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AnteoTech Ltd (ADOO)

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  • 0.001
  • 0.0000.00%
20min DelayNot Open May 5 15:52 AET
2.97MMarket Cap0.00P/E (Static)

AnteoTech Ltd (ADOO) 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
-53.43%2.34M
-53.43%2.34M
84.76%5.03M
84.76%5.03M
-73.08%2.72M
-73.08%2.72M
-52.77%10.1M
-52.77%10.1M
565.48%21.39M
565.48%21.39M
-Cash and cash equivalents
-53.43%2.34M
-53.43%2.34M
84.76%5.03M
84.76%5.03M
-73.08%2.72M
-73.08%2.72M
-52.77%10.1M
-52.77%10.1M
565.48%21.39M
565.48%21.39M
Receivables
-56.08%90.86K
-56.08%90.86K
4.67%206.85K
4.67%206.85K
-57.87%197.62K
-57.87%197.62K
94.04%469.11K
94.04%469.11K
232.43%241.76K
232.43%241.76K
-Accounts receivable
-90.31%6.1K
-90.31%6.1K
1,216.94%62.88K
1,216.94%62.88K
-98.36%4.78K
-98.36%4.78K
2,198.03%291.76K
2,198.03%291.76K
-47.88%12.7K
-47.88%12.7K
-Other receivables
-41.12%84.76K
-41.12%84.76K
-25.35%143.97K
-25.35%143.97K
8.74%192.85K
8.74%192.85K
-22.58%177.35K
-22.58%177.35K
373.57%229.07K
373.57%229.07K
Prepaid assets
33.33%295.8K
33.33%295.8K
-1.25%221.86K
-1.25%221.86K
-11.58%224.67K
-11.58%224.67K
64.02%254.09K
64.02%254.09K
70.18%154.91K
70.18%154.91K
Total current assets
-50.00%2.73M
-50.00%2.73M
73.57%5.45M
73.57%5.45M
-70.98%3.14M
-70.98%3.14M
-50.31%10.83M
-50.31%10.83M
544.96%21.79M
544.96%21.79M
Non current assets
Net PPE
-13.70%3.36M
-13.70%3.36M
75.54%3.9M
75.54%3.9M
-44.70%2.22M
-44.70%2.22M
112.84%4.02M
112.84%4.02M
255.55%1.89M
255.55%1.89M
-Gross PPE
7.11%8.55M
7.11%8.55M
45.13%7.98M
45.13%7.98M
-15.35%5.5M
-15.35%5.5M
72.74%6.5M
72.74%6.5M
47.73%3.76M
47.73%3.76M
-Accumulated depreciation
-26.95%-5.19M
-26.95%-5.19M
-24.56%-4.09M
-24.56%-4.09M
-32.07%-3.28M
-32.07%-3.28M
-32.42%-2.48M
-32.42%-2.48M
6.95%-1.88M
6.95%-1.88M
Investments and advances
1,088.24%356.47K
1,088.24%356.47K
--30K
--30K
----
----
----
----
----
----
-Other investment
1,088.24%356.47K
1,088.24%356.47K
--30K
--30K
----
----
----
----
----
----
Other non current assets
----
----
----
----
----
----
--422.63K
--422.63K
----
----
Total non current assets
-5.28%3.72M
-5.28%3.72M
76.89%3.93M
76.89%3.93M
-49.97%2.22M
-49.97%2.22M
135.24%4.44M
135.24%4.44M
255.55%1.89M
255.55%1.89M
Total assets
-31.28%6.45M
-31.28%6.45M
74.94%9.38M
74.94%9.38M
-64.87%5.36M
-64.87%5.36M
-35.53%15.26M
-35.53%15.26M
505.68%23.68M
505.68%23.68M
Liabilities
Current liabilities
Current debt and capital lease obligation
-12.27%550.34K
-12.27%550.34K
-3.13%627.34K
-3.13%627.34K
151.45%647.59K
151.45%647.59K
-7.08%257.54K
-7.08%257.54K
105.51%277.17K
105.51%277.17K
-Current debt
9.23%4.77K
9.23%4.77K
--4.37K
--4.37K
----
----
----
----
----
----
-Current capital lease obligation
-12.42%545.57K
-12.42%545.57K
-3.80%622.97K
-3.80%622.97K
