AU Stock MarketDetailed Quotes

OPTOA Opthea Ltd

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  • 0.220
  • 0.0000.00%
20min DelayTrading Jun 28 13:02 AET
240.12MMarket Cap0.00P/E (Static)

Opthea Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q2)Dec 31, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q2)Dec 31, 2021
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(Q2)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
10.79%157.07M
99.83%89.19M
99.83%89.19M
60.61%141.77M
-62.24%44.63M
-62.24%44.63M
-43.32%88.27M
177.12%118.19M
177.12%118.19M
--155.73M
-Cash and cash equivalents
10.79%157.07M
99.83%89.19M
99.83%89.19M
60.61%141.77M
-62.24%44.63M
-62.24%44.63M
-43.32%88.27M
177.12%118.19M
177.12%118.19M
--155.73M
-Accounts receivable
-37.16%509.92K
----
----
67.79%811.46K
----
----
-25.99%483.63K
----
----
--653.48K
-Accrued interest receivable
----
185.95%162.85K
185.95%162.85K
----
50.25%56.95K
50.25%56.95K
----
--37.91K
--37.91K
----
Prepaid assets
----
----
----
----
----
----
----
--0
--0
--12.51M
Total current assets
8.23%166.34M
64.23%98.39M
64.23%98.39M
40.99%153.69M
-56.63%59.91M
-56.63%59.91M
-33.43%109.01M
181.62%138.12M
181.62%138.12M
--163.77M
Non current assets
-Accumulated depreciation
-26.02%-407.89K
----
----
-37.95%-323.67K
----
----
-67.09%-234.63K
----
----
---140.42K
-Long term equity investment
-66.67%42.11K
--84.23K
--84.23K
--126.34K
--0
--0
----
----
----
--46.78K
Regulatory assets
-36.69%5.8M
0.09%6.56M
0.09%6.56M
169.26%9.16M
18.40%6.56M
18.40%6.56M
1.14%3.4M
-8.67%5.54M
-8.67%5.54M
--3.36M
Total assets
-36.64%5.29M
-3.17%6.25M
-3.17%6.25M
186.09%8.34M
26.37%6.46M
26.37%6.46M
7.68%2.92M
-12.93%5.11M
-12.93%5.11M
--2.71M
Liabilities
Current liabilities
Current debt and capital lease obligation
4.04%87.72K
--97.49K
--97.49K
25.37%84.31K
----
----
-39.70%67.25K
13.25%112.97K
13.25%112.97K
--111.52K
-Current capital lease obligation
4.04%87.72K
--97.49K
--97.49K
25.37%84.31K
--0
--0
-39.70%67.25K
13.25%112.97K
13.25%112.97K
--111.52K
-accounts payable
265.52%31.7M
56.49%17.84M
56.49%17.84M
4.36%8.67M
371.61%11.4M
371.61%11.4M
328.38%8.31M
-40.36%2.42M
-40.36%2.42M
--1.94M
-Total tax payable
105.19%180.82M
306,441.28%85.75M
306,441.28%85.75M
370,186.49%88.12M
65.38%27.97K
65.38%27.97K
-72.25%23.8K
-84.65%16.92K
-84.65%16.92K
--85.75K
-Other payable
---1
----
----
----
----
----
----
----
----
----
Current provisions
21.28%798.48K
----
----
21.06%658.37K
----
----
3.68%543.85K
----
----
--524.56K
Current liabilities
246.11%32.59M
55.65%18.74M
55.65%18.74M
5.53%9.42M
287.63%12.04M
287.63%12.04M
-25.21%8.92M
-34.71%3.11M
-34.71%3.11M
--11.93M
Non current liabilities
-Long term debt
-66.67%42.11K
--84.23K
--84.23K
--126.34K
--0
--0
----
----
----
--46.78K
Non current accrued expenses
-35.14%154.6K
617.49%201.49K
617.49%201.49K
263.01%238.36K
-76.02%28.08K
-76.02%28.08K
-59.78%65.66K
-39.33%117.11K
-39.33%117.11K
--163.28K
Employee benefits
-41.68%10.18K
-72.72%7.63K
-72.72%7.63K
-26.69%17.45K
65.38%27.97K
65.38%27.97K
-38.92%23.8K
-38.81%16.92K
-38.81%16.92K
--38.96K
Preferred securities outside stock equity
----
26.35%753.3K
26.35%753.3K
----
21.18%596.2K
21.18%596.2K
----
--492K
--492K
----
Total non current liabilities
118.80%213.41M
765.76%104.49M
765.76%104.49M
990.29%97.54M
286.43%12.07M
286.43%12.07M
-25.54%8.95M
-35.84%3.12M
-35.84%3.12M
--12.02M
Shareholders'equity
Share capital
16.76%374.32M
36.39%320.88M
36.39%320.88M
36.63%320.59M
0.48%235.28M
0.48%235.28M
-6.67%234.64M
105.66%234.15M
105.66%234.15M
--251.41M
-common stock
16.76%374.32M
36.39%320.88M
36.39%320.88M
36.63%320.59M
0.48%235.28M
0.48%235.28M
-1.79%234.64M
105.66%234.15M
105.66%234.15M
--238.9M
Gains losses not affecting retained earnings
15.01%34.41M
10.41%32.73M
10.41%32.73M
8.92%29.92M
17.33%29.64M
17.33%29.64M
337.70%27.47M
166.06%25.26M
166.06%25.26M
--6.28M
Total equity
8.11%166.5M
64.27%98.64M
64.27%98.64M
41.01%154.01M
-56.62%60.05M
-56.62%60.05M
-33.37%109.22M
179.98%138.41M
179.98%138.41M
--163.93M
(Q2)Dec 31, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q2)Dec 31, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022(Q2)Dec 31, 2021(FY)Jun 30, 2021(Q4)Jun 30, 2021(Q2)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 10.79%157.07M99.83%89.19M99.83%89.19M60.61%141.77M-62.24%44.63M-62.24%44.63M-43.32%88.27M177.12%118.19M177.12%118.19M--155.73M
-Cash and cash equivalents 10.79%157.07M99.83%89.19M99.83%89.19M60.61%141.77M-62.24%44.63M-62.24%44.63M-43.32%88.27M177.12%118.19M177.12%118.19M--155.73M
-Accounts receivable -37.16%509.92K--------67.79%811.46K---------25.99%483.63K----------653.48K
-Accrued interest receivable ----185.95%162.85K185.95%162.85K----50.25%56.95K50.25%56.95K------37.91K--37.91K----
Prepaid assets ------------------------------0--0--12.51M
Total current assets 8.23%166.34M64.23%98.39M64.23%98.39M40.99%153.69M-56.63%59.91M-56.63%59.91M-33.43%109.01M181.62%138.12M181.62%138.12M--163.77M
Non current assets
-Accumulated depreciation -26.02%-407.89K---------37.95%-323.67K---------67.09%-234.63K-----------140.42K
-Long term equity investment -66.67%42.11K--84.23K--84.23K--126.34K--0--0--------------46.78K
Regulatory assets -36.69%5.8M0.09%6.56M0.09%6.56M169.26%9.16M18.40%6.56M18.40%6.56M1.14%3.4M-8.67%5.54M-8.67%5.54M--3.36M
Total assets -36.64%5.29M-3.17%6.25M-3.17%6.25M186.09%8.34M26.37%6.46M26.37%6.46M7.68%2.92M-12.93%5.11M-12.93%5.11M--2.71M
Liabilities
Current liabilities
Current debt and capital lease obligation 4.04%87.72K--97.49K--97.49K25.37%84.31K---------39.70%67.25K13.25%112.97K13.25%112.97K--111.52K
-Current capital lease obligation 4.04%87.72K--97.49K--97.49K25.37%84.31K--0--0-39.70%67.25K13.25%112.97K13.25%112.97K--111.52K
-accounts payable 265.52%31.7M56.49%17.84M56.49%17.84M4.36%8.67M371.61%11.4M371.61%11.4M328.38%8.31M-40.36%2.42M-40.36%2.42M--1.94M
-Total tax payable 105.19%180.82M306,441.28%85.75M306,441.28%85.75M370,186.49%88.12M65.38%27.97K65.38%27.97K-72.25%23.8K-84.65%16.92K-84.65%16.92K--85.75K
-Other payable ---1------------------------------------
Current provisions 21.28%798.48K--------21.06%658.37K--------3.68%543.85K----------524.56K
Current liabilities 246.11%32.59M55.65%18.74M55.65%18.74M5.53%9.42M287.63%12.04M287.63%12.04M-25.21%8.92M-34.71%3.11M-34.71%3.11M--11.93M
Non current liabilities
-Long term debt -66.67%42.11K--84.23K--84.23K--126.34K--0--0--------------46.78K
Non current accrued expenses -35.14%154.6K617.49%201.49K617.49%201.49K263.01%238.36K-76.02%28.08K-76.02%28.08K-59.78%65.66K-39.33%117.11K-39.33%117.11K--163.28K
Employee benefits -41.68%10.18K-72.72%7.63K-72.72%7.63K-26.69%17.45K65.38%27.97K65.38%27.97K-38.92%23.8K-38.81%16.92K-38.81%16.92K--38.96K
Preferred securities outside stock equity ----26.35%753.3K26.35%753.3K----21.18%596.2K21.18%596.2K------492K--492K----
Total non current liabilities 118.80%213.41M765.76%104.49M765.76%104.49M990.29%97.54M286.43%12.07M286.43%12.07M-25.54%8.95M-35.84%3.12M-35.84%3.12M--12.02M
Shareholders'equity
Share capital 16.76%374.32M36.39%320.88M36.39%320.88M36.63%320.59M0.48%235.28M0.48%235.28M-6.67%234.64M105.66%234.15M105.66%234.15M--251.41M
-common stock 16.76%374.32M36.39%320.88M36.39%320.88M36.63%320.59M0.48%235.28M0.48%235.28M-1.79%234.64M105.66%234.15M105.66%234.15M--238.9M
Gains losses not affecting retained earnings 15.01%34.41M10.41%32.73M10.41%32.73M8.92%29.92M17.33%29.64M17.33%29.64M337.70%27.47M166.06%25.26M166.06%25.26M--6.28M
Total equity 8.11%166.5M64.27%98.64M64.27%98.64M41.01%154.01M-56.62%60.05M-56.62%60.05M-33.37%109.22M179.98%138.41M179.98%138.41M--163.93M

Analysis

Analyst Rating

No Data

Price Target

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