AU Stock MarketDetailed Quotes

MVPO Medical Developments International Ltd

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  • 0.001
  • 0.0000.00%
20min DelayMarket Closed May 16 12:20 AET
86.31KMarket Cap0.00P/E (Static)

Medical Developments International 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
20.90%24.66M
20.90%24.66M
-43.77%20.4M
-43.77%20.4M
133.38%36.28M
133.38%36.28M
-39.33%15.54M
-39.33%15.54M
3,126.70%25.62M
3,126.70%25.62M
-Cash and cash equivalents
20.90%24.66M
20.90%24.66M
-43.77%20.4M
-43.77%20.4M
133.38%36.28M
133.38%36.28M
-39.33%15.54M
-39.33%15.54M
3,126.70%25.62M
3,126.70%25.62M
-Accounts receivable
41.09%8.77M
41.09%8.77M
118.92%6.22M
118.92%6.22M
-27.63%2.84M
-27.63%2.84M
-37.46%3.92M
-37.46%3.92M
48.19%6.27M
48.19%6.27M
-Notes receivable
-7.05%343K
-7.05%343K
25.51%369K
25.51%369K
9.29%294K
9.29%294K
-10.93%269K
-10.93%269K
46.60%302K
46.60%302K
-Other receivables
-79.45%862K
-79.45%862K
55.33%4.19M
55.33%4.19M
132.76%2.7M
132.76%2.7M
-15.70%1.16M
-15.70%1.16M
18.21%1.38M
18.21%1.38M
Current deferred assets
----
----
-93.07%162K
-93.07%162K
6,981.82%2.34M
6,981.82%2.34M
--33K
--33K
----
----
Total current assets
24.42%42.76M
24.42%42.76M
-27.47%34.37M
-27.47%34.37M
82.56%47.39M
82.56%47.39M
-26.58%25.96M
-26.58%25.96M
304.18%35.35M
304.18%35.35M
Non current assets
-Accumulated depreciation
-18.07%-10.13M
-18.07%-10.13M
-18.69%-8.58M
-18.69%-8.58M
-22.42%-7.23M
-22.42%-7.23M
-29.43%-5.91M
-29.43%-5.91M
-28.17%-4.56M
-28.17%-4.56M
-Long term equity investment
-10.43%2.21M
-10.43%2.21M
-9.11%2.47M
-9.11%2.47M
-7.72%2.71M
-7.72%2.71M
3,129.67%2.94M
3,129.67%2.94M
-99.01%91K
-99.01%91K
Non current note receivables
44.55%8.11M
44.55%8.11M
150.87%5.61M
150.87%5.61M
6.22%2.24M
6.22%2.24M
-1.08%2.11M
-1.08%2.11M
96.77%2.13M
96.77%2.13M
-Goodwill
-5.82%38.32M
-5.82%38.32M
4.74%40.69M
4.74%40.69M
-13.51%38.85M
-13.51%38.85M
15.88%44.92M
15.88%44.92M
22.49%38.76M
22.49%38.76M
Regulatory assets
46.81%8.93M
46.81%8.93M
129.76%6.08M
129.76%6.08M
-35.13%2.65M
-35.13%2.65M
-36.06%4.08M
-36.06%4.08M
48.92%6.38M
48.92%6.38M
Liabilities
Current liabilities
Current debt and capital lease obligation
1.15%352K
1.15%352K
3.26%348K
3.26%348K
-19.18%337K
-19.18%337K
358.24%417K
358.24%417K
-10.78%91K
-10.78%91K
-Current debt
----
----
----
----
----
----
0.00%91K
0.00%91K
-10.78%91K
-10.78%91K
-Current capital lease obligation
1.15%352K
1.15%352K
3.26%348K
3.26%348K
3.37%337K
3.37%337K
--326K
--326K
----
----
-accounts payable
157.52%13.32M
157.52%13.32M
56.69%5.17M
56.69%5.17M
-14.03%3.3M
-14.03%3.3M
89.21%3.84M
89.21%3.84M
-1.60%2.03M
-1.60%2.03M
-Total tax payable
-81.79%4.45M
-81.79%4.45M
-1.89%24.44M
-1.89%24.44M
-24.98%24.91M
-24.98%24.91M
4.37%33.21M
4.37%33.21M
42.02%31.82M
42.02%31.82M
-Other payable
----
----
----
----
--1K
--1K
----
----
---1K
---1K
Current deferred liabilities
245.12%283K
245.12%283K
20.59%82K
20.59%82K
-97.16%68K
-97.16%68K
-47.28%2.39M
-47.28%2.39M
87.80%4.54M
87.80%4.54M
Current liabilities
48.34%15.55M
48.34%15.55M
50.59%10.48M
50.59%10.48M
-15.26%6.96M
-15.26%6.96M
-2.17%8.21M
-2.17%8.21M
37.56%8.4M
37.56%8.4M
Non current liabilities
-Long term debt
-10.43%2.21M
-10.43%2.21M
-9.11%2.47M
-9.11%2.47M
-7.72%2.71M
-7.72%2.71M
--2.94M
--2.94M
----
----
Non current accrued expenses
4.93%12.12M
4.93%12.12M
-1.29%11.55M
-1.29%11.55M
-0.66%11.7M
-0.66%11.7M
37.66%11.78M
37.66%11.78M
5.98%8.56M
5.98%8.56M
Long term provisions
----
----
----
----
----
----
----
----
-99.01%91K
-99.01%91K
Employee benefits
-7.05%343K
-7.05%343K
25.51%369K
25.51%369K
9.29%294K
9.29%294K
-10.93%269K
-10.93%269K
46.60%302K
46.60%302K
Regulatory liabilities
----
----
-8.84%-320K
-8.84%-320K
---294K
---294K
----
----
----
----
Preferred securities outside stock equity
6.44%727K
6.44%727K
23.51%683K
23.51%683K
37.91%553K
37.91%553K
12.32%401K
12.32%401K
0.28%357K
0.28%357K
Total non current liabilities
-42.74%20M
-42.74%20M
9.57%34.92M
9.57%34.92M
-23.05%31.87M
-23.05%31.87M
3.00%41.42M
3.00%41.42M
41.06%40.21M
41.06%40.21M
Shareholders'equity
Share capital
37.32%105.73M
37.32%105.73M
0.13%76.99M
0.13%76.99M
87.76%76.9M
87.76%76.9M
1.35%40.95M
1.35%40.95M
150.67%40.41M
150.67%40.41M
-common stock
37.32%105.73M
37.32%105.73M
0.13%76.99M
0.13%76.99M
87.76%76.9M
87.76%76.9M
1.35%40.95M
1.35%40.95M
150.67%40.41M
150.67%40.41M
Gains losses not affecting retained earnings
18.33%5.74M
18.33%5.74M
36.84%4.85M
36.84%4.85M
81.14%3.55M
81.14%3.55M
29.77%1.96M
29.77%1.96M
112.10%1.51M
112.10%1.51M
Total equity
9.86%101.31M
9.86%101.31M
-7.94%92.22M
-7.94%92.22M
18.19%100.18M
18.19%100.18M
-0.05%84.76M
-0.05%84.76M
71.15%84.8M
71.15%84.8M
(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 20.90%24.66M20.90%24.66M-43.77%20.4M-43.77%20.4M133.38%36.28M133.38%36.28M-39.33%15.54M-39.33%15.54M3,126.70%25.62M3,126.70%25.62M
-Cash and cash equivalents 20.90%24.66M20.90%24.66M-43.77%20.4M-43.77%20.4M133.38%36.28M133.38%36.28M-39.33%15.54M-39.33%15.54M3,126.70%25.62M3,126.70%25.62M
-Accounts receivable 41.09%8.77M41.09%8.77M118.92%6.22M118.92%6.22M-27.63%2.84M-27.63%2.84M-37.46%3.92M-37.46%3.92M48.19%6.27M48.19%6.27M
-Notes receivable -7.05%343K-7.05%343K25.51%369K25.51%369K9.29%294K9.29%294K-10.93%269K-10.93%269K46.60%302K46.60%302K
-Other receivables -79.45%862K-79.45%862K55.33%4.19M55.33%4.19M132.76%2.7M132.76%2.7M-15.70%1.16M-15.70%1.16M18.21%1.38M18.21%1.38M
Current deferred assets ---------93.07%162K-93.07%162K6,981.82%2.34M6,981.82%2.34M--33K--33K--------
Total current assets 24.42%42.76M24.42%42.76M-27.47%34.37M-27.47%34.37M82.56%47.39M82.56%47.39M-26.58%25.96M-26.58%25.96M304.18%35.35M304.18%35.35M
Non current assets
-Accumulated depreciation -18.07%-10.13M-18.07%-10.13M-18.69%-8.58M-18.69%-8.58M-22.42%-7.23M-22.42%-7.23M-29.43%-5.91M-29.43%-5.91M-28.17%-4.56M-28.17%-4.56M
-Long term equity investment -10.43%2.21M-10.43%2.21M-9.11%2.47M-9.11%2.47M-7.72%2.71M-7.72%2.71M3,129.67%2.94M3,129.67%2.94M-99.01%91K-99.01%91K
Non current note receivables 44.55%8.11M44.55%8.11M150.87%5.61M150.87%5.61M6.22%2.24M6.22%2.24M-1.08%2.11M-1.08%2.11M96.77%2.13M96.77%2.13M
-Goodwill -5.82%38.32M-5.82%38.32M4.74%40.69M4.74%40.69M-13.51%38.85M-13.51%38.85M15.88%44.92M15.88%44.92M22.49%38.76M22.49%38.76M
Regulatory assets 46.81%8.93M46.81%8.93M129.76%6.08M129.76%6.08M-35.13%2.65M-35.13%2.65M-36.06%4.08M-36.06%4.08M48.92%6.38M48.92%6.38M
Liabilities
Current liabilities
Current debt and capital lease obligation 1.15%352K1.15%352K3.26%348K3.26%348K-19.18%337K-19.18%337K358.24%417K358.24%417K-10.78%91K-10.78%91K
-Current debt ------------------------0.00%91K0.00%91K-10.78%91K-10.78%91K
-Current capital lease obligation 1.15%352K1.15%352K3.26%348K3.26%348K3.37%337K3.37%337K--326K--326K--------
-accounts payable 157.52%13.32M157.52%13.32M56.69%5.17M56.69%5.17M-14.03%3.3M-14.03%3.3M89.21%3.84M89.21%3.84M-1.60%2.03M-1.60%2.03M
-Total tax payable -81.79%4.45M-81.79%4.45M-1.89%24.44M-1.89%24.44M-24.98%24.91M-24.98%24.91M4.37%33.21M4.37%33.21M42.02%31.82M42.02%31.82M
-Other payable ------------------1K--1K-----------1K---1K
Current deferred liabilities 245.12%283K245.12%283K20.59%82K20.59%82K-97.16%68K-97.16%68K-47.28%2.39M-47.28%2.39M87.80%4.54M87.80%4.54M
Current liabilities 48.34%15.55M48.34%15.55M50.59%10.48M50.59%10.48M-15.26%6.96M-15.26%6.96M-2.17%8.21M-2.17%8.21M37.56%8.4M37.56%8.4M
Non current liabilities
-Long term debt -10.43%2.21M-10.43%2.21M-9.11%2.47M-9.11%2.47M-7.72%2.71M-7.72%2.71M--2.94M--2.94M--------
Non current accrued expenses 4.93%12.12M4.93%12.12M-1.29%11.55M-1.29%11.55M-0.66%11.7M-0.66%11.7M37.66%11.78M37.66%11.78M5.98%8.56M5.98%8.56M
Long term provisions ---------------------------------99.01%91K-99.01%91K
Employee benefits -7.05%343K-7.05%343K25.51%369K25.51%369K9.29%294K9.29%294K-10.93%269K-10.93%269K46.60%302K46.60%302K
Regulatory liabilities ---------8.84%-320K-8.84%-320K---294K---294K----------------
Preferred securities outside stock equity 6.44%727K6.44%727K23.51%683K23.51%683K37.91%553K37.91%553K12.32%401K12.32%401K0.28%357K0.28%357K
Total non current liabilities -42.74%20M-42.74%20M9.57%34.92M9.57%34.92M-23.05%31.87M-23.05%31.87M3.00%41.42M3.00%41.42M41.06%40.21M41.06%40.21M
Shareholders'equity
Share capital 37.32%105.73M37.32%105.73M0.13%76.99M0.13%76.99M87.76%76.9M87.76%76.9M1.35%40.95M1.35%40.95M150.67%40.41M150.67%40.41M
-common stock 37.32%105.73M37.32%105.73M0.13%76.99M0.13%76.99M87.76%76.9M87.76%76.9M1.35%40.95M1.35%40.95M150.67%40.41M150.67%40.41M
Gains losses not affecting retained earnings 18.33%5.74M18.33%5.74M36.84%4.85M36.84%4.85M81.14%3.55M81.14%3.55M29.77%1.96M29.77%1.96M112.10%1.51M112.10%1.51M
Total equity 9.86%101.31M9.86%101.31M-7.94%92.22M-7.94%92.22M18.19%100.18M18.19%100.18M-0.05%84.76M-0.05%84.76M71.15%84.8M71.15%84.8M

Analysis

Analyst Rating

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Price Target

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