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PPG PRO-PAC Packaging Ltd

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  • 0.140
  • +0.005+3.70%
20min DelayMarket Closed Jul 5 14:20 AET
25.44MMarket Cap-2500P/E (Static)

PRO-PAC Packaging 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
Current assets
Cash, cash equivalents and short term investments
250.81%10.81M
250.81%10.81M
-72.96%3.08M
-72.96%3.08M
-51.33%11.39M
-51.33%11.39M
-0.68%23.4M
-0.68%23.4M
634.84%23.56M
634.84%23.56M
-Cash and cash equivalents
529.58%8.32M
529.58%8.32M
-83.23%1.32M
-83.23%1.32M
-63.12%7.88M
-63.12%7.88M
-9.25%21.38M
-9.25%21.38M
634.84%23.56M
634.84%23.56M
-Accounts receivable
-22.90%63.52M
-22.90%63.52M
36.38%82.39M
36.38%82.39M
-9.86%60.41M
-9.86%60.41M
-17.75%67.02M
-17.75%67.02M
0.18%81.48M
0.18%81.48M
-Notes receivable
-25.62%331K
-25.62%331K
-27.41%445K
-27.41%445K
-58.36%613K
-58.36%613K
-13.00%1.47M
-13.00%1.47M
-62.81%1.69M
-62.81%1.69M
-Other receivables
-16.32%25.57M
-16.32%25.57M
10.19%30.56M
10.19%30.56M
46.38%27.73M
46.38%27.73M
24.92%18.95M
24.92%18.95M
-42.92%15.17M
-42.92%15.17M
Current deferred assets
-11.11%656K
-11.11%656K
64.00%738K
64.00%738K
--450K
--450K
----
----
--6.3M
--6.3M
Total current assets
-14.87%142.28M
-14.87%142.28M
-0.59%167.14M
-0.59%167.14M
-2.57%168.14M
-2.57%168.14M
-14.76%172.57M
-14.76%172.57M
5.65%202.45M
5.65%202.45M
Non current assets
-Accumulated depreciation
-9.75%-73.71M
-9.75%-73.71M
-11.12%-67.16M
-11.12%-67.16M
-13.58%-60.44M
-13.58%-60.44M
-17.77%-53.21M
-17.77%-53.21M
-92.22%-45.19M
-92.22%-45.19M
-Long term equity investment
-49.35%28.01M
-49.35%28.01M
-45.85%55.31M
-45.85%55.31M
-7.02%102.14M
-7.02%102.14M
15.78%109.85M
15.78%109.85M
4.00%94.87M
4.00%94.87M
-Including:Held to maturity investments
-76.95%499K
-76.95%499K
100.28%2.17M
100.28%2.17M
--1.08M
--1.08M
----
----
-76.38%111K
-76.38%111K
Non current note receivables
138.58%6.15M
138.58%6.15M
-68.38%2.58M
-68.38%2.58M
-24.54%8.16M
-24.54%8.16M
32.50%10.81M
32.50%10.81M
-43.87%8.16M
-43.87%8.16M
-Goodwill
10.24%32.3M
10.24%32.3M
-58.66%29.3M
-58.66%29.3M
6.79%70.86M
6.79%70.86M
-0.30%66.35M
-0.30%66.35M
-63.97%66.55M
-63.97%66.55M
Regulatory assets
-23.53%63.8M
-23.53%63.8M
13.91%83.44M
13.91%83.44M
-5.56%73.25M
-5.56%73.25M
-14.09%77.56M
-14.09%77.56M
8.32%90.28M
8.32%90.28M
Liabilities
Current liabilities
Current debt and capital lease obligation
122.44%24.8M
122.44%24.8M
-35.99%11.15M
-35.99%11.15M
13.58%17.42M
13.58%17.42M
31.95%15.34M
31.95%15.34M
93.59%11.62M
93.59%11.62M
-Current debt
358.63%16.08M
358.63%16.08M
-53.27%3.51M
-53.27%3.51M
0.00%7.5M
0.00%7.5M
-30.61%7.5M
-30.61%7.5M
115.64%10.81M
115.64%10.81M
-Current capital lease obligation
14.15%8.73M
14.15%8.73M
-22.93%7.65M
-22.93%7.65M
26.58%9.92M
26.58%9.92M
861.47%7.84M
861.47%7.84M
-17.84%815K
-17.84%815K
-accounts payable
-45.52%32.41M
-45.52%32.41M
28.88%59.49M
28.88%59.49M
-5.59%46.16M
-5.59%46.16M
-17.04%48.89M
-17.04%48.89M
-11.63%58.94M
-11.63%58.94M
-Total tax payable
-46.58%31.42M
-46.58%31.42M
-44.42%58.82M
-44.42%58.82M
-7.07%105.84M
-7.07%105.84M
14.87%113.89M
14.87%113.89M
-0.30%99.15M
-0.30%99.15M
-Other payable
----
----
----
----
-23.89%2.83M
-23.89%2.83M
--3.72M
--3.72M
----
----
Current provisions
-87.72%539K
-87.72%539K
16.21%4.39M
16.21%4.39M
-63.10%3.78M
-63.10%3.78M
62.26%10.23M
62.26%10.23M
684.33%6.31M
684.33%6.31M
Current deferred liabilities
-67.08%240K
-67.08%240K
-46.52%729K
-46.52%729K
64.02%1.36M
64.02%1.36M
--831K
--831K
----
----
Current liabilities
-15.06%100.01M
-15.06%100.01M
5.05%117.75M
5.05%117.75M
3.89%112.09M
3.89%112.09M
3.95%107.89M
3.95%107.89M
-3.69%103.79M
-3.69%103.79M
Non current liabilities
-Long term debt
-17.25%28.01M
-17.25%28.01M
-33.28%33.85M
-33.28%33.85M
-0.31%50.74M
-0.31%50.74M
5,152.43%50.9M
5,152.43%50.9M
-0.82%969K
-0.82%969K
Non current accrued expenses
-8.25%86.48M
-8.25%86.48M
-16.51%94.25M
-16.51%94.25M
4.64%112.89M
4.64%112.89M
77.20%107.88M
77.20%107.88M
66.85%60.88M
66.85%60.88M
Long term provisions
----
----
-58.26%21.46M
-58.26%21.46M
-12.81%51.4M
-12.81%51.4M
-37.22%58.95M
-37.22%58.95M
4.05%93.9M
4.05%93.9M
Employee benefits
-25.62%331K
-25.62%331K
-27.41%445K
-27.41%445K
-58.36%613K
-58.36%613K
-13.00%1.47M
-13.00%1.47M
-62.81%1.69M
-62.81%1.69M
Regulatory liabilities
-60.14%-1.35M
-60.14%-1.35M
-104.12%-843K
-104.12%-843K
34.24%-413K
34.24%-413K
41.03%-628K
41.03%-628K
-11.29%-1.07M
-11.29%-1.07M
Preferred securities outside stock equity
-7.15%9.68M
-7.15%9.68M
-16.22%10.42M
-16.22%10.42M
7.94%12.44M
7.94%12.44M
6.04%11.53M
6.04%11.53M
46.76%10.87M
46.76%10.87M
Total non current liabilities
-25.56%131.43M
-25.56%131.43M
-18.98%176.57M
-18.98%176.57M
-1.74%217.92M
-1.74%217.92M
9.28%221.78M
9.28%221.78M
-2.06%202.94M
-2.06%202.94M
Shareholders'equity
Share capital
9.89%320.54M
9.89%320.54M
0.00%291.68M
0.00%291.68M
0.00%291.68M
0.00%291.68M
0.02%291.68M
0.02%291.68M
33.96%291.62M
33.96%291.62M
-common stock
9.89%320.54M
9.89%320.54M
0.00%291.68M
0.00%291.68M
0.00%291.68M
0.00%291.68M
0.02%291.68M
0.02%291.68M
33.96%291.62M
33.96%291.62M
Gains losses not affecting retained earnings
24.97%2.31M
24.97%2.31M
2.44%1.85M
2.44%1.85M
275.85%1.81M
275.85%1.81M
-184.11%-1.03M
-184.11%-1.03M
-2.32%1.22M
-2.32%1.22M
Other equity interest
