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Digital X Ltd (DCC)

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  • 0.031
  • 0.0000.00%
20min DelayNot Open May 15 16:00 AET
46.14MMarket Cap-5.17P/E (Static)

Digital X Ltd (DCC) 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
56.43%86.7M
56.43%86.7M
78.50%55.43M
78.50%55.43M
4.03%31.05M
4.03%31.05M
-30.34%29.85M
-30.34%29.85M
294.63%42.85M
294.63%42.85M
-Cash and cash equivalents
-50.13%3.02M
-50.13%3.02M
79.13%6.05M
79.13%6.05M
-46.16%3.38M
-46.16%3.38M
-39.45%6.28M
-39.45%6.28M
160.34%10.37M
160.34%10.37M
-Short term investments
69.49%83.68M
69.49%83.68M
78.42%49.37M
78.42%49.37M
17.41%27.67M
17.41%27.67M
-27.44%23.57M
-27.44%23.57M
372.44%32.48M
372.44%32.48M
Receivables
166.57%1.38M
166.57%1.38M
35.15%515.92K
35.15%515.92K
30.10%381.74K
30.10%381.74K
84.74%293.41K
84.74%293.41K
-19.51%158.83K
-19.51%158.83K
-Accounts receivable
-11.83%264.51K
-11.83%264.51K
27.31%300.01K
27.31%300.01K
22.96%235.66K
22.96%235.66K
133.52%191.66K
133.52%191.66K
22.08%82.07K
22.08%82.07K
-Other receivables
414.46%1.11M
414.46%1.11M
47.80%215.91K
47.80%215.91K
43.57%146.08K
43.57%146.08K
32.57%101.75K
32.57%101.75K
-41.00%76.75K
-41.00%76.75K
Other current assets
39.53%356.36K
39.53%356.36K
3.34%255.39K
3.34%255.39K
22.41%247.13K
22.41%247.13K
-97.56%201.88K
-97.56%201.88K
7,786.43%8.26M
7,786.43%8.26M
Total current assets
57.36%88.43M
57.36%88.43M
77.39%56.2M
77.39%56.2M
4.41%31.68M
4.41%31.68M
-40.82%30.34M
-40.82%30.34M
359.38%51.27M
359.38%51.27M
Non current assets
Net PPE
-30.09%221.48K
-30.09%221.48K
-23.62%316.83K
-23.62%316.83K
213.85%414.81K
213.85%414.81K
-5,163.71%-364.33K
-5,163.71%-364.33K
-99.05%7.2K
-99.05%7.2K
-Gross PPE
-30.09%221.48K
-30.09%221.48K
-23.62%316.83K
-23.62%316.83K
-35.12%414.81K
-35.12%414.81K
-14.37%639.3K
-14.37%639.3K
-30.82%746.55K
-30.82%746.55K
-Accumulated depreciation
----
----
----
----
----
----
-35.75%-1M
-35.75%-1M
-129.04%-739.35K
-129.04%-739.35K
Investments and advances
----
----
----
----
-89.52%240K
-89.52%240K
-7.29%2.29M
-7.29%2.29M
64.76%2.47M
64.76%2.47M
-Other investment
----
----
----
----
-89.52%240K
-89.52%240K
-7.29%2.29M
-7.29%2.29M
64.76%2.47M
64.76%2.47M
Goodwill and other intangible assets
-4.27%2.01M
-4.27%2.01M
-4.10%2.1M
-4.10%2.1M
-3.94%2.19M
-3.94%2.19M
747.58%2.28M
747.58%2.28M
--268.77K
--268.77K
-Goodwill
0.00%1.89M
0.00%1.89M
0.00%1.89M
0.00%1.89M
0.00%1.89M
0.00%1.89M
--1.89M
--1.89M
----
----
-Other intangible assets
-42.63%120.68K
-42.63%120.68K
-29.89%210.37K
-29.89%210.37K
-23.01%300.06K
-23.01%300.06K
45.01%389.75K
45.01%389.75K
--268.77K
--268.77K
Total non current assets
-7.66%2.23M
-7.66%2.23M
-15.04%2.42M
-15.04%2.42M
-32.38%2.84M
-32.38%2.84M
53.07%4.2M
53.07%4.2M
21.76%2.75M
21.76%2.75M
Total assets
54.68%90.67M
54.68%90.67M
69.78%58.61M
69.78%58.61M
-0.07%34.52M
-0.07%34.52M
-36.04%34.55M
-36.04%34.55M
302.61%54.01M
302.61%54.01M
Liabilities
Current liabilities
Current debt and capital lease obligation
14.88%75.68K
14.88%75.68K
15.52%65.88K
15.52%65.88K
-67.67%57.03K
-67.67%57.03K
39.83%176.42K
39.83%176.42K
-5.61%126.17K
-5.61%126.17K
-Current capital lease obligation
14.88%75.68K
14.88%75.68K
15.52%65.88K
15.52%65.88K
-67.67%57.03K
-67.67%57.03K
39.83%176.42K
39.83%176.42K
-5.61%126.17K
-5.61%126.17K
Payables
-16.95%882.99K
-16.95%882.99K
-4.26%1.06M
-4.26%1.06M
-28.65%1.11M
-28.65%1.11M
-55.31%1.56M
-55.31%1.56M
620.03%3.48M
620.03%3.48M
-accounts payable
-36.44%251.15K
-36.44%251.15K
-20.86%395.16K
-20.86%395.16K
-41.69%499.32K
-41.69%499.32K
83.36%856.38K
83.36%856.38K
42.22%467.05K
42.22%467.05K
-Dividends payable
----
----
----
----
----
----
----
----
--2.74M
--2.74M
-Other payable
-5.42%631.84K
-5.42%631.84K
9.30%668.07K
9.30%668.07K
-12.70%611.23K
-12.70%611.23K
154.18%700.18K
154.18%700.18K
77.34%275.47K
77.34%275.47K
Other current liabilities
-15.74%12.2M
-15.74%12.2M
59.00%14.48M
59.00%14.48M
45.61%9.11M
45.61%9.11M
-43.12%6.26M
-43.12%6.26M
48,851.34%11M
48,851.34%11M
Current liabilities
-15.69%13.16M
-15.69%13.16M
51.93%15.61M
51.93%15.61M
28.64%10.28M
28.64%10.28M
-45.31%7.99M
-45.31%7.99M
2,182.80%14.61M
2,182.80%14.61M
Non current liabilities
Long term debt and capital lease obligation
-31.12%167.49K
-31.12%167.49K
-21.32%243.17K
-21.32%243.17K
--309.05K
--309.05K
----
----
-50.53%176.42K
-50.53%176.42K
-Long term capital lease obligation
-31.12%167.49K
-31.12%167.49K
-21.32%243.17K
-21.32%243.17K
--309.05K
--309.05K
----
----
-50.53%176.42K
-50.53%176.42K
Non current deferred liabilities
64.01%9.4M
64.01%9.4M
891,101.24%5.73M
891,101.24%5.73M
0.00%643
0.00%643
--643
--643
----
----
Total non current liabilities
60.14%9.57M
60.14%9.57M
1,828.86%5.97M
1,828.86%5.97M
48,064.07%309.7K
48,064.07%309.7K
-99.64%643
-99.64%643
-50.53%176.42K
-50.53%176.42K
Total liabilities
5.29%22.73M
5.29%22.73M
103.91%21.59M
103.91%21.59M
32.51%10.59M
32.51%10.59M
-45.96%7.99M
-45.96%7.99M
1,383.49%14.78M
1,383.49%14.78M
Shareholders'equity
Share capital
23.34%81M
23.34%81M
11.09%65.68M
11.09%65.68M
0.16%59.12M
0.16%59.12M
0.40%59.03M
0.40%59.03M
16.24%58.8M
16.24%58.8M
-common stock
23.34%81M
23.34%81M
11.09%65.68M
11.09%65.68M
0.16%59.12M
0.16%59.12M
0.40%59.03M
0.40%59.03M
16.24%58.8M
16.24%58.8M
Retained earnings
-11.43%-53.83M
-11.43%-53.83M
-8.18%-48.31M
-8.18%-48.31M
-20.46%-44.66M
-20.46%-44.66M
-8.29%-37.07M
-8.29%-37.07M
16.64%-34.23M
16.64%-34.23M
Gains losses not affecting retained earnings
107.53%40.76M
107.53%40.76M
107.30%19.64M
107.30%19.64M
84.77%9.48M
84.77%9.48M
-71.17%5.13M
-71.17%5.13M
306.99%17.79M
306.99%17.79M
Total stockholders'equity
83.57%67.94M
83.57%67.94M
54.60%37.01M
54.60%37.01M
-11.62%23.94M
-11.62%23.94M
-36.05%27.08M
-36.05%27.08M
204.97%42.35M
204.97%42.35M
Total equity
83.57%67.94M
83.57%67.94M
54.60%37.01M
54.60%37.01M
-11.62%23.94M
-11.62%23.94M
-36.05%27.08M
-36.05%27.08M
190.89%42.35M
190.89%42.35M
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 56.43%86.7M56.43%86.7M78.50%55.43M78.50%55.43M4.03%31.05M4.03%31.05M-30.34%29.85M-30.34%29.85M294.63%42.85M294.63%42.85M
-Cash and cash equivalents -50.13%3.02M-50.13%3.02M79.13%6.05M79.13%6.05M-46.16%3.38M-46.16%3.38M-39.45%6.28M-39.45%6.28M160.34%10.37M160.34%10.37M
-Short term investments 69.49%83.68M69.49%83.68M78.42%49.37M78.42%49.37M17.41%27.67M17.41%27.67M-27.44%23.57M-27.44%23.57M372.44%32.48M372.44%32.48M
Receivables 166.57%1.38M166.57%1.38M35.15%515.92K35.15%515.92K30.10%381.74K30.10%381.74K84.74%293.41K84.74%293.41K-19.51%158.83K-19.51%158.83K
-Accounts receivable -11.83%264.51K-11.83%264.51K27.31%300.01K27.31%300.01K22.96%235.66K22.96%235.66K133.52%191.66K133.52%191.66K22.08%82.07K22.08%82.07K
-Other receivables 414.46%1.11M414.46%1.11M47.80%215.91K47.80%215.91K43.57%146.08K43.57%146.08K32.57%101.75K32.57%101.75K-41.00%76.75K-41.00%76.75K
Other current assets 39.53%356.36K39.53%356.36K3.34%255.39K3.34%255.39K22.41%247.13K22.41%247.13K-97.56%201.88K-97.56%201.88K7,786.43%8.26M7,786.43%8.26M
Total current assets 57.36%88.43M57.36%88.43M77.39%56.2M77.39%56.2M4.41%31.68M4.41%31.68M-40.82%30.34M-40.82%30.34M359.38%51.27M359.38%51.27M
Non current assets
Net PPE -30.09%221.48K-30.09%221.48K-23.62%316.83K-23.62%316.83K213.85%414.81K213.85%414.81K-5,163.71%-364.33K-5,163.71%-364.33K-99.05%7.2K-99.05%7.2K
-Gross PPE -30.09%221.48K-30.09%221.48K-23.62%316.83K-23.62%316.83K-35.12%414.81K-35.12%414.81K-14.37%639.3K-14.37%639.3K-30.82%746.55K-30.82%746.55K
-Accumulated depreciation -------------------------35.75%-1M-35.75%-1M-129.04%-739.35K-129.04%-739.35K
Investments and advances -----------------89.52%240K-89.52%240K-7.29%2.29M-7.29%2.29M64.76%2.47M64.76%2.47M
-Other investment -----------------89.52%240K-89.52%240K-7.29%2.29M-7.29%2.29M64.76%2.47M64.76%2.47M
Goodwill and other intangible assets -4.27%2.01M-4.27%2.01M-4.10%2.1M-4.10%2.1M-3.94%2.19M-3.94%2.19M747.58%2.28M747.58%2.28M--268.77K--268.77K
-Goodwill 0.00%1.89M0.00%1.89M0.00%1.89M0.00%1.89M0.00%1.89M0.00%1.89M--1.89M--1.89M--------
-Other intangible assets -42.63%120.68K-42.63%120.68K-29.89%210.37K-29.89%210.37K-23.01%300.06K-23.01%300.06K45.01%389.75K45.01%389.75K--268.77K--268.77K
Total non current assets -7.66%2.23M-7.66%2.23M-15.04%2.42M-15.04%2.42M-32.38%2.84M-32.38%2.84M53.07%4.2M53.07%4.2M21.76%2.75M21.76%2.75M
Total assets 54.68%90.67M54.68%90.67M69.78%58.61M69.78%58.61M-0.07%34.52M-0.07%34.52M-36.04%34.55M-36.04%34.55M302.61%54.01M302.61%54.01M
Liabilities
Current liabilities
Current debt and capital lease obligation 14.88%75.68K14.88%75.68K15.52%65.88K15.52%65.88K-67.67%57.03K-67.67%57.03K39.83%176.42K39.83%176.42K-5.61%126.17K-5.61%126.17K
-Current capital lease obligation 14.88%75.68K14.88%75.68K15.52%65.88K15.52%65.88K-67.67%57.03K-67.67%57.03K39.83%176.42K39.83%176.42K-5.61%126.17K-5.61%126.17K
Payables -16.95%882.99K-16.95%882.99K-4.26%1.06M-4.26%1.06M-28.65%1.11M-28.65%1.11M-55.31%1.56M-55.31%1.56M620.03%3.48M620.03%3.48M
-accounts payable -36.44%251.15K-36.44%251.15K-20.86%395.16K-20.86%395.16K-41.69%499.32K-41.69%499.32K83.36%856.38K83.36%856.38K42.22%467.05K42.22%467.05K
-Dividends payable ----------------------------------2.74M--2.74M
-Other payable -5.42%631.84K-5.42%631.84K9.30%668.07K9.30%668.07K-12.70%611.23K-12.70%611.23K154.18%700.18K154.18%700.18K77.34%275.47K77.34%275.47K
Other current liabilities -15.74%12.2M-15.74%12.2M59.00%14.48M59.00%14.48M45.61%9.11M45.61%9.11M-43.12%6.26M-43.12%6.26M48,851.34%11M48,851.34%11M
Current liabilities -15.69%13.16M-15.69%13.16M51.93%15.61M51.93%15.61M28.64%10.28M28.64%10.28M-45.31%7.99M-45.31%7.99M2,182.80%14.61M2,182.80%14.61M
Non current liabilities
Long term debt and capital lease obligation -31.12%167.49K-31.12%167.49K-21.32%243.17K-21.32%243.17K--309.05K--309.05K---------50.53%176.42K-50.53%176.42K
-Long term capital lease obligation -31.12%167.49K-31.12%167.49K-21.32%243.17K-21.32%243.17K--309.05K--309.05K---------50.53%176.42K-50.53%176.42K
Non current deferred liabilities 64.01%9.4M64.01%9.4M891,101.24%5.73M891,101.24%5.73M0.00%6430.00%643--643--643--------
Total non current liabilities 60.14%9.57M60.14%9.57M1,828.86%5.97M1,828.86%5.97M48,064.07%309.7K48,064.07%309.7K-99.64%643-99.64%643-50.53%176.42K-50.53%176.42K
Total liabilities 5.29%22.73M5.29%22.73M103.91%21.59M103.91%21.59M32.51%10.59M32.51%10.59M-45.96%7.99M-45.96%7.99M1,383.49%14.78M1,383.49%14.78M
Shareholders'equity
Share capital 23.34%81M23.34%81M11.09%65.68M11.09%65.68M0.16%59.12M0.16%59.12M0.40%59.03M0.40%59.03M16.24%58.8M16.24%58.8M
-common stock 23.34%81M23.34%81M11.09%65.68M11.09%65.68M0.16%59.12M0.16%59.12M0.40%59.03M0.40%59.03M16.24%58.8M16.24%58.8M
Retained earnings -11.43%-53.83M-11.43%-53.83M-8.18%-48.31M-8.18%-48.31M-20.46%-44.66M-20.46%-44.66M-8.29%-37.07M-8.29%-37.07M16.64%-34.23M16.64%-34.23M
Gains losses not affecting retained earnings 107.53%40.76M107.53%40.76M107.30%19.64M107.30%19.64M84.77%9.48M84.77%9.48M-71.17%5.13M-71.17%5.13M306.99%17.79M306.99%17.79M
Total stockholders'equity 83.57%67.94M83.57%67.94M54.60%37.01M54.60%37.01M-11.62%23.94M-11.62%23.94M-36.05%27.08M-36.05%27.08M204.97%42.35M204.97%42.35M
Total equity 83.57%67.94M83.57%67.94M54.60%37.01M54.60%37.01M-11.62%23.94M-11.62%23.94M-36.05%27.08M-36.05%27.08M190.89%42.35M190.89%42.35M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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