AU Stock MarketDetailed Quotes

SKT Sky Network Television Ltd

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  • 2.420
  • +0.020+0.83%
20min DelayMarket Closed Sep 27 15:38 AET
333.17MMarket Cap7.45P/E (Static)

Sky Network Television 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
-32.56%37.8M
-32.56%37.8M
-59.65%56.05M
-59.65%56.05M
299.18%138.92M
299.18%138.92M
-68.56%34.8M
-68.56%34.8M
2,484.10%110.68M
2,484.10%110.68M
-Cash and cash equivalents
-32.56%37.8M
-32.56%37.8M
-59.65%56.05M
-59.65%56.05M
299.18%138.92M
299.18%138.92M
-68.56%34.8M
-68.56%34.8M
2,484.10%110.68M
2,484.10%110.68M
-Accounts receivable
11.45%37.27M
11.45%37.27M
-5.57%33.44M
-5.57%33.44M
-6.04%35.42M
-6.04%35.42M
-6.22%37.69M
-6.22%37.69M
-21.81%40.19M
-21.81%40.19M
-Other receivables
----
----
----
----
-4.38%51.03M
-4.38%51.03M
-34.93%53.37M
-34.93%53.37M
43.68%82.01M
43.68%82.01M
Holding assets for sale
----
----
----
----
----
----
----
----
--8.37M
--8.37M
Total current assets
-4.43%237.22M
-4.43%237.22M
-24.79%248.22M
-24.79%248.22M
61.05%330.03M
61.05%330.03M
-30.06%204.92M
-30.06%204.92M
82.25%292.99M
82.25%292.99M
Non current assets
-Accumulated depreciation
4.16%-583.43M
4.16%-583.43M
1.23%-608.74M
1.23%-608.74M
2.64%-616.32M
2.64%-616.32M
9.27%-633.05M
9.27%-633.05M
4.85%-697.76M
4.85%-697.76M
-Long term equity investment
-34.98%15.38M
-34.98%15.38M
-40.03%23.65M
-40.03%23.65M
5.62%39.44M
5.62%39.44M
-50.34%37.34M
-50.34%37.34M
-60.83%75.19M
-60.83%75.19M
-Including:Held to maturity investments
-74.53%1.33M
-74.53%1.33M
-63.51%5.23M
-63.51%5.23M
964.96%14.35M
964.96%14.35M
-58.74%1.35M
-58.74%1.35M
-34.95%3.27M
-34.95%3.27M
Financial assets
-18.18%1.21M
-18.18%1.21M
-66.98%1.47M
-66.98%1.47M
158.93%4.46M
158.93%4.46M
273.97%1.72M
273.97%1.72M
-70.52%461K
-70.52%461K
Non current note receivables
----
----
-26.47%3.62M
-26.47%3.62M
-20.17%4.92M
-20.17%4.92M
2,752.78%6.16M
2,752.78%6.16M
--216K
--216K
-Goodwill
-0.38%304.38M
-0.38%304.38M
3.24%305.55M
3.24%305.55M
-4.82%295.96M
-4.82%295.96M
-3.69%310.95M
-3.69%310.95M
-27.58%322.87M
-27.58%322.87M
Regulatory assets
25.44%53.61M
25.44%53.61M
-6.68%42.73M
-6.68%42.73M
-12.39%45.79M
-12.39%45.79M
15.35%52.27M
15.35%52.27M
-14.72%45.31M
-14.72%45.31M
Non current deferred assets
--4.93M
--4.93M
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----
----
----
----
----
----
----
Liabilities
Current liabilities
Current debt and capital lease obligation
-63.63%9.34M
-63.63%9.34M
-20.49%25.67M
-20.49%25.67M
-19.73%32.28M
-19.73%32.28M
-70.72%40.21M
-70.72%40.21M
7,973.31%137.33M
7,973.31%137.33M
-Current debt
----
----
----
----
-8.97%1.04M
-8.97%1.04M
-98.87%1.14M
-98.87%1.14M
9,119.12%100.77M
9,119.12%100.77M
-Current capital lease obligation
-63.63%9.34M
-63.63%9.34M
-17.86%25.67M
-17.86%25.67M
-20.04%31.24M
-20.04%31.24M
6.87%39.07M
6.87%39.07M
5,913.49%36.56M
5,913.49%36.56M
-accounts payable
-0.46%133.75M
-0.46%133.75M
33.46%134.37M
33.46%134.37M
20.27%100.68M
20.27%100.68M
-10.96%83.71M
-10.96%83.71M
19.00%94.01M
19.00%94.01M
-Total tax payable
-34.66%16.3M
-34.66%16.3M
-41.38%24.95M
-41.38%24.95M
8.41%42.56M
8.41%42.56M
-51.46%39.25M
-51.46%39.25M
-62.18%80.87M
-62.18%80.87M
-Other payable
----
----
----
----
-4.87%12.78M
-4.87%12.78M
--13.44M
--13.44M
----
----
Current provisions
11.31%2.45M
11.31%2.45M
--2.2M
--2.2M
----
----
62.15%1.5M
62.15%1.5M
-66.12%922K
-66.12%922K
Current deferred liabilities
13.22%70.64M
13.22%70.64M
11.79%62.39M
11.79%62.39M
610.97%55.81M
610.97%55.81M
-47.81%7.85M
-47.81%7.85M
-77.02%15.04M
-77.02%15.04M
Current liabilities
-3.76%216.17M
-3.76%216.17M
-6.33%224.62M
-6.33%224.62M
0.38%239.8M
0.38%239.8M
-37.48%238.9M
-37.48%238.9M
85.53%382.09M
85.53%382.09M
Non current liabilities
-Long term debt
-34.98%15.38M
-34.98%15.38M
-40.03%23.65M
-40.03%23.65M
8.63%39.44M
8.63%39.44M
-50.48%36.3M
-50.48%36.3M
3,981.46%73.3M
3,981.46%73.3M
Non current accrued expenses
1.78%133.65M
1.78%133.65M
2.04%131.32M
2.04%131.32M
-21.75%128.69M
-21.75%128.69M
-25.72%164.46M
-25.72%164.46M
35.65%221.41M
35.65%221.41M
Derivative product liabilities
-51.94%335K
-51.94%335K
--697K
--697K
----
----
-15.56%342K
-15.56%342K
-86.28%405K
-86.28%405K
Long term provisions
----
----
----
----
----
----
-45.03%1.04M
-45.03%1.04M
-99.01%1.88M
-99.01%1.88M
Regulatory liabilities
-35.94%-904K
-35.94%-904K
58.12%-665K
58.12%-665K
-24.84%-1.59M
-24.84%-1.59M
-41.65%-1.27M
-41.65%-1.27M
-55.09%-898K
-55.09%-898K
Total non current liabilities
-6.85%232.47M
-6.85%232.47M
-11.61%249.57M
-11.61%249.57M
1.51%282.36M
1.51%282.36M
-39.92%278.15M
-39.92%278.15M
10.29%462.97M
10.29%462.97M
Shareholders'equity
Share capital
-2.45%676.76M
-2.45%676.76M
-9.76%693.72M
-9.76%693.72M
0.00%768.77M
0.00%768.77M
0.15%768.77M
0.15%768.77M
32.94%767.61M
32.94%767.61M
-common stock
-2.45%676.76M
-2.45%676.76M
-9.76%693.72M
-9.76%693.72M
0.00%768.77M
0.00%768.77M
0.15%768.77M
0.15%768.77M
32.94%767.61M
32.94%767.61M
Gains losses not affecting retained earnings
-69.78%359K
-69.78%359K
-87.43%1.19M
-87.43%1.19M
813.33%9.45M
813.33%9.45M
4.44%1.04M
4.44%1.04M
1,969.81%991K
1,969.81%991K
Total equity
-1.27%681.38M
-1.27%681.38M
-11.16%690.17M
-11.16%690.17M
10.72%776.85M
10.72%776.85M
-16.26%701.65M
-16.26%701.65M
8.63%837.94M
8.63%837.94M
(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 -32.56%37.8M-32.56%37.8M-59.65%56.05M-59.65%56.05M299.18%138.92M299.18%138.92M-68.56%34.8M-68.56%34.8M2,484.10%110.68M2,484.10%110.68M
-Cash and cash equivalents -32.56%37.8M-32.56%37.8M-59.65%56.05M-59.65%56.05M299.18%138.92M299.18%138.92M-68.56%34.8M-68.56%34.8M2,484.10%110.68M2,484.10%110.68M
-Accounts receivable 11.45%37.27M11.45%37.27M-5.57%33.44M-5.57%33.44M-6.04%35.42M-6.04%35.42M-6.22%37.69M-6.22%37.69M-21.81%40.19M-21.81%40.19M
-Other receivables -----------------4.38%51.03M-4.38%51.03M-34.93%53.37M-34.93%53.37M43.68%82.01M43.68%82.01M
Holding assets for sale ----------------------------------8.37M--8.37M
Total current assets -4.43%237.22M-4.43%237.22M-24.79%248.22M-24.79%248.22M61.05%330.03M61.05%330.03M-30.06%204.92M-30.06%204.92M82.25%292.99M82.25%292.99M
Non current assets
-Accumulated depreciation 4.16%-583.43M4.16%-583.43M1.23%-608.74M1.23%-608.74M2.64%-616.32M2.64%-616.32M9.27%-633.05M9.27%-633.05M4.85%-697.76M4.85%-697.76M
-Long term equity investment -34.98%15.38M-34.98%15.38M-40.03%23.65M-40.03%23.65M5.62%39.44M5.62%39.44M-50.34%37.34M-50.34%37.34M-60.83%75.19M-60.83%75.19M
-Including:Held to maturity investments -74.53%1.33M-74.53%1.33M-63.51%5.23M-63.51%5.23M964.96%14.35M964.96%14.35M-58.74%1.35M-58.74%1.35M-34.95%3.27M-34.95%3.27M
Financial assets -18.18%1.21M-18.18%1.21M-66.98%1.47M-66.98%1.47M158.93%4.46M158.93%4.46M273.97%1.72M273.97%1.72M-70.52%461K-70.52%461K
