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IVT Inventis Ltd

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  • 0.010
  • 0.0000.00%
20min DelayMarket Closed Apr 30 11:02 AET
764.24KMarket Cap-0.22P/E (Static)

Inventis 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
-89.90%95.61K
-89.90%95.61K
7.18%946.73K
7.18%946.73K
16.54%883.31K
16.54%883.31K
36.09%757.95K
36.09%757.95K
30.92%556.94K
30.92%556.94K
-Cash and cash equivalents
-89.90%95.61K
-89.90%95.61K
7.18%946.73K
7.18%946.73K
16.54%883.31K
16.54%883.31K
36.09%757.95K
36.09%757.95K
30.92%556.94K
30.92%556.94K
Receivables
-18.33%2.38M
-18.33%2.38M
-2.10%2.91M
-2.10%2.91M
-6.21%2.97M
-6.21%2.97M
28.58%3.17M
28.58%3.17M
76.35%2.46M
76.35%2.46M
-Accounts receivable
-18.33%2.38M
-18.33%2.38M
-2.10%2.91M
-2.10%2.91M
-6.21%2.97M
-6.21%2.97M
28.58%3.17M
28.58%3.17M
76.35%2.46M
76.35%2.46M
Inventory
-20.97%2.42M
-20.97%2.42M
-3.82%3.06M
-3.82%3.06M
39.10%3.18M
39.10%3.18M
16.63%2.29M
16.63%2.29M
36.07%1.96M
36.07%1.96M
Prepaid assets
----
----
----
----
----
----
----
----
-42.75%15.5K
-42.75%15.5K
Current deferred assets
0.00%93.94K
0.00%93.94K
0.63%93.94K
0.63%93.94K
--93.35K
--93.35K
----
----
----
----
Total current assets
-28.90%4.98M
-28.90%4.98M
-1.68%7.01M
-1.68%7.01M
14.75%7.13M
14.75%7.13M
24.33%6.21M
24.33%6.21M
51.86%5M
51.86%5M
Non current assets
Net PPE
-30.35%2.52M
-30.35%2.52M
-10.86%3.62M
-10.86%3.62M
124.76%4.06M
124.76%4.06M
143.43%1.81M
143.43%1.81M
336.17%742.69K
336.17%742.69K
-Gross PPE
-30.35%2.52M
-30.35%2.52M
-10.86%3.62M
-10.86%3.62M
124.76%4.06M
124.76%4.06M
143.43%1.81M
143.43%1.81M
336.17%742.69K
336.17%742.69K
Investments and advances
65.83%729.96K
65.83%729.96K
-24.51%440.18K
-24.51%440.18K
84.06%583.09K
84.06%583.09K
70.28%316.8K
70.28%316.8K
1,062.10%186.05K
1,062.10%186.05K
-Long term equity investment
-1.88%357.12K
-1.88%357.12K
-30.84%363.97K
-30.84%363.97K
119.10%526.25K
119.10%526.25K
142.84%240.19K
142.84%240.19K
--98.91K
--98.91K
-Other investment
389.24%372.84K
389.24%372.84K
34.06%76.21K
34.06%76.21K
-25.80%56.85K
-25.80%56.85K
-12.08%76.62K
-12.08%76.62K
444.32%87.15K
444.32%87.15K
Non current accounts receivable
--9.67K
--9.67K
----
----
----
----
----
----
----
----
Goodwill and other intangible assets
-3.97%4.94M
-3.97%4.94M
-0.10%5.14M
-0.10%5.14M
51.54%5.15M
51.54%5.15M
-0.15%3.4M
-0.15%3.4M
11.80%3.4M
11.80%3.4M
-Other intangible assets
-3.97%4.94M
-3.97%4.94M
-0.10%5.14M
-0.10%5.14M
51.54%5.15M
51.54%5.15M
-0.15%3.4M
-0.15%3.4M
11.80%3.4M
11.80%3.4M
Non current deferred assets
-37.58%316.19K
-37.58%316.19K
0.06%506.56K
0.06%506.56K
--506.25K
--506.25K
----
----
----
----
Total non current assets
-12.30%8.52M
-12.30%8.52M
-5.72%9.71M
-5.72%9.71M
86.56%10.3M
86.56%10.3M
27.51%5.52M
27.51%5.52M
34.12%4.33M
34.12%4.33M
Total assets
-19.26%13.5M
-19.26%13.5M
-4.07%16.72M
-4.07%16.72M
48.53%17.43M
48.53%17.43M
25.81%11.73M
25.81%11.73M
43.07%9.33M
43.07%9.33M
Liabilities
Current liabilities
Current debt and capital lease obligation
-22.26%2.94M
-22.26%2.94M
118.52%3.78M
118.52%3.78M
-6.09%1.73M
-6.09%1.73M
76.43%1.84M
76.43%1.84M
-0.99%1.05M
-0.99%1.05M
-Current debt
-29.32%2.15M
-29.32%2.15M
225.46%3.05M
225.46%3.05M
-14.33%936.44K
-14.33%936.44K
59.18%1.09M
59.18%1.09M
-34.95%686.71K
-34.95%686.71K
-Current capital lease obligation
6.97%788.05K
6.97%788.05K
-7.38%736.73K
-7.38%736.73K
5.91%795.46K
5.91%795.46K
109.48%751.04K
109.48%751.04K
--358.53K
--358.53K
Payables
21.32%4.66M
21.32%4.66M
-2.73%3.84M
-2.73%3.84M
28.47%3.95M
28.47%3.95M
-22.38%3.08M
-22.38%3.08M
5.09%3.96M
5.09%3.96M
-accounts payable
21.32%4.66M
21.32%4.66M
-2.73%3.84M
-2.73%3.84M
28.47%3.95M
28.47%3.95M
-22.38%3.08M
-22.38%3.08M
5.09%3.96M
5.09%3.96M
Pension and other retirement benefit plans
23.34%1.69M
23.34%1.69M
12.27%1.37M
12.27%1.37M
29.26%1.22M
29.26%1.22M
18.55%944.07K
18.55%944.07K
44.57%796.32K
44.57%796.32K
Current deferred liabilities
----
----
-31.02%110.82K
-31.02%110.82K
-65.50%160.64K
-65.50%160.64K
17,580.37%465.7K
17,580.37%465.7K
--2.63K
--2.63K
Other current liabilities
--217.89K
--217.89K
----
----
----
----
----
----
----
----
Current liabilities
4.44%9.51M
4.44%9.51M
28.94%9.11M
28.94%9.11M
11.61%7.07M
11.61%7.07M
9.00%6.33M
9.00%6.33M
7.99%5.81M
7.99%5.81M
Non current liabilities
Long term debt and capital lease obligation
-3.91%8.34M
-3.91%8.34M
-2.56%8.68M
-2.56%8.68M
33.06%8.91M
33.06%8.91M
13.23%6.7M
13.23%6.7M
41.12%5.92M
41.12%5.92M
-Long term debt
-18.15%7.08M
-18.15%7.08M
2.56%8.65M
2.56%8.65M
50.79%8.44M
50.79%8.44M
-0.46%5.6M
-0.46%5.6M
34.10%5.62M
34.10%5.62M
-Long term capital lease obligation
3,902.53%1.26M
3,902.53%1.26M
-93.38%31.54K
-93.38%31.54K
-56.85%476.09K
-56.85%476.09K
274.52%1.1M
274.52%1.1M
--294.61K
--294.61K
Employee benefits
1.81%56.82K
1.81%56.82K
7.53%55.81K
7.53%55.81K
-13.87%51.9K
-13.87%51.9K
45.75%60.26K
45.75%60.26K
78.88%41.35K
78.88%41.35K
Other non current liabilities
----
----
----
----
--493.99K
--493.99K
----
----
----
----
Total non current liabilities
-3.88%8.4M
-3.88%8.4M
-7.59%8.74M
-7.59%8.74M
39.95%9.46M
39.95%9.46M
13.46%6.76M
13.46%6.76M
41.33%5.96M
41.33%5.96M
Total liabilities
0.37%17.92M
0.37%17.92M
8.03%17.85M
8.03%17.85M
26.24%16.52M
26.24%16.52M
11.26%13.09M
11.26%13.09M
22.64%11.77M
22.64%11.77M
Shareholders'equity
Share capital
0.76%37.99M
0.76%37.99M
0.84%37.7M
0.84%37.7M
5.24%37.38M
5.24%37.38M
2.92%35.52M
2.92%35.52M
2.71%34.52M
2.71%34.52M
-common stock
0.76%37.99M
0.76%37.99M
0.84%37.7M
0.84%37.7M
5.24%37.38M
5.24%37.38M
2.92%35.52M
2.92%35.52M
2.71%34.52M
2.71%34.52M
Retained earnings
-12.39%-42.56M
-12.39%-42.56M
-6.62%-37.87M
-6.62%-37.87M
0.77%-35.52M
0.77%-35.52M
0.21%-35.8M
0.21%-35.8M
-0.82%-35.87M
-0.82%-35.87M
Gains losses not affecting retained earnings
116.93%161.82K
116.93%161.82K
0.03%-955.69K
0.03%-955.69K
11.34%-956.01K
11.34%-956.01K
-0.01%-1.08M
-0.01%-1.08M
1.60%-1.08M
1.60%-1.08M
Total stockholders'equity
-290.87%-4.42M
-290.87%-4.42M
-224.77%-1.13M
-224.77%-1.13M
166.86%905.45K
166.86%905.45K
44.43%-1.35M
44.43%-1.35M
20.71%-2.44M
20.71%-2.44M
Total equity
-290.87%-4.42M
-290.87%-4.42M
-224.77%-1.13M
-224.77%-1.13M
166.86%905.45K
166.86%905.45K
44.43%-1.35M
44.43%-1.35M
20.71%-2.44M
20.71%-2.44M
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 -89.90%95.61K-89.90%95.61K7.18%946.73K7.18%946.73K16.54%883.31K16.54%883.31K36.09%757.95K36.09%757.95K30.92%556.94K30.92%556.94K
-Cash and cash equivalents -89.90%95.61K-89.90%95.61K7.18%946.73K7.18%946.73K16.54%883.31K16.54%883.31K36.09%757.95K36.09%757.95K30.92%556.94K30.92%556.94K
Receivables -18.33%2.38M-18.33%2.38M-2.10%2.91M-2.10%2.91M-6.21%2.97M-6.21%2.97M28.58%3.17M28.58%3.17M76.35%2.46M76.35%2.46M
-Accounts receivable -18.33%2.38M-18.33%2.38M-2.10%2.91M-2.10%2.91M-6.21%2.97M-6.21%2.97M28.58%3.17M28.58%3.17M76.35%2.46M76.35%2.46M
Inventory -20.97%2.42M-20.97%2.42M-3.82%3.06M-3.82%3.06M39.10%3.18M39.10%3.18M16.63%2.29M16.63%2.29M36.07%1.96M36.07%1.96M
Prepaid assets ---------------------------------42.75%15.5K-42.75%15.5K
Current deferred assets 0.00%93.94K0.00%93.94K0.63%93.94K0.63%93.94K--93.35K--93.35K----------------
Total current assets -28.90%4.98M-28.90%4.98M-1.68%7.01M-1.68%7.01M14.75%7.13M14.75%7.13M24.33%6.21M24.33%6.21M51.86%5M51.86%5M
Non current assets
Net PPE -30.35%2.52M-30.35%2.52M-10.86%3.62M-10.86%3.62M124.76%4.06M124.76%4.06M143.43%1.81M143.43%1.81M336.17%742.69K336.17%742.69K
-Gross PPE -30.35%2.52M-30.35%2.52M-10.86%3.62M-10.86%3.62M124.76%4.06M124.76%4.06M143.43%1.81M143.43%1.81M336.17%742.69K336.17%742.69K
Investments and advances 65.83%729.96K65.83%729.96K-24.51%440.18K-24.51%440.18K84.06%583.09K84.06%583.09K70.28%316.8K70.28%316.8K1,062.10%186.05K1,062.10%186.05K
-Long term equity investment -1.88%357.12K-1.88%357.12K-30.84%363.97K-30.84%363.97K119.10%526.25K119.10%526.25K142.84%240.19K142.84%240.19K--98.91K--98.91K
-Other investment 389.24%372.84K389.24%372.84K34.06%76.21K34.06%76.21K-25.80%56.85K-25.80%56.85K-12.08%76.62K-12.08%76.62K444.32%87.15K444.32%87.15K
Non current accounts receivable --9.67K--9.67K--------------------------------
Goodwill and other intangible assets -3.97%4.94M-3.97%4.94M-0.10%5.14M-0.10%5.14M51.54%5.15M51.54%5.15M-0.15%3.4M-0.15%3.4M11.80%3.4M11.80%3.4M
-Other intangible assets -3.97%4.94M-3.97%4.94M-0.10%5.14M-0.10%5.14M51.54%5.15M51.54%5.15M-0.15%3.4M-0.15%3.4M11.80%3.4M11.80%3.4M
Non current deferred assets -37.58%316.19K-37.58%316.19K0.06%506.56K0.06%506.56K--506.25K--506.25K----------------
Total non current assets -12.30%8.52M-12.30%8.52M-5.72%9.71M-5.72%9.71M86.56%10.3M86.56%10.3M27.51%5.52M27.51%5.52M34.12%4.33M34.12%4.33M
Total assets -19.26%13.5M-19.26%13.5M-4.07%16.72M-4.07%16.72M48.53%17.43M48.53%17.43M25.81%11.73M25.81%11.73M43.07%9.33M43.07%9.33M
Liabilities
Current liabilities
Current debt and capital lease obligation -22.26%2.94M-22.26%2.94M118.52%3.78M118.52%3.78M-6.09%1.73M-6.09%1.73M76.43%1.84M76.43%1.84M-0.99%1.05M-0.99%1.05M
-Current debt -29.32%2.15M-29.32%2.15M225.46%3.05M225.46%3.05M-14.33%936.44K-14.33%936.44K59.18%1.09M59.18%1.09M-34.95%686.71K-34.95%686.71K
-Current capital lease obligation 6.97%788.05K6.97%788.05K-7.38%736.73K-7.38%736.73K5.91%795.46K5.91%795.46K109.48%751.04K109.48%751.04K--358.53K--358.53K
Payables 21.32%4.66M21.32%4.66M-2.73%3.84M-2.73%3.84M28.47%3.95M28.47%3.95M-22.38%3.08M-22.38%3.08M5.09%3.96M5.09%3.96M
-accounts payable 21.32%4.66M21.32%4.66M-2.73%3.84M-2.73%3.84M28.47%3.95M28.47%3.95M-22.38%3.08M-22.38%3.08M5.09%3.96M5.09%3.96M
Pension and other retirement benefit plans 23.34%1.69M23.34%1.69M12.27%1.37M12.27%1.37M29.26%1.22M29.26%1.22M18.55%944.07K18.55%944.07K44.57%796.32K44.57%796.32K
Current deferred liabilities ---------31.02%110.82K-31.02%110.82K-65.50%160.64K-65.50%160.64K17,580.37%465.7K17,580.37%465.7K--2.63K--2.63K
Other current liabilities --217.89K--217.89K--------------------------------
Current liabilities 4.44%9.51M4.44%9.51M28.94%9.11M28.94%9.11M11.61%7.07M11.61%7.07M9.00%6.33M9.00%6.33M7.99%5.81M7.99%5.81M
Non current liabilities
Long term debt and capital lease obligation -3.91%8.34M-3.91%8.34M-2.56%8.68M-2.56%8.68M33.06%8.91M33.06%8.91M13.23%6.7M13.23%6.7M41.12%5.92M41.12%5.92M
-Long term debt -18.15%7.08M-18.15%7.08M2.56%8.65M2.56%8.65M50.79%8.44M50.79%8.44M-0.46%5.6M-0.46%5.6M34.10%5.62M34.10%5.62M
-Long term capital lease obligation 3,902.53%1.26M3,902.53%1.26M-93.38%31.54K-93.38%31.54K-56.85%476.09K-56.85%476.09K274.52%1.1M274.52%1.1M--294.61K--294.61K
Employee benefits 1.81%56.82K1.81%56.82K7.53%55.81K7.53%55.81K-13.87%51.9K-13.87%51.9K45.75%60.26K45.75%60.26K78.88%41.35K78.88%41.35K
Other non current liabilities ------------------493.99K--493.99K----------------
Total non current liabilities -3.88%8.4M-3.88%8.4M-7.59%8.74M-7.59%8.74M39.95%9.46M39.95%9.46M13.46%6.76M13.46%6.76M41.33%5.96M41.33%5.96M
Total liabilities 0.37%17.92M0.37%17.92M8.03%17.85M8.03%17.85M26.24%16.52M26.24%16.52M11.26%13.09M11.26%13.09M22.64%11.77M22.64%11.77M
Shareholders'equity
Share capital 0.76%37.99M0.76%37.99M0.84%37.7M0.84%37.7M5.24%37.38M5.24%37.38M2.92%35.52M2.92%35.52M2.71%34.52M2.71%34.52M
-common stock 0.76%37.99M0.76%37.99M0.84%37.7M0.84%37.7M5.24%37.38M5.24%37.38M2.92%35.52M2.92%35.52M2.71%34.52M2.71%34.52M
Retained earnings -12.39%-42.56M-12.39%-42.56M-6.62%-37.87M-6.62%-37.87M0.77%-35.52M0.77%-35.52M0.21%-35.8M0.21%-35.8M-0.82%-35.87M-0.82%-35.87M
Gains losses not affecting retained earnings 116.93%161.82K116.93%161.82K0.03%-955.69K0.03%-955.69K11.34%-956.01K11.34%-956.01K-0.01%-1.08M-0.01%-1.08M1.60%-1.08M1.60%-1.08M
Total stockholders'equity -290.87%-4.42M-290.87%-4.42M-224.77%-1.13M-224.77%-1.13M166.86%905.45K166.86%905.45K44.43%-1.35M44.43%-1.35M20.71%-2.44M20.71%-2.44M
Total equity -290.87%-4.42M-290.87%-4.42M-224.77%-1.13M-224.77%-1.13M166.86%905.45K166.86%905.45K44.43%-1.35M44.43%-1.35M20.71%-2.44M20.71%-2.44M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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