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Microba Life Sciences Ltd (MAP)

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  • 0.077
  • 0.0000.00%
20min DelayMarket Closed May 14 15:24 AET
46.89MMarket Cap-2.33P/E (Static)

Microba Life Sciences Ltd (MAP) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2025
(Q4)Jun 30, 2025
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-43.80%11.74M
-43.80%11.74M
-34.81%20.89M
-34.81%20.89M
4.78%32.04M
4.78%32.04M
--30.58M
--30.58M
-Cash and cash equivalents
-43.80%11.74M
-43.80%11.74M
-34.81%20.89M
-34.81%20.89M
4.78%32.04M
4.78%32.04M
--30.58M
--30.58M
Receivables
-49.28%4.11M
-49.28%4.11M
11.97%8.1M
11.97%8.1M
111.43%7.24M
111.43%7.24M
--3.42M
--3.42M
-Accounts receivable
-70.40%458.52K
-70.40%458.52K
157.18%1.55M
157.18%1.55M
2.25%602.31K
2.25%602.31K
--589.08K
--589.08K
-Other receivables
-44.45%3.65M
-44.45%3.65M
-0.94%6.57M
-0.94%6.57M
134.13%6.63M
134.13%6.63M
--2.83M
--2.83M
-Recievables adjustments allowances
----
----
---17.93K
---17.93K
----
----
----
----
Inventory
-13.63%1.94M
-13.63%1.94M
248.15%2.24M
248.15%2.24M
78.99%644.43K
78.99%644.43K
--360.03K
--360.03K
Prepaid assets
9.73%880.85K
9.73%880.85K
-42.50%802.77K
-42.50%802.77K
11.76%1.4M
11.76%1.4M
--1.25M
--1.25M
Other current assets
57.22%332.34K
57.22%332.34K
3.40%211.39K
3.40%211.39K
0.00%204.44K
0.00%204.44K
--204.44K
--204.44K
Total current assets
-41.08%19M
-41.08%19M
-22.34%32.25M
-22.34%32.25M
15.94%41.53M
15.94%41.53M
--35.82M
--35.82M
Non current assets
Net PPE
-0.96%3.87M
-0.96%3.87M
51.52%3.91M
51.52%3.91M
-8.10%2.58M
-8.10%2.58M
--2.81M
--2.81M
-Gross PPE
19.56%11.62M
19.56%11.62M
42.06%9.72M
42.06%9.72M
13.29%6.84M
13.29%6.84M
--6.04M
--6.04M
-Accumulated depreciation
-33.38%-7.75M
-33.38%-7.75M
-36.34%-5.81M
-36.34%-5.81M
-31.90%-4.26M
-31.90%-4.26M
---3.23M
---3.23M
Goodwill and other intangible assets
12.26%24.56M
12.26%24.56M
668.50%21.88M
668.50%21.88M
233.41%2.85M
233.41%2.85M
--853.93K
--853.93K
-Goodwill
18.57%10.02M
18.57%10.02M
--8.45M
--8.45M
----
----
----
----
-Other intangible assets
8.29%14.54M
8.29%14.54M
371.70%13.43M
371.70%13.43M
233.41%2.85M
233.41%2.85M
--853.93K
--853.93K
Total non current assets
10.26%28.44M
10.26%28.44M
375.14%25.79M
375.14%25.79M
48.21%5.43M
48.21%5.43M
--3.66M
--3.66M
Total assets
-18.27%47.44M
-18.27%47.44M
23.61%58.04M
23.61%58.04M
18.93%46.95M
18.93%46.95M
--39.48M
--39.48M
Liabilities
Current liabilities
Current debt and capital lease obligation
43.09%1.73M
43.09%1.73M
34.00%1.21M
34.00%1.21M
7.17%901.73K
7.17%901.73K
--841.36K
--841.36K
-Current debt
88.80%746.5K
88.80%746.5K
10.22%395.39K
10.22%395.39K
-1.47%358.73K
-1.47%358.73K
--364.06K
--364.06K
-Current capital lease obligation
20.85%982.43K
20.85%982.43K
49.71%812.93K
49.71%812.93K
13.77%543K
13.77%543K
--477.3K
--477.3K
Payables
-6.08%5.52M
-6.08%5.52M
17.90%5.88M
17.90%5.88M
73.16%4.99M
73.16%4.99M
--2.88M
--2.88M
-accounts payable
-36.37%2.35M
-36.37%2.35M
24.00%3.7M
24.00%3.7M
266.66%2.98M
266.66%2.98M
--813.19K
--813.19K
-Other payable
45.29%3.17M
45.29%3.17M
8.83%2.18M
8.83%2.18M
-3.01%2M
-3.01%2M
--2.07M
--2.07M
Pension and other retirement benefit plans
42.84%915.86K
42.84%915.86K
10.06%641.17K
10.06%641.17K
19.76%582.59K
19.76%582.59K
--486.47K
--486.47K
Current deferred liabilities
128.87%13.47K
128.87%13.47K
8.62%5.89K
8.62%5.89K
--5.42K
--5.42K
----
----
Other current liabilities
-57.01%1.99M
-57.01%1.99M
243.39%4.63M
243.39%4.63M
27.60%1.35M
27.60%1.35M
--1.06M
--1.06M
Current liabilities
-17.75%10.17M
-17.75%10.17M
58.05%12.37M
58.05%12.37M
48.63%7.82M
48.63%7.82M
--5.26M
--5.26M
Non current liabilities
Long term debt and capital lease obligation
302.25%1.5M
302.25%1.5M
59.39%373.08K
59.39%373.08K
-51.62%234.06K
-51.62%234.06K
--483.77K
--483.77K
-Long term debt
--468.69K
--468.69K
----
----
----
----
----
----
-Long term capital lease obligation
176.62%1.03M
176.62%1.03M
59.39%373.08K
59.39%373.08K
-51.62%234.06K
-51.62%234.06K
--483.77K
--483.77K
Employee benefits
-47.95%117.45K
-47.95%117.45K
32.73%225.65K
32.73%225.65K
70.87%170K
70.87%170K
--99.5K
--99.5K
Non current deferred liabilities
38.73%2.17M
38.73%2.17M
--1.56M
--1.56M
----
----
----
----
Other non current liabilities
-57.14%983.18K
-57.14%983.18K
1,422.10%2.29M
1,422.10%2.29M
58.06%150.7K
58.06%150.7K
--95.34K
--95.34K
Total non current liabilities
7.07%4.77M
7.07%4.77M
703.48%4.46M
703.48%4.46M
-18.25%554.76K
-18.25%554.76K
--678.6K
--678.6K
Total liabilities
-11.18%14.94M
-11.18%14.94M
100.79%16.82M
100.79%16.82M
40.99%8.38M
40.99%8.38M
--5.94M
--5.94M
Shareholders'equity
Share capital
5.50%108.54M
5.50%108.54M
28.00%102.88M
28.00%102.88M
27.81%80.37M
27.81%80.37M
--62.88M
--62.88M
-common stock
5.50%108.54M
5.50%108.54M
28.00%102.88M
28.00%102.88M
27.81%80.37M
27.81%80.37M
--62.88M
--62.88M
Retained earnings
-23.41%-78.76M
-23.41%-78.76M
-45.44%-63.82M
-45.44%-63.82M
-40.64%-43.88M
-40.64%-43.88M
---31.2M
---31.2M
Gains losses not affecting retained earnings
25.78%2.71M
25.78%2.71M
3.51%2.16M
3.51%2.16M
12.29%2.08M
12.29%2.08M
--1.85M
--1.85M
Total stockholders'equity
-21.16%32.49M
-21.16%32.49M
6.85%41.22M
6.85%41.22M
15.02%38.57M
15.02%38.57M
--33.54M
--33.54M
Total equity
-21.16%32.49M
-21.16%32.49M
6.85%41.22M
6.85%41.22M
15.02%38.57M
15.02%38.57M
--33.54M
--33.54M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2025(Q4)Jun 30, 2025(FY)Jun 30, 2024(Q4)Jun 30, 2024(FY)Jun 30, 2023(Q4)Jun 30, 2023(FY)Jun 30, 2022(Q4)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -43.80%11.74M-43.80%11.74M-34.81%20.89M-34.81%20.89M4.78%32.04M4.78%32.04M--30.58M--30.58M
-Cash and cash equivalents -43.80%11.74M-43.80%11.74M-34.81%20.89M-34.81%20.89M4.78%32.04M4.78%32.04M--30.58M--30.58M
Receivables -49.28%4.11M-49.28%4.11M11.97%8.1M11.97%8.1M111.43%7.24M111.43%7.24M--3.42M--3.42M
-Accounts receivable -70.40%458.52K-70.40%458.52K157.18%1.55M157.18%1.55M2.25%602.31K2.25%602.31K--589.08K--589.08K
-Other receivables -44.45%3.65M-44.45%3.65M-0.94%6.57M-0.94%6.57M134.13%6.63M134.13%6.63M--2.83M--2.83M
-Recievables adjustments allowances -----------17.93K---17.93K----------------
Inventory -13.63%1.94M-13.63%1.94M248.15%2.24M248.15%2.24M78.99%644.43K78.99%644.43K--360.03K--360.03K
Prepaid assets 9.73%880.85K9.73%880.85K-42.50%802.77K-42.50%802.77K11.76%1.4M11.76%1.4M--1.25M--1.25M
Other current assets 57.22%332.34K57.22%332.34K3.40%211.39K3.40%211.39K0.00%204.44K0.00%204.44K--204.44K--204.44K
Total current assets -41.08%19M-41.08%19M-22.34%32.25M-22.34%32.25M15.94%41.53M15.94%41.53M--35.82M--35.82M
Non current assets
Net PPE -0.96%3.87M-0.96%3.87M51.52%3.91M51.52%3.91M-8.10%2.58M-8.10%2.58M--2.81M--2.81M
-Gross PPE 19.56%11.62M19.56%11.62M42.06%9.72M42.06%9.72M13.29%6.84M13.29%6.84M--6.04M--6.04M
-Accumulated depreciation -33.38%-7.75M-33.38%-7.75M-36.34%-5.81M-36.34%-5.81M-31.90%-4.26M-31.90%-4.26M---3.23M---3.23M
Goodwill and other intangible assets 12.26%24.56M12.26%24.56M668.50%21.88M668.50%21.88M233.41%2.85M233.41%2.85M--853.93K--853.93K
-Goodwill 18.57%10.02M18.57%10.02M--8.45M--8.45M----------------
-Other intangible assets 8.29%14.54M8.29%14.54M371.70%13.43M371.70%13.43M233.41%2.85M233.41%2.85M--853.93K--853.93K
Total non current assets 10.26%28.44M10.26%28.44M375.14%25.79M375.14%25.79M48.21%5.43M48.21%5.43M--3.66M--3.66M
Total assets -18.27%47.44M-18.27%47.44M23.61%58.04M23.61%58.04M18.93%46.95M18.93%46.95M--39.48M--39.48M
Liabilities
Current liabilities
Current debt and capital lease obligation 43.09%1.73M43.09%1.73M34.00%1.21M34.00%1.21M7.17%901.73K7.17%901.73K--841.36K--841.36K
-Current debt 88.80%746.5K88.80%746.5K10.22%395.39K10.22%395.39K-1.47%358.73K-1.47%358.73K--364.06K--364.06K
-Current capital lease obligation 20.85%982.43K20.85%982.43K49.71%812.93K49.71%812.93K13.77%543K13.77%543K--477.3K--477.3K
Payables -6.08%5.52M-6.08%5.52M17.90%5.88M17.90%5.88M73.16%4.99M73.16%4.99M--2.88M--2.88M
-accounts payable -36.37%2.35M-36.37%2.35M24.00%3.7M24.00%3.7M266.66%2.98M266.66%2.98M--813.19K--813.19K
-Other payable 45.29%3.17M45.29%3.17M8.83%2.18M8.83%2.18M-3.01%2M-3.01%2M--2.07M--2.07M
Pension and other retirement benefit plans 42.84%915.86K42.84%915.86K10.06%641.17K10.06%641.17K19.76%582.59K19.76%582.59K--486.47K--486.47K
Current deferred liabilities 128.87%13.47K128.87%13.47K8.62%5.89K8.62%5.89K--5.42K--5.42K--------
Other current liabilities -57.01%1.99M-57.01%1.99M243.39%4.63M243.39%4.63M27.60%1.35M27.60%1.35M--1.06M--1.06M
Current liabilities -17.75%10.17M-17.75%10.17M58.05%12.37M58.05%12.37M48.63%7.82M48.63%7.82M--5.26M--5.26M
Non current liabilities
Long term debt and capital lease obligation 302.25%1.5M302.25%1.5M59.39%373.08K59.39%373.08K-51.62%234.06K-51.62%234.06K--483.77K--483.77K
-Long term debt --468.69K--468.69K------------------------
-Long term capital lease obligation 176.62%1.03M176.62%1.03M59.39%373.08K59.39%373.08K-51.62%234.06K-51.62%234.06K--483.77K--483.77K
Employee benefits -47.95%117.45K-47.95%117.45K32.73%225.65K32.73%225.65K70.87%170K70.87%170K--99.5K--99.5K
Non current deferred liabilities 38.73%2.17M38.73%2.17M--1.56M--1.56M----------------
Other non current liabilities -57.14%983.18K-57.14%983.18K1,422.10%2.29M1,422.10%2.29M58.06%150.7K58.06%150.7K--95.34K--95.34K
Total non current liabilities 7.07%4.77M7.07%4.77M703.48%4.46M703.48%4.46M-18.25%554.76K-18.25%554.76K--678.6K--678.6K
Total liabilities -11.18%14.94M-11.18%14.94M100.79%16.82M100.79%16.82M40.99%8.38M40.99%8.38M--5.94M--5.94M
Shareholders'equity
Share capital 5.50%108.54M5.50%108.54M28.00%102.88M28.00%102.88M27.81%80.37M27.81%80.37M--62.88M--62.88M
-common stock 5.50%108.54M5.50%108.54M28.00%102.88M28.00%102.88M27.81%80.37M27.81%80.37M--62.88M--62.88M
Retained earnings -23.41%-78.76M-23.41%-78.76M-45.44%-63.82M-45.44%-63.82M-40.64%-43.88M-40.64%-43.88M---31.2M---31.2M
Gains losses not affecting retained earnings 25.78%2.71M25.78%2.71M3.51%2.16M3.51%2.16M12.29%2.08M12.29%2.08M--1.85M--1.85M
Total stockholders'equity -21.16%32.49M-21.16%32.49M6.85%41.22M6.85%41.22M15.02%38.57M15.02%38.57M--33.54M--33.54M
Total equity -21.16%32.49M-21.16%32.49M6.85%41.22M6.85%41.22M15.02%38.57M15.02%38.57M--33.54M--33.54M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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