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AMBFF AMBU A/S

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10.670 -0.350-3.18% Close 09/25 16:00 ET
10.670High10.670Low1.36KVolume

AMBU A/S Key Stats

Quarterly+Annual
YOY
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(Q3)2023/06/30
(Q2)2023/03/31
(Q1)2022/12/31
(FY)2022/09/30
(Q4)2022/09/30
(Q3)2022/06/30
(Q2)2022/03/31
(Q1)2021/12/31
(FY)2021/09/30
(Q4)2021/09/30
Assets
Current assets
Cash, cash equivalents and short term investments
14.29%144M
62.50%182M
-11.35%125M
192.19%187M
192.19%187M
0.00%126M
-22.76%112M
-18.50%141M
-34.69%64M
-34.69%64M
-Cash and cash equivalents
14.29%144M
62.50%182M
-11.35%125M
192.19%187M
192.19%187M
0.00%126M
-22.76%112M
-18.50%141M
-34.69%64M
-34.69%64M
-Accounts receivable
-4.15%693M
-4.14%671M
6.94%709M
6.87%747M
6.87%747M
15.31%723M
15.13%700M
35.03%663M
34.17%699M
34.17%699M
-Taxes receivable
109.09%46M
400.00%45M
244.44%31M
76.92%23M
76.92%23M
100.00%22M
80.00%9M
-40.00%9M
18.18%13M
18.18%13M
-Other receivables
36.36%45M
66.67%50M
67.86%47M
80.00%36M
80.00%36M
83.33%33M
36.36%30M
16.67%28M
-37.50%20M
-37.50%20M
Inventory
-12.13%985M
9.59%1.09B
33.59%1.21B
63.37%1.22B
63.37%1.22B
63.89%1.12B
56.80%991M
64.25%905M
45.24%748M
45.24%748M
Prepaid assets
-39.47%69M
1.37%74M
28.13%82M
21.88%78M
21.88%78M
32.56%114M
21.67%73M
-8.57%64M
6.67%64M
6.67%64M
Total current assets
-6.91%1.99B
10.70%2.12B
22.38%2.22B
43.28%2.3B
43.28%2.3B
38.02%2.14B
30.10%1.92B
36.71%1.81B
29.99%1.61B
29.99%1.61B
Non current assets
Net PPE
1.92%1.22B
5.83%1.22B
6.78%1.21B
50.83%1.28B
50.83%1.28B
51.07%1.2B
63.82%1.15B
69.91%1.14B
27.41%846M
27.41%846M
-Gross PPE
1.92%1.22B
5.83%1.22B
6.78%1.21B
140.66%2.04B
140.66%2.04B
51.07%1.2B
63.82%1.15B
69.91%1.14B
-27.32%846M
-27.32%846M
-Accumulated depreciation
----
----
----
---760M
---760M
----
----
----
----
----
Goodwill and other intangible assets
0.00%3.52B
2.84%3.52B
5.34%3.51B
9.90%3.57B
9.90%3.57B
12.05%3.52B
11.77%3.42B
12.57%3.33B
10.53%3.24B
10.53%3.24B
-Goodwill
-1.97%1.55B
0.91%1.55B
2.64%1.56B
7.91%1.62B
7.91%1.62B
6.05%1.58B
2.34%1.53B
3.48%1.52B
0.47%1.5B
0.47%1.5B
-Other intangible assets
1.59%1.98B
4.40%1.97B
7.61%1.95B
11.61%1.94B
11.61%1.94B
17.44%1.95B
20.81%1.89B
21.51%1.81B
21.00%1.74B
21.00%1.74B
Total non current assets
1.07%4.83B
3.77%4.82B
6.07%4.79B
18.85%4.91B
18.85%4.91B
19.03%4.78B
20.70%4.64B
21.46%4.52B
12.01%4.13B
12.01%4.13B
Total assets
-1.40%6.82B
5.80%6.94B
10.73%7.01B
25.70%7.22B
25.70%7.22B
24.32%6.92B
23.30%6.56B
25.46%6.33B
16.52%5.74B
16.52%5.74B
Liabilities
Current liabilities
Payables
-20.20%814M
-0.26%780M
17.88%910M
40.92%1.08B
40.92%1.08B
59.62%1.02B
26.13%782M
49.03%772M
37.84%765M
37.84%765M
-accounts payable
-37.14%369M
-3.50%358M
25.68%509M
64.84%600M
64.84%600M
87.54%587M
24.08%371M
87.50%405M
40.54%364M
40.54%364M
-Total tax payable
-64.00%9M
-73.08%7M
-69.57%7M
-26.09%17M
-26.09%17M
38.89%25M
0.00%26M
27.78%23M
187.50%23M
187.50%23M
-Other payable
6.86%436M
7.79%415M
14.53%394M
21.96%461M
21.96%461M
32.47%408M
30.51%385M
21.13%344M
31.25%378M
31.25%378M
Current provisions
38.46%18M
-71.43%4M
-73.33%4M
-69.23%4M
-69.23%4M
44.44%13M
55.56%14M
114.29%15M
44.44%13M
44.44%13M
Current debt and capital lease obligation
11.27%79M
20.59%82M
-2.38%82M
25.40%79M
25.40%79M
-87.37%71M
25.93%68M
20.00%84M
46.51%63M
46.51%63M
-Current debt
----
----
----
----
----
--0
----
----
----
----
-Current capital lease obligation
11.27%79M
20.59%82M
-2.38%82M
25.40%79M
25.40%79M
14.52%71M
25.93%68M
20.00%84M
46.51%63M
46.51%63M
Other current liabilities
----
----
----
----
----
----
----
5.22%141M
-67.84%137M
-67.84%137M
Current liabilities
-17.48%911M
0.23%866M
-1.68%996M
18.47%1.16B
18.47%1.16B
-18.16%1.1B
5.24%864M
37.64%1.01B
-5.77%980M
-5.77%980M
Non current liabilities
Long term provisions
----
-41.94%18M
-37.93%18M
-36.67%19M
-36.67%19M
6.06%35M
-6.06%31M
-3.33%29M
-6.25%30M
-6.25%30M
Long term debt and capital lease obligation
-55.01%665M
-42.98%833M
41.34%1.86B
132.37%1.77B
132.37%1.77B
631.68%1.48B
162.30%1.46B
-27.05%1.32B
-45.75%760M
-45.75%760M
-Long term debt
-84.00%160M
-65.48%340M
60.47%1.38B
127.27%1.25B
127.27%1.25B
--1B
146.25%985M
-48.63%860M
-55.96%550M
-55.96%550M
-Long term capital lease obligation
5.65%505M
3.57%493M
5.26%480M
145.71%516M
145.71%516M
136.63%478M
203.18%476M
250.77%456M
38.16%210M
38.16%210M
Total non current liabilities
-56.16%673M
-43.89%859M
38.01%1.89B
121.91%1.79B
121.91%1.79B
388.85%1.54B
140.72%1.53B
-28.49%1.37B
-46.63%808M
-46.63%808M
Total liabilities
-39.98%1.58B
-27.97%1.73B
21.13%2.88B
65.21%2.95B
65.21%2.95B
58.69%2.64B
64.38%2.4B
-10.12%2.38B
-29.99%1.79B
-29.99%1.79B
Shareholders'equity
Share capital
4.65%135M
4.65%135M
0.00%129M
0.00%129M
0.00%129M
0.00%129M
0.00%129M
2.38%129M
2.38%129M
2.38%129M
-common stock
4.65%135M
4.65%135M
0.00%129M
0.00%129M
0.00%129M
0.00%129M
0.00%129M
2.38%129M
2.38%129M
2.38%129M
Retained earnings
27.76%4.94B
27.14%4.89B
3.19%3.78B
--3.75B
--3.75B
--3.87B
5.26%3.84B
63.97%3.66B
----
----
Total stockholders'equity
22.37%5.24B
25.23%5.21B
4.46%4.12B
7.82%4.26B
7.82%4.26B
9.68%4.28B
7.80%4.16B
64.83%3.95B
66.61%3.95B
66.61%3.95B
Total equity
22.37%5.24B
25.23%5.21B
4.46%4.12B
7.82%4.26B
7.82%4.26B
9.68%4.28B
7.80%4.16B
64.83%3.95B
66.61%3.95B
66.61%3.95B
Currency Unit
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
DKK
(Q3)2023/06/30(Q2)2023/03/31(Q1)2022/12/31(FY)2022/09/30(Q4)2022/09/30(Q3)2022/06/30(Q2)2022/03/31(Q1)2021/12/31(FY)2021/09/30(Q4)2021/09/30
Assets
Current assets
Cash, cash equivalents and short term investments 14.29%144M62.50%182M-11.35%125M192.19%187M192.19%187M0.00%126M-22.76%112M-18.50%141M-34.69%64M-34.69%64M
-Cash and cash equivalents 14.29%144M62.50%182M-11.35%125M192.19%187M192.19%187M0.00%126M-22.76%112M-18.50%141M-34.69%64M-34.69%64M
-Accounts receivable -4.15%693M-4.14%671M6.94%709M6.87%747M6.87%747M15.31%723M15.13%700M35.03%663M34.17%699M34.17%699M
-Taxes receivable 109.09%46M400.00%45M244.44%31M76.92%23M76.92%23M100.00%22M80.00%9M-40.00%9M18.18%13M18.18%13M
-Other receivables 36.36%45M66.67%50M67.86%47M80.00%36M80.00%36M83.33%33M36.36%30M16.67%28M-37.50%20M-37.50%20M
Inventory -12.13%985M9.59%1.09B33.59%1.21B63.37%1.22B63.37%1.22B63.89%1.12B56.80%991M64.25%905M45.24%748M45.24%748M
Prepaid assets -39.47%69M1.37%74M28.13%82M21.88%78M21.88%78M32.56%114M21.67%73M-8.57%64M6.67%64M6.67%64M
Total current assets -6.91%1.99B10.70%2.12B22.38%2.22B43.28%2.3B43.28%2.3B38.02%2.14B30.10%1.92B36.71%1.81B29.99%1.61B29.99%1.61B
Non current assets
Net PPE 1.92%1.22B5.83%1.22B6.78%1.21B50.83%1.28B50.83%1.28B51.07%1.2B63.82%1.15B69.91%1.14B27.41%846M27.41%846M
-Gross PPE 1.92%1.22B5.83%1.22B6.78%1.21B140.66%2.04B140.66%2.04B51.07%1.2B63.82%1.15B69.91%1.14B-27.32%846M-27.32%846M
-Accumulated depreciation ---------------760M---760M--------------------
Goodwill and other intangible assets 0.00%3.52B2.84%3.52B5.34%3.51B9.90%3.57B9.90%3.57B12.05%3.52B11.77%3.42B12.57%3.33B10.53%3.24B10.53%3.24B
-Goodwill -1.97%1.55B0.91%1.55B2.64%1.56B7.91%1.62B7.91%1.62B6.05%1.58B2.34%1.53B3.48%1.52B0.47%1.5B0.47%1.5B
-Other intangible assets 1.59%1.98B4.40%1.97B7.61%1.95B11.61%1.94B11.61%1.94B17.44%1.95B20.81%1.89B21.51%1.81B21.00%1.74B21.00%1.74B
Total non current assets 1.07%4.83B3.77%4.82B6.07%4.79B18.85%4.91B18.85%4.91B19.03%4.78B20.70%4.64B21.46%4.52B12.01%4.13B12.01%4.13B
Total assets -1.40%6.82B5.80%6.94B10.73%7.01B25.70%7.22B25.70%7.22B24.32%6.92B23.30%6.56B25.46%6.33B16.52%5.74B16.52%5.74B
Liabilities
Current liabilities
Payables -20.20%814M-0.26%780M17.88%910M40.92%1.08B40.92%1.08B59.62%1.02B26.13%782M49.03%772M37.84%765M37.84%765M
-accounts payable -37.14%369M-3.50%358M25.68%509M64.84%600M64.84%600M87.54%587M24.08%371M87.50%405M40.54%364M40.54%364M
-Total tax payable -64.00%9M-73.08%7M-69.57%7M-26.09%17M-26.09%17M38.89%25M0.00%26M27.78%23M187.50%23M187.50%23M
-Other payable 6.86%436M7.79%415M14.53%394M21.96%461M21.96%461M32.47%408M30.51%385M21.13%344M31.25%378M31.25%378M
Current provisions 38.46%18M-71.43%4M-73.33%4M-69.23%4M-69.23%4M44.44%13M55.56%14M114.29%15M44.44%13M44.44%13M
Current debt and capital lease obligation 11.27%79M20.59%82M-2.38%82M25.40%79M25.40%79M-87.37%71M25.93%68M20.00%84M46.51%63M46.51%63M
-Current debt ----------------------0----------------
-Current capital lease obligation 11.27%79M20.59%82M-2.38%82M25.40%79M25.40%79M14.52%71M25.93%68M20.00%84M46.51%63M46.51%63M
Other current liabilities ----------------------------5.22%141M-67.84%137M-67.84%137M
Current liabilities -17.48%911M0.23%866M-1.68%996M18.47%1.16B18.47%1.16B-18.16%1.1B5.24%864M37.64%1.01B-5.77%980M-5.77%980M
Non current liabilities
Long term provisions -----41.94%18M-37.93%18M-36.67%19M-36.67%19M6.06%35M-6.06%31M-3.33%29M-6.25%30M-6.25%30M
Long term debt and capital lease obligation -55.01%665M-42.98%833M41.34%1.86B132.37%1.77B132.37%1.77B631.68%1.48B162.30%1.46B-27.05%1.32B-45.75%760M-45.75%760M
-Long term debt -84.00%160M-65.48%340M60.47%1.38B127.27%1.25B127.27%1.25B--1B146.25%985M-48.63%860M-55.96%550M-55.96%550M
-Long term capital lease obligation 5.65%505M3.57%493M5.26%480M145.71%516M145.71%516M136.63%478M203.18%476M250.77%456M38.16%210M38.16%210M
Total non current liabilities -56.16%673M-43.89%859M38.01%1.89B121.91%1.79B121.91%1.79B388.85%1.54B140.72%1.53B-28.49%1.37B-46.63%808M-46.63%808M
Total liabilities -39.98%1.58B-27.97%1.73B21.13%2.88B65.21%2.95B65.21%2.95B58.69%2.64B64.38%2.4B-10.12%2.38B-29.99%1.79B-29.99%1.79B
Shareholders'equity
Share capital 4.65%135M4.65%135M0.00%129M0.00%129M0.00%129M0.00%129M0.00%129M2.38%129M2.38%129M2.38%129M
-common stock 4.65%135M4.65%135M0.00%129M0.00%129M0.00%129M0.00%129M0.00%129M2.38%129M2.38%129M2.38%129M
Retained earnings 27.76%4.94B27.14%4.89B3.19%3.78B--3.75B--3.75B--3.87B5.26%3.84B63.97%3.66B--------
Total stockholders'equity 22.37%5.24B25.23%5.21B4.46%4.12B7.82%4.26B7.82%4.26B9.68%4.28B7.80%4.16B64.83%3.95B66.61%3.95B66.61%3.95B
Total equity 22.37%5.24B25.23%5.21B4.46%4.12B7.82%4.26B7.82%4.26B9.68%4.28B7.80%4.16B64.83%3.95B66.61%3.95B66.61%3.95B
Currency Unit DKKDKKDKKDKKDKKDKKDKKDKKDKKDKK
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