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PAC Pacific Current Group Ltd

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  • 10.400
  • -0.360-3.35%
20min DelayNot Open Jul 8 16:00 AET
542.85MMarket Cap-33766P/E (Static)

Pacific Current Group 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
Cash, cash equivalents and federal funds sold
-33.49%23.2M
-33.49%23.2M
23.28%34.89M
23.28%34.89M
40.41%28.3M
40.41%28.3M
-74.88%20.15M
-74.88%20.15M
-27.13%80.23M
-27.13%80.23M
-Cash and cash equivalents
-33.49%23.2M
-33.49%23.2M
23.28%34.89M
23.28%34.89M
40.41%28.3M
40.41%28.3M
-74.88%20.15M
-74.88%20.15M
-27.13%80.23M
-27.13%80.23M
Securities and investments
--808K
--808K
----
----
----
----
----
----
----
----
-Short term investments
--808K
--808K
----
----
----
----
----
----
----
----
Long term equity investment
2.94%514.61M
2.94%514.61M
41.31%499.9M
41.31%499.9M
7.95%353.77M
7.95%353.77M
45.32%327.72M
45.32%327.72M
85.73%225.51M
85.73%225.51M
Net loan
----
----
----
----
-91.16%60K
-91.16%60K
--679K
--679K
----
----
-Gross loan
----
----
----
----
-91.16%60K
-91.16%60K
--679K
--679K
----
----
Receivables
-33.84%7.94M
-33.84%7.94M
11.04%12M
11.04%12M
-47.44%10.81M
-47.44%10.81M
-23.71%20.57M
-23.71%20.57M
195.10%26.96M
195.10%26.96M
-Accounts receivable
-58.86%2.68M
-58.86%2.68M
74.34%6.52M
74.34%6.52M
-80.88%3.74M
-80.88%3.74M
-16.61%19.57M
-16.61%19.57M
173.04%23.47M
173.04%23.47M
-Other receivables
-4.07%5.26M
-4.07%5.26M
-22.46%5.48M
-22.46%5.48M
610.45%7.07M
610.45%7.07M
-71.46%995K
-71.46%995K
546.94%3.49M
546.94%3.49M
Net PPE
242.79%5.54M
242.79%5.54M
46.68%1.62M
46.68%1.62M
-63.64%1.1M
-63.64%1.1M
150.66%3.03M
150.66%3.03M
-13.66%1.21M
-13.66%1.21M
-Gross PPE
242.79%5.54M
242.79%5.54M
46.68%1.62M
46.68%1.62M
-63.64%1.1M
-63.64%1.1M
150.66%3.03M
150.66%3.03M
-13.66%1.21M
-13.66%1.21M
Goodwill and other intangible assets
-23.80%41.39M
-23.80%41.39M
3.05%54.32M
3.05%54.32M
-15.98%52.71M
-15.98%52.71M
-33.33%62.73M
-33.33%62.73M
-10.24%94.09M
-10.24%94.09M
-Goodwill
-28.20%26.72M
-28.20%26.72M
8.56%37.22M
8.56%37.22M
-8.08%34.28M
-8.08%34.28M
-35.85%37.3M
-35.85%37.3M
-27.31%58.13M
-27.31%58.13M
-Other intangible assets
-14.22%14.67M
-14.22%14.67M
-7.19%17.1M
-7.19%17.1M
-27.57%18.42M
-27.57%18.42M
-29.27%25.44M
-29.27%25.44M
44.72%35.96M
44.72%35.96M
Deferred assets
1,430.01%11.52M
1,430.01%11.52M
-92.95%753K
-92.95%753K
282.34%10.68M
282.34%10.68M
--2.79M
--2.79M
----
----
Other assets
5.15%1.31M
5.15%1.31M
13.62%1.24M
13.62%1.24M
-48.66%1.09M
-48.66%1.09M
442.24%2.13M
442.24%2.13M
-92.60%393K
-92.60%393K
Total assets
0.26%606.31M
0.26%606.31M
31.89%604.72M
31.89%604.72M
4.26%458.52M
4.26%458.52M
2.66%439.8M
2.66%439.8M
10.57%428.39M
10.57%428.39M
Liabilities
Current debt and capital lease obligation
27.76%359K
27.76%359K
-6.95%281K
-6.95%281K
-65.99%302K
