%18.8M1.17%18.8M0.00%18.58M0.00%18.58M
-common stock 4.88%21.41M4.88%21.41M3.98%20.41M3.98%20.41M4.41%19.63M4.41%19.63M1.17%18.8M1.17%18.8M0.00%18.58M0.00%18.58M
Retained earnings 19.22%31.78M19.22%31.78M19.18%26.65M19.18%26.65M17.84%22.37M17.84%22.37M20.72%18.98M20.72%18.98M12.79%15.72M12.79%15.72M
Gains losses not affecting retained earnings -22.30%1.7M-22.30%1.7M47.48%2.19M47.48%2.19M12.16%1.48M12.16%1.48M-0.56%1.32M-0.56%1.32M3.18%1.33M3.18%1.33M
Total stockholders'equity 11.43%54.89M11.43%54.89M13.28%49.25M13.28%49.25M11.19%43.48M11.19%43.48M9.73%39.1M9.73%39.1M5.39%35.64M5.39%35.64M
Noncontrolling interests 102.49%655.18K102.49%655.18K345.77%323.57K345.77%323.57K---131.65K---131.65K----------------
Total equity 12.03%55.54M12.03%55.54M14.37%49.58M14.37%49.58M10.86%43.35M10.86%43.35M9.73%39.1M9.73%39.1M5.39%35.64M5.39%35.64M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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