Non current note receivables ---------26.47%3.62M-26.47%3.62M-20.17%4.92M-20.17%4.92M2,752.78%6.16M2,752.78%6.16M--216K--216K
-Goodwill -0.38%304.38M-0.38%304.38M3.24%305.55M3.24%305.55M-4.82%295.96M-4.82%295.96M-3.69%310.95M-3.69%310.95M-27.58%322.87M-27.58%322.87M
Regulatory assets 25.44%53.61M25.44%53.61M-6.68%42.73M-6.68%42.73M-12.39%45.79M-12.39%45.79M15.35%52.27M15.35%52.27M-14.72%45.31M-14.72%45.31M
Non current deferred assets --4.93M--4.93M--------------------------------
Liabilities
Current liabilities
Current debt and capital lease obligation -63.63%9.34M-63.63%9.34M-20.49%25.67M-20.49%25.67M-19.73%32.28M-19.73%32.28M-70.72%40.21M-70.72%40.21M7,973.31%137.33M7,973.31%137.33M
-Current debt -----------------8.97%1.04M-8.97%1.04M-98.87%1.14M-98.87%1.14M9,119.12%100.77M9,119.12%100.77M
-Current capital lease obligation -63.63%9.34M-63.63%9.34M-17.86%25.67M-17.86%25.67M-20.04%31.24M-20.04%31.24M6.87%39.07M6.87%39.07M5,913.49%36.56M5,913.49%36.56M
-accounts payable -0.46%133.75M-0.46%133.75M33.46%134.37M33.46%134.37M20.27%100.68M20.27%100.68M-10.96%83.71M-10.96%83.71M19.00%94.01M19.00%94.01M
-Total tax payable -34.66%16.3M-34.66%16.3M-41.38%24.95M-41.38%24.95M8.41%42.56M8.41%42.56M-51.46%39.25M-51.46%39.25M-62.18%80.87M-62.18%80.87M
-Other payable -----------------4.87%12.78M-4.87%12.78M--13.44M--13.44M--------
Current provisions 11.31%2.45M11.31%2.45M--2.2M--2.2M--------62.15%1.5M62.15%1.5M-66.12%922K-66.12%922K
Current deferred liabilities 13.22%70.64M13.22%70.64M11.79%62.39M11.79%62.39M610.97%55.81M610.97%55.81M-47.81%7.85M-47.81%7.85M-77.02%15.04M-77.02%15.04M
Current liabilities -3.76%216.17M-3.76%216.17M-6.33%224.62M-6.33%224.62M0.38%239.8M0.38%239.8M-37.48%238.9M-37.48%238.9M85.53%382.09M85.53%382.09M
Non current liabilities
-Long term debt -34.98%15.38M-34.98%15.38M-40.03%23.65M-40.03%23.65M8.63%39.44M8.63%39.44M-50.48%36.3M-50.48%36.3M3,981.46%73.3M3,981.46%73.3M
Non current accrued expenses 1.78%133.65M1.78%133.65M2.04%131.32M2.04%131.32M-21.75%128.69M-21.75%128.69M-25.72%164.46M-25.72%164.46M35.65%221.41M35.65%221.41M
Derivative product liabilities -51.94%335K-51.94%335K--697K--697K---------15.56%342K-15.56%342K-86.28%405K-86.28%405K
Long term provisions -------------------------45.03%1.04M-45.03%1.04M-99.01%1.88M-99.01%1.88M
Regulatory liabilities -35.94%-904K-35.94%-904K58.12%-665K58.12%-665K-24.84%-1.59M-24.84%-1.59M-41.65%-1.27M-41.65%-1.27M-55.09%-898K-55.09%-898K
Total non current liabilities -6.85%232.47M-6.85%232.47M-11.61%249.57M-11.61%249.57M1.51%282.36M1.51%282.36M-39.92%278.15M-39.92%278.15M10.29%462.97M10.29%462.97M
Shareholders'equity
Share capital -2.45%676.76M-2.45%676.76M-9.76%693.72M-9.76%693.72M0.00%768.77M0.00%768.77M0.15%768.77M0.15%768.77M32.94%767.61M32.94%767.61M
-common stock -2.45%676.76M-2.45%676.76M-9.76%693.72M-9.76%693.72M0.00%768.77M0.00%768.77M0.15%768.77M0.15%768.77M32.94%767.61M32.94%767.61M
Gains losses not affecting retained earnings -69.78%359K-69.78%359K-87.43%1.19M-87.43%1.19M813.33%9.45M813.33%9.45M4.44%1.04M4.44%1.04M1,969.81%991K1,969.81%991K
Total equity -1.27%681.38M-1.27%681.38M-11.16%690.17M-11.16%690.17M10.72%776.85M10.72%776.85M-16.26%701.65M-16.26%701.65M8.63%837.94M8.63%837.94M

Analysis

Analyst Rating

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Price Target

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