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WIGBY WISETECH GLOBAL LTD UNSPON ADS EACH REP 1 ORD SHS

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  • 68.380
  • 0.0000.00%
15min DelayClose Oct 24 16:00 ET
22.87BMarket Cap131.75P/E (TTM)

WISETECH GLOBAL LTD UNSPON ADS EACH REP 1 ORD SHS 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
-15.84%121.7M
-15.84%121.7M
-70.14%144.6M
-70.14%144.6M
53.02%484.3M
53.02%484.3M
40.48%316.5M
40.48%316.5M
-13.38%225.3M
-13.38%225.3M
-Cash and cash equivalents
-14.90%121.7M
-14.90%121.7M
-70.42%143M
-70.42%143M
53.46%483.4M
53.46%483.4M
40.81%315M
40.81%315M
-13.99%223.7M
-13.99%223.7M
-Short-term investments
----
----
77.78%1.6M
77.78%1.6M
-40.00%900K
-40.00%900K
-6.25%1.5M
-6.25%1.5M
--1.6M
--1.6M
Receivables
14.26%141.8M
14.26%141.8M
34.89%124.1M
34.89%124.1M
19.64%92M
19.64%92M
29.03%76.9M
29.03%76.9M
17.30%59.6M
17.30%59.6M
-Accounts receivable
16.43%147.4M
16.43%147.4M
38.66%126.6M
38.66%126.6M
17.50%91.3M
17.50%91.3M
25.93%77.7M
25.93%77.7M
17.46%61.7M
17.46%61.7M
-Other receivables
----
----
-22.50%3.1M
-22.50%3.1M
42.86%4M
42.86%4M
--2.8M
--2.8M
----
----
-Recievables adjustments allowances
0.00%-5.6M
0.00%-5.6M
-69.70%-5.6M
-69.70%-5.6M
8.33%-3.3M
8.33%-3.3M
-71.43%-3.6M
-71.43%-3.6M
-22.45%-2.1M
-22.45%-2.1M
Prepaid assets
3.59%26M
3.59%26M
50.30%25.1M
50.30%25.1M
4.38%16.7M
4.38%16.7M
28.00%16M
28.00%16M
270.15%12.5M
270.15%12.5M
Current deferred assets
-22.37%5.9M
-22.37%5.9M
-40.63%7.6M
-40.63%7.6M
814.29%12.8M
814.29%12.8M
-61.11%1.4M
-61.11%1.4M
-4.28%3.6M
-4.28%3.6M
Other current assets
-43.74%35.5M
-43.74%35.5M
3,843.75%63.1M
3,843.75%63.1M
77.78%1.6M
77.78%1.6M
-80.43%900K
-80.43%900K
-21.06%4.6M
-21.06%4.6M
Total current assets
-9.22%330.9M
-9.22%330.9M
-40.15%364.5M
-40.15%364.5M
46.89%609M
46.89%609M
34.04%414.6M
34.04%414.6M
-4.50%309.3M
-4.50%309.3M
Non current assets
Net PPE
-4.84%84.5M
-4.84%84.5M
17.15%88.8M
17.15%88.8M
18.25%75.8M
18.25%75.8M
-8.43%64.1M
-8.43%64.1M
342.53%70M
342.53%70M
-Gross PPE
9.67%216.6M
9.67%216.6M
24.84%197.5M
24.84%197.5M
20.49%158.2M
20.49%158.2M
10.34%131.3M
10.34%131.3M
152.34%119M
152.34%119M
-Accumulated depreciation
-21.53%-132.1M
-21.53%-132.1M
-31.92%-108.7M
-31.92%-108.7M
-22.62%-82.4M
-22.62%-82.4M
-37.14%-67.2M
-37.14%-67.2M
-56.34%-49M
-56.34%-49M
Goodwill and other intangible assets
9.01%2.39B
9.01%2.39B
128.06%2.19B
128.06%2.19B
6.27%961.2M
6.27%961.2M
2.20%904.5M
2.20%904.5M
12.93%885M
12.93%885M
-Goodwill
7.32%1.66B
7.32%1.66B
140.02%1.55B
140.02%1.55B
2.25%646.2M
2.25%646.2M
-3.20%632M
-3.20%632M
8.55%652.9M
8.55%652.9M
-Other intangible assets
13.09%725M
13.09%725M
103.52%641.1M
103.52%641.1M
15.60%315M
15.60%315M
17.41%272.5M
17.41%272.5M
27.40%232.1M
27.40%232.1M
Investments and advances
----
----
----
----
--900K
--900K
----
----
----
----
Financial assets
----
----
----
----
50.00%600K
50.00%600K
-55.56%400K
-55.56%400K
--900K
--900K
Non current deferred assets
113.46%11.1M
113.46%11.1M
-45.26%5.2M
-45.26%5.2M
-13.64%9.5M
-13.64%9.5M
5.77%11M
5.77%11M
59.39%10.4M
59.39%10.4M
Other non current assets
37.50%11M
37.50%11M
23.08%8M
23.08%8M
22.64%6.5M
22.64%6.5M
278.57%5.3M
278.57%5.3M
92.04%1.4M
92.04%1.4M
Total non current assets
8.81%2.5B
8.81%2.5B
117.55%2.29B
117.55%2.29B
7.02%1.05B
7.02%1.05B
1.82%985.3M
1.82%985.3M
19.95%967.7M
19.95%967.7M
Total assets
6.34%2.83B
6.34%2.83B
59.82%2.66B
59.82%2.66B
18.83%1.66B
18.83%1.66B
9.62%1.4B
9.62%1.4B
12.94%1.28B
12.94%1.28B
Liabilities
Current liabilities
Payables
-2.93%82.8M
-2.93%82.8M
12.98%85.3M
12.98%85.3M
27.32%75.5M
27.32%75.5M
22.52%59.3M
22.52%59.3M
37.57%48.4M
37.57%48.4M
-accounts payable
6.83%51.6M
6.83%51.6M
7.81%48.3M
7.81%48.3M
31.76%44.8M
31.76%44.8M
70.85%34M
70.85%34M
156.05%19.9M
156.05%19.9M
-Other payable
-15.68%31.2M
-15.68%31.2M
20.52%37M
20.52%37M
21.34%30.7M
21.34%30.7M
-11.23%25.3M
-11.23%25.3M
3.97%28.5M
3.97%28.5M
Current provisions
-74.07%4.2M
-74.07%4.2M
110.39%16.2M
110.39%16.2M
266.67%7.7M
266.67%7.7M
--2.1M
--2.1M
----
----
Current debt and capital lease obligation
-95.46%10.7M
-95.46%10.7M
2,383.16%235.9M
2,383.16%235.9M
-3.06%9.5M
-3.06%9.5M
-5.77%9.8M
-5.77%9.8M
2,108.07%10.4M
2,108.07%10.4M
-Current debt
----
----
--225M
--225M
----
----
----
----
----
----
-Current capital lease obligation
-1.83%10.7M
-1.83%10.7M
14.74%10.9M
14.74%10.9M
-3.06%9.5M
-3.06%9.5M
-5.77%9.8M
-5.77%9.8M
4,251.46%10.4M
4,251.46%10.4M
Current deferred liabilities
1.08%56.2M
1.08%56.2M
126.02%55.6M
126.02%55.6M
-26.13%24.6M
-26.13%24.6M
16.84%33.3M
16.84%33.3M
20.66%28.5M
20.66%28.5M
Other current liabilities
-12.80%132.2M
-12.80%132.2M
127.29%151.6M
127.29%151.6M
6.21%66.7M
6.21%66.7M
21.47%62.8M
21.47%62.8M
-46.50%51.7M
-46.50%51.7M
Current liabilities
-44.08%324.7M
-44.08%324.7M
180.08%580.6M
180.08%580.6M
10.27%207.3M
10.27%207.3M
19.59%188M
19.59%188M
-7.01%157.2M
-7.01%157.2M
Non current liabilities
Long term debt and capital lease obligation
357.07%93.7M
357.07%93.7M
-14.58%20.5M
-14.58%20.5M
-4.76%24M
-4.76%24M
-28.81%25.2M
-28.81%25.2M
4,690.26%35.4M
4,690.26%35.4M
-Long term debt
--80M
--80M
----
----
----
----
----
----
----
----
-Long term capital lease obligation
-33.17%13.7M
-33.17%13.7M
-14.58%20.5M
-14.58%20.5M
-4.76%24M
-4.76%24M
-28.81%25.2M
-28.81%25.2M
15,093.13%35.4M
15,093.13%35.4M
Non current deferred liabilities
9.99%128.8M
9.99%128.8M
44.57%117.1M
44.57%117.1M
38.94%81M
38.94%81M
23.78%58.3M
23.78%58.3M
39.78%47.1M
39.78%47.1M
Employee benefits
33.33%15.2M
33.33%15.2M
132.65%11.4M
132.65%11.4M
133.33%4.9M
133.33%4.9M
16.67%2.1M
16.67%2.1M
30.72%1.8M
30.72%1.8M
Derivative product liabilities
-97.62%100K
-97.62%100K
-48.15%4.2M
-48.15%4.2M
88.37%8.1M
88.37%8.1M
--4.3M
--4.3M
----
----
Other non current liabilities
68.98%51.2M
68.98%51.2M
31.74%30.3M
31.74%30.3M
43.75%23M
43.75%23M
-50.16%16M
-50.16%16M
-79.84%32.1M
-79.84%32.1M
Total non current liabilities
57.49%289M
57.49%289M
30.14%183.5M
30.14%183.5M
33.14%141M
33.14%141M
-9.02%105.9M
-9.02%105.9M
-40.32%116.4M
-40.32%116.4M
Total liabilities
-19.68%613.7M
-19.68%613.7M
119.38%764.1M
119.38%764.1M
18.51%348.3M
18.51%348.3M
7.42%293.9M
7.42%293.9M
-24.85%273.6M
-24.85%273.6M
Shareholders'equity
Share capital
8.58%1.36B
8.58%1.36B
57.41%1.25B
57.41%1.25B
-3.71%797.1M
-3.71%797.1M
6.16%827.8M
6.16%827.8M
16.66%779.8M
16.66%779.8M
-common stock
8.58%1.36B
8.58%1.36B
57.41%1.25B
57.41%1.25B
-3.71%797.1M
-3.71%797.1M
6.16%827.8M
6.16%827.8M
16.66%779.8M
16.66%779.8M
Retained earnings
30.49%878.7M
30.49%878.7M
32.07%673.4M
32.07%673.4M
47.46%509.9M
47.46%509.9M
32.39%345.8M
32.39%345.8M
110.99%261.2M
110.99%261.2M
Gains losses not affecting retained earnings
17.56%-27.7M
17.56%-27.7M
-509.76%-33.6M
-509.76%-33.6M
112.13%8.2M
112.13%8.2M
-80.27%-67.6M
-80.27%-67.6M
-45.92%-37.5M
-45.92%-37.5M
Other equity interest
----
----
----
----
----
----
----
----
---100K
---100K
Total stockholders'equity
16.83%2.21B
16.83%2.21B
44.05%1.89B
44.05%1.89B
18.92%1.32B
18.92%1.32B
10.23%1.11B
10.23%1.11B
30.90%1B
30.90%1B
Total equity
16.83%2.21B
16.83%2.21B
44.05%1.89B
44.05%1.89B
18.92%1.32B
18.92%1.32B
10.23%1.11B
10.23%1.11B
30.90%1B
30.90%1B
Currency Unit
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
(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 -15.84%121.7M-15.84%121.7M-70.14%144.6M-70.14%144.6M53.02%484.3M53.02%484.3M40.48%316.5M40.48%316.5M-13.38%225.3M-13.38%225.3M
-Cash and cash equivalents -14.90%121.7M-14.90%121.7M-70.42%143M-70.42%143M53.46%483.4M53.46%483.4M40.81%315M40.81%315M-13.99%223.7M-13.99%223.7M
-Short-term investments --------77.78%1.6M77.78%1.6M-40.00%900K-40.00%900K-6.25%1.5M-6.25%1.5M--1.6M--1.6M
Receivables 14.26%141.8M14.26%141.8M34.89%124.1M34.89%124.1M19.64%92M19.64%92M29.03%76.9M29.03%76.9M17.30%59.6M17.30%59.6M
-Accounts receivable 16.43%147.4M16.43%147.4M38.66%126.6M38.66%126.6M17.50%91.3M17.50%91.3M25.93%77.7M25.93%77.7M17.46%61.7M17.46%61.7M
-Other receivables ---------22.50%3.1M-22.50%3.1M42.86%4M42.86%4M--2.8M--2.8M--------
-Recievables adjustments allowances 0.00%-5.6M0.00%-5.6M-69.70%-5.6M-69.70%-5.6M8.33%-3.3M8.33%-3.3M-71.43%-3.6M-71.43%-3.6M-22.45%-2.1M-22.45%-2.1M
Prepaid assets 3.59%26M3.59%26M50.30%25.1M50.30%25.1M4.38%16.7M4.38%16.7M28.00%16M28.00%16M270.15%12.5M270.15%12.5M
Current deferred assets -22.37%5.9M-22.37%5.9M-40.63%7.6M-40.63%7.6M814.29%12.8M814.29%12.8M-61.11%1.4M-61.11%1.4M-4.28%3.6M-4.28%3.6M
Other current assets -43.74%35.5M-43.74%35.5M3,843.75%63.1M3,843.75%63.1M77.78%1.6M77.78%1.6M-80.43%900K-80.43%900K-21.06%4.6M-21.06%4.6M
Total current assets -9.22%330.9M-9.22%330.9M-40.15%364.5M-40.15%364.5M46.89%609M46.89%609M34.04%414.6M34.04%414.6M-4.50%309.3M-4.50%309.3M
Non current assets
Net PPE -4.84%84.5M-4.84%84.5M17.15%88.8M17.15%88.8M18.25%75.8M18.25%75.8M-8.43%64.1M-8.43%64.1M342.53%70M342.53%70M
-Gross PPE 9.67%216.6M9.67%216.6M24.84%197.5M24.84%197.5M20.49%158.2M20.49%158.2M10.34%131.3M10.34%131.3M152.34%119M152.34%119M
-Accumulated depreciation -21.53%-132.1M-21.53%-132.1M-31.92%-108.7M-31.92%-108.7M-22.62%-82.4M-22.62%-82.4M-37.14%-67.2M-37.14%-67.2M-56.34%-49M-56.34%-49M
Goodwill and other intangible assets 9.01%2.39B9.01%2.39B128.06%2.19B128.06%2.19B6.27%961.2M6.27%961.2M2.20%904.5M2.20%904.5M12.93%885M12.93%885M
-Goodwill 7.32%1.66B7.32%1.66B140.02%1.55B140.02%1.55B2.25%646.2M2.25%646.2M-3.20%632M-3.20%632M8.55%652.9M8.55%652.9M
-Other intangible assets 13.09%725M13.09%725M103.52%641.1M103.52%641.1M15.60%315M15.60%315M17.41%272.5M17.41%272.5M27.40%232.1M27.40%232.1M
Investments and advances ------------------900K--900K----------------
Financial assets ----------------50.00%600K50.00%600K-55.56%400K-55.56%400K--900K--900K
Non current deferred assets 113.46%11.1M113.46%11.1M-45.26%5.2M-45.26%5.2M-13.64%9.5M-13.64%9.5M5.77%11M5.77%11M59.39%10.4M59.39%10.4M
Other non current assets 37.50%11M37.50%11M23.08%8M23.08%8M22.64%6.5M22.64%6.5M278.57%5.3M278.57%5.3M92.04%1.4M92.04%1.4M
Total non current assets 8.81%2.5B8.81%2.5B117.55%2.29B117.55%2.29B7.02%1.05B7.02%1.05B1.82%985.3M1.82%985.3M19.95%967.7M19.95%967.7M
Total assets 6.34%2.83B6.34%2.83B59.82%2.66B59.82%2.66B18.83%1.66B18.83%1.66B9.62%1.4B9.62%1.4B12.94%1.28B12.94%1.28B
Liabilities
Current liabilities
Payables -2.93%82.8M-2.93%82.8M12.98%85.3M12.98%85.3M27.32%75.5M27.32%75.5M22.52%59.3M22.52%59.3M37.57%48.4M37.57%48.4M
-accounts payable 6.83%51.6M6.83%51.6M7.81%48.3M7.81%48.3M31.76%44.8M31.76%44.8M70.85%34M70.85%34M156.05%19.9M156.05%19.9M
-Other payable -15.68%31.2M-15.68%31.2M20.52%37M20.52%37M21.34%30.7M21.34%30.7M-11.23%25.3M-11.23%25.3M3.97%28.5M3.97%28.5M
Current provisions -74.07%4.2M-74.07%4.2M110.39%16.2M110.39%16.2M266.67%7.7M266.67%7.7M--2.1M--2.1M--------
Current debt and capital lease obligation -95.46%10.7M-95.46%10.7M2,383.16%235.9M2,383.16%235.9M-3.06%9.5M-3.06%9.5M-5.77%9.8M-5.77%9.8M2,108.07%10.4M2,108.07%10.4M
-Current debt ----------225M--225M------------------------
-Current capital lease obligation -1.83%10.7M-1.83%10.7M14.74%10.9M14.74%10.9M-3.06%9.5M-3.06%9.5M-5.77%9.8M-5.77%9.8M4,251.46%10.4M4,251.46%10.4M
Current deferred liabilities 1.08%56.2M1.08%56.2M126.02%55.6M126.02%55.6M-26.13%24.6M-26.13%24.6M16.84%33.3M16.84%33.3M20.66%28.5M20.66%28.5M
Other current liabilities -12.80%132.2M-12.80%132.2M127.29%151.6M127.29%151.6M6.21%66.7M6.21%66.7M21.47%62.8M21.47%62.8M-46.50%51.7M-46.50%51.7M
Current liabilities -44.08%324.7M-44.08%324.7M180.08%580.6M180.08%580.6M10.27%207.3M10.27%207.3M19.59%188M19.59%188M-7.01%157.2M-7.01%157.2M
Non current liabilities
Long term debt and capital lease obligation 357.07%93.7M357.07%93.7M-14.58%20.5M-14.58%20.5M-4.76%24M-4.76%24M-28.81%25.2M-28.81%25.2M4,690.26%35.4M4,690.26%35.4M
-Long term debt --80M--80M--------------------------------
-Long term capital lease obligation -33.17%13.7M-33.17%13.7M-14.58%20.5M-14.58%20.5M-4.76%24M-4.76%24M-28.81%25.2M-28.81%25.2M15,093.13%35.4M15,093.13%35.4M
Non current deferred liabilities 9.99%128.8M9.99%128.8M44.57%117.1M44.57%117.1M38.94%81M38.94%81M23.78%58.3M23.78%58.3M39.78%47.1M39.78%47.1M
Employee benefits 33.33%15.2M33.33%15.2M132.65%11.4M132.65%11.4M133.33%4.9M133.33%4.9M16.67%2.1M16.67%2.1M30.72%1.8M30.72%1.8M
Derivative product liabilities -97.62%100K-97.62%100K-48.15%4.2M-48.15%4.2M88.37%8.1M88.37%8.1M--4.3M--4.3M--------
Other non current liabilities 68.98%51.2M68.98%51.2M31.74%30.3M31.74%30.3M43.75%23M43.75%23M-50.16%16M-50.16%16M-79.84%32.1M-79.84%32.1M
Total non current liabilities 57.49%289M57.49%289M30.14%183.5M30.14%183.5M33.14%141M33.14%141M-9.02%105.9M-9.02%105.9M-40.32%116.4M-40.32%116.4M
Total liabilities -19.68%613.7M-19.68%613.7M119.38%764.1M119.38%764.1M18.51%348.3M18.51%348.3M7.42%293.9M7.42%293.9M-24.85%273.6M-24.85%273.6M
Shareholders'equity
Share capital 8.58%1.36B8.58%1.36B57.41%1.25B57.41%1.25B-3.71%797.1M-3.71%797.1M6.16%827.8M6.16%827.8M16.66%779.8M16.66%779.8M
-common stock 8.58%1.36B8.58%1.36B57.41%1.25B57.41%1.25B-3.71%797.1M-3.71%797.1M6.16%827.8M6.16%827.8M16.66%779.8M16.66%779.8M
Retained earnings 30.49%878.7M30.49%878.7M32.07%673.4M32.07%673.4M47.46%509.9M47.46%509.9M32.39%345.8M32.39%345.8M110.99%261.2M110.99%261.2M
Gains losses not affecting retained earnings 17.56%-27.7M17.56%-27.7M-509.76%-33.6M-509.76%-33.6M112.13%8.2M112.13%8.2M-80.27%-67.6M-80.27%-67.6M-45.92%-37.5M-45.92%-37.5M
Other equity interest -----------------------------------100K---100K
Total stockholders'equity 16.83%2.21B16.83%2.21B44.05%1.89B44.05%1.89B18.92%1.32B18.92%1.32B10.23%1.11B10.23%1.11B30.90%1B30.90%1B
Total equity 16.83%2.21B16.83%2.21B44.05%1.89B44.05%1.89B18.92%1.32B18.92%1.32B10.23%1.11B10.23%1.11B30.90%1B30.90%1B
Currency Unit AUDAUDAUDAUDAUDAUDAUDAUDAUDAUD

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