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PFT Pure Foods Tasmania Ltd

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  • 0.021
  • 0.0000.00%
20min DelayMarket Closed Oct 16 12:54 AET
2.84MMarket Cap-0.66P/E (Static)

Pure Foods Tasmania Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-68.90%1.08M
-68.90%1.08M
39.52%3.47M
39.52%3.47M
53.08%2.49M
53.08%2.49M
-60.72%1.62M
-60.72%1.62M
4,116.76%4.13M
4,116.76%4.13M
-Cash and cash equivalents
-68.90%1.08M
-68.90%1.08M
39.52%3.47M
39.52%3.47M
53.08%2.49M
53.08%2.49M
-60.72%1.62M
-60.72%1.62M
4,116.76%4.13M
4,116.76%4.13M
Receivables
-53.19%867.97K
-53.19%867.97K
46.80%1.85M
46.80%1.85M
14.99%1.26M
14.99%1.26M
127.43%1.1M
127.43%1.1M
4,071.09%482.93K
4,071.09%482.93K
-Accounts receivable
-43.46%756.55K
-43.46%756.55K
43.49%1.34M
43.49%1.34M
15.48%932.5K
15.48%932.5K
67.21%807.53K
67.21%807.53K
4,071.09%482.93K
4,071.09%482.93K
-Other receivables
-78.41%111.42K
-78.41%111.42K
56.14%516.05K
56.14%516.05K
13.66%330.51K
13.66%330.51K
--290.8K
--290.8K
----
----
Inventory
-26.26%1.13M
-26.26%1.13M
15.84%1.54M
15.84%1.54M
32.37%1.33M
32.37%1.33M
219.92%1M
219.92%1M
--312.97K
--312.97K
Other current assets
-52.92%72.93K
-52.92%72.93K
-31.93%154.92K
-31.93%154.92K
-33.03%227.58K
-33.03%227.58K
130.80%339.83K
130.80%339.83K
--147.24K
--147.24K
Total current assets
-55.06%3.15M
-55.06%3.15M
32.27%7.01M
32.27%7.01M
30.48%5.3M
30.48%5.3M
-19.98%4.06M
-19.98%4.06M
4,531.69%5.08M
4,531.69%5.08M
Non current assets
Net PPE
-6.51%6.72M
-6.51%6.72M
14.02%7.18M
14.02%7.18M
20.53%6.3M
20.53%6.3M
200.10%5.23M
200.10%5.23M
--1.74M
--1.74M
-Gross PPE
3.04%9.86M
3.04%9.86M
27.69%9.57M
27.69%9.57M
24.18%7.49M
24.18%7.49M
168.37%6.03M
168.37%6.03M
--2.25M
--2.25M
-Accumulated depreciation
-31.82%-3.14M
-31.82%-3.14M
-99.87%-2.38M
-99.87%-2.38M
-47.77%-1.19M
-47.77%-1.19M
-59.32%-807.32K
-59.32%-807.32K
---506.74K
---506.74K
Goodwill and other intangible assets
-36.26%1.6M
-36.26%1.6M
-1.14%2.52M
-1.14%2.52M
3.97%2.54M
3.97%2.54M
231.21%2.45M
231.21%2.45M
--738.84K
--738.84K
-Goodwill
----
----
----
----
----
----
231.21%2.45M
231.21%2.45M
--738.84K
--738.84K
-Other intangible assets
-36.26%1.6M
-36.26%1.6M
-1.14%2.52M
-1.14%2.52M
--2.54M
--2.54M
----
----
----
----
Non current deferred assets
39.58%4.22M
39.58%4.22M
19.07%3.02M
19.07%3.02M
104.53%2.54M
104.53%2.54M
226.05%1.24M
226.05%1.24M
--380.3K
--380.3K
Total non current assets
-1.45%12.53M
-1.45%12.53M
11.76%12.72M
11.76%12.72M
27.67%11.38M
27.67%11.38M
211.58%8.91M
211.58%8.91M
--2.86M
--2.86M
Total assets
-20.51%15.69M
-20.51%15.69M
18.28%19.73M
18.28%19.73M
28.55%16.68M
28.55%16.68M
63.47%12.98M
63.47%12.98M
7,141.30%7.94M
7,141.30%7.94M
Liabilities
Current liabilities
Current debt and capital lease obligation
3.76%3.3M
3.76%3.3M
630.63%3.18M
630.63%3.18M
-52.69%435.79K
-52.69%435.79K
263.66%921.06K
263.66%921.06K
--253.27K
--253.27K
-Current debt
0.82%2.94M
0.82%2.94M
978.44%2.91M
978.44%2.91M
-62.73%270.18K
-62.73%270.18K
341.58%724.92K
341.58%724.92K
--164.17K
--164.17K
-Current capital lease obligation
35.51%366.2K
35.51%366.2K
63.18%270.23K
63.18%270.23K
-15.57%165.6K
-15.57%165.6K
120.12%196.14K
120.12%196.14K
--89.11K
--89.11K
Payables
-28.76%1.22M
-28.76%1.22M
-1.25%1.72M
-1.25%1.72M
-1.80%1.74M
-1.80%1.74M
226.92%1.77M
226.92%1.77M
654.81%541.25K
654.81%541.25K
-accounts payable
-28.76%1.22M
-28.76%1.22M
-1.25%1.72M
-1.25%1.72M
-1.80%1.74M
-1.80%1.74M
226.92%1.77M
226.92%1.77M
654.81%541.25K
654.81%541.25K
Pension and other retirement benefit plans
-21.75%172.02K
-21.75%172.02K
-5.59%219.82K
-5.59%219.82K
45.80%232.83K
45.80%232.83K
86.27%159.69K
86.27%159.69K
--85.73K
--85.73K
Current liabilities
-8.23%4.7M
-8.23%4.7M
112.77%5.12M
112.77%5.12M
-15.58%2.41M
-15.58%2.41M
223.80%2.85M
223.80%2.85M
1,127.57%880.26K
1,127.57%880.26K
Non current liabilities
Long term debt and capital lease obligation
16.66%1.46M
16.66%1.46M
-4.93%1.25M
-4.93%1.25M
-6.30%1.31M
-6.30%1.31M
80.82%1.4M
80.82%1.4M
--775.38K
--775.38K
-Long term debt
42.10%1.45M
42.10%1.45M
4.49%1.02M
4.49%1.02M
11.88%975.95K
11.88%975.95K
108.11%872.3K
108.11%872.3K
--419.16K
--419.16K
-Long term capital lease obligation
-96.54%7.92K
-96.54%7.92K
-32.14%229.2K
-32.14%229.2K
-36.24%337.76K
-36.24%337.76K
48.70%529.72K
48.70%529.72K
--356.22K
--356.22K
Employee benefits
--5.6K
--5.6K
----
----
-38.37%17.99K
-38.37%17.99K
40.69%29.19K
40.69%29.19K
--20.75K
--20.75K
Non current deferred liabilities
-18.64%992.6K
-18.64%992.6K
2.59%1.22M
2.59%1.22M
41.17%1.19M
41.17%1.19M
277.86%842.41K
277.86%842.41K
--222.94K
--222.94K
Total non current liabilities
-0.56%2.46M
-0.56%2.46M
-2.06%2.47M
-2.06%2.47M
10.88%2.52M
10.88%2.52M
123.11%2.27M
123.11%2.27M
--1.02M
--1.02M
Total liabilities
-5.73%7.15M
-5.73%7.15M
54.02%7.59M
54.02%7.59M
-3.84%4.93M
-3.84%4.93M
169.77%5.12M
169.77%5.12M
2,548.73%1.9M
2,548.73%1.9M
Shareholders'equity
Share capital
1.77%19.19M
1.77%19.19M
13.31%18.86M
13.31%18.86M
77.00%16.64M
77.00%16.64M
36.83%9.4M
36.83%9.4M
-98.90%6.87M
-98.90%6.87M
-common stock
1.77%19.19M
1.77%19.19M
13.31%18.86M
13.31%18.86M
77.00%16.64M
77.00%16.64M
36.83%9.4M
36.83%9.4M
-98.90%6.87M
-98.90%6.87M
Retained earnings
-58.75%-10.66M
-58.75%-10.66M
-37.39%-6.71M
-37.39%-6.71M
-215.56%-4.89M
-215.56%-4.89M
-86.06%-1.55M
-86.06%-1.55M
99.87%-832.37K
99.87%-832.37K
Total stockholders'equity
-29.74%8.53M
-29.74%8.53M
3.29%12.14M
3.29%12.14M
49.68%11.76M
49.68%11.76M
30.04%7.85M
30.04%7.85M
15,823.81%6.04M
15,823.81%6.04M
Total equity
-29.74%8.53M
-29.74%8.53M
3.29%12.14M
3.29%12.14M
49.68%11.76M
49.68%11.76M
30.04%7.85M
30.04%7.85M
15,823.81%6.04M
15,823.81%6.04M
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, 2024(Q4)Jun 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -68.90%1.08M-68.90%1.08M39.52%3.47M39.52%3.47M53.08%2.49M53.08%2.49M-60.72%1.62M-60.72%1.62M4,116.76%4.13M4,116.76%4.13M
-Cash and cash equivalents -68.90%1.08M-68.90%1.08M39.52%3.47M39.52%3.47M53.08%2.49M53.08%2.49M-60.72%1.62M-60.72%1.62M4,116.76%4.13M4,116.76%4.13M
Receivables -53.19%867.97K-53.19%867.97K46.80%1.85M46.80%1.85M14.99%1.26M14.99%1.26M127.43%1.1M127.43%1.1M4,071.09%482.93K4,071.09%482.93K
-Accounts receivable -43.46%756.55K-43.46%756.55K43.49%1.34M43.49%1.34M15.48%932.5K15.48%932.5K67.21%807.53K67.21%807.53K4,071.09%482.93K4,071.09%482.93K
-Other receivables -78.41%111.42K-78.41%111.42K56.14%516.05K56.14%516.05K13.66%330.51K13.66%330.51K--290.8K--290.8K--------
Inventory -26.26%1.13M-26.26%1.13M15.84%1.54M15.84%1.54M32.37%1.33M32.37%1.33M219.92%1M219.92%1M--312.97K--312.97K
Other current assets -52.92%72.93K-52.92%72.93K-31.93%154.92K-31.93%154.92K-33.03%227.58K-33.03%227.58K130.80%339.83K130.80%339.83K--147.24K--147.24K
Total current assets -55.06%3.15M-55.06%3.15M32.27%7.01M32.27%7.01M30.48%5.3M30.48%5.3M-19.98%4.06M-19.98%4.06M4,531.69%5.08M4,531.69%5.08M
Non current assets
Net PPE -6.51%6.72M-6.51%6.72M14.02%7.18M14.02%7.18M20.53%6.3M20.53%6.3M200.10%5.23M200.10%5.23M--1.74M--1.74M
-Gross PPE 3.04%9.86M3.04%9.86M27.69%9.57M27.69%9.57M24.18%7.49M24.18%7.49M168.37%6.03M168.37%6.03M--2.25M--2.25M
-Accumulated depreciation -31.82%-3.14M-31.82%-3.14M-99.87%-2.38M-99.87%-2.38M-47.77%-1.19M-47.77%-1.19M-59.32%-807.32K-59.32%-807.32K---506.74K---506.74K
Goodwill and other intangible assets -36.26%1.6M-36.26%1.6M-1.14%2.52M-1.14%2.52M3.97%2.54M3.97%2.54M231.21%2.45M231.21%2.45M--738.84K--738.84K
-Goodwill ------------------------231.21%2.45M231.21%2.45M--738.84K--738.84K
-Other intangible assets -36.26%1.6M-36.26%1.6M-1.14%2.52M-1.14%2.52M--2.54M--2.54M----------------
Non current deferred assets 39.58%4.22M39.58%4.22M19.07%3.02M19.07%3.02M104.53%2.54M104.53%2.54M226.05%1.24M226.05%1.24M--380.3K--380.3K
Total non current assets -1.45%12.53M-1.45%12.53M11.76%12.72M11.76%12.72M27.67%11.38M27.67%11.38M211.58%8.91M211.58%8.91M--2.86M--2.86M
Total assets -20.51%15.69M-20.51%15.69M18.28%19.73M18.28%19.73M28.55%16.68M28.55%16.68M63.47%12.98M63.47%12.98M7,141.30%7.94M7,141.30%7.94M
Liabilities
Current liabilities
Current debt and capital lease obligation 3.76%3.3M3.76%3.3M630.63%3.18M630.63%3.18M-52.69%435.79K-52.69%435.79K263.66%921.06K263.66%921.06K--253.27K--253.27K
-Current debt 0.82%2.94M0.82%2.94M978.44%2.91M978.44%2.91M-62.73%270.18K-62.73%270.18K341.58%724.92K341.58%724.92K--164.17K--164.17K
-Current capital lease obligation 35.51%366.2K35.51%366.2K63.18%270.23K63.18%270.23K-15.57%165.6K-15.57%165.6K120.12%196.14K120.12%196.14K--89.11K--89.11K
Payables -28.76%1.22M-28.76%1.22M-1.25%1.72M-1.25%1.72M-1.80%1.74M-1.80%1.74M226.92%1.77M226.92%1.77M654.81%541.25K654.81%541.25K
-accounts payable -28.76%1.22M-28.76%1.22M-1.25%1.72M-1.25%1.72M-1.80%1.74M-1.80%1.74M226.92%1.77M226.92%1.77M654.81%541.25K654.81%541.25K
Pension and other retirement benefit plans -21.75%172.02K-21.75%172.02K-5.59%219.82K-5.59%219.82K45.80%232.83K45.80%232.83K86.27%159.69K86.27%159.69K--85.73K--85.73K
Current liabilities -8.23%4.7M-8.23%4.7M112.77%5.12M112.77%5.12M-15.58%2.41M-15.58%2.41M223.80%2.85M223.80%2.85M1,127.57%880.26K1,127.57%880.26K
Non current liabilities
Long term debt and capital lease obligation 16.66%1.46M16.66%1.46M-4.93%1.25M-4.93%1.25M-6.30%1.31M-6.30%1.31M80.82%1.4M80.82%1.4M--775.38K--775.38K
-Long term debt 42.10%1.45M42.10%1.45M4.49%1.02M4.49%1.02M11.88%975.95K11.88%975.95K108.11%872.3K108.11%872.3K--419.16K--419.16K
-Long term capital lease obligation -96.54%7.92K-96.54%7.92K-32.14%229.2K-32.14%229.2K-36.24%337.76K-36.24%337.76K48.70%529.72K48.70%529.72K--356.22K--356.22K
Employee benefits --5.6K--5.6K---------38.37%17.99K-38.37%17.99K40.69%29.19K40.69%29.19K--20.75K--20.75K
Non current deferred liabilities -18.64%992.6K-18.64%992.6K2.59%1.22M2.59%1.22M41.17%1.19M41.17%1.19M277.86%842.41K277.86%842.41K--222.94K--222.94K
Total non current liabilities -0.56%2.46M-0.56%2.46M-2.06%2.47M-2.06%2.47M10.88%2.52M10.88%2.52M123.11%2.27M123.11%2.27M--1.02M--1.02M
Total liabilities -5.73%7.15M-5.73%7.15M54.02%7.59M54.02%7.59M-3.84%4.93M-3.84%4.93M169.77%5.12M169.77%5.12M2,548.73%1.9M2,548.73%1.9M
Shareholders'equity
Share capital 1.77%19.19M1.77%19.19M13.31%18.86M13.31%18.86M77.00%16.64M77.00%16.64M36.83%9.4M36.83%9.4M-98.90%6.87M-98.90%6.87M
-common stock 1.77%19.19M1.77%19.19M13.31%18.86M13.31%18.86M77.00%16.64M77.00%16.64M36.83%9.4M36.83%9.4M-98.90%6.87M-98.90%6.87M
Retained earnings -58.75%-10.66M-58.75%-10.66M-37.39%-6.71M-37.39%-6.71M-215.56%-4.89M-215.56%-4.89M-86.06%-1.55M-86.06%-1.55M99.87%-832.37K99.87%-832.37K
Total stockholders'equity -29.74%8.53M-29.74%8.53M3.29%12.14M3.29%12.14M49.68%11.76M49.68%11.76M30.04%7.85M30.04%7.85M15,823.81%6.04M15,823.81%6.04M
Total equity -29.74%8.53M-29.74%8.53M3.29%12.14M3.29%12.14M49.68%11.76M49.68%11.76M30.04%7.85M30.04%7.85M15,823.81%6.04M15,823.81%6.04M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP