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OPTOA Opthea Ltd

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  • 0.250
  • +0.040+19.05%
20min DelayMarket Closed Dec 20 13:17 AET
307.77MMarket Cap0.00P/E (Static)

Opthea Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
93.38%172.47M
93.38%172.47M
10.79%157.07M
99.83%89.19M
99.83%89.19M
60.61%141.77M
-62.24%44.63M
--44.63M
-43.32%88.27M
177.12%118.19M
-Cash and cash equivalents
93.38%172.47M
93.38%172.47M
10.79%157.07M
99.83%89.19M
99.83%89.19M
60.61%141.77M
-62.24%44.63M
--44.63M
-43.32%88.27M
177.12%118.19M
Receivables
80.17%11.82M
80.17%11.82M
-36.69%5.8M
0.09%6.56M
0.09%6.56M
169.26%9.16M
18.40%6.56M
--6.56M
1.14%3.4M
-8.67%5.54M
-Accounts receivable
----
----
-37.16%509.92K
----
----
67.79%811.46K
----
----
-25.99%483.63K
----
-Accrued interest receivable
72.34%280.67K
72.34%280.67K
----
185.95%162.85K
185.95%162.85K
----
50.25%56.95K
--56.95K
----
--37.91K
-Taxes receivable
83.45%11.47M
83.45%11.47M
-36.64%5.29M
-3.17%6.25M
-3.17%6.25M
186.09%8.34M
26.37%6.46M
--6.46M
7.68%2.92M
-12.93%5.11M
-Other receivables
-49.59%74.73K
-49.59%74.73K
----
239.56%148.24K
239.56%148.24K
----
-88.84%43.66K
--43.66K
----
--391.14K
Prepaid assets
47.90%3.9M
47.90%3.9M
25.51%3.47M
-69.79%2.63M
-69.79%2.63M
-84.05%2.76M
-39.38%8.72M
--8.72M
270.68%17.34M
4,270.69%14.39M
Total current assets
91.28%188.19M
91.28%188.19M
8.23%166.34M
64.23%98.39M
64.23%98.39M
40.99%153.69M
-56.63%59.91M
--59.91M
-33.43%109.01M
181.62%138.12M
Non current assets
Net PPE
-34.51%131.95K
-34.51%131.95K
-35.14%154.6K
617.49%201.49K
617.49%201.49K
263.01%238.36K
-76.02%28.08K
--28.08K
-59.78%65.66K
-39.33%117.11K
-Gross PPE
-34.51%131.95K
-34.51%131.95K
0.08%562.49K
617.49%201.49K
617.49%201.49K
87.16%562.03K
-76.02%28.08K
--28.08K
-1.12%300.29K
-39.33%117.11K
-Accumulated depreciation
----
----
-26.02%-407.89K
----
----
-37.95%-323.67K
----
----
-67.09%-234.63K
----
Investments and advances
----
----
----
----
----
----
----
----
--0
----
Non current prepaid assets
771.77%466.7K
771.77%466.7K
-86.33%10.57K
-51.46%53.54K
-51.46%53.54K
-45.29%77.27K
-36.81%110.3K
--110.3K
--141.24K
--174.54K
Other non current assets
----
----
---1
----
----
----
----
----
----
----
Total non current assets
134.75%598.65K
134.75%598.65K
-47.67%165.17K
84.29%255.02K
84.29%255.02K
52.55%315.63K
-52.55%138.38K
--138.38K
26.72%206.9K
-25.68%291.65K
Total assets
91.39%188.79M
91.39%188.79M
8.11%166.5M
64.27%98.64M
64.27%98.64M
41.01%154.01M
-56.62%60.05M
--60.05M
-33.37%109.22M
179.98%138.41M
Liabilities
Current liabilities
Current debt and capital lease obligation
-4.57%93.03K
-4.57%93.03K
4.04%87.72K
--97.49K
--97.49K
25.37%84.31K
----
----
-39.70%67.25K
13.25%112.97K
-Current capital lease obligation
-4.57%93.03K
-4.57%93.03K
4.04%87.72K