-65.99%302K
-88.53%888K
-88.53%888K
-41.06%7.75M
-41.06%7.75M
-Current debt
27.76%359K
27.76%359K
-6.95%281K
-6.95%281K
-65.99%302K
-65.99%302K
-88.53%888K
-88.53%888K
-40.03%7.75M
-40.03%7.75M
Derivative product liabilities
----
----
----
----
4.38%9.86M
4.38%9.86M
--9.44M
--9.44M
----
----
Payables
-11.86%7.76M
-11.86%7.76M
68.94%8.8M
68.94%8.8M
-9.96%5.21M
-9.96%5.21M
-22.93%5.79M
-22.93%5.79M
12.92%7.51M
12.92%7.51M
-Accounts payable
1,401.64%916K
1,401.64%916K
-74.04%61K
-74.04%61K
12.98%235K
12.98%235K
-74.03%208K
-74.03%208K
-50.45%801K
-50.45%801K
-Other payable
-21.73%6.84M
-21.73%6.84M
75.69%8.74M
75.69%8.74M
-10.81%4.97M
-10.81%4.97M
-16.82%5.58M
-16.82%5.58M
33.29%6.71M
33.29%6.71M
Current provisions
----
----
15.50%12.36M
15.50%12.36M
-8.08%10.7M
-8.08%10.7M
46.83%11.64M
46.83%11.64M
2,608.86%7.93M
2,608.86%7.93M
Current deferred liabilities
-7.73%680K
-7.73%680K
24.92%737K
24.92%737K
-3.59%590K
-3.59%590K
13.33%612K
13.33%612K
-96.08%540K
-96.08%540K
Long term debt and capital lease obligation
219.97%2.47M
219.97%2.47M
103.97%771K
103.97%771K
-77.20%378K
-77.20%378K
550.20%1.66M
550.20%1.66M
-97.95%255K
-97.95%255K
-Long term debt
219.97%2.47M
219.97%2.47M
103.97%771K
103.97%771K
-77.20%378K
-77.20%378K
550.20%1.66M
550.20%1.66M
-97.87%255K
-97.87%255K
Long term provisions
11.76%38K
11.76%38K
-52.11%34K
-52.11%34K
-60.77%71K
-60.77%71K
-17.35%181K
-17.35%181K
14.54%219K
14.54%219K
Employee benefits
-12.23%409K
-12.23%409K
6.39%466K
6.39%466K
12.31%438K
12.31%438K
-18.92%390K
-18.92%390K
--481K
--481K
Non current deferred liabilities
-17.61%35.72M
-17.61%35.72M
55.35%43.35M
55.35%43.35M
320.05%27.9M
320.05%27.9M
-9.88%6.64M
-9.88%6.64M
-58.27%7.37M
-58.27%7.37M
Other liabilities
334.54%48.66M
334.54%48.66M
4,239.92%11.2M
4,239.92%11.2M
--258K
--258K
----
----
--12.82M
--12.82M
Total liabilities
23.19%96.08M
23.19%96.08M
40.01%77.99M
40.01%77.99M
49.59%55.71M
49.59%55.71M
-17.00%37.24M
-17.00%37.24M
-30.05%44.87M
-30.05%44.87M
Shareholders'equity
Share capital
1.59%189.9M
1.59%189.9M
1.23%186.93M
1.23%186.93M
3.49%184.66M
3.49%184.66M
7.30%178.42M
7.30%178.42M
0.00%166.28M
0.00%166.28M
-common stock
1.59%189.9M
1.59%189.9M
1.23%186.93M
1.23%186.93M
3.49%184.66M
3.49%184.66M
7.30%178.42M
7.30%178.42M
0.00%166.28M
0.00%166.28M
Retained earnings
-13.33%229.21M
-13.33%229.21M
173.00%264.47M
173.00%264.47M
-0.10%96.88M
-0.10%96.88M
-22.90%96.97M
-22.90%96.97M
30.96%125.78M
30.96%125.78M
Gains losses not affecting retained earnings
23.15%90.41M
23.15%90.41M
-39.25%73.42M
-39.25%73.42M
-4.56%120.85M
-4.56%120.85M
39.24%126.62M
39.24%126.62M
50.65%90.93M
50.65%90.93M
Total stockholders'equity
-2.91%509.52M
-2.91%509.52M
30.43%524.81M
30.43%524.81M
0.09%402.38M
0.09%402.38M
4.97%402.02M
4.97%402.02M
18.69%382.99M
18.69%382.99M
Noncontrolling interests
-63.05%708K
-63.05%708K
343.52%1.92M
343.52%1.92M
-20.44%432K
-20.44%432K
1.12%543K
1.12%543K
-13.48%537K
-13.48%537K
Total equity
-3.13%510.23M
-3.13%510.23M
30.76%526.73M
30.76%526.73M
0.06%402.81M
0.06%402.81M
4.96%402.56M
4.96%402.56M
18.63%383.53M
18.63%383.53M
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
Cash, cash equivalents and federal funds sold -33.49%23.2M-33.49%23.2M23.28%34.89M23.28%34.89M40.41%28.3M40.41%28.3M-74.88%20.15M-74.88%20.15M-27.13%80.23M-27.13%80.23M
-Cash and cash equivalents -33.49%23.2M-33.49%23.2M23.28%34.89M23.28%34.89M40.41%28.3M40.41%28.3M-74.88%20.15M-74.88%20.15M-27.13%80.23M-27.13%80.23M
Securities and investments --808K--808K--------------------------------
-Short term investments --808K--808K--------------------------------
Long term equity investment 2.94%514.61M2.94%514.61M41.31%499.9M41.31%499.9M7.95%353.77M7.95%353.77M45.32%327.72M45.32%327.72M85.73%225.51M85.73%225.51M
Net loan -----------------91.16%60K-91.16%60K--679K--679K--------
-Gross loan -----------------91.16%60K-91.16%60K--679K--679K--------
Receivables -33.84%7.94M-33.84%7.94M11.04%12M11.04%12M-47.44%10.81M-47.44%10.81M-23.71%20.57M-23.71%20.57M195.10%26.96M195.10%26.96M
-Accounts receivable -58.86%2.68M-58.86%2.68M74.34%6.52M74.34%6.52M-80.88%3.74M-80.88%3.74M-16.61%19.57M-16.61%19.57M173.04%23.47M173.04%23.47M
-Other receivables -4.07%5.26M-4.07%5.26M-22.46%5.48M-22.46%5.48M610.45%7.07M610.45%7.07M-71.46%995K-71.46%995K546.94%3.49M546.94%3.49M
Net PPE 242.79%5.54M242.79%5.54M46.68%1.62M46.68%1.62M-63.64%1.1M-63.64%1.1M150.66%3.03M150.66%3.03M-13.66%1.21M-13.66%1.21M
-Gross PPE 242.79%5.54M242.79%5.54M46.68%1.62M46.68%1.62M-63.64%1.1M-63.64%1.1M150.66%3.03M150.66%3.03M-13.66%1.21M-13.66%1.21M
Goodwill and other intangible assets -23.80%41.39M-23.80%41.39M3.05%54.32M3.05%54.32M-15.98%52.71M-15.98%52.71M-33.33%62.73M-33.33%62.73M-10.24%94.09M-10.24%94.09M
-Goodwill -28.20%26.72M-28.20%26.72M8.56%37.22M8.56%37.22M-8.08%34.28M-8.08%34.28M-35.85%37.3M-35.85%37.3M-27.31%58.13M-27.31%58.13M
-Other intangible assets -14.22%14.67M-14.22%14.67M-7.19%17.1M-7.19%17.1M-27.57%18.42M-27.57%18.42M-29.27%25.44M-29.27%25.44M44.72%35.96M44.72%35.96M
Deferred assets 1,430.01%11.52M1,430.01%11.52M-92.95%753K-92.95%753K282.34%10.68M282.34%10.68M--2.79M--2.79M--------
Other assets 5.15%1.31M5.15%1.31M13.62%1.24M13.62%1.24M-48.66%1.09M-48.66%1.09M442.24%2.13M442.24%2.13M-92.60%393K-92.60%393K
Total assets 0.26%606.31M0.26%606.31M31.89%604.72M31.89%604.72M4.26%458.52M4.26%458.52M2.66%439.8M2.66%439.8M10.57%428.39M10.57%428.39M
Liabilities
Current debt and capital lease obligation 27.76%359K27.76%359K-6.95%281K-6.95%281K-65.99%302K-65.99%302K-88.53%888K-88.53%888K-41.06%7.75M-41.06%7.75M
-Current debt 27.76%359K27.76%359K-6.95%281K-6.95%281K-65.99%302K-65.99%302K-88.53%888K-88.53%888K-40.03%7.75M-40.03%7.75M
Derivative product liabilities ----------------4.38%9.86M4.38%9.86M--9.44M--9.44M--------
Payables -11.86%7.76M-11.86%7.76M68.94%8.8M68.94%8.8M-9.96%5.21M-9.96%5.21M-22.93%5.79M-22.93%5.79M12.92%7.51M12.92%7.51M
-Accounts payable 1,401.64%916K1,401.64%916K-74.04%61K-74.04%61K12.98%235K12.98%235K-74.03%208K-74.03%208K-50.45%801K-50.45%801K
-Other payable -21.73%6.84M-21.73%6.84M75.69%8.74M75.69%8.74M-10.81%4.97M-10.81%4.97M-16.82%5.58M-16.82%5.58M33.29%6.71M33.29%6.71M
Current provisions --------15.50%12.36M15.50%12.36M-8.08%10.7M-8.08%10.7M46.83%11.64M46.83%11.64M2,608.86%7.93M2,608.86%7.93M
Current deferred liabilities -7.73%680K-7.73%680K24.92%737K24.92%737K-3.59%590K-3.59%590K13.33%612K13.33%612K-96.08%540K-96.08%540K
Long term debt and capital lease obligation 219.97%2.47M219.97%2.47M103.97%771K103.97%771K-77.20%378K-77.20%378K550.20%1.66M550.20%1.66M-97.95%255K-97.95%255K
-Long term debt 219.97%2.47M219.97%2.47M103.97%771K103.97%771K-77.20%378K-77.20%378K550.20%1.66M550.20%1.66M-97.87%255K-97.87%255K
Long term provisions 11.76%38K11.76%38K-52.11%34K-52.11%34K-60.77%71K-60.77%71K-17.35%181K-17.35%181K14.54%219K14.54%219K
Employee benefits -12.23%409K-12.23%409K6.39%466K6.39%466K12.31%438K12.31%438K-18.92%390K-18.92%390K--481K--481K
Non current deferred liabilities -17.61%35.72M-17.61%35.72M55.35%43.35M55.35%43.35M320.05%27.9M320.05%27.9M-9.88%6.64M-9.88%6.64M-58.27%7.37M-58.27%7.37M
Other liabilities 334.54%48.66M334.54%48.66M4,239.92%11.2M4,239.92%11.2M--258K--258K----------12.82M--12.82M
Total liabilities 23.19%96.08M23.19%96.08M40.01%77.99M40.01%77.99M49.59%55.71M49.59%55.71M-17.00%37.24M-17.00%37.24M-30.05%44.87M-30.05%44.87M
Shareholders'equity
Share capital 1.59%189.9M1.59%189.9M1.23%186.93M1.23%186.93M3.49%184.66M3.49%184.66M7.30%178.42M7.30%178.42M0.00%166.28M0.00%166.28M
-common stock 1.59%189.9M1.59%189.9M1.23%186.93M1.23%186.93M3.49%184.66M3.49%184.66M7.30%178.42M7.30%178.42M0.00%166.28M0.00%166.28M
Retained earnings -13.33%229.21M-13.33%229.21M173.00%264.47M173.00%264.47M-0.10%96.88M-0.10%96.88M-22.90%96.97M-22.90%96.97M30.96%125.78M30.96%125.78M
Gains losses not affecting retained earnings 23.15%90.41M23.15%90.41M-39.25%73.42M-39.25%73.42M-4.56%120.85M-4.56%120.85M39.24%126.62M39.24%126.62M50.65%90.93M50.65%90.93M
Total stockholders'equity -2.91%509.52M-2.91%509.52M30.43%524.81M30.43%524.81M0.09%402.38M0.09%402.38M4.97%402.02M4.97%402.02M18.69%382.99M18.69%382.99M
Noncontrolling interests -63.05%708K-63.05%708K343.52%1.92M343.52%1.92M-20.44%432K-20.44%432K1.12%543K1.12%543K-13.48%537K-13.48%537K
Total equity -3.13%510.23M-3.13%510.23M30.76%526.73M30.76%526.73M0.06%402.81M0.06%402.81M4.96%402.56M4.96%402.56M18.63%383.53M18.63%383.53M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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