AU Stock MarketDetailed Quotes

CPV ClearVue Technologies Ltd

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  • 0.495
  • -0.010-1.98%
20min DelayMarket Closed May 21 16:00 AET
119.85MMarket Cap-14142P/E (Static)

ClearVue Technologies 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
-56.06%5.16M
-56.06%5.16M
-26.02%11.75M
-26.02%11.75M
1,738.39%15.89M
1,738.39%15.89M
-37.24%864.21K
-37.24%864.21K
-63.94%1.38M
--1.38M
-Cash and cash equivalents
-56.06%5.16M
-56.06%5.16M
-26.02%11.75M
-26.02%11.75M
1,738.39%15.89M
1,738.39%15.89M
-37.24%864.21K
-37.24%864.21K
-63.94%1.38M
--1.38M
-Accounts receivable
52.80%73.37K
52.80%73.37K
--48.02K
--48.02K
----
----
170.64%571.24K
170.64%571.24K
--211.07K
--211.07K
-Other receivables
91.33%610.93K
91.33%610.93K
84.83%319.3K
84.83%319.3K
-61.84%172.76K
-61.84%172.76K
--452.67K
--452.67K
----
----
Total current assets
-49.40%6.56M
-49.40%6.56M
-23.87%12.96M
-23.87%12.96M
995.15%17.02M
995.15%17.02M
-7.39%1.55M
-7.39%1.55M
-57.17%1.68M
--1.68M
Non current assets
-Accumulated depreciation
-44.50%-457.85K
-44.50%-457.85K
-41.26%-316.86K
-41.26%-316.86K
-56.39%-224.32K
-56.39%-224.32K
---143.44K
---143.44K
----
----
-Long term equity investment
-70.12%30.72K
-70.12%30.72K
-41.59%102.82K
-41.59%102.82K
34.48%176.03K
34.48%176.03K
--130.89K
--130.89K
----
----
-Goodwill
24.88%5.12M
24.88%5.12M
38.38%4.1M
38.38%4.1M
20.49%2.96M
20.49%2.96M
30.87%2.46M
30.87%2.46M
6.88%1.88M
--1.88M
Regulatory assets
7.11%1.01M
7.11%1.01M
0.30%941.87K
0.30%941.87K
64.38%939.02K
64.38%939.02K
170.64%571.24K
170.64%571.24K
120.47%211.07K
--211.07K
Liabilities
Current liabilities
Current debt and capital lease obligation
78.47%126.76K
78.47%126.76K
13.66%71.03K
13.66%71.03K
47.06%62.49K
47.06%62.49K
--42.49K
--42.49K
----
----
-Current capital lease obligation
78.47%126.76K
78.47%126.76K
13.66%71.03K
13.66%71.03K
47.06%62.49K
47.06%62.49K
--42.49K
--42.49K
----
----
-accounts payable
51.60%559.95K
51.60%559.95K
0.59%369.37K
0.59%369.37K
-3.06%367.2K
-3.06%367.2K
-39.47%378.8K
-39.47%378.8K
117.91%625.86K
--625.86K
-Total tax payable
-45.02%76.22K
-45.02%76.22K
-30.58%138.63K
-30.58%138.63K
36.38%199.7K
36.38%199.7K
2,134.92%146.43K
2,134.92%146.43K
--6.55K
--6.55K
-Other payable
----
----
----
----
----
----
----
----
--55.35K
--55.35K
Current provisions
-48.81%107.2K
-48.81%107.2K
36.08%209.42K
36.08%209.42K
54.39%153.9K
54.39%153.9K
22.84%99.68K
22.84%99.68K
--81.15K
--81.15K
Current liabilities
44.96%1.4M
44.96%1.4M
28.13%969.12K
28.13%969.12K
-22.32%756.35K
-22.32%756.35K
37.71%973.65K
37.71%973.65K
123.06%707K
--707K
Non current liabilities
-Long term debt
-70.12%30.72K
-70.12%30.72K
-41.59%102.82K
-41.59%102.82K
34.48%176.03K
34.48%176.03K
--130.89K
--130.89K
----
----
Non current accrued expenses
4.63%475.79K
4.63%475.79K
-10.78%454.74K
-10.78%454.74K
81.49%509.68K
81.49%509.68K
119.36%280.83K
119.36%280.83K
18.13%128.02K
--128.02K
Total non current liabilities
33.70%1.48M
33.70%1.48M
15.87%1.11M
15.87%1.11M
-14.64%956.05K
-14.64%956.05K
56.97%1.12M
56.97%1.12M
125.13%713.56K
--713.56K
Shareholders'equity
Share capital
3.14%32.36M
3.14%32.36M
1.07%31.37M
1.07%31.37M
147.90%31.04M
147.90%31.04M
17.23%12.52M
17.23%12.52M
6.88%10.68M
--10.68M
-common stock
3.14%32.36M
3.14%32.36M
1.07%31.37M
1.07%31.37M
147.90%31.04M
147.90%31.04M
17.23%12.52M
17.23%12.52M
6.88%10.68M
--10.68M
Gains losses not affecting retained earnings
5.16%6.04M
5.16%6.04M
2.05%5.74M
2.05%5.74M
33.25%5.63M
33.25%5.63M
0.00%4.22M
0.00%4.22M
48.57%4.22M
--4.22M
Other equity interest
-61.81%40.15K
-61.81%40.15K
11.26%105.14K
11.26%105.14K
1,424.00%94.49K
1,424.00%94.49K
-107.91%-7.14K
-107.91%-7.14K
--90.21K
--90.21K
Total equity
-30.52%12.2M
-30.52%12.2M
-14.51%17.56M
-14.51%17.56M
372.52%20.55M
372.52%20.55M
16.30%4.35M
16.30%4.35M
-35.35%3.74M
--3.74M
(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 -56.06%5.16M-56.06%5.16M-26.02%11.75M-26.02%11.75M1,738.39%15.89M1,738.39%15.89M-37.24%864.21K-37.24%864.21K-63.94%1.38M--1.38M
-Cash and cash equivalents -56.06%5.16M-56.06%5.16M-26.02%11.75M-26.02%11.75M1,738.39%15.89M1,738.39%15.89M-37.24%864.21K-37.24%864.21K-63.94%1.38M--1.38M
-Accounts receivable 52.80%73.37K52.80%73.37K--48.02K--48.02K--------170.64%571.24K170.64%571.24K--211.07K--211.07K
-Other receivables 91.33%610.93K91.33%610.93K84.83%319.3K84.83%319.3K-61.84%172.76K-61.84%172.76K--452.67K--452.67K--------
Total current assets -49.40%6.56M-49.40%6.56M-23.87%12.96M-23.87%12.96M995.15%17.02M995.15%17.02M-7.39%1.55M-7.39%1.55M-57.17%1.68M--1.68M
Non current assets
-Accumulated depreciation -44.50%-457.85K-44.50%-457.85K-41.26%-316.86K-41.26%-316.86K-56.39%-224.32K-56.39%-224.32K---143.44K---143.44K--------
-Long term equity investment -70.12%30.72K-70.12%30.72K-41.59%102.82K-41.59%102.82K34.48%176.03K34.48%176.03K--130.89K--130.89K--------
-Goodwill 24.88%5.12M24.88%5.12M38.38%4.1M38.38%4.1M20.49%2.96M20.49%2.96M30.87%2.46M30.87%2.46M6.88%1.88M--1.88M
Regulatory assets 7.11%1.01M7.11%1.01M0.30%941.87K0.30%941.87K64.38%939.02K64.38%939.02K170.64%571.24K170.64%571.24K120.47%211.07K--211.07K
Liabilities
Current liabilities
Current debt and capital lease obligation 78.47%126.76K78.47%126.76K13.66%71.03K13.66%71.03K47.06%62.49K47.06%62.49K--42.49K--42.49K--------
-Current capital lease obligation 78.47%126.76K78.47%126.76K13.66%71.03K13.66%71.03K47.06%62.49K47.06%62.49K--42.49K--42.49K--------
-accounts payable 51.60%559.95K51.60%559.95K0.59%369.37K0.59%369.37K-3.06%367.2K-3.06%367.2K-39.47%378.8K-39.47%378.8K117.91%625.86K--625.86K
-Total tax payable -45.02%76.22K-45.02%76.22K-30.58%138.63K-30.58%138.63K36.38%199.7K36.38%199.7K2,134.92%146.43K2,134.92%146.43K--6.55K--6.55K
-Other payable ----------------------------------55.35K--55.35K
Current provisions -48.81%107.2K-48.81%107.2K36.08%209.42K36.08%209.42K54.39%153.9K54.39%153.9K22.84%99.68K22.84%99.68K--81.15K--81.15K
Current liabilities 44.96%1.4M44.96%1.4M28.13%969.12K28.13%969.12K-22.32%756.35K-22.32%756.35K37.71%973.65K37.71%973.65K123.06%707K--707K
Non current liabilities
-Long term debt -70.12%30.72K-70.12%30.72K-41.59%102.82K-41.59%102.82K34.48%176.03K34.48%176.03K--130.89K--130.89K--------
Non current accrued expenses 4.63%475.79K4.63%475.79K-10.78%454.74K-10.78%454.74K81.49%509.68K81.49%509.68K119.36%280.83K119.36%280.83K18.13%128.02K--128.02K
Total non current liabilities 33.70%1.48M33.70%1.48M15.87%1.11M15.87%1.11M-14.64%956.05K-14.64%956.05K56.97%1.12M56.97%1.12M125.13%713.56K--713.56K
Shareholders'equity
Share capital 3.14%32.36M3.14%32.36M1.07%31.37M1.07%31.37M147.90%31.04M147.90%31.04M17.23%12.52M17.23%12.52M6.88%10.68M--10.68M
-common stock 3.14%32.36M3.14%32.36M1.07%31.37M1.07%31.37M147.90%31.04M147.90%31.04M17.23%12.52M17.23%12.52M6.88%10.68M--10.68M
Gains losses not affecting retained earnings 5.16%6.04M5.16%6.04M2.05%5.74M2.05%5.74M33.25%5.63M33.25%5.63M0.00%4.22M0.00%4.22M48.57%4.22M--4.22M
Other equity interest -61.81%40.15K-61.81%40.15K11.26%105.14K11.26%105.14K1,424.00%94.49K1,424.00%94.49K-107.91%-7.14K-107.91%-7.14K--90.21K--90.21K
Total equity -30.52%12.2M-30.52%12.2M-14.51%17.56M-14.51%17.56M372.52%20.55M372.52%20.55M16.30%4.35M16.30%4.35M-35.35%3.74M--3.74M

Analysis

Analyst Rating

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Price Target

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