--97.49K
--97.49K
25.37%84.31K
--0
--0
-39.70%67.25K
13.25%112.97K
Payables
112.97%38.1M
112.97%38.1M
265.52%31.7M
56.32%17.89M
56.32%17.89M
4.36%8.67M
357.54%11.45M
--11.45M
328.38%8.31M
-38.29%2.5M
-accounts payable
113.30%38.06M
113.30%38.06M
265.52%31.7M
56.49%17.84M
56.49%17.84M
4.36%8.67M
371.61%11.4M
--11.4M
328.38%8.31M
-40.36%2.42M
-Total tax payable
-8.76%44.59K
-8.76%44.59K
----
12.78%48.87K
12.78%48.87K
----
-48.29%43.33K
--43.33K
----
--83.8K
Current provisions
----
----
21.28%798.48K
----
----
21.06%658.37K
----
----
3.68%543.85K
----
Pension and other retirement benefit plans
35.11%1.02M
35.11%1.02M
----
26.35%753.3K
26.35%753.3K
----
21.18%596.2K
--596.2K
----
--492K
Other current liabilities
--24.84M
--24.84M
----
----
----
----
----
----
----
----
Current liabilities
241.76%64.06M
241.76%64.06M
246.11%32.59M
55.65%18.74M
55.65%18.74M
5.53%9.42M
287.63%12.04M
--12.04M
-25.21%8.92M
-34.71%3.11M
Non current liabilities
Long term debt and capital lease obligation
65.09%141.55M
65.09%141.55M
-66.67%42.11K
--85.74M
--85.74M
--126.34K
--0
--0
----
----
-Long term debt
65.25%141.55M
65.25%141.55M
----
--85.66M
--85.66M
----
----
----
----
----
-Long term capital lease obligation
--0
--0
-66.67%42.11K
--84.23K
--84.23K
--126.34K
--0
--0
----
----
Employee benefits
29.43%9.88K
29.43%9.88K
-41.68%10.18K
-72.72%7.63K
-72.72%7.63K
-26.69%17.45K
65.38%27.97K
--27.97K
-38.92%23.8K
-38.81%16.92K
Other non current liabilities
5,898,110,400.00%58.98M
5,898,110,400.00%58.98M
105.47%180.77M
--1
--1
--87.98M
----
----
----
----
Total non current liabilities
133.87%200.55M
133.87%200.55M
105.19%180.82M
306,441.28%85.75M
306,441.28%85.75M
370,186.49%88.12M
65.38%27.97K
--27.97K
-72.25%23.8K
-84.65%16.92K
Total liabilities
153.22%264.6M
153.22%264.6M
118.80%213.41M
765.76%104.49M
765.76%104.49M
990.29%97.54M
286.43%12.07M
--12.07M
-25.54%8.95M
-35.84%3.12M
Shareholders'equity
Share capital
45.25%466.08M
45.25%466.08M
16.76%374.32M
36.39%320.88M
36.39%320.88M
36.63%320.59M
0.48%235.28M
--235.28M
-6.67%234.64M
105.66%234.15M
-common stock
45.25%466.08M
45.25%466.08M
16.76%374.32M
36.39%320.88M
36.39%320.88M
36.63%320.59M
0.48%235.28M
--235.28M
-1.79%234.64M
105.66%234.15M
-Preferred stock
----
----
----
----
----
----
----
----
----
--0
Retained earnings
-61.27%-579.7M
-61.27%-579.7M
-54.96%-455.65M
-65.70%-359.46M
-65.70%-359.46M
-81.69%-294.04M
-74.78%-216.94M
---216.94M
-53.00%-161.84M
-57.56%-124.12M
Gains losses not affecting retained earnings
15.54%37.81M
15.54%37.81M
15.01%34.41M
10.41%32.73M
10.41%32.73M
8.92%29.92M
17.33%29.64M
--29.64M
337.70%27.47M
166.06%25.26M
Total stockholders'equity
-1,195.20%-75.81M
-1,195.20%-75.81M
-183.08%-46.91M
-112.20%-5.85M
-112.20%-5.85M
-43.69%56.47M
-64.54%47.98M
--47.98M
-33.99%100.27M
203.55%135.29M
Total equity
-1,195.20%-75.81M
-1,195.20%-75.81M
-183.08%-46.91M
-112.20%-5.85M
-112.20%-5.85M
-43.69%56.47M
-64.54%47.98M
--47.98M
-33.99%100.27M
203.55%135.29M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion
--
--
Unqualified Opinion with Explanatory Notes
(FY)Jun 30, 2024(Q4)Jun 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 93.38%172.47M93.38%172.47M10.79%157.07M99.83%89.19M99.83%89.19M60.61%141.77M-62.24%44.63M--44.63M-43.32%88.27M177.12%118.19M
-Cash and cash equivalents 93.38%172.47M93.38%172.47M10.79%157.07M99.83%89.19M99.83%89.19M60.61%141.77M-62.24%44.63M--44.63M-43.32%88.27M177.12%118.19M
Receivables 80.17%11.82M80.17%11.82M-36.69%5.8M0.09%6.56M0.09%6.56M169.26%9.16M18.40%6.56M--6.56M1.14%3.4M-8.67%5.54M
-Accounts receivable ---------37.16%509.92K--------67.79%811.46K---------25.99%483.63K----
-Accrued interest receivable 72.34%280.67K72.34%280.67K----185.95%162.85K185.95%162.85K----50.25%56.95K--56.95K------37.91K
-Taxes receivable 83.45%11.47M83.45%11.47M-36.64%5.29M-3.17%6.25M-3.17%6.25M186.09%8.34M26.37%6.46M--6.46M7.68%2.92M-12.93%5.11M
-Other receivables -49.59%74.73K-49.59%74.73K----239.56%148.24K239.56%148.24K-----88.84%43.66K--43.66K------391.14K
Prepaid assets 47.90%3.9M47.90%3.9M25.51%3.47M-69.79%2.63M-69.79%2.63M-84.05%2.76M-39.38%8.72M--8.72M270.68%17.34M4,270.69%14.39M
Total current assets 91.28%188.19M91.28%188.19M8.23%166.34M64.23%98.39M64.23%98.39M40.99%153.69M-56.63%59.91M--59.91M-33.43%109.01M181.62%138.12M
Non current assets
Net PPE -34.51%131.95K-34.51%131.95K-35.14%154.6K617.49%201.49K617.49%201.49K263.01%238.36K-76.02%28.08K--28.08K-59.78%65.66K-39.33%117.11K
-Gross PPE -34.51%131.95K-34.51%131.95K0.08%562.49K617.49%201.49K617.49%201.49K87.16%562.03K-76.02%28.08K--28.08K-1.12%300.29K-39.33%117.11K
-Accumulated depreciation ---------26.02%-407.89K---------37.95%-323.67K---------67.09%-234.63K----
Investments and advances ----------------------------------0----
Non current prepaid assets 771.77%466.7K771.77%466.7K-86.33%10.57K-51.46%53.54K-51.46%53.54K-45.29%77.27K-36.81%110.3K--110.3K--141.24K--174.54K
Other non current assets -----------1----------------------------
Total non current assets 134.75%598.65K134.75%598.65K-47.67%165.17K84.29%255.02K84.29%255.02K52.55%315.63K-52.55%138.38K--138.38K26.72%206.9K-25.68%291.65K
Total assets 91.39%188.79M91.39%188.79M8.11%166.5M64.27%98.64M64.27%98.64M41.01%154.01M-56.62%60.05M--60.05M-33.37%109.22M179.98%138.41M
Liabilities
Current liabilities
Current debt and capital lease obligation -4.57%93.03K-4.57%93.03K4.04%87.72K--97.49K--97.49K25.37%84.31K---------39.70%67.25K13.25%112.97K
-Current capital lease obligation -4.57%93.03K-4.57%93.03K4.04%87.72K--97.49K--97.49K25.37%84.31K--0--0-39.70%67.25K13.25%112.97K
Payables 112.97%38.1M112.97%38.1M265.52%31.7M56.32%17.89M56.32%17.89M4.36%8.67M357.54%11.45M--11.45M328.38%8.31M-38.29%2.5M
-accounts payable 113.30%38.06M113.30%38.06M265.52%31.7M56.49%17.84M56.49%17.84M4.36%8.67M371.61%11.4M--11.4M328.38%8.31M-40.36%2.42M
-Total tax payable -8.76%44.59K-8.76%44.59K----12.78%48.87K12.78%48.87K-----48.29%43.33K--43.33K------83.8K
Current provisions --------21.28%798.48K--------21.06%658.37K--------3.68%543.85K----
Pension and other retirement benefit plans 35.11%1.02M35.11%1.02M----26.35%753.3K26.35%753.3K----21.18%596.2K--596.2K------492K
Other current liabilities --24.84M--24.84M--------------------------------
Current liabilities 241.76%64.06M241.76%64.06M246.11%32.59M55.65%18.74M55.65%18.74M5.53%9.42M287.63%12.04M--12.04M-25.21%8.92M-34.71%3.11M
Non current liabilities
Long term debt and capital lease obligation 65.09%141.55M65.09%141.55M-66.67%42.11K--85.74M--85.74M--126.34K--0--0--------
-Long term debt 65.25%141.55M65.25%141.55M------85.66M--85.66M--------------------
-Long term capital lease obligation --0--0-66.67%42.11K--84.23K--84.23K--126.34K--0--0--------
Employee benefits 29.43%9.88K29.43%9.88K-41.68%10.18K-72.72%7.63K-72.72%7.63K-26.69%17.45K65.38%27.97K--27.97K-38.92%23.8K-38.81%16.92K
Other non current liabilities 5,898,110,400.00%58.98M5,898,110,400.00%58.98M105.47%180.77M--1--1--87.98M----------------
Total non current liabilities 133.87%200.55M133.87%200.55M105.19%180.82M306,441.28%85.75M306,441.28%85.75M370,186.49%88.12M65.38%27.97K--27.97K-72.25%23.8K-84.65%16.92K
Total liabilities 153.22%264.6M153.22%264.6M118.80%213.41M765.76%104.49M765.76%104.49M990.29%97.54M286.43%12.07M--12.07M-25.54%8.95M-35.84%3.12M
Shareholders'equity
Share capital 45.25%466.08M45.25%466.08M16.76%374.32M36.39%320.88M36.39%320.88M36.63%320.59M0.48%235.28M--235.28M-6.67%234.64M105.66%234.15M
-common stock 45.25%466.08M45.25%466.08M16.76%374.32M36.39%320.88M36.39%320.88M36.63%320.59M0.48%235.28M--235.28M-1.79%234.64M105.66%234.15M
-Preferred stock --------------------------------------0
Retained earnings -61.27%-579.7M-61.27%-579.7M-54.96%-455.65M-65.70%-359.46M-65.70%-359.46M-81.69%-294.04M-74.78%-216.94M---216.94M-53.00%-161.84M-57.56%-124.12M
Gains losses not affecting retained earnings 15.54%37.81M15.54%37.81M15.01%34.41M10.41%32.73M10.41%32.73M8.92%29.92M17.33%29.64M--29.64M337.70%27.47M166.06%25.26M
Total stockholders'equity -1,195.20%-75.81M-1,195.20%-75.81M-183.08%-46.91M-112.20%-5.85M-112.20%-5.85M-43.69%56.47M-64.54%47.98M--47.98M-33.99%100.27M203.55%135.29M
Total equity -1,195.20%-75.81M-1,195.20%-75.81M-183.08%-46.91M-112.20%-5.85M-112.20%-5.85M-43.69%56.47M-64.54%47.98M--47.98M-33.99%100.27M203.55%135.29M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes----Unqualified Opinion with Explanatory Notes----Unqualified Opinion----Unqualified Opinion with Explanatory Notes