AU Stock MarketDetailed Quotes

NOXOA Noxopharm Ltd

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  • 0.001
  • 0.0000.00%
20min DelayMarket Closed Aug 9 16:00 AET
292.24KMarket Cap0.00P/E (Static)

Noxopharm Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2018
(Q4)Jun 30, 2018
Assets
Current assets
Cash, cash equivalents and short term investments
-47.71%14.01M
-47.71%14.01M
277.39%26.8M
277.39%26.8M
144.03%7.1M
144.03%7.1M
-76.93%2.91M
-76.93%2.91M
413.19%12.61M
413.19%12.61M
-Cash and cash equivalents
-47.71%14.01M
-47.71%14.01M
277.39%26.8M
277.39%26.8M
144.03%7.1M
144.03%7.1M
-76.93%2.91M
-76.93%2.91M
413.19%12.61M
413.19%12.61M
-Accounts receivable
26.91%5.58K
26.91%5.58K
-49.86%4.4K
-49.86%4.4K
-94.53%8.78K
-94.53%8.78K
30.79%160.4K
30.79%160.4K
95.97%122.64K
95.97%122.64K
-Notes receivable
27.85%194.97K
27.85%194.97K
59.75%152.5K
59.75%152.5K
--95.46K
--95.46K
----
----
----
----
-Other receivables
--985.25K
--985.25K
----
----
----
----
----
----
----
----
Total current assets
-36.82%20.83M
-36.82%20.83M
167.44%32.97M
167.44%32.97M
217.13%12.33M
217.13%12.33M
-72.38%3.89M
-72.38%3.89M
448.27%14.08M
448.27%14.08M
Non current assets
-Accumulated depreciation
----
----
----
----
----
----
-75.56%-142.07K
-75.56%-142.07K
-267.17%-80.93K
-267.17%-80.93K
Investment properties
-62.06%5.42M
-62.06%5.42M
118.26%14.27M
118.26%14.27M
--6.54M
--6.54M
----
----
----
----
-Long term equity investment
----
----
-71.54%117.64K
-71.54%117.64K
--413.29K
--413.29K
----
----
--3.28M
--3.28M
-Goodwill
----
----
----
----
----
----
0.00%37K
0.00%37K
4,717.71%37K
4,717.71%37K
Regulatory assets
-10.10%5.21M
-10.10%5.21M
24.80%5.8M
24.80%5.8M
2,796.91%4.65M
2,796.91%4.65M
30.79%160.4K
30.79%160.4K
95.97%122.64K
95.97%122.64K
Non current deferred assets
----
----
----
----
--225.23K
--225.23K
----
----
----
----
Liabilities
Current liabilities
Current debt and capital lease obligation
-30.67%160.62K
-30.67%160.62K
-94.95%231.67K
-94.95%231.67K
16.70%4.59M
16.70%4.59M
--3.93M
--3.93M
----
----
-Current debt
----
----
----
----
10.47%4.34M
10.47%4.34M
--3.93M
--3.93M
----
----
-Current capital lease obligation
-30.67%160.62K
-30.67%160.62K
-5.37%231.67K
-5.37%231.67K
--244.82K
--244.82K
----
----
----
----
-accounts payable
-86.78%810.47K
-86.78%810.47K
243.07%6.13M
243.07%6.13M
20.15%1.79M
20.15%1.79M
67.66%1.49M
67.66%1.49M
205.22%886.99K
205.22%886.99K
-Total tax payable
-27.83%194.97K
-27.83%194.97K
-46.90%270.14K
-46.90%270.14K
--508.75K
--508.75K
--0
--0
--3.28M
--3.28M
-Other payable
0.55%123.51K
0.55%123.51K
0.00%122.84K
0.00%122.84K
3.38%122.84K
3.38%122.84K
0.00%118.82K
0.00%118.82K
-39.43%118.82K
-39.43%118.82K
Current liabilities
-66.49%2.28M
-66.49%2.28M
1.82%6.81M
1.82%6.81M
16.25%6.69M
16.25%6.69M
412.60%5.75M
412.60%5.75M
210.74%1.12M
210.74%1.12M
Non current liabilities
-Long term debt
----
----
-71.54%117.64K
-71.54%117.64K
--413.29K
--413.29K
----
----
----
----
Non current accrued expenses
-54.20%221.88K
-54.20%221.88K
-43.05%484.42K
-43.05%484.42K
231.19%850.61K
231.19%850.61K
-19.19%256.84K
-19.19%256.84K
393.83%317.82K
393.83%317.82K
Long term provisions
----
----
----
----
----
----
----
----
--3.28M
--3.28M
Employee benefits
27.85%194.97K
27.85%194.97K
59.75%152.5K
59.75%152.5K
--95.46K
--95.46K
----
----
----
----
Trust preferred securities
-62.06%5.42M
-62.06%5.42M
118.26%14.27M
118.26%14.27M
--6.54M
--6.54M
----
----
----
----
Preferred securities outside stock equity
-27.14%324.5K
-27.14%324.5K
42.76%445.36K
42.76%445.36K
-6.42%311.97K
-6.42%311.97K
41.91%333.38K
41.91%333.38K
233.54%234.92K
233.54%234.92K
Total non current liabilities
-65.02%2.48M
-65.02%2.48M
-1.63%7.08M
-1.63%7.08M
25.10%7.19M
25.10%7.19M
30.66%5.75M
30.66%5.75M
1,119.07%4.4M
1,119.07%4.4M
Shareholders'equity
Share capital
2.77%74.64M
2.77%74.64M
74.44%72.62M
74.44%72.62M
45.05%41.63M
45.05%41.63M
0.88%28.7M
0.88%28.7M
357.52%28.45M
357.52%28.45M
-common stock
2.77%74.64M
2.77%74.64M
74.44%72.62M
74.44%72.62M
45.05%41.63M
45.05%41.63M
0.88%28.7M
0.88%28.7M
357.52%28.45M
357.52%28.45M
Gains losses not affecting retained earnings
-2.38%8.29M
-2.38%8.29M
213.40%8.49M
213.40%8.49M
-39.22%2.71M
-39.22%2.71M
19.36%4.46M
19.36%4.46M
--3.73M
--3.73M
Other equity interest
----
----
----
----
----
----
-45.12%696.4K
-45.12%696.4K
2,609.13%1.27M
2,609.13%1.27M
Total equity
-44.43%26.59M
-44.43%26.59M
138.47%47.85M
138.47%47.85M
366.63%20.07M
366.63%20.07M
-70.44%4.3M
-70.44%4.3M
414.37%14.55M
414.37%14.55M
(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(FY)Jun 30, 2018(Q4)Jun 30, 2018
Assets
Current assets
Cash, cash equivalents and short term investments -47.71%14.01M-47.71%14.01M277.39%26.8M277.39%26.8M144.03%7.1M144.03%7.1M-76.93%2.91M-76.93%2.91M413.19%12.61M413.19%12.61M
-Cash and cash equivalents -47.71%14.01M-47.71%14.01M277.39%26.8M277.39%26.8M144.03%7.1M144.03%7.1M-76.93%2.91M-76.93%2.91M413.19%12.61M413.19%12.61M
-Accounts receivable 26.91%5.58K26.91%5.58K-49.86%4.4K-49.86%4.4K-94.53%8.78K-94.53%8.78K30.79%160.4K30.79%160.4K95.97%122.64K95.97%122.64K
-Notes receivable 27.85%194.97K27.85%194.97K59.75%152.5K59.75%152.5K--95.46K--95.46K----------------
-Other receivables --985.25K--985.25K--------------------------------
Total current assets -36.82%20.83M-36.82%20.83M167.44%32.97M167.44%32.97M217.13%12.33M217.13%12.33M-72.38%3.89M-72.38%3.89M448.27%14.08M448.27%14.08M
Non current assets
-Accumulated depreciation -------------------------75.56%-142.07K-75.56%-142.07K-267.17%-80.93K-267.17%-80.93K
Investment properties -62.06%5.42M-62.06%5.42M118.26%14.27M118.26%14.27M--6.54M--6.54M----------------
-Long term equity investment ---------71.54%117.64K-71.54%117.64K--413.29K--413.29K----------3.28M--3.28M
-Goodwill ------------------------0.00%37K0.00%37K4,717.71%37K4,717.71%37K
Regulatory assets -10.10%5.21M-10.10%5.21M24.80%5.8M24.80%5.8M2,796.91%4.65M2,796.91%4.65M30.79%160.4K30.79%160.4K95.97%122.64K95.97%122.64K
Non current deferred assets ------------------225.23K--225.23K----------------
Liabilities
Current liabilities
Current debt and capital lease obligation -30.67%160.62K-30.67%160.62K-94.95%231.67K-94.95%231.67K16.70%4.59M16.70%4.59M--3.93M--3.93M--------
-Current debt ----------------10.47%4.34M10.47%4.34M--3.93M--3.93M--------
-Current capital lease obligation -30.67%160.62K-30.67%160.62K-5.37%231.67K-5.37%231.67K--244.82K--244.82K----------------
-accounts payable -86.78%810.47K-86.78%810.47K243.07%6.13M243.07%6.13M20.15%1.79M20.15%1.79M67.66%1.49M67.66%1.49M205.22%886.99K205.22%886.99K
-Total tax payable -27.83%194.97K-27.83%194.97K-46.90%270.14K-46.90%270.14K--508.75K--508.75K--0--0--3.28M--3.28M
-Other payable 0.55%123.51K0.55%123.51K0.00%122.84K0.00%122.84K3.38%122.84K3.38%122.84K0.00%118.82K0.00%118.82K-39.43%118.82K-39.43%118.82K
Current liabilities -66.49%2.28M-66.49%2.28M1.82%6.81M1.82%6.81M16.25%6.69M16.25%6.69M412.60%5.75M412.60%5.75M210.74%1.12M210.74%1.12M
Non current liabilities
-Long term debt ---------71.54%117.64K-71.54%117.64K--413.29K--413.29K----------------
Non current accrued expenses -54.20%221.88K-54.20%221.88K-43.05%484.42K-43.05%484.42K231.19%850.61K231.19%850.61K-19.19%256.84K-19.19%256.84K393.83%317.82K393.83%317.82K
Long term provisions ----------------------------------3.28M--3.28M
Employee benefits 27.85%194.97K27.85%194.97K59.75%152.5K59.75%152.5K--95.46K--95.46K----------------
Trust preferred securities -62.06%5.42M-62.06%5.42M118.26%14.27M118.26%14.27M--6.54M--6.54M----------------
Preferred securities outside stock equity -27.14%324.5K-27.14%324.5K42.76%445.36K42.76%445.36K-6.42%311.97K-6.42%311.97K41.91%333.38K41.91%333.38K233.54%234.92K233.54%234.92K
Total non current liabilities -65.02%2.48M-65.02%2.48M-1.63%7.08M-1.63%7.08M25.10%7.19M25.10%7.19M30.66%5.75M30.66%5.75M1,119.07%4.4M1,119.07%4.4M
Shareholders'equity
Share capital 2.77%74.64M2.77%74.64M74.44%72.62M74.44%72.62M45.05%41.63M45.05%41.63M0.88%28.7M0.88%28.7M357.52%28.45M357.52%28.45M
-common stock 2.77%74.64M2.77%74.64M74.44%72.62M74.44%72.62M45.05%41.63M45.05%41.63M0.88%28.7M0.88%28.7M357.52%28.45M357.52%28.45M
Gains losses not affecting retained earnings -2.38%8.29M-2.38%8.29M213.40%8.49M213.40%8.49M-39.22%2.71M-39.22%2.71M19.36%4.46M19.36%4.46M--3.73M--3.73M
Other equity interest -------------------------45.12%696.4K-45.12%696.4K2,609.13%1.27M2,609.13%1.27M
Total equity -44.43%26.59M-44.43%26.59M138.47%47.85M138.47%47.85M366.63%20.07M366.63%20.07M-70.44%4.3M-70.44%4.3M414.37%14.55M414.37%14.55M

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