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5GN 5G Networks Ltd

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  • 0.135
  • -0.005-3.57%
20min DelayMarket Closed Apr 24 16:00 AET
40.23MMarket Cap0.68P/E (Static)

5G Networks Ltd 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
(FY)Dec 30, 2020
(Q4)Dec 30, 2020
(FY)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
1,483.97%71.25M
1,483.97%71.25M
-16.19%4.5M
-16.19%4.5M
122.51%5.37M
--5.37M
-30.45%2.41M
-61.25%3.47M
--3.47M
8.09%8.95M
-Cash and cash equivalents
1,483.97%71.25M
1,483.97%71.25M
-16.19%4.5M
-16.19%4.5M
122.51%5.37M
--5.37M
-30.45%2.41M
-61.25%3.47M
--3.47M
8.09%8.95M
Receivables
-22.82%3.93M
-22.82%3.93M
38.11%5.09M
38.11%5.09M
114.44%3.68M
--3.68M
-42.77%1.72M
-78.20%3M
--3M
-47.84%13.77M
-Accounts receivable
-25.13%3.55M
-25.13%3.55M
-5.44%4.75M
-5.44%4.75M
180.76%5.02M
--5.02M
-32.50%1.79M
-81.98%2.65M
--2.65M
-45.91%14.7M
-Other receivables
-9.84%522K
-9.84%522K
34.03%579K
34.03%579K
-58.58%432K
--432K
-46.38%1.04M
113.74%1.95M
--1.95M
53.20%910K
-Recievables adjustments allowances
37.39%-149K
37.39%-149K
86.54%-238K
86.54%-238K
-58.85%-1.77M
---1.77M
30.09%-1.11M
13.48%-1.59M
---1.59M
-34.31%-1.84M
Inventory
----
----
----
----
--200K
--200K
----
----
----
----
Prepaid assets
----
----
-25.81%6.28M
-25.81%6.28M
56.78%8.46M
--8.46M
-28.21%5.4M
-3.73%7.52M
--7.52M
-17.75%7.81M
Current deferred assets
----
----
----
----
----
----
----
516.80%2.31M
--2.31M
--375K
Holding assets for sale
--31.28M
--31.28M
----
----
----
----
--87K
----
----
16.86%38.21M
Other current assets
-19.48%4.1M
-19.48%4.1M
272.67%5.09M
272.67%5.09M
-56.26%1.37M
--1.37M
-30.23%3.12M
-20.03%4.47M
--4.47M
25.24%5.59M
Total current assets
427.62%110.55M
427.62%110.55M
9.82%20.95M
9.82%20.95M
49.80%19.08M
--19.08M
-38.70%12.74M
-72.19%20.78M
--20.78M
-8.15%74.71M
Non current assets
Net PPE
-18.64%16.42M
-18.64%16.42M
-34.58%20.18M
-34.58%20.18M
357.64%30.85M
--30.85M
-204.34%-11.97M
28.17%11.48M
--11.48M
-36.32%8.95M
-Gross PPE
-0.53%45.54M
-0.53%45.54M
-1.98%45.78M
-1.98%45.78M
244.75%46.71M
--46.71M
18.07%13.55M
-69.28%11.48M
--11.48M
10.19%37.36M
-Accumulated depreciation
-13.75%-29.12M
-13.75%-29.12M
-61.41%-25.6M
-61.41%-25.6M
37.86%-15.86M
---15.86M
---25.52M
----
----
-43.13%-28.41M
Investments and advances
0.00%725K
0.00%725K
-86.05%725K
-86.05%725K
616.97%5.2M
--5.2M
0.00%725K
-47.27%725K
--725K
-26.47%1.38M
-Financial asset investment
0.00%725K
0.00%725K
-86.05%725K
-86.05%725K
616.97%5.2M
--5.2M
0.00%725K
-47.27%725K
--725K
-26.47%1.38M
-Including:Trading securities
0.00%725K
0.00%725K
-86.05%725K
-86.05%725K
616.97%5.2M
--5.2M
0.00%725K
-47.27%725K
--725K
-26.47%1.38M
Non current accounts receivable
--426K
--426K
----
----
----
----
----
----
----
----
Goodwill and other intangible assets
-85.69%10.21M
-85.69%10.21M
-1.28%71.35M
-1.28%71.35M
73.75%72.27M
--72.27M
-3.43%41.6M
-71.47%43.07M
--43.07M
-32.96%151M
-Goodwill
-86.25%6.91M
-86.25%6.91M
0.14%50.28M
0.14%50.28M
32.40%50.21M
--50.21M
--37.92M
----
----
-66.49%70.92M
-Other intangible assets
-84.35%3.3M
-84.35%3.3M
-4.50%21.07M
-4.50%21.07M
500.74%22.06M
--22.06M
-91.48%3.67M
-46.21%43.07M
--43.07M
490.21%80.08M
Non current deferred assets
----
----
-89.31%890K
-89.31%890K
119.53%8.33M
--8.33M
--3.79M
----
----
8.09%7.32M
Other non current assets
-58.19%1.15M
-58.19%1.15M
-14.49%2.76M
-14.49%2.76M
-35.52%3.22M
--3.22M
10.92%5M
263.60%4.51M
--4.51M
-61.33%1.24M
Total non current assets
-69.83%28.93M
-69.83%28.93M
-20.00%95.9M
-20.00%95.9M
206.26%119.87M
--119.87M
-34.53%39.14M
-64.81%59.78M
--59.78M
-32.35%169.89M
Total assets
19.36%139.48M
19.36%139.48M
-15.90%116.85M
-15.90%116.85M
167.85%138.95M
--138.95M
-35.60%51.88M
-67.07%80.55M
--80.55M
-26.43%244.6M
Liabilities
Current liabilities
Current debt and capital lease obligation
-89.98%3.32M
-89.98%3.32M
631.06%33.1M
631.06%33.1M
-84.94%4.53M
--4.53M
-38.62%30.05M
-62.35%48.96M
--48.96M
--130.02M
-Current debt
----
----
2,622.50%29.16M
2,622.50%29.16M
-95.98%1.07M
--1.07M
-37.21%26.63M
-65.76%42.41M
--42.41M
--123.86M
-Current capital lease obligation
-15.77%3.32M
-15.77%3.32M
13.92%3.94M
13.92%3.94M
0.96%3.46M
--3.46M
-47.72%3.42M
6.30%6.55M
--6.55M
--6.16M
Payables
-19.00%11.97M
-19.00%11.97M
-5.56%14.77M
-5.56%14.77M
36.99%15.64M
--15.64M
-6.97%11.42M
-22.36%12.28M
--12.28M
-7.74%15.81M
-accounts payable
-16.10%9.85M
-16.10%9.85M
-1.51%11.74M
-1.51%11.74M
208.41%11.92M
--11.92M
-68.52%3.86M
41.21%12.28M
--12.28M
224.12%8.69M
-Other payable
-30.19%2.12M
-30.19%2.12M
-18.49%3.04M
-18.49%3.04M
-50.68%3.73M
--3.73M
--7.56M
----
----
-50.76%7.12M
Current provisions
----
----
----
----
----
----
----
-42.91%1.2M
--1.2M
-39.90%2.1M
Pension and other retirement benefit plans
-30.12%2.47M
-30.12%2.47M
-9.50%3.54M
-9.50%3.54M
207.64%3.91M
--3.91M
--1.27M
----
----
--1.59M
Current deferred liabilities
-82.42%4.5M
-82.42%4.5M
72,940.00%25.56M
72,940.00%25.56M
-99.85%35K
--35K
--22.95M
----
----
-25.37%22.79M
Other current liabilities
468.21%35.21M
468.21%35.21M
-76.53%6.2M
-76.53%6.2M
--26.4M
--26.4M
----
15.62%24.84M
--24.84M
-11.47%21.48M
Current liabilities
-30.91%57.46M
-30.91%57.46M
64.65%83.17M
64.65%83.17M
-23.10%50.51M
--50.51M
-24.73%65.69M
-54.97%87.26M
--87.26M
156.91%193.78M
Non current liabilities
Long term debt and capital lease obligation
-31.02%9.13M
-31.02%9.13M
-67.05%13.23M
-67.05%13.23M
122.39%40.14M
--40.14M
162.18%18.05M
-46.92%6.89M
--6.89M
-82.70%12.97M
-Long term debt
----
----
----
----
69.06%25.36M
--25.36M
--15M
----
----
----
-Long term capital lease obligation
-31.02%9.13M
-31.02%9.13M
-10.52%13.23M
-10.52%13.23M
384.56%14.78M
--14.78M
-55.69%3.05M
-46.92%6.89M
--6.89M
--12.97M
Long term provisions
----
----
----
----
----
----
-22.53%2.3M
-6.81%2.97M
--2.97M
-9.72%3.19M
Employee benefits
-17.25%403K
-17.25%403K
7.98%487K
7.98%487K
92.74%451K
--451K
--234K
----
----
-56.26%528K
Non current deferred liabilities
----
----
----
----
9.74%10.84M
--10.84M
38.39%9.87M
-62.14%7.14M
--7.14M
25.38%18.85M
Other non current liabilities
----
----
20.14%9.7M
20.14%9.7M
--8.07M
--8.07M
----
----
----
----
Total non current liabilities
-59.31%9.53M
-59.31%9.53M
-60.65%23.41M
-60.65%23.41M
95.34%59.5M
--59.5M
79.28%30.46M
-52.19%16.99M
--16.99M
-62.83%35.53M
Total liabilities
-37.15%66.99M
-37.15%66.99M
-3.12%106.58M
-3.12%106.58M
14.42%110.01M
--110.01M
-7.78%96.15M
-54.54%104.25M
--104.25M
34.07%229.31M
Shareholders'equity
Share capital
-1.11%198.29M
-1.11%198.29M
-0.39%200.52M
-0.39%200.52M
108.46%201.3M
--201.3M
0.08%96.57M
5.82%96.49M
--96.49M
6.36%91.18M
-common stock
-1.11%198.29M
-1.11%198.29M
-0.39%200.52M
-0.39%200.52M
108.46%201.3M
--201.3M
0.08%96.57M
5.82%96.49M
--96.49M
6.36%91.18M
Retained earnings
102.70%1.57M
102.70%1.57M
-54.35%-58.2M
-54.35%-58.2M
69.32%-37.71M
---37.71M
-2.52%-122.89M
-108.35%-119.87M
---119.87M
-175.65%-57.53M
Gains losses not affecting retained earnings
1.51%-130.05M
1.51%-130.05M
1.94%-132.05M
1.94%-132.05M
-48,867.64%-134.66M
---134.66M
13.25%-275K
48.71%-317K
---317K
-204.22%-618K
Total stockholders'equity
579.77%69.81M
579.77%69.81M
-64.50%10.27M
-64.50%10.27M
208.79%28.93M
--28.93M
-12.22%-26.6M
-171.75%-23.7M
---23.7M
-79.66%33.03M
Noncontrolling interests
----
----
----
----
----
----
----
----
----
0.00%126K
Total equity
579.77%69.81M
579.77%69.81M
-64.50%10.27M
-64.50%10.27M
208.79%28.93M
--28.93M
-12.22%-26.6M
-171.48%-23.7M
---23.7M
-79.60%33.16M
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, 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(FY)Dec 30, 2020(Q4)Dec 30, 2020(FY)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments 1,483.97%71.25M1,483.97%71.25M-16.19%4.5M-16.19%4.5M122.51%5.37M--5.37M-30.45%2.41M-61.25%3.47M--3.47M8.09%8.95M
-Cash and cash equivalents 1,483.97%71.25M1,483.97%71.25M-16.19%4.5M-16.19%4.5M122.51%5.37M--5.37M-30.45%2.41M-61.25%3.47M--3.47M8.09%8.95M
Receivables -22.82%3.93M-22.82%3.93M38.11%5.09M38.11%5.09M114.44%3.68M--3.68M-42.77%1.72M-78.20%3M--3M-47.84%13.77M
-Accounts receivable -25.13%3.55M-25.13%3.55M-5.44%4.75M-5.44%4.75M180.76%5.02M--5.02M-32.50%1.79M-81.98%2.65M--2.65M-45.91%14.7M
-Other receivables -9.84%522K-9.84%522K34.03%579K34.03%579K-58.58%432K--432K-46.38%1.04M113.74%1.95M--1.95M53.20%910K
-Recievables adjustments allowances 37.39%-149K37.39%-149K86.54%-238K86.54%-238K-58.85%-1.77M---1.77M30.09%-1.11M13.48%-1.59M---1.59M-34.31%-1.84M
Inventory ------------------200K--200K----------------
Prepaid assets ---------25.81%6.28M-25.81%6.28M56.78%8.46M--8.46M-28.21%5.4M-3.73%7.52M--7.52M-17.75%7.81M
Current deferred assets ----------------------------516.80%2.31M--2.31M--375K
Holding assets for sale --31.28M--31.28M------------------87K--------16.86%38.21M
Other current assets -19.48%4.1M-19.48%4.1M272.67%5.09M272.67%5.09M-56.26%1.37M--1.37M-30.23%3.12M-20.03%4.47M--4.47M25.24%5.59M
Total current assets 427.62%110.55M427.62%110.55M9.82%20.95M9.82%20.95M49.80%19.08M--19.08M-38.70%12.74M-72.19%20.78M--20.78M-8.15%74.71M
Non current assets
Net PPE -18.64%16.42M-18.64%16.42M-34.58%20.18M-34.58%20.18M357.64%30.85M--30.85M-204.34%-11.97M28.17%11.48M--11.48M-36.32%8.95M
-Gross PPE -0.53%45.54M-0.53%45.54M-1.98%45.78M-1.98%45.78M244.75%46.71M--46.71M18.07%13.55M-69.28%11.48M--11.48M10.19%37.36M
-Accumulated depreciation -13.75%-29.12M-13.75%-29.12M-61.41%-25.6M-61.41%-25.6M37.86%-15.86M---15.86M---25.52M---------43.13%-28.41M
Investments and advances 0.00%725K0.00%725K-86.05%725K-86.05%725K616.97%5.2M--5.2M0.00%725K-47.27%725K--725K-26.47%1.38M
-Financial asset investment 0.00%725K0.00%725K-86.05%725K-86.05%725K616.97%5.2M--5.2M0.00%725K-47.27%725K--725K-26.47%1.38M
-Including:Trading securities 0.00%725K0.00%725K-86.05%725K-86.05%725K616.97%5.2M--5.2M0.00%725K-47.27%725K--725K-26.47%1.38M
Non current accounts receivable --426K--426K--------------------------------
Goodwill and other intangible assets -85.69%10.21M-85.69%10.21M-1.28%71.35M-1.28%71.35M73.75%72.27M--72.27M-3.43%41.6M-71.47%43.07M--43.07M-32.96%151M
-Goodwill -86.25%6.91M-86.25%6.91M0.14%50.28M0.14%50.28M32.40%50.21M--50.21M--37.92M---------66.49%70.92M
-Other intangible assets -84.35%3.3M-84.35%3.3M-4.50%21.07M-4.50%21.07M500.74%22.06M--22.06M-91.48%3.67M-46.21%43.07M--43.07M490.21%80.08M
Non current deferred assets ---------89.31%890K-89.31%890K119.53%8.33M--8.33M--3.79M--------8.09%7.32M
Other non current assets -58.19%1.15M-58.19%1.15M-14.49%2.76M-14.49%2.76M-35.52%3.22M--3.22M10.92%5M263.60%4.51M--4.51M-61.33%1.24M
Total non current assets -69.83%28.93M-69.83%28.93M-20.00%95.9M-20.00%95.9M206.26%119.87M--119.87M-34.53%39.14M-64.81%59.78M--59.78M-32.35%169.89M
Total assets 19.36%139.48M19.36%139.48M-15.90%116.85M-15.90%116.85M167.85%138.95M--138.95M-35.60%51.88M-67.07%80.55M--80.55M-26.43%244.6M
Liabilities
Current liabilities
Current debt and capital lease obligation -89.98%3.32M-89.98%3.32M631.06%33.1M631.06%33.1M-84.94%4.53M--4.53M-38.62%30.05M-62.35%48.96M--48.96M--130.02M
-Current debt --------2,622.50%29.16M2,622.50%29.16M-95.98%1.07M--1.07M-37.21%26.63M-65.76%42.41M--42.41M--123.86M
-Current capital lease obligation -15.77%3.32M-15.77%3.32M13.92%3.94M13.92%3.94M0.96%3.46M--3.46M-47.72%3.42M6.30%6.55M--6.55M--6.16M
Payables -19.00%11.97M-19.00%11.97M-5.56%14.77M-5.56%14.77M36.99%15.64M--15.64M-6.97%11.42M-22.36%12.28M--12.28M-7.74%15.81M
-accounts payable -16.10%9.85M-16.10%9.85M-1.51%11.74M-1.51%11.74M208.41%11.92M--11.92M-68.52%3.86M41.21%12.28M--12.28M224.12%8.69M
-Other payable -30.19%2.12M-30.19%2.12M-18.49%3.04M-18.49%3.04M-50.68%3.73M--3.73M--7.56M---------50.76%7.12M
Current provisions -----------------------------42.91%1.2M--1.2M-39.90%2.1M
Pension and other retirement benefit plans -30.12%2.47M-30.12%2.47M-9.50%3.54M-9.50%3.54M207.64%3.91M--3.91M--1.27M----------1.59M
Current deferred liabilities -82.42%4.5M-82.42%4.5M72,940.00%25.56M72,940.00%25.56M-99.85%35K--35K--22.95M---------25.37%22.79M
Other current liabilities 468.21%35.21M468.21%35.21M-76.53%6.2M-76.53%6.2M--26.4M--26.4M----15.62%24.84M--24.84M-11.47%21.48M
Current liabilities -30.91%57.46M-30.91%57.46M64.65%83.17M64.65%83.17M-23.10%50.51M--50.51M-24.73%65.69M-54.97%87.26M--87.26M156.91%193.78M
Non current liabilities
Long term debt and capital lease obligation -31.02%9.13M-31.02%9.13M-67.05%13.23M-67.05%13.23M122.39%40.14M--40.14M162.18%18.05M-46.92%6.89M--6.89M-82.70%12.97M
-Long term debt ----------------69.06%25.36M--25.36M--15M------------
-Long term capital lease obligation -31.02%9.13M-31.02%9.13M-10.52%13.23M-10.52%13.23M384.56%14.78M--14.78M-55.69%3.05M-46.92%6.89M--6.89M--12.97M
Long term provisions -------------------------22.53%2.3M-6.81%2.97M--2.97M-9.72%3.19M
Employee benefits -17.25%403K-17.25%403K7.98%487K7.98%487K92.74%451K--451K--234K---------56.26%528K
Non current deferred liabilities ----------------9.74%10.84M--10.84M38.39%9.87M-62.14%7.14M--7.14M25.38%18.85M
Other non current liabilities --------20.14%9.7M20.14%9.7M--8.07M--8.07M----------------
Total non current liabilities -59.31%9.53M-59.31%9.53M-60.65%23.41M-60.65%23.41M95.34%59.5M--59.5M79.28%30.46M-52.19%16.99M--16.99M-62.83%35.53M
Total liabilities -37.15%66.99M-37.15%66.99M-3.12%106.58M-3.12%106.58M14.42%110.01M--110.01M-7.78%96.15M-54.54%104.25M--104.25M34.07%229.31M
Shareholders'equity
Share capital -1.11%198.29M-1.11%198.29M-0.39%200.52M-0.39%200.52M108.46%201.3M--201.3M0.08%96.57M5.82%96.49M--96.49M6.36%91.18M
-common stock -1.11%198.29M-1.11%198.29M-0.39%200.52M-0.39%200.52M108.46%201.3M--201.3M0.08%96.57M5.82%96.49M--96.49M6.36%91.18M
Retained earnings 102.70%1.57M102.70%1.57M-54.35%-58.2M-54.35%-58.2M69.32%-37.71M---37.71M-2.52%-122.89M-108.35%-119.87M---119.87M-175.65%-57.53M
Gains losses not affecting retained earnings 1.51%-130.05M1.51%-130.05M1.94%-132.05M1.94%-132.05M-48,867.64%-134.66M---134.66M13.25%-275K48.71%-317K---317K-204.22%-618K
Total stockholders'equity 579.77%69.81M579.77%69.81M-64.50%10.27M-64.50%10.27M208.79%28.93M--28.93M-12.22%-26.6M-171.75%-23.7M---23.7M-79.66%33.03M
Noncontrolling interests ------------------------------------0.00%126K
Total equity 579.77%69.81M579.77%69.81M-64.50%10.27M-64.50%10.27M208.79%28.93M--28.93M-12.22%-26.6M-171.48%-23.7M---23.7M-79.60%33.16M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP