Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Heico
HEI
5
Nova Minerals
NVA
(Q2)Dec 31, 2024 | (Q1)Sep 30, 2024 | (FY)Jun 30, 2024 | (Q4)Jun 30, 2024 | (Q3)Mar 31, 2024 | (Q2)Dec 31, 2023 | (Q1)Sep 30, 2023 | (FY)Jun 30, 2023 | (Q4)Jun 30, 2023 | (Q3)Mar 31, 2023 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -20.99%7.13M | -30.56%9.3M | -30.13%13.06M | -30.13%13.06M | -36.23%12.96M | -60.03%9.03M | -47.67%13.39M | 807.35%18.7M | 807.35%18.7M | --20.33M |
-Cash and cash equivalents | -20.99%7.13M | -30.56%9.3M | -30.13%13.06M | -30.13%13.06M | -25.18%12.96M | -60.03%9.03M | -47.67%13.39M | 807.35%18.7M | 807.35%18.7M | --17.33M |
-Including:Cash | ---- | ---- | -27.53%9.92M | -27.53%9.92M | ---- | -60.03%9.03M | ---- | 563.95%13.68M | 563.95%13.68M | --17.33M |
-Including:Cash equivalents | ---- | ---- | -37.23%3.15M | -37.23%3.15M | ---- | ---- | ---- | --5.02M | --5.02M | ---- |
-Short term investments | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --3M |
Receivables | 44.45%19.87M | 103.42%15.46M | 41.80%9.77M | 41.80%9.77M | 35.27%9.56M | 37.41%13.75M | -11.86%7.6M | -17.90%6.89M | -17.90%6.89M | --7.07M |
-Accounts receivable | 89.82%16.76M | 136.13%13.53M | 41.57%8.81M | 41.57%8.81M | 28.40%8.25M | 2.12%8.83M | -13.80%5.73M | -18.74%6.22M | -18.74%6.22M | --6.43M |
-Gross accounts receivable | ---- | ---- | 40.74%9M | 40.74%9M | ---- | ---- | ---- | -18.33%6.39M | -18.33%6.39M | ---- |
-Bad debt provision | ---- | ---- | -10.59%-188.71K | -10.59%-188.71K | ---- | ---- | ---- | -0.21%-170.64K | -0.21%-170.64K | ---- |
-Other receivables | -36.87%3.11M | 3.16%1.93M | 43.91%963.36K | 43.91%963.36K | 104.06%1.31M | 261.07%4.93M | -5.32%1.87M | -9.08%669.41K | -9.08%669.41K | --641K |
Inventory | 28.26%16.07M | 11.28%13.6M | 39.29%14.03M | 39.29%14.03M | 35.20%13.39M | 26.62%12.53M | 5.61%12.22M | 28.86%10.07M | 28.86%10.07M | --9.91M |
Prepaid assets | ---- | ---- | 137.16%943.07K | 137.16%943.07K | ---- | ---- | ---- | -90.15%397.65K | -90.15%397.65K | ---- |
Tax assets-Current | 1.62%1.25M | -3.79%1.4M | 16.14%1.47M | 16.14%1.47M | -27.93%1.47M | -13.78%1.23M | 56.42%1.45M | 8.69%1.26M | 8.69%1.26M | --2.03M |
Total current assets | 21.28%44.32M | 14.68%39.75M | 5.23%39.28M | 5.23%39.28M | -4.97%37.38M | -16.81%36.54M | -25.80%34.66M | 59.01%37.33M | 59.01%37.33M | --39.33M |
Non current assets | ||||||||||
Net PPE | 35.55%41.36M | 28.85%39.07M | 22.50%34.87M | 22.50%34.87M | 23.21%34.83M | 19.63%30.51M | 28.63%30.32M | 33.20%28.47M | 33.20%28.47M | --28.27M |
-Gross PP&E | ---- | ---- | 18.82%50.54M | 18.82%50.54M | ---- | ---- | ---- | 27.53%42.54M | 27.53%42.54M | ---- |
-Accumulated depreciation | ---- | ---- | -11.38%-15.67M | -11.38%-15.67M | ---- | ---- | ---- | -17.41%-14.07M | -17.41%-14.07M | ---- |
Investment properties | -2.43%3.22M | -2.41%3.24M | -2.40%3.26M | -2.40%3.26M | 72.07%3.28M | 72.13%3.3M | 72.18%3.32M | 72.30%3.34M | 72.30%3.34M | --1.91M |
Total investment | ---- | ---- | --0 | --0 | ---- | ---- | ---- | --0 | --0 | ---- |
-Long-term equity investment | ---- | ---- | --0 | --0 | ---- | ---- | ---- | --0 | --0 | ---- |
Goodwill and other intangible assets | ---- | ---- | --0 | --0 | ---- | ---- | ---- | --0 | --0 | ---- |
Total non current assets | 31.85%44.58M | 25.76%42.31M | 19.88%38.13M | 19.88%38.13M | 26.30%38.11M | 23.30%33.81M | 31.92%33.64M | 36.45%31.81M | 36.45%31.81M | --30.17M |
Total assets | 26.36%88.9M | 20.14%82.06M | 11.97%77.41M | 11.97%77.41M | 8.61%75.49M | -1.39%70.36M | -5.42%68.3M | 47.77%69.13M | 47.77%69.13M | --69.51M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 185.80%2.76M | 153.77%2.89M | 3.63%1.44M | 3.63%1.44M | -27.51%988K | -29.92%965K | -29.59%1.14M | -43.00%1.38M | -43.00%1.38M | --1.36M |
-Current debt and capital lease obligation | 185.80%2.76M | 153.77%2.89M | 3.63%1.44M | 3.63%1.44M | -27.51%988K | -29.92%965K | -29.59%1.14M | -43.00%1.38M | -43.00%1.38M | --1.36M |
-Including:Current debt | 233.94%2.21M | 275.72%2.49M | 81.12%1.11M | 81.12%1.11M | 6.42%663K | 6.59%663K | -22.91%663K | -67.10%611.13K | -67.10%611.13K | --623K |
-Including:Current capital Lease obligation | 80.13%544K | -15.72%402K | -57.57%328.32K | -57.57%328.32K | -56.08%325K | -60.00%302K | -37.15%477K | 35.25%773.79K | 35.25%773.79K | --740K |
Payables | 149.13%19.64M | 131.14%14.32M | 69.58%9.35M | 69.58%9.35M | 53.56%11.04M | -0.06%7.89M | -24.67%6.2M | -41.82%5.52M | -41.82%5.52M | --7.19M |
-accounts payable | 101.59%13.35M | 90.30%8.75M | 60.26%7.98M | 60.26%7.98M | 88.87%7.67M | 24.45%6.62M | -18.27%4.6M | -5.78%4.98M | -5.78%4.98M | --4.06M |
-Total tax payable | ---- | ---- | 145.41%275.6K | 145.41%275.6K | --0 | --0 | ---- | -49.66%112.3K | -49.66%112.3K | --29K |
-Other payable | 398.18%6.3M | 248.69%5.57M | 158.57%1.1M | 158.57%1.1M | 8.72%3.37M | -50.04%1.26M | -38.51%1.6M | -89.30%425.28K | -89.30%425.28K | --3.1M |
Accrued and deferred income | ---- | ---- | 125.81%2.57M | 125.81%2.57M | ---- | ---- | ---- | 112.13%1.14M | 112.13%1.14M | ---- |
Current liabilities | 153.13%22.4M | 134.66%17.22M | 66.19%13.36M | 66.19%13.36M | 40.64%12.03M | -4.50%8.85M | -25.47%7.34M | -35.41%8.04M | -35.41%8.04M | --8.55M |
Non current liabilities | ||||||||||
Non current financial liabilities | -3.90%8.3M | -13.38%7.91M | -11.44%8.19M | -11.44%8.19M | -12.02%8.48M | -13.63%8.64M | -11.46%9.13M | -8.58%9.25M | -8.58%9.25M | --9.63M |
-Long term debt and capital lease obligation | -3.90%8.3M | -13.38%7.91M | -11.44%8.19M | -11.44%8.19M | -12.02%8.48M | -13.63%8.64M | -11.46%9.13M | -8.58%9.25M | -8.58%9.25M | --9.63M |
-Including:Long term debt | -11.18%7.21M | -10.92%7.37M | -7.79%7.81M | -7.79%7.81M | -7.59%7.96M | -7.51%8.12M | -6.89%8.27M | -6.27%8.46M | -6.27%8.46M | --8.61M |
-Including:Long term capital lease obligation | 108.57%1.1M | -37.01%543K | -51.02%382.54K | -51.02%382.54K | -49.27%519K | -57.32%525K | -39.80%862K | -27.84%781.04K | -27.84%781.04K | --1.02M |
Non current deferred liabilities | -57.40%72K | -32.08%72K | -57.40%72K | -57.40%72K | -37.87%169K | -39.64%169K | -60.45%106K | -11.05%169K | -11.05%169K | --272K |
Other non current liabilities | ---1K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total non current liabilities | -4.94%8.38M | -13.59%7.98M | -12.26%8.26M | -12.26%8.26M | -12.73%8.65M | -14.34%8.81M | -12.70%9.24M | -8.62%9.41M | -8.62%9.41M | --9.91M |
Total liabilities | 74.28%30.78M | 52.02%25.2M | 23.87%21.62M | 23.87%21.62M | 12.00%20.67M | -9.68%17.66M | -18.86%16.58M | -23.28%17.45M | -23.28%17.45M | --18.46M |
Shareholders'equity | ||||||||||
Share capital | 0.00%43.65M | 0.00%43.65M | 0.00%43.65M | 0.00%43.65M | 0.00%43.65M | 0.00%43.65M | 0.00%43.65M | 188.67%43.65M | 188.67%43.65M | --43.65M |
-common stock | 0.00%43.65M | 0.00%43.65M | 0.00%43.65M | 0.00%43.65M | 0.00%43.65M | 0.00%43.65M | 0.00%43.65M | 188.67%43.65M | 188.67%43.65M | --43.65M |
Retained earnings | 23.37%28.66M | 23.06%27.4M | 18.49%26.33M | 18.49%26.33M | 17.45%25.35M | 4.03%23.23M | -0.26%22.26M | -3.82%22.22M | -3.82%22.22M | --21.59M |
Other equity interest | 0.00%-14.19M | 0.00%-14.19M | 0.00%-14.19M | 0.00%-14.19M | 0.00%-14.19M | 0.00%-14.19M | 0.00%-14.19M | 0.00%-14.19M | 0.00%-14.19M | ---14.19M |
Total stockholders'equity | 10.30%58.12M | 9.92%56.86M | 7.95%55.79M | 7.95%55.79M | 7.38%54.82M | 1.74%52.7M | -0.11%51.73M | 115.03%51.68M | 115.03%51.68M | --51.05M |
Total equity | 10.30%58.12M | 9.92%56.86M | 7.95%55.79M | 7.95%55.79M | 7.38%54.82M | 1.74%52.7M | -0.11%51.73M | 115.03%51.68M | 115.03%51.68M | --51.05M |
Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.
Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.