151.45%647.59K
151.45%647.59K
-7.08%257.54K
-7.08%257.54K
105.51%277.17K
105.51%277.17K
Payables
-37.92%438.85K
-37.92%438.85K
-5.30%706.91K
-5.30%706.91K
-17.29%746.48K
-17.29%746.48K
60.04%902.54K
60.04%902.54K
211.62%563.96K
211.62%563.96K
-accounts payable
-49.28%262.38K
-49.28%262.38K
-2.92%517.35K
-2.92%517.35K
-24.26%532.93K
-24.26%532.93K
80.43%703.64K
80.43%703.64K
537.35%389.97K
537.35%389.97K
-Other payable
-6.90%176.48K
-6.90%176.48K
-11.23%189.56K
-11.23%189.56K
7.36%213.55K
7.36%213.55K
14.32%198.9K
14.32%198.9K
45.25%173.99K
45.25%173.99K
Pension and other retirement benefit plans
-30.45%319.19K
-30.45%319.19K
11.83%458.95K
11.83%458.95K
-9.93%410.42K
-9.93%410.42K
87.24%455.67K
87.24%455.67K
58.20%243.36K
58.20%243.36K
Other current liabilities
----
----
--4.37K
--4.37K
----
----
----
----
----
----
Current liabilities
-27.21%1.31M
-27.21%1.31M
-0.38%1.8M
-0.38%1.8M
11.68%1.8M
11.68%1.8M
48.99%1.62M
48.99%1.62M
74.06%1.08M
74.06%1.08M
Non current liabilities
Long term debt and capital lease obligation
-17.44%1.41M
-17.44%1.41M
159.15%1.71M
159.15%1.71M
-15.10%658.63K
-15.10%658.63K
-22.79%775.76K
-22.79%775.76K
--1M
--1M
-Long term debt
-24.80%14.46K
-24.80%14.46K
--19.23K
--19.23K
----
----
----
----
----
----
-Long term capital lease obligation
-17.35%1.39M
-17.35%1.39M
156.24%1.69M
156.24%1.69M
-15.10%658.63K
-15.10%658.63K
-22.79%775.76K
-22.79%775.76K
--1M
--1M
Long term provisions
-0.77%547.58K
-0.77%547.58K
12.12%551.83K
12.12%551.83K
9.79%492.17K
9.79%492.17K
19.47%448.29K
19.47%448.29K
--375.22K
--375.22K
Employee benefits
34.88%31.5K
34.88%31.5K
-23.41%23.35K
-23.41%23.35K
-55.77%30.49K
-55.77%30.49K
-28.90%68.93K
-28.90%68.93K
26.63%96.95K
26.63%96.95K
Other non current liabilities
----
----
--19.23K
--19.23K
----
----
----
----
----
----
Total non current liabilities
-13.60%1.99M
-13.60%1.99M
94.81%2.3M
94.81%2.3M
-8.64%1.18M
-8.64%1.18M
-12.45%1.29M
-12.45%1.29M
1,829.03%1.48M
1,829.03%1.48M
Total liabilities
-19.57%3.3M
-19.57%3.3M
37.28%4.1M
37.28%4.1M
2.65%2.99M
2.65%2.99M
13.56%2.91M
13.56%2.91M
266.10%2.56M
266.10%2.56M
Shareholders'equity
Share capital
3.97%103.78M
3.97%103.78M
11.77%99.82M
11.77%99.82M
2.11%89.3M
2.11%89.3M
1.44%87.45M
1.44%87.45M
34.09%86.21M
34.09%86.21M
-common stock
3.97%103.78M
3.97%103.78M
11.77%99.82M
11.77%99.82M
2.11%89.3M
2.11%89.3M
1.44%87.45M
1.44%87.45M
34.09%86.21M
34.09%86.21M
Retained earnings
-6.77%-106.66M
-6.77%-106.66M
-9.76%-99.9M
-9.76%-99.9M
-16.15%-91.02M
-16.15%-91.02M
-15.84%-78.36M
-15.84%-78.36M
-10.12%-67.65M
-10.12%-67.65M
Gains losses not affecting retained earnings
11.95%6.03M
11.95%6.03M
31.65%5.39M
31.65%5.39M
25.39%4.09M
25.39%4.09M
27.95%3.26M
27.95%3.26M
634.93%2.55M
634.93%2.55M
Total stockholders'equity
-40.63%3.15M
-40.63%3.15M
123.26%5.31M
123.26%5.31M
-80.76%2.38M
-80.76%2.38M
-41.48%12.36M
-41.48%12.36M
557.91%21.11M
557.91%21.11M
Total equity
-40.63%3.15M
-40.63%3.15M
123.26%5.31M
123.26%5.31M
-80.76%2.38M
-80.76%2.38M
-41.48%12.36M
-41.48%12.36M
557.91%21.11M
557.91%21.11M
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 -53.43%2.34M-53.43%2.34M84.76%5.03M84.76%5.03M-73.08%2.72M-73.08%2.72M-52.77%10.1M-52.77%10.1M565.48%21.39M565.48%21.39M
-Cash and cash equivalents -53.43%2.34M-53.43%2.34M84.76%5.03M84.76%5.03M-73.08%2.72M-73.08%2.72M-52.77%10.1M-52.77%10.1M565.48%21.39M565.48%21.39M
Receivables -56.08%90.86K-56.08%90.86K4.67%206.85K4.67%206.85K-57.87%197.62K-57.87%197.62K94.04%469.11K94.04%469.11K232.43%241.76K232.43%241.76K
-Accounts receivable -90.31%6.1K-90.31%6.1K1,216.94%62.88K1,216.94%62.88K-98.36%4.78K-98.36%4.78K2,198.03%291.76K2,198.03%291.76K-47.88%12.7K-47.88%12.7K
-Other receivables -41.12%84.76K-41.12%84.76K-25.35%143.97K-25.35%143.97K8.74%192.85K8.74%192.85K-22.58%177.35K-22.58%177.35K373.57%229.07K373.57%229.07K
Prepaid assets 33.33%295.8K33.33%295.8K-1.25%221.86K-1.25%221.86K-11.58%224.67K-11.58%224.67K64.02%254.09K64.02%254.09K70.18%154.91K70.18%154.91K
Total current assets -50.00%2.73M-50.00%2.73M73.57%5.45M73.57%5.45M-70.98%3.14M-70.98%3.14M-50.31%10.83M-50.31%10.83M544.96%21.79M544.96%21.79M
Non current assets
Net PPE -13.70%3.36M-13.70%3.36M75.54%3.9M75.54%3.9M-44.70%2.22M-44.70%2.22M112.84%4.02M112.84%4.02M255.55%1.89M255.55%1.89M
-Gross PPE 7.11%8.55M7.11%8.55M45.13%7.98M45.13%7.98M-15.35%5.5M-15.35%5.5M72.74%6.5M72.74%6.5M47.73%3.76M47.73%3.76M
-Accumulated depreciation -26.95%-5.19M-26.95%-5.19M-24.56%-4.09M-24.56%-4.09M-32.07%-3.28M-32.07%-3.28M-32.42%-2.48M-32.42%-2.48M6.95%-1.88M6.95%-1.88M
Investments and advances 1,088.24%356.47K1,088.24%356.47K--30K--30K------------------------
-Other investment 1,088.24%356.47K1,088.24%356.47K--30K--30K------------------------
Other non current assets --------------------------422.63K--422.63K--------
Total non current assets -5.28%3.72M-5.28%3.72M76.89%3.93M76.89%3.93M-49.97%2.22M-49.97%2.22M135.24%4.44M135.24%4.44M255.55%1.89M255.55%1.89M
Total assets -31.28%6.45M-31.28%6.45M74.94%9.38M74.94%9.38M-64.87%5.36M-64.87%5.36M-35.53%15.26M-35.53%15.26M505.68%23.68M505.68%23.68M
Liabilities
Current liabilities
Current debt and capital lease obligation -12.27%550.34K-12.27%550.34K-3.13%627.34K-3.13%627.34K151.45%647.59K151.45%647.59K-7.08%257.54K-7.08%257.54K105.51%277.17K105.51%277.17K
-Current debt 9.23%4.77K9.23%4.77K--4.37K--4.37K------------------------
-Current capital lease obligation -12.42%545.57K-12.42%545.57K-3.80%622.97K-3.80%622.97K151.45%647.59K151.45%647.59K-7.08%257.54K-7.08%257.54K105.51%277.17K105.51%277.17K
Payables -37.92%438.85K-37.92%438.85K-5.30%706.91K-5.30%706.91K-17.29%746.48K-17.29%746.48K60.04%902.54K60.04%902.54K211.62%563.96K211.62%563.96K
-accounts payable -49.28%262.38K-49.28%262.38K-2.92%517.35K-2.92%517.35K-24.26%532.93K-24.26%532.93K80.43%703.64K80.43%703.64K537.35%389.97K537.35%389.97K
-Other payable -6.90%176.48K-6.90%176.48K-11.23%189.56K-11.23%189.56K7.36%213.55K7.36%213.55K14.32%198.9K14.32%198.9K45.25%173.99K45.25%173.99K
Pension and other retirement benefit plans -30.45%319.19K-30.45%319.19K11.83%458.95K11.83%458.95K-9.93%410.42K-9.93%410.42K87.24%455.67K87.24%455.67K58.20%243.36K58.20%243.36K
Other current liabilities ----------4.37K--4.37K------------------------
Current liabilities -27.21%1.31M-27.21%1.31M-0.38%1.8M-0.38%1.8M11.68%1.8M11.68%1.8M48.99%1.62M48.99%1.62M74.06%1.08M74.06%1.08M
Non current liabilities
Long term debt and capital lease obligation -17.44%1.41M-17.44%1.41M159.15%1.71M159.15%1.71M-15.10%658.63K-15.10%658.63K-22.79%775.76K-22.79%775.76K--1M--1M
-Long term debt -24.80%14.46K-24.80%14.46K--19.23K--19.23K------------------------
-Long term capital lease obligation -17.35%1.39M-17.35%1.39M156.24%1.69M156.24%1.69M-15.10%658.63K-15.10%658.63K-22.79%775.76K-22.79%775.76K--1M--1M
Long term provisions -0.77%547.58K-0.77%547.58K12.12%551.83K12.12%551.83K9.79%492.17K9.79%492.17K19.47%448.29K19.47%448.29K--375.22K--375.22K
Employee benefits 34.88%31.5K34.88%31.5K-23.41%23.35K-23.41%23.35K-55.77%30.49K-55.77%30.49K-28.90%68.93K-28.90%68.93K26.63%96.95K26.63%96.95K
Other non current liabilities ----------19.23K--19.23K------------------------
Total non current liabilities -13.60%1.99M-13.60%1.99M94.81%2.3M94.81%2.3M-8.64%1.18M-8.64%1.18M-12.45%1.29M-12.45%1.29M1,829.03%1.48M1,829.03%1.48M
Total liabilities -19.57%3.3M-19.57%3.3M37.28%4.1M37.28%4.1M2.65%2.99M2.65%2.99M13.56%2.91M13.56%2.91M266.10%2.56M266.10%2.56M
Shareholders'equity
Share capital 3.97%103.78M3.97%103.78M11.77%99.82M11.77%99.82M2.11%89.3M2.11%89.3M1.44%87.45M1.44%87.45M34.09%86.21M34.09%86.21M
-common stock 3.97%103.78M3.97%103.78M11.77%99.82M11.77%99.82M2.11%89.3M2.11%89.3M1.44%87.45M1.44%87.45M34.09%86.21M34.09%86.21M
Retained earnings -6.77%-106.66M-6.77%-106.66M-9.76%-99.9M-9.76%-99.9M-16.15%-91.02M-16.15%-91.02M-15.84%-78.36M-15.84%-78.36M-10.12%-67.65M-10.12%-67.65M
Gains losses not affecting retained earnings 11.95%6.03M11.95%6.03M31.65%5.39M31.65%5.39M25.39%4.09M25.39%4.09M27.95%3.26M27.95%3.26M634.93%2.55M634.93%2.55M
Total stockholders'equity -40.63%3.15M-40.63%3.15M123.26%5.31M123.26%5.31M-80.76%2.38M-80.76%2.38M-41.48%12.36M-41.48%12.36M557.91%21.11M557.91%21.11M
Total equity -40.63%3.15M-40.63%3.15M123.26%5.31M123.26%5.31M-80.76%2.38M-80.76%2.38M-41.48%12.36M-41.48%12.36M557.91%21.11M557.91%21.11M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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