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OIL Optiscan Imaging Ltd

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  • 0.160
  • 0.0000.00%
20min DelayMarket Closed Jan 3 15:59 AET
133.65MMarket Cap-22.86P/E (Static)

Optiscan Imaging 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
1,109.07%11.23M
1,109.07%11.23M
-79.49%928.98K
-79.49%928.98K
-46.35%4.53M
-46.35%4.53M
1,503.90%8.44M
1,503.90%8.44M
-69.96%526.36K
-69.96%526.36K
-Cash and cash equivalents
596.98%6.1M
596.98%6.1M
-80.67%875.37K
-80.67%875.37K
-46.35%4.53M
-46.35%4.53M
1,503.90%8.44M
1,503.90%8.44M
-69.96%526.36K
-69.96%526.36K
-Short term investments
9,470.95%5.13M
9,470.95%5.13M
--53.61K
--53.61K
----
----
----
----
----
----
Receivables
60.65%1.57M
60.65%1.57M
-30.93%975.93K
-30.93%975.93K
13.58%1.41M
13.58%1.41M
64.03%1.24M
64.03%1.24M
78.72%758.43K
78.72%758.43K
-Accounts receivable
143.35%397.55K
143.35%397.55K
-58.20%163.37K
-58.20%163.37K
51.90%390.88K
51.90%390.88K
1,970.19%257.33K
1,970.19%257.33K
-91.73%12.43K
-91.73%12.43K
-Other receivables
44.02%1.17M
44.02%1.17M
-20.50%812.56K
-20.50%812.56K
3.58%1.02M
3.58%1.02M
32.27%986.71K
32.27%986.71K
172.24%746K
172.24%746K
Inventory
39.14%2M
39.14%2M
13.26%1.44M
13.26%1.44M
9.33%1.27M
9.33%1.27M
0.57%1.16M
0.57%1.16M
-0.08%1.15M
-0.08%1.15M
Prepaid assets
----
----
173.25%303.86K
173.25%303.86K
-8.64%111.2K
-8.64%111.2K
72.32%121.72K
72.32%121.72K
121.38%70.64K
121.38%70.64K
Other current assets
--265.98K
--265.98K
----
----
----
----
----
----
----
----
Total current assets
313.19%15.07M
313.19%15.07M
-50.21%3.65M
-50.21%3.65M
-33.24%7.32M
-33.24%7.32M
337.06%10.97M
337.06%10.97M
-25.39%2.51M
-25.39%2.51M
Non current assets
Net PPE
-29.25%407.31K
-29.25%407.31K
-5.46%575.73K
-5.46%575.73K
-9.80%608.97K
-9.80%608.97K
-23.50%675.17K
-23.50%675.17K
287.29%882.59K
287.29%882.59K
-Gross PPE
-9.26%1.05M
-9.26%1.05M
3.09%1.15M
3.09%1.15M
1.96%1.12M
1.96%1.12M
-56.60%1.1M
-56.60%1.1M
78.21%2.53M
78.21%2.53M
-Accumulated depreciation
-10.66%-639.07K
-10.66%-639.07K
-13.31%-577.48K
-13.31%-577.48K
-20.78%-509.67K
-20.78%-509.67K
74.35%-422K
74.35%-422K
-38.19%-1.65M
-38.19%-1.65M
Investments and advances
----
----
----
----
0.00%52.63K
0.00%52.63K
0.00%52.63K
0.00%52.63K
0.00%52.63K
0.00%52.63K
-Other investment
----
----
----
----
0.00%52.63K
0.00%52.63K
0.00%52.63K
0.00%52.63K
0.00%52.63K
0.00%52.63K
Goodwill and other intangible assets
-65.16%156.79K
-65.16%156.79K
--450K
--450K
----
----
----
----
----
----
-Other intangible assets
-65.16%156.79K
-65.16%156.79K
--450K
--450K
----
----
----
----
----
----
Total non current assets
-45.00%564.1K
-45.00%564.1K
55.04%1.03M
55.04%1.03M
-9.10%661.59K
-9.10%661.59K
-22.18%727.79K
-22.18%727.79K
233.39%935.21K
233.39%935.21K
Total assets
234.55%15.63M
234.55%15.63M
-41.48%4.67M
-41.48%4.67M
-31.74%7.98M
-31.74%7.98M
239.54%11.7M
239.54%11.7M
-5.48%3.44M
-5.48%3.44M
Liabilities
Current liabilities
Current debt and capital lease obligation
-4.65%220.91K
-4.65%220.91K
31.66%231.69K
31.66%231.69K
2.25%175.97K
2.25%175.97K
-66.21%172.09K
-66.21%172.09K
154.66%509.31K
154.66%509.31K
-Current debt
1.81%40.3K
1.81%40.3K
--39.59K
--39.59K
----
----
----
----
87.90%375.8K
87.90%375.8K
-Current capital lease obligation
-5.99%180.6K
-5.99%180.6K
9.17%192.1K
9.17%192.1K
2.25%175.97K
2.25%175.97K
28.89%172.09K
28.89%172.09K
--133.52K
--133.52K
Payables
34.01%1.04M
34.01%1.04M
77.65%776.36K
77.65%776.36K
-11.48%437.01K
-11.48%437.01K
2.58%493.71K
2.58%493.71K
22.37%481.29K
22.37%481.29K
-accounts payable
2.94%539.88K
2.94%539.88K
72.99%524.48K
72.99%524.48K
-23.56%303.18K
-23.56%303.18K
17.75%396.61K
17.75%396.61K
50.11%336.81K
50.11%336.81K
-Other payable
98.72%500.53K
98.72%500.53K
88.21%251.88K
88.21%251.88K
37.83%133.83K
37.83%133.83K
-32.79%97.1K
-32.79%97.1K
-14.47%144.48K
-14.47%144.48K
Pension and other retirement benefit plans
18.81%493.25K
18.81%493.25K
7.16%415.15K
7.16%415.15K
25.96%387.41K
25.96%387.41K
20.94%307.58K
20.94%307.58K
12.96%254.31K
12.96%254.31K
Current liabilities
23.28%1.75M
23.28%1.75M
42.26%1.42M
42.26%1.42M
2.77%1M
2.77%1M
-21.81%973.38K
-21.81%973.38K
52.11%1.24M
52.11%1.24M
Non current liabilities
Long term debt and capital lease obligation
----
----
-51.54%180.6K
-51.54%180.6K
-24.85%372.7K
-24.85%372.7K
-23.32%495.93K
-23.32%495.93K
--646.77K
--646.77K
-Long term capital lease obligation
----
----
-51.54%180.6K
-51.54%180.6K
-24.85%372.7K
-24.85%372.7K
-23.32%495.93K
-23.32%495.93K
--646.77K
--646.77K
Employee benefits
-66.59%7.93K
-66.59%7.93K
27.62%23.74K
27.62%23.74K
81.36%18.6K
81.36%18.6K
110.03%10.26K
110.03%10.26K
120.30%4.88K
120.30%4.88K
Total non current liabilities
-96.12%7.93K
-96.12%7.93K
-47.78%204.34K
-47.78%204.34K
-22.70%391.31K
-22.70%391.31K
-22.32%506.19K
-22.32%506.19K
29,293.37%651.65K
29,293.37%651.65K
Total liabilities
8.29%1.76M
8.29%1.76M
16.95%1.63M
16.95%1.63M
-5.94%1.39M
-5.94%1.39M
-21.99%1.48M
-21.99%1.48M
131.11%1.9M
131.11%1.9M
Shareholders'equity
Share capital
23.19%88.53M
23.19%88.53M
0.85%71.86M
0.85%71.86M
0.44%71.26M
0.44%71.26M
18.77%70.94M
18.77%70.94M
0.57%59.73M
0.57%59.73M
-common stock
23.19%88.53M
23.19%88.53M
0.85%71.86M
0.85%71.86M
0.44%71.26M
0.44%71.26M
18.77%70.94M
18.77%70.94M
0.57%59.73M
0.57%59.73M
Retained earnings
-6.06%-75.24M
-6.06%-75.24M
-6.05%-70.94M
-6.05%-70.94M
-6.76%-66.89M
-6.76%-66.89M
-3.50%-62.66M
-3.50%-62.66M
-3.00%-60.54M
-3.00%-60.54M
Gains losses not affecting retained earnings
-72.61%581.57K
-72.61%581.57K
-4.79%2.12M
-4.79%2.12M
15.22%2.23M
15.22%2.23M
-18.04%1.94M
-18.04%1.94M
6.86%2.36M
6.86%2.36M
Total stockholders'equity
355.50%13.87M
355.50%13.87M
-53.82%3.04M
-53.82%3.04M
-35.48%6.59M
-35.48%6.59M
559.88%10.22M
559.88%10.22M
-45.17%1.55M
-45.17%1.55M
Total equity
355.50%13.87M
355.50%13.87M
-53.82%3.04M
-53.82%3.04M
-35.48%6.59M
-35.48%6.59M
559.88%10.22M
559.88%10.22M
-45.17%1.55M
-45.17%1.55M
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 1,109.07%11.23M 1,109.07%11.23M -79.49%928.98K -79.49%928.98K -46.35%4.53M -46.35%4.53M 1,503.90%8.44M 1,503.90%8.44M -69.96%526.36K -69.96%526.36K
-Cash and cash equivalents 596.98%6.1M 596.98%6.1M -80.67%875.37K -80.67%875.37K -46.35%4.53M -46.35%4.53M 1,503.90%8.44M 1,503.90%8.44M -69.96%526.36K -69.96%526.36K
-Short term investments 9,470.95%5.13M 9,470.95%5.13M --53.61K --53.61K ---- ---- ---- ---- ---- ----
Receivables 60.65%1.57M 60.65%1.57M -30.93%975.93K -30.93%975.93K 13.58%1.41M 13.58%1.41M 64.03%1.24M 64.03%1.24M 78.72%758.43K 78.72%758.43K
-Accounts receivable 143.35%397.55K 143.35%397.55K -58.20%163.37K -58.20%163.37K 51.90%390.88K 51.90%390.88K 1,970.19%257.33K 1,970.19%257.33K -91.73%12.43K -91.73%12.43K
-Other receivables 44.02%1.17M 44.02%1.17M -20.50%812.56K -20.50%812.56K 3.58%1.02M 3.58%1.02M 32.27%986.71K 32.27%986.71K 172.24%746K 172.24%746K
Inventory 39.14%2M 39.14%2M 13.26%1.44M 13.26%1.44M 9.33%1.27M 9.33%1.27M 0.57%1.16M 0.57%1.16M -0.08%1.15M -0.08%1.15M
Prepaid assets ---- ---- 173.25%303.86K 173.25%303.86K -8.64%111.2K -8.64%111.2K 72.32%121.72K 72.32%121.72K 121.38%70.64K 121.38%70.64K
Other current assets --265.98K --265.98K ---- ---- ---- ---- ---- ---- ---- ----
Total current assets 313.19%15.07M 313.19%15.07M -50.21%3.65M -50.21%3.65M -33.24%7.32M -33.24%7.32M 337.06%10.97M 337.06%10.97M -25.39%2.51M -25.39%2.51M
Non current assets
Net PPE -29.25%407.31K -29.25%407.31K -5.46%575.73K -5.46%575.73K -9.80%608.97K -9.80%608.97K -23.50%675.17K -23.50%675.17K 287.29%882.59K 287.29%882.59K
-Gross PPE -9.26%1.05M -9.26%1.05M 3.09%1.15M 3.09%1.15M 1.96%1.12M 1.96%1.12M -56.60%1.1M -56.60%1.1M 78.21%2.53M 78.21%2.53M
-Accumulated depreciation -10.66%-639.07K -10.66%-639.07K -13.31%-577.48K -13.31%-577.48K -20.78%-509.67K -20.78%-509.67K 74.35%-422K 74.35%-422K -38.19%-1.65M -38.19%-1.65M
Investments and advances ---- ---- ---- ---- 0.00%52.63K 0.00%52.63K 0.00%52.63K 0.00%52.63K 0.00%52.63K 0.00%52.63K
-Other investment ---- ---- ---- ---- 0.00%52.63K 0.00%52.63K 0.00%52.63K 0.00%52.63K 0.00%52.63K 0.00%52.63K
Goodwill and other intangible assets -65.16%156.79K -65.16%156.79K --450K --450K ---- ---- ---- ---- ---- ----
-Other intangible assets -65.16%156.79K -65.16%156.79K --450K --450K ---- ---- ---- ---- ---- ----
Total non current assets -45.00%564.1K -45.00%564.1K 55.04%1.03M 55.04%1.03M -9.10%661.59K -9.10%661.59K -22.18%727.79K -22.18%727.79K 233.39%935.21K 233.39%935.21K
Total assets 234.55%15.63M 234.55%15.63M -41.48%4.67M -41.48%4.67M -31.74%7.98M -31.74%7.98M 239.54%11.7M 239.54%11.7M -5.48%3.44M -5.48%3.44M
Liabilities
Current liabilities
Current debt and capital lease obligation -4.65%220.91K -4.65%220.91K 31.66%231.69K 31.66%231.69K 2.25%175.97K 2.25%175.97K -66.21%172.09K -66.21%172.09K 154.66%509.31K 154.66%509.31K
-Current debt 1.81%40.3K 1.81%40.3K --39.59K --39.59K ---- ---- ---- ---- 87.90%375.8K 87.90%375.8K
-Current capital lease obligation -5.99%180.6K -5.99%180.6K 9.17%192.1K 9.17%192.1K 2.25%175.97K 2.25%175.97K 28.89%172.09K 28.89%172.09K --133.52K --133.52K
Payables 34.01%1.04M 34.01%1.04M 77.65%776.36K 77.65%776.36K -11.48%437.01K -11.48%437.01K 2.58%493.71K 2.58%493.71K 22.37%481.29K 22.37%481.29K
-accounts payable 2.94%539.88K 2.94%539.88K 72.99%524.48K 72.99%524.48K -23.56%303.18K -23.56%303.18K 17.75%396.61K 17.75%396.61K 50.11%336.81K 50.11%336.81K
-Other payable 98.72%500.53K 98.72%500.53K 88.21%251.88K 88.21%251.88K 37.83%133.83K 37.83%133.83K -32.79%97.1K -32.79%97.1K -14.47%144.48K -14.47%144.48K
Pension and other retirement benefit plans 18.81%493.25K 18.81%493.25K 7.16%415.15K 7.16%415.15K 25.96%387.41K 25.96%387.41K 20.94%307.58K 20.94%307.58K 12.96%254.31K 12.96%254.31K
Current liabilities 23.28%1.75M 23.28%1.75M 42.26%1.42M 42.26%1.42M 2.77%1M 2.77%1M -21.81%973.38K -21.81%973.38K 52.11%1.24M 52.11%1.24M
Non current liabilities
Long term debt and capital lease obligation ---- ---- -51.54%180.6K -51.54%180.6K -24.85%372.7K -24.85%372.7K -23.32%495.93K -23.32%495.93K --646.77K --646.77K
-Long term capital lease obligation ---- ---- -51.54%180.6K -51.54%180.6K -24.85%372.7K -24.85%372.7K -23.32%495.93K -23.32%495.93K --646.77K --646.77K
Employee benefits -66.59%7.93K -66.59%7.93K 27.62%23.74K 27.62%23.74K 81.36%18.6K 81.36%18.6K 110.03%10.26K 110.03%10.26K 120.30%4.88K 120.30%4.88K
Total non current liabilities -96.12%7.93K -96.12%7.93K -47.78%204.34K -47.78%204.34K -22.70%391.31K -22.70%391.31K -22.32%506.19K -22.32%506.19K 29,293.37%651.65K 29,293.37%651.65K
Total liabilities 8.29%1.76M 8.29%1.76M 16.95%1.63M 16.95%1.63M -5.94%1.39M -5.94%1.39M -21.99%1.48M -21.99%1.48M 131.11%1.9M 131.11%1.9M
Shareholders'equity
Share capital 23.19%88.53M 23.19%88.53M 0.85%71.86M 0.85%71.86M 0.44%71.26M 0.44%71.26M 18.77%70.94M 18.77%70.94M 0.57%59.73M 0.57%59.73M
-common stock 23.19%88.53M 23.19%88.53M 0.85%71.86M 0.85%71.86M 0.44%71.26M 0.44%71.26M 18.77%70.94M 18.77%70.94M 0.57%59.73M 0.57%59.73M
Retained earnings -6.06%-75.24M -6.06%-75.24M -6.05%-70.94M -6.05%-70.94M -6.76%-66.89M -6.76%-66.89M -3.50%-62.66M -3.50%-62.66M -3.00%-60.54M -3.00%-60.54M
Gains losses not affecting retained earnings -72.61%581.57K -72.61%581.57K -4.79%2.12M -4.79%2.12M 15.22%2.23M 15.22%2.23M -18.04%1.94M -18.04%1.94M 6.86%2.36M 6.86%2.36M
Total stockholders'equity 355.50%13.87M 355.50%13.87M -53.82%3.04M -53.82%3.04M -35.48%6.59M -35.48%6.59M 559.88%10.22M 559.88%10.22M -45.17%1.55M -45.17%1.55M
Total equity 355.50%13.87M 355.50%13.87M -53.82%3.04M -53.82%3.04M -35.48%6.59M -35.48%6.59M 559.88%10.22M 559.88%10.22M -45.17%1.55M -45.17%1.55M
Accounting Standards US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP
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