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UNTO Unith Ltd

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  • 0.001
  • 0.0000.00%
20min DelayMarket Closed May 13 14:34 AET
0Market Cap0.00P/E (Static)

Unith 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
91.18%4.26M
91.18%4.26M
-29.10%2.23M
-29.10%2.23M
64.21%3.14M
64.21%3.14M
128.00%1.91M
128.00%1.91M
-67.21%839.46K
-67.21%839.46K
-Cash and cash equivalents
91.18%4.26M
91.18%4.26M
-29.10%2.23M
-29.10%2.23M
64.21%3.14M
64.21%3.14M
128.00%1.91M
128.00%1.91M
-67.21%839.46K
-67.21%839.46K
Receivables
-48.07%305.32K
-48.07%305.32K
-52.65%587.93K
-52.65%587.93K
-42.94%1.24M
-42.94%1.24M
-55.79%2.18M
-55.79%2.18M
-37.05%4.92M
-37.05%4.92M
-Accounts receivable
-17.86%719.53K
-17.86%719.53K
-41.58%875.95K
-41.58%875.95K
-32.61%1.5M
-32.61%1.5M
-43.00%2.22M
-43.00%2.22M
32.45%3.9M
32.45%3.9M
-Other receivables
----
----
----
----
-95.53%18.69K
-95.53%18.69K
-85.11%418.49K
-85.11%418.49K
-48.95%2.81M
-48.95%2.81M
-Recievables adjustments allowances
-43.81%-414.21K
-43.81%-414.21K
-4.24%-288.02K
-4.24%-288.02K
40.84%-276.29K
40.84%-276.29K
73.94%-467.05K
73.94%-467.05K
-182.80%-1.79M
-182.80%-1.79M
Inventory
----
----
----
----
248.93%412.57K
248.93%412.57K
--118.24K
--118.24K
----
----
Prepaid assets
-43.17%165.32K
-43.17%165.32K
58.34%290.91K
58.34%290.91K
-17.96%183.73K
-17.96%183.73K
-7.20%223.95K
-7.20%223.95K
-42.45%241.33K
-42.45%241.33K
Current deferred assets
----
----
----
----
----
----
41.28%471.97K
41.28%471.97K
-2.87%334.08K
-2.87%334.08K
Other current assets
-29.74%489.58K
-29.74%489.58K
-40.41%696.85K
-40.41%696.85K
-40.47%1.17M
-40.47%1.17M
2,515.88%1.96M
2,515.88%1.96M
-0.94%75.1K
-0.94%75.1K
Total current assets
37.24%5.22M
37.24%5.22M
-38.15%3.8M
-38.15%3.8M
-10.46%6.15M
-10.46%6.15M
7.12%6.87M
7.12%6.87M
-42.84%6.41M
-42.84%6.41M
Non current assets
Net PPE
-17.83%1M
-17.83%1M
-26.11%1.22M
-26.11%1.22M
-24.15%1.65M
-24.15%1.65M
516.46%2.18M
516.46%2.18M
-29.19%352.89K
-29.19%352.89K
-Gross PPE
8.94%3.13M
8.94%3.13M
-4.17%2.87M
-4.17%2.87M
-10.54%3M
-10.54%3M
240.43%3.35M
240.43%3.35M
-30.16%983.95K
-30.16%983.95K
-Accumulated depreciation
-28.70%-2.13M
-28.70%-2.13M
-22.71%-1.65M
-22.71%-1.65M
-14.67%-1.35M
-14.67%-1.35M
-86.08%-1.17M
-86.08%-1.17M
30.69%-631.06K
30.69%-631.06K
Investments and advances
282.42%4.33M
282.42%4.33M
-13.00%1.13M
-13.00%1.13M
--1.3M
--1.3M
----
----
----
----
-Long term equity investment
----
----
----
----
--318.83K
--318.83K
----
----
----
----
-Other investment
282.42%4.33M
282.42%4.33M
15.20%1.13M
15.20%1.13M
--983.49K
--983.49K
----
----
----
----
Goodwill and other intangible assets
70.02%1.62M
70.02%1.62M
87.83%952.36K
87.83%952.36K
-38.55%507.02K
-38.55%507.02K
34.39%825.16K
34.39%825.16K
-13.99%613.99K
-13.99%613.99K
-Goodwill
----
----
----
----
----
----
0.00%317.21K
0.00%317.21K
0.00%317.21K
0.00%317.21K
-Other intangible assets
70.02%1.62M
70.02%1.62M
87.83%952.36K
87.83%952.36K
-0.18%507.02K
-0.18%507.02K
71.15%507.94K
71.15%507.94K
-25.18%296.78K
-25.18%296.78K
Non current deferred assets
----
----
----
----
----
----
42.06%2.24M
42.06%2.24M
229.17%1.58M
229.17%1.58M
Other non current assets
----
----
3.49%243.78K
3.49%243.78K
--235.55K
--235.55K
----
----
----
----
Total non current assets
95.97%6.95M
95.97%6.95M
-3.97%3.55M
-3.97%3.55M
-29.55%3.7M
-29.55%3.7M
105.95%5.25M
105.95%5.25M
50.50%2.55M
50.50%2.55M
Total assets
65.58%12.17M
65.58%12.17M
-25.32%7.35M
-25.32%7.35M
-18.73%9.85M
-18.73%9.85M
35.21%12.11M
35.21%12.11M
-30.61%8.96M
-30.61%8.96M
Liabilities
Current liabilities
Current debt and capital lease obligation
15.73%342.92K
15.73%342.92K
-67.51%296.32K
-67.51%296.32K
-71.42%911.98K
-71.42%911.98K
--3.19M
--3.19M
----
----
-Current debt
----
----
----
----
-78.50%624.74K
-78.50%624.74K
--2.91M
--2.91M
----
----
-Current capital lease obligation
15.73%342.92K
15.73%342.92K
3.16%296.32K
3.16%296.32K
0.63%287.23K
0.63%287.23K
--285.43K
--285.43K
----
----
Payables
30.64%1.85M
30.64%1.85M
-36.99%1.41M
-36.99%1.41M
-39.85%2.24M
-39.85%2.24M
-8.94%3.73M
-8.94%3.73M
-16.21%4.09M
-16.21%4.09M
-accounts payable
34.06%866.25K
34.06%866.25K
-41.23%646.16K
-41.23%646.16K
-36.62%1.1M
-36.62%1.1M
-9.75%1.73M
-9.75%1.73M
-25.17%1.92M
-25.17%1.92M
-Other payable
27.75%979.05K
27.75%979.05K
-32.92%766.37K
-32.92%766.37K
-42.67%1.14M
-42.67%1.14M
-8.23%1.99M
-8.23%1.99M
-6.28%2.17M
-6.28%2.17M
Current provisions
----
----
----
----
-92.76%11.07K
-92.76%11.07K
-72.25%152.85K
-72.25%152.85K
--550.91K
--550.91K
Pension and other retirement benefit plans
-8.87%11.38K
-8.87%11.38K
-71.07%12.49K
-71.07%12.49K
221.46%43.16K
221.46%43.16K
-70.87%13.43K
-70.87%13.43K
-44.06%46.1K
-44.06%46.1K
Current deferred liabilities
----
----
----
----
28.41%109.23K
28.41%109.23K
-51.76%85.06K
-51.76%85.06K
--176.35K
--176.35K
Other current liabilities
--6.5K
--6.5K
----
----
----
----
----
----
----
----
Current liabilities
28.16%2.21M
28.16%2.21M
-48.11%1.72M
-48.11%1.72M
-53.73%3.32M
-53.73%3.32M
47.31%7.17M
47.31%7.17M
-41.05%4.87M
-41.05%4.87M
Non current liabilities
Long term debt and capital lease obligation
-29.03%659.97K
-29.03%659.97K
-27.16%929.91K
-27.16%929.91K
-45.97%1.28M
-45.97%1.28M
-21.02%2.36M
-21.02%2.36M
--2.99M
--2.99M
-Long term debt
----
----
----
----
----
----
-78.30%649.32K
-78.30%649.32K
--2.99M
--2.99M
-Long term capital lease obligation
-29.03%659.97K
-29.03%659.97K
-27.16%929.91K
-27.16%929.91K
-25.49%1.28M
-25.49%1.28M
--1.71M
--1.71M
----
----
Derivative product liabilities
----
----
----
----
----
----
----
----
--152.47K
--152.47K
Total non current liabilities
-29.03%659.97K
-29.03%659.97K
-27.16%929.91K
-27.16%929.91K
-45.97%1.28M
-45.97%1.28M
-24.85%2.36M
-24.85%2.36M
--3.14M
--3.14M
Total liabilities
8.10%2.87M
8.10%2.87M
-42.29%2.65M
-42.29%2.65M
-51.81%4.59M
-51.81%4.59M
18.99%9.53M
18.99%9.53M
-2.96%8.01M
-2.96%8.01M
Shareholders'equity
Share capital
12.04%47.82M
12.04%47.82M
6.58%42.69M
6.58%42.69M
26.75%40.05M
26.75%40.05M
10.03%31.6M
10.03%31.6M
1.96%28.72M
1.96%28.72M
-common stock
12.04%47.82M
12.04%47.82M
6.58%42.69M
6.58%42.69M
26.75%40.05M
26.75%40.05M
10.03%31.6M
10.03%31.6M
1.96%28.72M
1.96%28.72M
Retained earnings
-1.19%-44.43M
-1.19%-44.43M
-7.14%-43.91M
-7.14%-43.91M
-17.95%-40.99M
-17.95%-40.99M
-5.83%-34.75M
-5.83%-34.75M
-16.22%-32.83M
-16.22%-32.83M
Gains losses not affecting retained earnings
-0.06%5.92M
-0.06%5.92M
-4.18%5.93M
-4.18%5.93M
7.95%6.19M
7.95%6.19M
13.20%5.73M
13.20%5.73M
6.82%5.06M
6.82%5.06M
Total stockholders'equity
98.16%9.32M
98.16%9.32M
-10.48%4.7M
-10.48%4.7M
103.40%5.25M
103.40%5.25M
172.31%2.58M
172.31%2.58M
-79.63%948.11K
-79.63%948.11K
Noncontrolling interests
---7.65K
---7.65K
----
----
----
----
----
----
----
----
Total equity
98.00%9.31M
98.00%9.31M
-10.48%4.7M
-10.48%4.7M
103.40%5.25M
103.40%5.25M
172.31%2.58M
172.31%2.58M
-79.63%948.11K
-79.63%948.11K
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
Current assets
Cash, cash equivalents and short term investments 91.18%4.26M91.18%4.26M-29.10%2.23M-29.10%2.23M64.21%3.14M64.21%3.14M128.00%1.91M128.00%1.91M-67.21%839.46K-67.21%839.46K
-Cash and cash equivalents 91.18%4.26M91.18%4.26M-29.10%2.23M-29.10%2.23M64.21%3.14M64.21%3.14M128.00%1.91M128.00%1.91M-67.21%839.46K-67.21%839.46K
Receivables -48.07%305.32K-48.07%305.32K-52.65%587.93K-52.65%587.93K-42.94%1.24M-42.94%1.24M-55.79%2.18M-55.79%2.18M-37.05%4.92M-37.05%4.92M
-Accounts receivable -17.86%719.53K-17.86%719.53K-41.58%875.95K-41.58%875.95K-32.61%1.5M-32.61%1.5M-43.00%2.22M-43.00%2.22M32.45%3.9M32.45%3.9M
-Other receivables -----------------95.53%18.69K-95.53%18.69K-85.11%418.49K-85.11%418.49K-48.95%2.81M-48.95%2.81M
-Recievables adjustments allowances -43.81%-414.21K-43.81%-414.21K-4.24%-288.02K-4.24%-288.02K40.84%-276.29K40.84%-276.29K73.94%-467.05K73.94%-467.05K-182.80%-1.79M-182.80%-1.79M
Inventory ----------------248.93%412.57K248.93%412.57K--118.24K--118.24K--------
Prepaid assets -43.17%165.32K-43.17%165.32K58.34%290.91K58.34%290.91K-17.96%183.73K-17.96%183.73K-7.20%223.95K-7.20%223.95K-42.45%241.33K-42.45%241.33K
Current deferred assets ------------------------41.28%471.97K41.28%471.97K-2.87%334.08K-2.87%334.08K
Other current assets -29.74%489.58K-29.74%489.58K-40.41%696.85K-40.41%696.85K-40.47%1.17M-40.47%1.17M2,515.88%1.96M2,515.88%1.96M-0.94%75.1K-0.94%75.1K
Total current assets 37.24%5.22M37.24%5.22M-38.15%3.8M-38.15%3.8M-10.46%6.15M-10.46%6.15M7.12%6.87M7.12%6.87M-42.84%6.41M-42.84%6.41M
Non current assets
Net PPE -17.83%1M-17.83%1M-26.11%1.22M-26.11%1.22M-24.15%1.65M-24.15%1.65M516.46%2.18M516.46%2.18M-29.19%352.89K-29.19%352.89K
-Gross PPE 8.94%3.13M8.94%3.13M-4.17%2.87M-4.17%2.87M-10.54%3M-10.54%3M240.43%3.35M240.43%3.35M-30.16%983.95K-30.16%983.95K
-Accumulated depreciation -28.70%-2.13M-28.70%-2.13M-22.71%-1.65M-22.71%-1.65M-14.67%-1.35M-14.67%-1.35M-86.08%-1.17M-86.08%-1.17M30.69%-631.06K30.69%-631.06K
Investments and advances 282.42%4.33M282.42%4.33M-13.00%1.13M-13.00%1.13M--1.3M--1.3M----------------
-Long term equity investment ------------------318.83K--318.83K----------------
-Other investment 282.42%4.33M282.42%4.33M15.20%1.13M15.20%1.13M--983.49K--983.49K----------------
Goodwill and other intangible assets 70.02%1.62M70.02%1.62M87.83%952.36K87.83%952.36K-38.55%507.02K-38.55%507.02K34.39%825.16K34.39%825.16K-13.99%613.99K-13.99%613.99K
-Goodwill ------------------------0.00%317.21K0.00%317.21K0.00%317.21K0.00%317.21K
-Other intangible assets 70.02%1.62M70.02%1.62M87.83%952.36K87.83%952.36K-0.18%507.02K-0.18%507.02K71.15%507.94K71.15%507.94K-25.18%296.78K-25.18%296.78K
Non current deferred assets ------------------------42.06%2.24M42.06%2.24M229.17%1.58M229.17%1.58M
Other non current assets --------3.49%243.78K3.49%243.78K--235.55K--235.55K----------------
Total non current assets 95.97%6.95M95.97%6.95M-3.97%3.55M-3.97%3.55M-29.55%3.7M-29.55%3.7M105.95%5.25M105.95%5.25M50.50%2.55M50.50%2.55M
Total assets 65.58%12.17M65.58%12.17M-25.32%7.35M-25.32%7.35M-18.73%9.85M-18.73%9.85M35.21%12.11M35.21%12.11M-30.61%8.96M-30.61%8.96M
Liabilities
Current liabilities
Current debt and capital lease obligation 15.73%342.92K15.73%342.92K-67.51%296.32K-67.51%296.32K-71.42%911.98K-71.42%911.98K--3.19M--3.19M--------
-Current debt -----------------78.50%624.74K-78.50%624.74K--2.91M--2.91M--------
-Current capital lease obligation 15.73%342.92K15.73%342.92K3.16%296.32K3.16%296.32K0.63%287.23K0.63%287.23K--285.43K--285.43K--------
Payables 30.64%1.85M30.64%1.85M-36.99%1.41M-36.99%1.41M-39.85%2.24M-39.85%2.24M-8.94%3.73M-8.94%3.73M-16.21%4.09M-16.21%4.09M
-accounts payable 34.06%866.25K34.06%866.25K-41.23%646.16K-41.23%646.16K-36.62%1.1M-36.62%1.1M-9.75%1.73M-9.75%1.73M-25.17%1.92M-25.17%1.92M
-Other payable 27.75%979.05K27.75%979.05K-32.92%766.37K-32.92%766.37K-42.67%1.14M-42.67%1.14M-8.23%1.99M-8.23%1.99M-6.28%2.17M-6.28%2.17M
Current provisions -----------------92.76%11.07K-92.76%11.07K-72.25%152.85K-72.25%152.85K--550.91K--550.91K
Pension and other retirement benefit plans -8.87%11.38K-8.87%11.38K-71.07%12.49K-71.07%12.49K221.46%43.16K221.46%43.16K-70.87%13.43K-70.87%13.43K-44.06%46.1K-44.06%46.1K
Current deferred liabilities ----------------28.41%109.23K28.41%109.23K-51.76%85.06K-51.76%85.06K--176.35K--176.35K
Other current liabilities --6.5K--6.5K--------------------------------
Current liabilities 28.16%2.21M28.16%2.21M-48.11%1.72M-48.11%1.72M-53.73%3.32M-53.73%3.32M47.31%7.17M47.31%7.17M-41.05%4.87M-41.05%4.87M
Non current liabilities
Long term debt and capital lease obligation -29.03%659.97K-29.03%659.97K-27.16%929.91K-27.16%929.91K-45.97%1.28M-45.97%1.28M-21.02%2.36M-21.02%2.36M--2.99M--2.99M
-Long term debt -------------------------78.30%649.32K-78.30%649.32K--2.99M--2.99M
-Long term capital lease obligation -29.03%659.97K-29.03%659.97K-27.16%929.91K-27.16%929.91K-25.49%1.28M-25.49%1.28M--1.71M--1.71M--------
Derivative product liabilities ----------------------------------152.47K--152.47K
Total non current liabilities -29.03%659.97K-29.03%659.97K-27.16%929.91K-27.16%929.91K-45.97%1.28M-45.97%1.28M-24.85%2.36M-24.85%2.36M--3.14M--3.14M
Total liabilities 8.10%2.87M8.10%2.87M-42.29%2.65M-42.29%2.65M-51.81%4.59M-51.81%4.59M18.99%9.53M18.99%9.53M-2.96%8.01M-2.96%8.01M
Shareholders'equity
Share capital 12.04%47.82M12.04%47.82M6.58%42.69M6.58%42.69M26.75%40.05M26.75%40.05M10.03%31.6M10.03%31.6M1.96%28.72M1.96%28.72M
-common stock 12.04%47.82M12.04%47.82M6.58%42.69M6.58%42.69M26.75%40.05M26.75%40.05M10.03%31.6M10.03%31.6M1.96%28.72M1.96%28.72M
Retained earnings -1.19%-44.43M-1.19%-44.43M-7.14%-43.91M-7.14%-43.91M-17.95%-40.99M-17.95%-40.99M-5.83%-34.75M-5.83%-34.75M-16.22%-32.83M-16.22%-32.83M
Gains losses not affecting retained earnings -0.06%5.92M-0.06%5.92M-4.18%5.93M-4.18%5.93M7.95%6.19M7.95%6.19M13.20%5.73M13.20%5.73M6.82%5.06M6.82%5.06M
Total stockholders'equity 98.16%9.32M98.16%9.32M-10.48%4.7M-10.48%4.7M103.40%5.25M103.40%5.25M172.31%2.58M172.31%2.58M-79.63%948.11K-79.63%948.11K
Noncontrolling interests ---7.65K---7.65K--------------------------------
Total equity 98.00%9.31M98.00%9.31M-10.48%4.7M-10.48%4.7M103.40%5.25M103.40%5.25M172.31%2.58M172.31%2.58M-79.63%948.11K-79.63%948.11K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP