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Avecho Biotechnology Ltd (AVE)

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  • 0.012
  • 0.0000.00%
20min DelayMarket Closed May 1 16:00 AET
44.08MMarket Cap-12.00P/E (Static)

Avecho Biotechnology Ltd (AVE) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2025
(Q4)Dec 30, 2025
(FY)Dec 30, 2024
(Q4)Dec 30, 2024
(FY)Dec 30, 2023
(Q4)Dec 30, 2023
(FY)Dec 30, 2022
(Q4)Dec 30, 2022
(FY)Dec 30, 2021
(Q4)Dec 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
96.40%4.66M
96.40%4.66M
-56.98%2.37M
-56.98%2.37M
255.23%5.52M
255.23%5.52M
-52.40%1.55M
-52.40%1.55M
66.70%3.26M
66.70%3.26M
-Cash and cash equivalents
96.40%4.66M
96.40%4.66M
-56.98%2.37M
-56.98%2.37M
255.23%5.52M
255.23%5.52M
-52.40%1.55M
-52.40%1.55M
66.70%3.26M
66.70%3.26M
Receivables
-1.87%2.2M
-1.87%2.2M
104.30%2.25M
104.30%2.25M
47.40%1.1M
47.40%1.1M
-33.81%745.99K
-33.81%745.99K
135.22%1.13M
135.22%1.13M
-Accounts receivable
-72.60%155.98K
-72.60%155.98K
--569.31K
--569.31K
----
----
----
----
70.93%63.57K
70.93%63.57K
-Other receivables
22.15%2.05M
22.15%2.05M
52.53%1.68M
52.53%1.68M
47.40%1.1M
47.40%1.1M
-31.39%745.99K
-31.39%745.99K
146.04%1.09M
146.04%1.09M
-Recievables adjustments allowances
----
----
----
----
----
----
----
----
---23.89K
---23.89K
Inventory
-94.13%8.07K
-94.13%8.07K
41.54%137.46K
41.54%137.46K
-87.92%97.12K
-87.92%97.12K
308.66%803.96K
308.66%803.96K
96.72%196.73K
96.72%196.73K
Prepaid assets
----
----
----
----
28.75%302.57K
28.75%302.57K
7.19%235.01K
7.19%235.01K
--219.24K
--219.24K
Other current assets
248.34%180.52K
248.34%180.52K
--51.82K
--51.82K
----
----
----
----
----
----
Total current assets
46.70%7.06M
46.70%7.06M
-31.47%4.81M
-31.47%4.81M
110.23%7.02M
110.23%7.02M
-30.55%3.34M
-30.55%3.34M
73.17%4.81M
73.17%4.81M
Non current assets
Net PPE
-80.27%33.7K
-80.27%33.7K
-45.90%170.78K
-45.90%170.78K
514.02%315.67K
514.02%315.67K
-122.68%-76.24K
-122.68%-76.24K
52.62%336.22K
52.62%336.22K
-Gross PPE
-80.27%33.7K
-80.27%33.7K
-45.90%170.78K
-45.90%170.78K
-52.96%315.67K
-52.96%315.67K
-27.76%671.09K
-27.76%671.09K
298.71%928.95K
298.71%928.95K
-Accumulated depreciation
----
----
----
----
----
----
-26.08%-747.34K
-26.08%-747.34K
-4,567.92%-592.73K
-4,567.92%-592.73K
Goodwill and other intangible assets
----
----
----
----
----
----
-74.26%26.25K
-74.26%26.25K
-76.33%102K
-76.33%102K
-Other intangible assets
----
----
----
----
----
----
-74.26%26.25K
-74.26%26.25K
-76.33%102K
-76.33%102K
Other non current assets
0.00%15.73K
0.00%15.73K
--15.73K
--15.73K
----
----
----
----
----
----
Total non current assets
-73.50%49.43K
-73.50%49.43K
-40.91%186.51K
-40.91%186.51K
731.41%315.67K
731.41%315.67K
-111.41%-49.99K
-111.41%-49.99K
-32.72%438.22K
-32.72%438.22K
Total assets
42.21%7.11M
42.21%7.11M
-31.88%5M
-31.88%5M
123.02%7.34M
123.02%7.34M
-37.31%3.29M
-37.31%3.29M
53.05%5.25M
53.05%5.25M
Liabilities
Current liabilities
Current debt and capital lease obligation
-98.64%14.47K
-98.64%14.47K
1,280.80%1.06M
1,280.80%1.06M
8.46%76.93K
8.46%76.93K
-11.58%70.92K
-11.58%70.92K
9.83%80.21K
9.83%80.21K
-Current debt
----
----
--978.44K
--978.44K
----
----
----
----
----
----
-Current capital lease obligation
-82.72%14.47K
-82.72%14.47K
8.87%83.75K
8.87%83.75K
8.46%76.93K
8.46%76.93K
-11.58%70.92K
-11.58%70.92K
9.83%80.21K
9.83%80.21K
Payables
-6.86%198.29K
-6.86%198.29K
17.00%212.89K
17.00%212.89K
-34.17%181.95K
-34.17%181.95K
0.47%276.42K
0.47%276.42K
14.07%275.13K
14.07%275.13K
-accounts payable
71.09%103.74K
71.09%103.74K
-36.11%60.63K
-36.11%60.63K
-50.36%94.9K
-50.36%94.9K
154.30%191.19K
154.30%191.19K
-31.84%75.18K
-31.84%75.18K
-Other payable
-37.90%94.55K
-37.90%94.55K
74.90%152.25K
74.90%152.25K
2.14%87.05K
2.14%87.05K
-57.38%85.22K
-57.38%85.22K
52.77%199.95K
52.77%199.95K
Current provisions
14.04%496.44K
14.04%496.44K
--435.31K
--435.31K
----
----
----
----
----
----
Pension and other retirement benefit plans
----
----
----
----
7.01%426.06K
7.01%426.06K
17.00%398.17K
17.00%398.17K
17.61%340.31K
17.61%340.31K
Other current liabilities
----
----
----
----
--158.38K
--158.38K
----
----
----
----
Current liabilities
-58.54%709.2K
-58.54%709.2K
102.82%1.71M
102.82%1.71M
13.12%843.32K
13.12%843.32K
7.17%745.5K
7.17%745.5K
15.25%695.66K
15.25%695.66K
Non current liabilities
Long term debt and capital lease obligation
----
----
-85.27%14.47K
-85.27%14.47K
-43.92%98.23K
-43.92%98.23K
1,178.20%175.15K
1,178.20%175.15K
-85.30%13.7K
-85.30%13.7K
-Long term capital lease obligation
----
----
-85.27%14.47K
-85.27%14.47K
-43.92%98.23K
-43.92%98.23K
1,178.20%175.15K
1,178.20%175.15K
-85.30%13.7K
-85.30%13.7K
Long term provisions
103.02%4.44K
103.02%4.44K
--2.19K
--2.19K
----
----
----
----
----
----
Other non current liabilities
--4.83M
--4.83M
----
----
----
----
----
----
----
----
Total non current liabilities
28,938.30%4.84M
28,938.30%4.84M
-83.04%16.66K
-83.04%16.66K
-43.92%98.23K
-43.92%98.23K
1,178.20%175.15K
1,178.20%175.15K
-86.29%13.7K
-86.29%13.7K
Total liabilities
221.15%5.55M
221.15%5.55M
83.43%1.73M
83.43%1.73M
2.27%941.54K
2.27%941.54K
29.79%920.66K
29.79%920.66K
0.82%709.36K
0.82%709.36K
Shareholders'equity
Share capital
0.94%246.9M
0.94%246.9M
0.00%244.61M
0.00%244.61M
2.98%244.61M
2.98%244.61M
-0.03%237.53M
-0.03%237.53M
2.07%237.6M
2.07%237.6M
-common stock
0.94%246.9M
0.94%246.9M
0.00%244.61M
0.00%244.61M
2.98%244.61M
2.98%244.61M
-0.03%237.53M
-0.03%237.53M
2.07%237.6M
2.07%237.6M
Retained earnings
-1.64%-273.81M
-1.64%-273.81M
-0.73%-269.39M
-0.73%-269.39M
-1.26%-267.44M
-1.26%-267.44M
-0.78%-264.1M
-0.78%-264.1M
-1.32%-262.07M
-1.32%-262.07M
Gains losses not affecting retained earnings
1.46%28.47M
1.46%28.47M
-3.96%28.06M
-3.96%28.06M
0.65%29.21M
0.65%29.21M
0.08%29.03M
0.08%29.03M
1.63%29M
1.63%29M
Total stockholders'equity
-52.30%1.56M
-52.30%1.56M
-48.73%3.27M
-48.73%3.27M
160.37%6.38M
160.37%6.38M
-46.01%2.45M
-46.01%2.45M
70.91%4.54M
70.91%4.54M
Total equity
-52.30%1.56M
-52.30%1.56M
-48.73%3.27M
-48.73%3.27M
160.37%6.38M
160.37%6.38M
-46.01%2.45M
-46.01%2.45M
70.91%4.54M
70.91%4.54M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2025(Q4)Dec 30, 2025(FY)Dec 30, 2024(Q4)Dec 30, 2024(FY)Dec 30, 2023(Q4)Dec 30, 2023(FY)Dec 30, 2022(Q4)Dec 30, 2022(FY)Dec 30, 2021(Q4)Dec 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 96.40%4.66M96.40%4.66M-56.98%2.37M-56.98%2.37M255.23%5.52M255.23%5.52M-52.40%1.55M-52.40%1.55M66.70%3.26M66.70%3.26M
-Cash and cash equivalents 96.40%4.66M96.40%4.66M-56.98%2.37M-56.98%2.37M255.23%5.52M255.23%5.52M-52.40%1.55M-52.40%1.55M66.70%3.26M66.70%3.26M
Receivables -1.87%2.2M-1.87%2.2M104.30%2.25M104.30%2.25M47.40%1.1M47.40%1.1M-33.81%745.99K-33.81%745.99K135.22%1.13M135.22%1.13M
-Accounts receivable -72.60%155.98K-72.60%155.98K--569.31K--569.31K----------------70.93%63.57K70.93%63.57K
-Other receivables 22.15%2.05M22.15%2.05M52.53%1.68M52.53%1.68M47.40%1.1M47.40%1.1M-31.39%745.99K-31.39%745.99K146.04%1.09M146.04%1.09M
-Recievables adjustments allowances -----------------------------------23.89K---23.89K
Inventory -94.13%8.07K-94.13%8.07K41.54%137.46K41.54%137.46K-87.92%97.12K-87.92%97.12K308.66%803.96K308.66%803.96K96.72%196.73K96.72%196.73K
Prepaid assets ----------------28.75%302.57K28.75%302.57K7.19%235.01K7.19%235.01K--219.24K--219.24K
Other current assets 248.34%180.52K248.34%180.52K--51.82K--51.82K------------------------
Total current assets 46.70%7.06M46.70%7.06M-31.47%4.81M-31.47%4.81M110.23%7.02M110.23%7.02M-30.55%3.34M-30.55%3.34M73.17%4.81M73.17%4.81M
Non current assets
Net PPE -80.27%33.7K-80.27%33.7K-45.90%170.78K-45.90%170.78K514.02%315.67K514.02%315.67K-122.68%-76.24K-122.68%-76.24K52.62%336.22K52.62%336.22K
-Gross PPE -80.27%33.7K-80.27%33.7K-45.90%170.78K-45.90%170.78K-52.96%315.67K-52.96%315.67K-27.76%671.09K-27.76%671.09K298.71%928.95K298.71%928.95K
-Accumulated depreciation -------------------------26.08%-747.34K-26.08%-747.34K-4,567.92%-592.73K-4,567.92%-592.73K
Goodwill and other intangible assets -------------------------74.26%26.25K-74.26%26.25K-76.33%102K-76.33%102K
-Other intangible assets -------------------------74.26%26.25K-74.26%26.25K-76.33%102K-76.33%102K
Other non current assets 0.00%15.73K0.00%15.73K--15.73K--15.73K------------------------
Total non current assets -73.50%49.43K-73.50%49.43K-40.91%186.51K-40.91%186.51K731.41%315.67K731.41%315.67K-111.41%-49.99K-111.41%-49.99K-32.72%438.22K-32.72%438.22K
Total assets 42.21%7.11M42.21%7.11M-31.88%5M-31.88%5M123.02%7.34M123.02%7.34M-37.31%3.29M-37.31%3.29M53.05%5.25M53.05%5.25M
Liabilities
Current liabilities
Current debt and capital lease obligation -98.64%14.47K-98.64%14.47K1,280.80%1.06M1,280.80%1.06M8.46%76.93K8.46%76.93K-11.58%70.92K-11.58%70.92K9.83%80.21K9.83%80.21K
-Current debt ----------978.44K--978.44K------------------------
-Current capital lease obligation -82.72%14.47K-82.72%14.47K8.87%83.75K8.87%83.75K8.46%76.93K8.46%76.93K-11.58%70.92K-11.58%70.92K9.83%80.21K9.83%80.21K
Payables -6.86%198.29K-6.86%198.29K17.00%212.89K17.00%212.89K-34.17%181.95K-34.17%181.95K0.47%276.42K0.47%276.42K14.07%275.13K14.07%275.13K
-accounts payable 71.09%103.74K71.09%103.74K-36.11%60.63K-36.11%60.63K-50.36%94.9K-50.36%94.9K154.30%191.19K154.30%191.19K-31.84%75.18K-31.84%75.18K
-Other payable -37.90%94.55K-37.90%94.55K74.90%152.25K74.90%152.25K2.14%87.05K2.14%87.05K-57.38%85.22K-57.38%85.22K52.77%199.95K52.77%199.95K
Current provisions 14.04%496.44K14.04%496.44K--435.31K--435.31K------------------------
Pension and other retirement benefit plans ----------------7.01%426.06K7.01%426.06K17.00%398.17K17.00%398.17K17.61%340.31K17.61%340.31K
Other current liabilities ------------------158.38K--158.38K----------------
Current liabilities -58.54%709.2K-58.54%709.2K102.82%1.71M102.82%1.71M13.12%843.32K13.12%843.32K7.17%745.5K7.17%745.5K15.25%695.66K15.25%695.66K
Non current liabilities
Long term debt and capital lease obligation ---------85.27%14.47K-85.27%14.47K-43.92%98.23K-43.92%98.23K1,178.20%175.15K1,178.20%175.15K-85.30%13.7K-85.30%13.7K
-Long term capital lease obligation ---------85.27%14.47K-85.27%14.47K-43.92%98.23K-43.92%98.23K1,178.20%175.15K1,178.20%175.15K-85.30%13.7K-85.30%13.7K
Long term provisions 103.02%4.44K103.02%4.44K--2.19K--2.19K------------------------
Other non current liabilities --4.83M--4.83M--------------------------------
Total non current liabilities 28,938.30%4.84M28,938.30%4.84M-83.04%16.66K-83.04%16.66K-43.92%98.23K-43.92%98.23K1,178.20%175.15K1,178.20%175.15K-86.29%13.7K-86.29%13.7K
Total liabilities 221.15%5.55M221.15%5.55M83.43%1.73M83.43%1.73M2.27%941.54K2.27%941.54K29.79%920.66K29.79%920.66K0.82%709.36K0.82%709.36K
Shareholders'equity
Share capital 0.94%246.9M0.94%246.9M0.00%244.61M0.00%244.61M2.98%244.61M2.98%244.61M-0.03%237.53M-0.03%237.53M2.07%237.6M2.07%237.6M
-common stock 0.94%246.9M0.94%246.9M0.00%244.61M0.00%244.61M2.98%244.61M2.98%244.61M-0.03%237.53M-0.03%237.53M2.07%237.6M2.07%237.6M
Retained earnings -1.64%-273.81M-1.64%-273.81M-0.73%-269.39M-0.73%-269.39M-1.26%-267.44M-1.26%-267.44M-0.78%-264.1M-0.78%-264.1M-1.32%-262.07M-1.32%-262.07M
Gains losses not affecting retained earnings 1.46%28.47M1.46%28.47M-3.96%28.06M-3.96%28.06M0.65%29.21M0.65%29.21M0.08%29.03M0.08%29.03M1.63%29M1.63%29M
Total stockholders'equity -52.30%1.56M-52.30%1.56M-48.73%3.27M-48.73%3.27M160.37%6.38M160.37%6.38M-46.01%2.45M-46.01%2.45M70.91%4.54M70.91%4.54M
Total equity -52.30%1.56M-52.30%1.56M-48.73%3.27M-48.73%3.27M160.37%6.38M160.37%6.38M-46.01%2.45M-46.01%2.45M70.91%4.54M70.91%4.54M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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