----
----
-47.64%1.8M
-47.64%1.8M
243.80%3.44M
243.80%3.44M
-75.53%1M
-75.53%1M
--4.09M
--4.09M
Total equity
-8.88%267.21M
-8.88%267.21M
-19.18%293.26M
-19.18%293.26M
0.43%362.88M
0.43%362.88M
6.89%361.33M
6.89%361.33M
-20.90%338.03M
-20.90%338.03M
(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
Current assets
Cash, cash equivalents and short term investments 250.81%10.81M250.81%10.81M-72.96%3.08M-72.96%3.08M-51.33%11.39M-51.33%11.39M-0.68%23.4M-0.68%23.4M634.84%23.56M634.84%23.56M
-Cash and cash equivalents 529.58%8.32M529.58%8.32M-83.23%1.32M-83.23%1.32M-63.12%7.88M-63.12%7.88M-9.25%21.38M-9.25%21.38M634.84%23.56M634.84%23.56M
-Accounts receivable -22.90%63.52M-22.90%63.52M36.38%82.39M36.38%82.39M-9.86%60.41M-9.86%60.41M-17.75%67.02M-17.75%67.02M0.18%81.48M0.18%81.48M
-Notes receivable -25.62%331K-25.62%331K-27.41%445K-27.41%445K-58.36%613K-58.36%613K-13.00%1.47M-13.00%1.47M-62.81%1.69M-62.81%1.69M
-Other receivables -16.32%25.57M-16.32%25.57M10.19%30.56M10.19%30.56M46.38%27.73M46.38%27.73M24.92%18.95M24.92%18.95M-42.92%15.17M-42.92%15.17M
Current deferred assets -11.11%656K-11.11%656K64.00%738K64.00%738K--450K--450K----------6.3M--6.3M
Total current assets -14.87%142.28M-14.87%142.28M-0.59%167.14M-0.59%167.14M-2.57%168.14M-2.57%168.14M-14.76%172.57M-14.76%172.57M5.65%202.45M5.65%202.45M
Non current assets
-Accumulated depreciation -9.75%-73.71M-9.75%-73.71M-11.12%-67.16M-11.12%-67.16M-13.58%-60.44M-13.58%-60.44M-17.77%-53.21M-17.77%-53.21M-92.22%-45.19M-92.22%-45.19M
-Long term equity investment -49.35%28.01M-49.35%28.01M-45.85%55.31M-45.85%55.31M-7.02%102.14M-7.02%102.14M15.78%109.85M15.78%109.85M4.00%94.87M4.00%94.87M
-Including:Held to maturity investments -76.95%499K-76.95%499K100.28%2.17M100.28%2.17M--1.08M--1.08M---------76.38%111K-76.38%111K
Non current note receivables 138.58%6.15M138.58%6.15M-68.38%2.58M-68.38%2.58M-24.54%8.16M-24.54%8.16M32.50%10.81M32.50%10.81M-43.87%8.16M-43.87%8.16M
-Goodwill 10.24%32.3M10.24%32.3M-58.66%29.3M-58.66%29.3M6.79%70.86M6.79%70.86M-0.30%66.35M-0.30%66.35M-63.97%66.55M-63.97%66.55M
Regulatory assets -23.53%63.8M-23.53%63.8M13.91%83.44M13.91%83.44M-5.56%73.25M-5.56%73.25M-14.09%77.56M-14.09%77.56M8.32%90.28M8.32%90.28M
Liabilities
Current liabilities
Current debt and capital lease obligation 122.44%24.8M122.44%24.8M-35.99%11.15M-35.99%11.15M13.58%17.42M13.58%17.42M31.95%15.34M31.95%15.34M93.59%11.62M93.59%11.62M
-Current debt 358.63%16.08M358.63%16.08M-53.27%3.51M-53.27%3.51M0.00%7.5M0.00%7.5M-30.61%7.5M-30.61%7.5M115.64%10.81M115.64%10.81M
-Current capital lease obligation 14.15%8.73M14.15%8.73M-22.93%7.65M-22.93%7.65M26.58%9.92M26.58%9.92M861.47%7.84M861.47%7.84M-17.84%815K-17.84%815K
-accounts payable -45.52%32.41M-45.52%32.41M28.88%59.49M28.88%59.49M-5.59%46.16M-5.59%46.16M-17.04%48.89M-17.04%48.89M-11.63%58.94M-11.63%58.94M
-Total tax payable -46.58%31.42M-46.58%31.42M-44.42%58.82M-44.42%58.82M-7.07%105.84M-7.07%105.84M14.87%113.89M14.87%113.89M-0.30%99.15M-0.30%99.15M
-Other payable -----------------23.89%2.83M-23.89%2.83M--3.72M--3.72M--------
Current provisions -87.72%539K-87.72%539K16.21%4.39M16.21%4.39M-63.10%3.78M-63.10%3.78M62.26%10.23M62.26%10.23M684.33%6.31M684.33%6.31M
Current deferred liabilities -67.08%240K-67.08%240K-46.52%729K-46.52%729K64.02%1.36M64.02%1.36M--831K--831K--------
Current liabilities -15.06%100.01M-15.06%100.01M5.05%117.75M5.05%117.75M3.89%112.09M3.89%112.09M3.95%107.89M3.95%107.89M-3.69%103.79M-3.69%103.79M
Non current liabilities
-Long term debt -17.25%28.01M-17.25%28.01M-33.28%33.85M-33.28%33.85M-0.31%50.74M-0.31%50.74M5,152.43%50.9M5,152.43%50.9M-0.82%969K-0.82%969K
Non current accrued expenses -8.25%86.48M-8.25%86.48M-16.51%94.25M-16.51%94.25M4.64%112.89M4.64%112.89M77.20%107.88M77.20%107.88M66.85%60.88M66.85%60.88M
Long term provisions ---------58.26%21.46M-58.26%21.46M-12.81%51.4M-12.81%51.4M-37.22%58.95M-37.22%58.95M4.05%93.9M4.05%93.9M
Employee benefits -25.62%331K-25.62%331K-27.41%445K-27.41%445K-58.36%613K-58.36%613K-13.00%1.47M-13.00%1.47M-62.81%1.69M-62.81%1.69M
Regulatory liabilities -60.14%-1.35M-60.14%-1.35M-104.12%-843K-104.12%-843K34.24%-413K34.24%-413K41.03%-628K41.03%-628K-11.29%-1.07M-11.29%-1.07M
Preferred securities outside stock equity -7.15%9.68M-7.15%9.68M-16.22%10.42M-16.22%10.42M7.94%12.44M7.94%12.44M6.04%11.53M6.04%11.53M46.76%10.87M46.76%10.87M
Total non current liabilities -25.56%131.43M-25.56%131.43M-18.98%176.57M-18.98%176.57M-1.74%217.92M-1.74%217.92M9.28%221.78M9.28%221.78M-2.06%202.94M-2.06%202.94M
Shareholders'equity
Share capital 9.89%320.54M9.89%320.54M0.00%291.68M0.00%291.68M0.00%291.68M0.00%291.68M0.02%291.68M0.02%291.68M33.96%291.62M33.96%291.62M
-common stock 9.89%320.54M9.89%320.54M0.00%291.68M0.00%291.68M0.00%291.68M0.00%291.68M0.02%291.68M0.02%291.68M33.96%291.62M33.96%291.62M
Gains losses not affecting retained earnings 24.97%2.31M24.97%2.31M2.44%1.85M2.44%1.85M275.85%1.81M275.85%1.81M-184.11%-1.03M-184.11%-1.03M-2.32%1.22M-2.32%1.22M
Other equity interest ---------47.64%1.8M-47.64%1.8M243.80%3.44M243.80%3.44M-75.53%1M-75.53%1M--4.09M--4.09M
Total equity -8.88%267.21M-8.88%267.21M-19.18%293.26M-19.18%293.26M0.43%362.88M0.43%362.88M6.89%361.33M6.89%361.33M-20.90%338.03M-20.90%338.03M

Analysis

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