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Pointerra Ltd (3DP)

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  • 0.029
  • -0.002-6.45%
20min DelayMarket Closed May 7 16:00 AET
23.74MMarket Cap-14.50P/E (Static)

Pointerra Ltd (3DP) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2025
(Q4)Jun 30, 2025
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-31.32%1.87M
-31.32%1.87M
82.29%2.72M
82.29%2.72M
-58.52%1.49M
-58.52%1.49M
-31.23%3.6M
-31.23%3.6M
123.78%5.23M
123.78%5.23M
-Cash and cash equivalents
-31.32%1.87M
-31.32%1.87M
82.29%2.72M
82.29%2.72M
-58.52%1.49M
-58.52%1.49M
-31.23%3.6M
-31.23%3.6M
123.78%5.23M
123.78%5.23M
Receivables
-38.91%1.84M
-38.91%1.84M
-16.43%3.02M
-16.43%3.02M
-15.68%3.61M
-15.68%3.61M
172.88%4.28M
172.88%4.28M
37.13%1.57M
37.13%1.57M
-Accounts receivable
-72.69%501.98K
-72.69%501.98K
-32.48%1.84M
-32.48%1.84M
-21.92%2.72M
-21.92%2.72M
231.57%3.49M
231.57%3.49M
74.65%1.05M
74.65%1.05M
-Other receivables
13.70%1.34M
13.70%1.34M
32.67%1.18M
32.67%1.18M
11.64%890K
11.64%890K
53.79%797.2K
53.79%797.2K
-4.50%518.36K
-4.50%518.36K
Other current assets
-1.02%113.48K
-1.02%113.48K
66.20%114.65K
66.20%114.65K
726.96%68.99K
726.96%68.99K
-34.65%8.34K
-34.65%8.34K
-69.39%12.77K
-69.39%12.77K
Total current assets
-34.64%3.83M
-34.64%3.83M
13.14%5.85M
13.14%5.85M
-34.42%5.17M
-34.42%5.17M
15.81%7.89M
15.81%7.89M
93.34%6.81M
93.34%6.81M
Non current assets
Net PPE
488.50%319.29K
488.50%319.29K
58.45%-82.19K
58.45%-82.19K
-364.09%-197.79K
-364.09%-197.79K
-74.25%74.89K
-74.25%74.89K
-1.97%290.88K
-1.97%290.88K
-Gross PPE
131.56%847.82K
131.56%847.82K
8.12%366.13K
8.12%366.13K
-27.54%338.64K
-27.54%338.64K
-12.93%467.32K
-12.93%467.32K
20.81%536.75K
20.81%536.75K
-Accumulated depreciation
-17.89%-528.53K
-17.89%-528.53K
16.43%-448.31K
16.43%-448.31K
-36.70%-536.43K
-36.70%-536.43K
-59.61%-392.43K
-59.61%-392.43K
-66.64%-245.87K
-66.64%-245.87K
Goodwill and other intangible assets
-30.01%39.62K
-30.01%39.62K
-5.43%56.6K
-5.43%56.6K
-22.94%59.85K
-22.94%59.85K
-95.10%77.67K
-95.10%77.67K
2,026.59%1.58M
2,026.59%1.58M
-Other intangible assets
-30.01%39.62K
-30.01%39.62K
-5.43%56.6K
-5.43%56.6K
-22.94%59.85K
-22.94%59.85K
-95.10%77.67K
-95.10%77.67K
2,026.59%1.58M
2,026.59%1.58M
Total non current assets
1,502.97%358.91K
1,502.97%358.91K
81.45%-25.58K
81.45%-25.58K
-190.41%-137.94K
-190.41%-137.94K
-91.86%152.56K
-91.86%152.56K
405.14%1.88M
405.14%1.88M
Total assets
-28.19%4.18M
-28.19%4.18M
15.73%5.83M
15.73%5.83M
-37.38%5.04M
-37.38%5.04M
-7.43%8.04M
-7.43%8.04M
123.05%8.69M
123.05%8.69M
Liabilities
Current liabilities
Current debt and capital lease obligation
19.51%52K
19.51%52K
-46.35%43.51K
-46.35%43.51K
-28.26%81.09K
-28.26%81.09K
32.63%113.04K
32.63%113.04K
4.46%85.23K
4.46%85.23K
-Current debt
----
----
----
----
----
----
--48.77K
--48.77K
----
----
-Current capital lease obligation
19.51%52K
19.51%52K
-46.35%43.51K
-46.35%43.51K
26.19%81.09K
26.19%81.09K
-24.60%64.26K
-24.60%64.26K
4.46%85.23K
4.46%85.23K
Payables
-1.27%2.85M
-1.27%2.85M
-21.69%2.89M
-21.69%2.89M
-9.87%3.69M
-9.87%3.69M
44.27%4.1M
44.27%4.1M
118.87%2.84M
118.87%2.84M
-accounts payable
-54.89%1.3M
-54.89%1.3M
10.55%2.89M
10.55%2.89M
1.77%2.62M
1.77%2.62M
50.22%2.57M
50.22%2.57M
95.40%1.71M
95.40%1.71M
-Other payable
--1.55M
--1.55M
----
----
-29.46%1.08M
-29.46%1.08M
35.24%1.53M
35.24%1.53M
167.59%1.13M
167.59%1.13M
Current provisions
----
----
21.45%776.2K
21.45%776.2K
57.17%639.09K
57.17%639.09K
77.35%406.62K
77.35%406.62K
-48.72%229.27K
-48.72%229.27K
Pension and other retirement benefit plans
21.11%940.03K
21.11%940.03K
21.45%776.2K
21.45%776.2K
--639.09K
--639.09K
----
----
----
----
Current deferred liabilities
-21.15%1.34M
-21.15%1.34M
-37.28%1.7M
-37.28%1.7M
87.37%2.71M
87.37%2.71M
27.62%1.45M
27.62%1.45M
39.83%1.13M
39.83%1.13M
Current liabilities
-16.17%5.19M
-16.17%5.19M
-20.29%6.19M
-20.29%6.19M
28.05%7.76M
28.05%7.76M
41.40%6.06M
41.40%6.06M
62.60%4.29M
62.60%4.29M
Non current liabilities
Long term debt and capital lease obligation
-14.78%299.75K
-14.78%299.75K
63.00%351.74K
63.00%351.74K
-24.10%215.79K
-24.10%215.79K
-6.77%284.32K
-6.77%284.32K
-11.82%304.95K
-11.82%304.95K
-Long term capital lease obligation
-14.78%299.75K
-14.78%299.75K
63.00%351.74K
63.00%351.74K
-24.10%215.79K
-24.10%215.79K
-6.77%284.32K
-6.77%284.32K
-11.82%304.95K
-11.82%304.95K
Employee benefits
----
----
----
----
----
----
--88.09K
--88.09K
----
----
Non current deferred liabilities
----
----
----
----
----
----
----
----
--311.92K
--311.92K
Total non current liabilities
-14.78%299.75K
-14.78%299.75K
63.00%351.74K
63.00%351.74K
-42.06%215.79K
-42.06%215.79K
-39.63%372.41K
-39.63%372.41K
78.37%616.87K
78.37%616.87K
Total liabilities
-16.09%5.49M
-16.09%5.49M
-18.04%6.54M
-18.04%6.54M
23.99%7.98M
23.99%7.98M
31.21%6.44M
31.21%6.44M
64.43%4.9M
64.43%4.9M
Shareholders'equity
Share capital
0.68%19.2M
0.68%19.2M
37.66%19.08M
37.66%19.08M
0.50%13.86M
0.50%13.86M
0.04%13.79M
0.04%13.79M
50.20%13.78M
50.20%13.78M
-common stock
0.68%19.2M
0.68%19.2M
37.66%19.08M
37.66%19.08M
0.50%13.86M
0.50%13.86M
0.04%13.79M
0.04%13.79M
50.20%13.78M
50.20%13.78M
Retained earnings
-7.03%-25.77M
-7.03%-25.77M
-27.74%-24.07M
-27.74%-24.07M
-27.32%-18.85M
-27.32%-18.85M
-26.47%-14.8M
-26.47%-14.8M
-11.72%-11.7M
-11.72%-11.7M
Gains losses not affecting retained earnings
21.44%5.26M
21.44%5.26M
27.06%4.33M
27.06%4.33M
-11.02%3.41M
-11.02%3.41M
52.56%3.83M
52.56%3.83M
12.15%2.51M
12.15%2.51M
Total stockholders'equity
-94.91%-1.3M
-94.91%-1.3M
57.74%-668.32K
57.74%-668.32K
-156.16%-1.58M
-156.16%-1.58M
-38.64%2.82M
-38.64%2.82M
389.01%4.59M
389.01%4.59M
Total equity
-94.91%-1.3M
-94.91%-1.3M
57.74%-668.32K
57.74%-668.32K
-156.16%-1.58M
-156.16%-1.58M
-38.64%2.82M
-38.64%2.82M
389.01%4.59M
389.01%4.59M
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, 2025(Q4)Jun 30, 2025(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
Assets
Current assets
Cash, cash equivalents and short term investments -31.32%1.87M-31.32%1.87M82.29%2.72M82.29%2.72M-58.52%1.49M-58.52%1.49M-31.23%3.6M-31.23%3.6M123.78%5.23M123.78%5.23M
-Cash and cash equivalents -31.32%1.87M-31.32%1.87M82.29%2.72M82.29%2.72M-58.52%1.49M-58.52%1.49M-31.23%3.6M-31.23%3.6M123.78%5.23M123.78%5.23M
Receivables -38.91%1.84M-38.91%1.84M-16.43%3.02M-16.43%3.02M-15.68%3.61M-15.68%3.61M172.88%4.28M172.88%4.28M37.13%1.57M37.13%1.57M
-Accounts receivable -72.69%501.98K-72.69%501.98K-32.48%1.84M-32.48%1.84M-21.92%2.72M-21.92%2.72M231.57%3.49M231.57%3.49M74.65%1.05M74.65%1.05M
-Other receivables 13.70%1.34M13.70%1.34M32.67%1.18M32.67%1.18M11.64%890K11.64%890K53.79%797.2K53.79%797.2K-4.50%518.36K-4.50%518.36K
Other current assets -1.02%113.48K-1.02%113.48K66.20%114.65K66.20%114.65K726.96%68.99K726.96%68.99K-34.65%8.34K-34.65%8.34K-69.39%12.77K-69.39%12.77K
Total current assets -34.64%3.83M-34.64%3.83M13.14%5.85M13.14%5.85M-34.42%5.17M-34.42%5.17M15.81%7.89M15.81%7.89M93.34%6.81M93.34%6.81M
Non current assets
Net PPE 488.50%319.29K488.50%319.29K58.45%-82.19K58.45%-82.19K-364.09%-197.79K-364.09%-197.79K-74.25%74.89K-74.25%74.89K-1.97%290.88K-1.97%290.88K
-Gross PPE 131.56%847.82K131.56%847.82K8.12%366.13K8.12%366.13K-27.54%338.64K-27.54%338.64K-12.93%467.32K-12.93%467.32K20.81%536.75K20.81%536.75K
-Accumulated depreciation -17.89%-528.53K-17.89%-528.53K16.43%-448.31K16.43%-448.31K-36.70%-536.43K-36.70%-536.43K-59.61%-392.43K-59.61%-392.43K-66.64%-245.87K-66.64%-245.87K
Goodwill and other intangible assets -30.01%39.62K-30.01%39.62K-5.43%56.6K-5.43%56.6K-22.94%59.85K-22.94%59.85K-95.10%77.67K-95.10%77.67K2,026.59%1.58M2,026.59%1.58M
-Other intangible assets -30.01%39.62K-30.01%39.62K-5.43%56.6K-5.43%56.6K-22.94%59.85K-22.94%59.85K-95.10%77.67K-95.10%77.67K2,026.59%1.58M2,026.59%1.58M
Total non current assets 1,502.97%358.91K1,502.97%358.91K81.45%-25.58K81.45%-25.58K-190.41%-137.94K-190.41%-137.94K-91.86%152.56K-91.86%152.56K405.14%1.88M405.14%1.88M
Total assets -28.19%4.18M-28.19%4.18M15.73%5.83M15.73%5.83M-37.38%5.04M-37.38%5.04M-7.43%8.04M-7.43%8.04M123.05%8.69M123.05%8.69M
Liabilities
Current liabilities
Current debt and capital lease obligation 19.51%52K19.51%52K-46.35%43.51K-46.35%43.51K-28.26%81.09K-28.26%81.09K32.63%113.04K32.63%113.04K4.46%85.23K4.46%85.23K
-Current debt --------------------------48.77K--48.77K--------
-Current capital lease obligation 19.51%52K19.51%52K-46.35%43.51K-46.35%43.51K26.19%81.09K26.19%81.09K-24.60%64.26K-24.60%64.26K4.46%85.23K4.46%85.23K
Payables -1.27%2.85M-1.27%2.85M-21.69%2.89M-21.69%2.89M-9.87%3.69M-9.87%3.69M44.27%4.1M44.27%4.1M118.87%2.84M118.87%2.84M
-accounts payable -54.89%1.3M-54.89%1.3M10.55%2.89M10.55%2.89M1.77%2.62M1.77%2.62M50.22%2.57M50.22%2.57M95.40%1.71M95.40%1.71M
-Other payable --1.55M--1.55M---------29.46%1.08M-29.46%1.08M35.24%1.53M35.24%1.53M167.59%1.13M167.59%1.13M
Current provisions --------21.45%776.2K21.45%776.2K57.17%639.09K57.17%639.09K77.35%406.62K77.35%406.62K-48.72%229.27K-48.72%229.27K
Pension and other retirement benefit plans 21.11%940.03K21.11%940.03K21.45%776.2K21.45%776.2K--639.09K--639.09K----------------
Current deferred liabilities -21.15%1.34M-21.15%1.34M-37.28%1.7M-37.28%1.7M87.37%2.71M87.37%2.71M27.62%1.45M27.62%1.45M39.83%1.13M39.83%1.13M
Current liabilities -16.17%5.19M-16.17%5.19M-20.29%6.19M-20.29%6.19M28.05%7.76M28.05%7.76M41.40%6.06M41.40%6.06M62.60%4.29M62.60%4.29M
Non current liabilities
Long term debt and capital lease obligation -14.78%299.75K-14.78%299.75K63.00%351.74K63.00%351.74K-24.10%215.79K-24.10%215.79K-6.77%284.32K-6.77%284.32K-11.82%304.95K-11.82%304.95K
-Long term capital lease obligation -14.78%299.75K-14.78%299.75K63.00%351.74K63.00%351.74K-24.10%215.79K-24.10%215.79K-6.77%284.32K-6.77%284.32K-11.82%304.95K-11.82%304.95K
Employee benefits --------------------------88.09K--88.09K--------
Non current deferred liabilities ----------------------------------311.92K--311.92K
Total non current liabilities -14.78%299.75K-14.78%299.75K63.00%351.74K63.00%351.74K-42.06%215.79K-42.06%215.79K-39.63%372.41K-39.63%372.41K78.37%616.87K78.37%616.87K
Total liabilities -16.09%5.49M-16.09%5.49M-18.04%6.54M-18.04%6.54M23.99%7.98M23.99%7.98M31.21%6.44M31.21%6.44M64.43%4.9M64.43%4.9M
Shareholders'equity
Share capital 0.68%19.2M0.68%19.2M37.66%19.08M37.66%19.08M0.50%13.86M0.50%13.86M0.04%13.79M0.04%13.79M50.20%13.78M50.20%13.78M
-common stock 0.68%19.2M0.68%19.2M37.66%19.08M37.66%19.08M0.50%13.86M0.50%13.86M0.04%13.79M0.04%13.79M50.20%13.78M50.20%13.78M
Retained earnings -7.03%-25.77M-7.03%-25.77M-27.74%-24.07M-27.74%-24.07M-27.32%-18.85M-27.32%-18.85M-26.47%-14.8M-26.47%-14.8M-11.72%-11.7M-11.72%-11.7M
Gains losses not affecting retained earnings 21.44%5.26M21.44%5.26M27.06%4.33M27.06%4.33M-11.02%3.41M-11.02%3.41M52.56%3.83M52.56%3.83M12.15%2.51M12.15%2.51M
Total stockholders'equity -94.91%-1.3M-94.91%-1.3M57.74%-668.32K57.74%-668.32K-156.16%-1.58M-156.16%-1.58M-38.64%2.82M-38.64%2.82M389.01%4.59M389.01%4.59M
Total equity -94.91%-1.3M-94.91%-1.3M57.74%-668.32K57.74%-668.32K-156.16%-1.58M-156.16%-1.58M-38.64%2.82M-38.64%2.82M389.01%4.59M389.01%4.59M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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