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LVT LiveTiles Ltd

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  • 0.005
  • 0.0000.00%
20min DelayTrading Apr 12 10:00 AET
5.89MMarket Cap-0.14P/E (Static)

LiveTiles Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-49.20%6.69M
-49.20%6.69M
-21.59%13.18M
-21.59%13.18M
-55.53%16.8M
-55.53%16.8M
153.96%37.79M
153.96%37.79M
-16.63%14.88M
-16.63%14.88M
-Cash and cash equivalents
-49.20%6.69M
-49.20%6.69M
-21.59%13.18M
-21.59%13.18M
-55.53%16.8M
-55.53%16.8M
153.96%37.79M
153.96%37.79M
-16.63%14.88M
-16.63%14.88M
Receivables
-42.20%4.7M
-42.20%4.7M
-16.57%8.14M
-16.57%8.14M
14.49%9.76M
14.49%9.76M
-30.14%8.52M
-30.14%8.52M
179.25%12.2M
179.25%12.2M
-Accounts receivable
-42.20%4.7M
-42.20%4.7M
13.19%8.14M
13.19%8.14M
-9.78%7.19M
-9.78%7.19M
7.05%7.97M
7.05%7.97M
154.20%7.45M
154.20%7.45M
-Loans receivable
----
----
----
----
--1.17M
--1.17M
----
----
----
----
-Other receivables
----
----
----
----
53.57%1.99M
53.57%1.99M
-75.52%1.3M
-75.52%1.3M
229.41%5.29M
229.41%5.29M
-Recievables adjustments allowances
----
----
----
----
20.70%-590.11K
20.70%-590.11K
-38.23%-744.14K
-38.23%-744.14K
-222.44%-538.34K
-222.44%-538.34K
Prepaid assets
----
----
----
----
-45.55%485.75K
-45.55%485.75K
1,084.23%892.09K
1,084.23%892.09K
--75.33K
--75.33K
Holding assets for sale
--7.38M
--7.38M
----
----
----
----
----
----
----
----
Other current assets
-88.51%244.39K
-88.51%244.39K
2,069.23%2.13M
2,069.23%2.13M
11.24%98.08K
11.24%98.08K
-90.83%88.17K
-90.83%88.17K
458.27%961K
458.27%961K
Total current assets
-18.86%19.02M
-18.86%19.02M
-13.63%23.44M
-13.63%23.44M
-42.60%27.14M
-42.60%27.14M
68.21%47.29M
68.21%47.29M
25.58%28.12M
25.58%28.12M
Non current assets
Net PPE
-26.94%2.09M
-26.94%2.09M
-14.07%2.86M
-14.07%2.86M
-26.59%3.33M
-26.59%3.33M
635.30%4.54M
635.30%4.54M
82.98%617.55K
82.98%617.55K
-Gross PPE
-26.94%2.09M
-26.94%2.09M
-14.07%2.86M
-14.07%2.86M
-26.59%3.33M
-26.59%3.33M
635.30%4.54M
635.30%4.54M
82.98%617.55K
82.98%617.55K
Investments and advances
-79.72%1.77M
-79.72%1.77M
3,353.79%8.7M
3,353.79%8.7M
-21.63%251.96K
-21.63%251.96K
--321.5K
--321.5K
----
----
-Long term equity investment
----
----
--6.57M
--6.57M
----
----
----
----
----
----
-Other investment
-17.33%1.77M
-17.33%1.77M
747.37%2.14M
747.37%2.14M
-21.63%251.96K
-21.63%251.96K
--321.5K
--321.5K
----
----
Non current accounts receivable
----
----
----
----
----
----
208.11%697.38K
208.11%697.38K
--226.34K
--226.34K
Goodwill and other intangible assets
-20.65%59.31M
-20.65%59.31M
3.08%74.74M
3.08%74.74M
-10.54%72.51M
-10.54%72.51M
79.47%81.05M
79.47%81.05M
901.33%45.16M
901.33%45.16M
-Goodwill
--42.51M
--42.51M
----
----
----
----
----
----
--30.89M
--30.89M
-Other intangible assets
-77.53%16.79M
-77.53%16.79M
3.08%74.74M
3.08%74.74M
-10.54%72.51M
-10.54%72.51M
467.81%81.05M
467.81%81.05M
216.49%14.27M
216.49%14.27M
Non current deferred assets
----
----
----
----
----
----
--291.83K
--291.83K
----
----
Other non current assets
-31.38%200.57K
-31.38%200.57K
--292.28K
--292.28K
----
----
----
----
--279.19K
--279.19K
Total non current assets
-26.83%63.37M
-26.83%63.37M
13.81%86.6M
13.81%86.6M
-12.44%76.09M
-12.44%76.09M
87.75%86.91M
87.75%86.91M
810.92%46.29M
810.92%46.29M
Total assets
-25.13%82.39M
-25.13%82.39M
6.59%110.04M
6.59%110.04M
-23.07%103.24M
-23.07%103.24M
80.37%134.2M
80.37%134.2M
170.85%74.4M
170.85%74.4M
Liabilities
Current liabilities
Current debt and capital lease obligation
147.35%2.74M
147.35%2.74M
28.50%1.11M
28.50%1.11M
-4.72%861.98K
-4.72%861.98K
625.18%904.7K
625.18%904.7K
2.43%124.76K
2.43%124.76K
-Current debt
318.15%2.1M
318.15%2.1M
--502.39K
--502.39K
----
----
----
----
----
----
-Current capital lease obligation
5.57%638.96K
5.57%638.96K
-29.78%605.25K
-29.78%605.25K
-4.72%861.98K
-4.72%861.98K
625.18%904.7K
625.18%904.7K
2.43%124.76K
2.43%124.76K
Payables
-35.97%5.18M
-35.97%5.18M
2.87%8.09M
2.87%8.09M
5.64%7.86M
5.64%7.86M
6.13%7.44M
6.13%7.44M
113.96%7.01M
113.96%7.01M
-accounts payable
-35.97%5.18M
-35.97%5.18M
56.73%8.09M
56.73%8.09M
32.22%5.16M
32.22%5.16M
-13.32%3.9M
-13.32%3.9M
224.51%4.5M
224.51%4.5M
-Other payable
----
----
----
----
-23.67%2.7M
-23.67%2.7M
41.02%3.54M
41.02%3.54M
32.81%2.51M
32.81%2.51M
Current provisions
-84.84%1.08M
-84.84%1.08M
-34.30%7.11M
-34.30%7.11M
252.54%10.82M
252.54%10.82M
-69.49%3.07M
-69.49%3.07M
4,303.26%10.06M
4,303.26%10.06M
Pension and other retirement benefit plans
-17.38%2.02M
-17.38%2.02M
-16.48%2.44M
-16.48%2.44M
29.50%2.92M
29.50%2.92M
250.30%2.26M
250.30%2.26M
98.10%644.61K
98.10%644.61K
Current deferred liabilities
-92.67%997.27K
-92.67%997.27K
-15.79%13.61M
-15.79%13.61M
17.84%16.16M
17.84%16.16M
13.82%13.71M
13.82%13.71M
120.26%12.05M
120.26%12.05M
Other current liabilities
1,783.63%19.7M
1,783.63%19.7M
--1.05M
--1.05M
----
----
----
----
242.60%1.74K
242.60%1.74K
Current liabilities
-5.05%31.72M
-5.05%31.72M
-13.53%33.4M
-13.53%33.4M
41.05%38.63M
41.05%38.63M
-8.38%27.39M
-8.38%27.39M
217.22%29.89M
217.22%29.89M
Non current liabilities
Long term debt and capital lease obligation
20.43%8.63M
20.43%8.63M
202.88%7.16M
202.88%7.16M
-30.99%2.37M
-30.99%2.37M
--3.43M
--3.43M
----
----
-Long term debt
37.88%6.86M
37.88%6.86M
--4.98M
--4.98M
----
----
----
----
----
----
-Long term capital lease obligation
-19.30%1.76M
-19.30%1.76M
-7.53%2.19M
-7.53%2.19M
-30.99%2.37M
-30.99%2.37M
--3.43M
--3.43M
----
----
Long term provisions
----
----
--5.81M
--5.81M
----
----
--8.99M
--8.99M
----
----
Employee benefits
-45.11%781.72K
-45.11%781.72K
-72.86%1.42M
-72.86%1.42M
-24.53%5.25M
-24.53%5.25M
8,262.68%6.95M
8,262.68%6.95M
44.73%83.13K
44.73%83.13K
Non current deferred liabilities
-16.39%2.62M
-16.39%2.62M
11.51%3.13M
11.51%3.13M
-12.79%2.81M
-12.79%2.81M
-10.04%3.22M
-10.04%3.22M
262.72%3.58M
262.72%3.58M
Other non current liabilities
--162.56K
--162.56K
----
----
-42.27%301.85K
-42.27%301.85K
--522.85K
--522.85K
----
----
Total non current liabilities
-30.48%12.19M
-30.48%12.19M
63.52%17.53M
63.52%17.53M
-53.60%10.72M
-53.60%10.72M
530.77%23.11M
530.77%23.11M
250.73%3.66M
250.73%3.66M
Total liabilities
-13.81%43.91M
-13.81%43.91M
3.21%50.94M
3.21%50.94M
-2.27%49.36M
-2.27%49.36M
50.49%50.5M
50.49%50.5M
220.56%33.56M
220.56%33.56M
Shareholders'equity
Share capital
1.30%209.15M
1.30%209.15M
0.69%206.47M
0.69%206.47M
1.09%205.04M
1.09%205.04M
64.94%202.83M
64.94%202.83M
99.47%122.97M
99.47%122.97M
-common stock
1.30%209.15M
1.30%209.15M
0.69%206.47M
0.69%206.47M
1.09%205.04M
1.09%205.04M
64.94%202.83M
64.94%202.83M
99.47%122.97M
99.47%122.97M
Retained earnings
-22.22%-186.17M
-22.22%-186.17M
-0.54%-152.33M
-0.54%-152.33M
-24.83%-151.51M
-24.83%-151.51M
-36.06%-121.37M
-36.06%-121.37M
-92.63%-89.2M
-92.63%-89.2M
Gains losses not affecting retained earnings
212.09%15.51M
212.09%15.51M
1,319.85%4.97M
1,319.85%4.97M
-84.35%349.91K
-84.35%349.91K
-68.40%2.24M
-68.40%2.24M
326.30%7.07M
326.30%7.07M
Total stockholders'equity
-34.89%38.48M
-34.89%38.48M
9.69%59.11M
9.69%59.11M
-35.62%53.88M
-35.62%53.88M
104.92%83.7M
104.92%83.7M
140.24%40.84M
140.24%40.84M
Total equity
-34.89%38.48M
-34.89%38.48M
9.69%59.11M
9.69%59.11M
-35.62%53.88M
-35.62%53.88M
104.92%83.7M
104.92%83.7M
140.24%40.84M
140.24%40.84M
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, 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(FY)Jun 30, 2019(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -49.20%6.69M-49.20%6.69M-21.59%13.18M-21.59%13.18M-55.53%16.8M-55.53%16.8M153.96%37.79M153.96%37.79M-16.63%14.88M-16.63%14.88M
-Cash and cash equivalents -49.20%6.69M-49.20%6.69M-21.59%13.18M-21.59%13.18M-55.53%16.8M-55.53%16.8M153.96%37.79M153.96%37.79M-16.63%14.88M-16.63%14.88M
Receivables -42.20%4.7M-42.20%4.7M-16.57%8.14M-16.57%8.14M14.49%9.76M14.49%9.76M-30.14%8.52M-30.14%8.52M179.25%12.2M179.25%12.2M
-Accounts receivable -42.20%4.7M-42.20%4.7M13.19%8.14M13.19%8.14M-9.78%7.19M-9.78%7.19M7.05%7.97M7.05%7.97M154.20%7.45M154.20%7.45M
-Loans receivable ------------------1.17M--1.17M----------------
-Other receivables ----------------53.57%1.99M53.57%1.99M-75.52%1.3M-75.52%1.3M229.41%5.29M229.41%5.29M
-Recievables adjustments allowances ----------------20.70%-590.11K20.70%-590.11K-38.23%-744.14K-38.23%-744.14K-222.44%-538.34K-222.44%-538.34K
Prepaid assets -----------------45.55%485.75K-45.55%485.75K1,084.23%892.09K1,084.23%892.09K--75.33K--75.33K
Holding assets for sale --7.38M--7.38M--------------------------------
Other current assets -88.51%244.39K-88.51%244.39K2,069.23%2.13M2,069.23%2.13M11.24%98.08K11.24%98.08K-90.83%88.17K-90.83%88.17K458.27%961K458.27%961K
Total current assets -18.86%19.02M-18.86%19.02M-13.63%23.44M-13.63%23.44M-42.60%27.14M-42.60%27.14M68.21%47.29M68.21%47.29M25.58%28.12M25.58%28.12M
Non current assets
Net PPE -26.94%2.09M-26.94%2.09M-14.07%2.86M-14.07%2.86M-26.59%3.33M-26.59%3.33M635.30%4.54M635.30%4.54M82.98%617.55K82.98%617.55K
-Gross PPE -26.94%2.09M-26.94%2.09M-14.07%2.86M-14.07%2.86M-26.59%3.33M-26.59%3.33M635.30%4.54M635.30%4.54M82.98%617.55K82.98%617.55K
Investments and advances -79.72%1.77M-79.72%1.77M3,353.79%8.7M3,353.79%8.7M-21.63%251.96K-21.63%251.96K--321.5K--321.5K--------
-Long term equity investment ----------6.57M--6.57M------------------------
-Other investment -17.33%1.77M-17.33%1.77M747.37%2.14M747.37%2.14M-21.63%251.96K-21.63%251.96K--321.5K--321.5K--------
Non current accounts receivable ------------------------208.11%697.38K208.11%697.38K--226.34K--226.34K
Goodwill and other intangible assets -20.65%59.31M-20.65%59.31M3.08%74.74M3.08%74.74M-10.54%72.51M-10.54%72.51M79.47%81.05M79.47%81.05M901.33%45.16M901.33%45.16M
-Goodwill --42.51M--42.51M--------------------------30.89M--30.89M
-Other intangible assets -77.53%16.79M-77.53%16.79M3.08%74.74M3.08%74.74M-10.54%72.51M-10.54%72.51M467.81%81.05M467.81%81.05M216.49%14.27M216.49%14.27M
Non current deferred assets --------------------------291.83K--291.83K--------
Other non current assets -31.38%200.57K-31.38%200.57K--292.28K--292.28K------------------279.19K--279.19K
Total non current assets -26.83%63.37M-26.83%63.37M13.81%86.6M13.81%86.6M-12.44%76.09M-12.44%76.09M87.75%86.91M87.75%86.91M810.92%46.29M810.92%46.29M
Total assets -25.13%82.39M-25.13%82.39M6.59%110.04M6.59%110.04M-23.07%103.24M-23.07%103.24M80.37%134.2M80.37%134.2M170.85%74.4M170.85%74.4M
Liabilities
Current liabilities
Current debt and capital lease obligation 147.35%2.74M147.35%2.74M28.50%1.11M28.50%1.11M-4.72%861.98K-4.72%861.98K625.18%904.7K625.18%904.7K2.43%124.76K2.43%124.76K
-Current debt 318.15%2.1M318.15%2.1M--502.39K--502.39K------------------------
-Current capital lease obligation 5.57%638.96K5.57%638.96K-29.78%605.25K-29.78%605.25K-4.72%861.98K-4.72%861.98K625.18%904.7K625.18%904.7K2.43%124.76K2.43%124.76K
Payables -35.97%5.18M-35.97%5.18M2.87%8.09M2.87%8.09M5.64%7.86M5.64%7.86M6.13%7.44M6.13%7.44M113.96%7.01M113.96%7.01M
-accounts payable -35.97%5.18M-35.97%5.18M56.73%8.09M56.73%8.09M32.22%5.16M32.22%5.16M-13.32%3.9M-13.32%3.9M224.51%4.5M224.51%4.5M
-Other payable -----------------23.67%2.7M-23.67%2.7M41.02%3.54M41.02%3.54M32.81%2.51M32.81%2.51M
Current provisions -84.84%1.08M-84.84%1.08M-34.30%7.11M-34.30%7.11M252.54%10.82M252.54%10.82M-69.49%3.07M-69.49%3.07M4,303.26%10.06M4,303.26%10.06M
Pension and other retirement benefit plans -17.38%2.02M-17.38%2.02M-16.48%2.44M-16.48%2.44M29.50%2.92M29.50%2.92M250.30%2.26M250.30%2.26M98.10%644.61K98.10%644.61K
Current deferred liabilities -92.67%997.27K-92.67%997.27K-15.79%13.61M-15.79%13.61M17.84%16.16M17.84%16.16M13.82%13.71M13.82%13.71M120.26%12.05M120.26%12.05M
Other current liabilities 1,783.63%19.7M1,783.63%19.7M--1.05M--1.05M----------------242.60%1.74K242.60%1.74K
Current liabilities -5.05%31.72M-5.05%31.72M-13.53%33.4M-13.53%33.4M41.05%38.63M41.05%38.63M-8.38%27.39M-8.38%27.39M217.22%29.89M217.22%29.89M
Non current liabilities
Long term debt and capital lease obligation 20.43%8.63M20.43%8.63M202.88%7.16M202.88%7.16M-30.99%2.37M-30.99%2.37M--3.43M--3.43M--------
-Long term debt 37.88%6.86M37.88%6.86M--4.98M--4.98M------------------------
-Long term capital lease obligation -19.30%1.76M-19.30%1.76M-7.53%2.19M-7.53%2.19M-30.99%2.37M-30.99%2.37M--3.43M--3.43M--------
Long term provisions ----------5.81M--5.81M----------8.99M--8.99M--------
Employee benefits -45.11%781.72K-45.11%781.72K-72.86%1.42M-72.86%1.42M-24.53%5.25M-24.53%5.25M8,262.68%6.95M8,262.68%6.95M44.73%83.13K44.73%83.13K
Non current deferred liabilities -16.39%2.62M-16.39%2.62M11.51%3.13M11.51%3.13M-12.79%2.81M-12.79%2.81M-10.04%3.22M-10.04%3.22M262.72%3.58M262.72%3.58M
Other non current liabilities --162.56K--162.56K---------42.27%301.85K-42.27%301.85K--522.85K--522.85K--------
Total non current liabilities -30.48%12.19M-30.48%12.19M63.52%17.53M63.52%17.53M-53.60%10.72M-53.60%10.72M530.77%23.11M530.77%23.11M250.73%3.66M250.73%3.66M
Total liabilities -13.81%43.91M-13.81%43.91M3.21%50.94M3.21%50.94M-2.27%49.36M-2.27%49.36M50.49%50.5M50.49%50.5M220.56%33.56M220.56%33.56M
Shareholders'equity
Share capital 1.30%209.15M1.30%209.15M0.69%206.47M0.69%206.47M1.09%205.04M1.09%205.04M64.94%202.83M64.94%202.83M99.47%122.97M99.47%122.97M
-common stock 1.30%209.15M1.30%209.15M0.69%206.47M0.69%206.47M1.09%205.04M1.09%205.04M64.94%202.83M64.94%202.83M99.47%122.97M99.47%122.97M
Retained earnings -22.22%-186.17M-22.22%-186.17M-0.54%-152.33M-0.54%-152.33M-24.83%-151.51M-24.83%-151.51M-36.06%-121.37M-36.06%-121.37M-92.63%-89.2M-92.63%-89.2M
Gains losses not affecting retained earnings 212.09%15.51M212.09%15.51M1,319.85%4.97M1,319.85%4.97M-84.35%349.91K-84.35%349.91K-68.40%2.24M-68.40%2.24M326.30%7.07M326.30%7.07M
Total stockholders'equity -34.89%38.48M-34.89%38.48M9.69%59.11M9.69%59.11M-35.62%53.88M-35.62%53.88M104.92%83.7M104.92%83.7M140.24%40.84M140.24%40.84M
Total equity -34.89%38.48M-34.89%38.48M9.69%59.11M9.69%59.11M-35.62%53.88M-35.62%53.88M104.92%83.7M104.92%83.7M140.24%40.84M140.24%40.84M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP