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IBXOA Imagion Biosystems Ltd

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  • 0.001
  • 0.0000.00%
20min DelayMarket Closed Apr 12 10:00 AET
0Market Cap0.00P/E (Static)

Imagion Biosystems Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2022
(Q4)Dec 30, 2022
(FY)Dec 30, 2021
(Q4)Dec 30, 2021
(FY)Dec 30, 2020
(Q4)Dec 30, 2020
(FY)Dec 30, 2019
(Q4)Dec 30, 2019
(FY)Dec 30, 2018
(Q4)Dec 30, 2018
Assets
Current assets
Cash, cash equivalents and short term investments
-66.80%4.45M
-66.80%4.45M
1.46%13.39M
1.46%13.39M
288.06%13.2M
288.06%13.2M
-22.11%3.4M
-22.11%3.4M
-36.46%4.37M
-36.46%4.37M
-Cash and cash equivalents
-66.80%4.45M
-66.80%4.45M
1.46%13.39M
1.46%13.39M
288.06%13.2M
288.06%13.2M
-22.11%3.4M
-22.11%3.4M
-36.46%4.37M
-36.46%4.37M
-Accounts receivable
194.98%92.46K
194.98%92.46K
--31.35K
--31.35K
----
----
-99.95%71
-99.95%71
1,513.98%140.48K
1,513.98%140.48K
-Notes receivable
-37.24%1.9K
-37.24%1.9K
97.53%3.03K
97.53%3.03K
--1.54K
--1.54K
----
----
----
----
-Other receivables
-29.10%111.73K
-29.10%111.73K
38.49%157.59K
38.49%157.59K
-35.74%113.79K
-35.74%113.79K
-13.33%177.07K
-13.33%177.07K
25.34%204.31K
25.34%204.31K
Total current assets
-63.77%4.99M
-63.77%4.99M
2.49%13.77M
2.49%13.77M
276.00%13.43M
276.00%13.43M
-27.32%3.57M
-27.32%3.57M
-32.38%4.92M
-32.38%4.92M
Non current assets
-Accumulated depreciation
-158.05%-1.94M
-158.05%-1.94M
14.19%-752.74K
14.19%-752.74K
-40.94%-877.26K
-40.94%-877.26K
41.08%-622.43K
41.08%-622.43K
-40.68%-1.06M
-40.68%-1.06M
-Long term equity investment
11,440.36%3.56M
11,440.36%3.56M
-89.80%30.88K
-89.80%30.88K
-50.77%302.75K
-50.77%302.75K
3,236.33%615.02K
3,236.33%615.02K
-62.63%18.43K
-62.63%18.43K
Regulatory assets
194.98%92.46K
194.98%92.46K
--31.35K
--31.35K
----
----
-99.99%71
-99.99%71
5,594.13%495.62K
5,594.13%495.62K
Liabilities
Current liabilities
Current debt and capital lease obligation
6,775.71%1.04M
6,775.71%1.04M
-95.77%15.14K
-95.77%15.14K
36.85%358.23K
36.85%358.23K
625.46%261.76K
625.46%261.76K
17.59%36.08K
17.59%36.08K
-Current capital lease obligation
6,775.71%1.04M
6,775.71%1.04M
-95.77%15.14K
-95.77%15.14K
36.85%358.23K
36.85%358.23K
625.46%261.76K
625.46%261.76K
17.59%36.08K
17.59%36.08K
-accounts payable
-24.10%325.06K
-24.10%325.06K
48.55%428.28K
48.55%428.28K
-59.33%288.3K
-59.33%288.3K
-27.93%708.91K
-27.93%708.91K
144.90%983.68K
144.90%983.68K
-Total tax payable
10,413.47%3.57M
10,413.47%3.57M
-88.86%33.91K
-88.86%33.91K
-50.52%304.28K
-50.52%304.28K
3,236.33%615.02K
3,236.33%615.02K
-62.63%18.43K
-62.63%18.43K
Current provisions
----
----
9.73%34.5K
9.73%34.5K
--31.44K
--31.44K
----
----
----
----
Current liabilities
123.32%1.73M
123.32%1.73M
-13.86%775.97K
-13.86%775.97K
-29.82%900.85K
-29.82%900.85K
-1.25%1.28M
-1.25%1.28M
103.27%1.3M
103.27%1.3M
Non current liabilities
-Long term debt
11,440.36%3.56M
11,440.36%3.56M
-89.80%30.88K
-89.80%30.88K
-50.77%302.75K
-50.77%302.75K
3,236.33%615.02K
3,236.33%615.02K
-62.63%18.43K
-62.63%18.43K
Non current accrued expenses
1,340.95%4.99M
1,340.95%4.99M
-49.48%346.1K
-49.48%346.1K
-47.27%685.02K
-47.27%685.02K
377.89%1.3M
377.89%1.3M
-26.94%271.86K
-26.94%271.86K
Employee benefits
-37.24%1.9K
-37.24%1.9K
97.53%3.03K
97.53%3.03K
--1.54K
--1.54K
----
----
----
----
Preferred securities outside stock equity
24.61%175.03K
24.61%175.03K
28.75%140.46K
28.75%140.46K
7.13%109.1K
7.13%109.1K
34.48%101.83K
34.48%101.83K
71.73%75.72K
71.73%75.72K
Total non current liabilities
554.19%5.3M
554.19%5.3M
-32.80%809.88K
-32.80%809.88K
-36.52%1.21M
-36.52%1.21M
44.02%1.9M
44.02%1.9M
91.39%1.32M
91.39%1.32M
Shareholders'equity
Share capital
0.00%56.83M
0.00%56.83M
10.73%56.83M
10.73%56.83M
39.07%51.32M
39.07%51.32M
11.22%36.9M
11.22%36.9M
15.67%33.18M
15.67%33.18M
-common stock
0.00%56.83M
0.00%56.83M
10.73%56.83M
10.73%56.83M
39.07%51.32M
39.07%51.32M
11.22%36.9M
11.22%36.9M
15.67%33.18M
15.67%33.18M
Gains losses not affecting retained earnings
46.84%3.69M
46.84%3.69M
56.87%2.51M
56.87%2.51M
124.12%1.6M
124.12%1.6M
-62.39%714.48K
-62.39%714.48K
66.83%1.9M
66.83%1.9M
Other equity interest
-20.39%134.86K
-20.39%134.86K
63.16%169.41K
63.16%169.41K
41.98%103.83K
41.98%103.83K
--73.14K
--73.14K
----
----
Total equity
-29.33%9.98M
-29.33%9.98M
-0.03%14.12M
-0.03%14.12M
189.79%14.12M
189.79%14.12M
-6.08%4.87M
-6.08%4.87M
-32.11%5.19M
-32.11%5.19M
(FY)Dec 30, 2022(Q4)Dec 30, 2022(FY)Dec 30, 2021(Q4)Dec 30, 2021(FY)Dec 30, 2020(Q4)Dec 30, 2020(FY)Dec 30, 2019(Q4)Dec 30, 2019(FY)Dec 30, 2018(Q4)Dec 30, 2018
Assets
Current assets
Cash, cash equivalents and short term investments -66.80%4.45M-66.80%4.45M1.46%13.39M1.46%13.39M288.06%13.2M288.06%13.2M-22.11%3.4M-22.11%3.4M-36.46%4.37M-36.46%4.37M
-Cash and cash equivalents -66.80%4.45M-66.80%4.45M1.46%13.39M1.46%13.39M288.06%13.2M288.06%13.2M-22.11%3.4M-22.11%3.4M-36.46%4.37M-36.46%4.37M
-Accounts receivable 194.98%92.46K194.98%92.46K--31.35K--31.35K---------99.95%71-99.95%711,513.98%140.48K1,513.98%140.48K
-Notes receivable -37.24%1.9K-37.24%1.9K97.53%3.03K97.53%3.03K--1.54K--1.54K----------------
-Other receivables -29.10%111.73K-29.10%111.73K38.49%157.59K38.49%157.59K-35.74%113.79K-35.74%113.79K-13.33%177.07K-13.33%177.07K25.34%204.31K25.34%204.31K
Total current assets -63.77%4.99M-63.77%4.99M2.49%13.77M2.49%13.77M276.00%13.43M276.00%13.43M-27.32%3.57M-27.32%3.57M-32.38%4.92M-32.38%4.92M
Non current assets
-Accumulated depreciation -158.05%-1.94M-158.05%-1.94M14.19%-752.74K14.19%-752.74K-40.94%-877.26K-40.94%-877.26K41.08%-622.43K41.08%-622.43K-40.68%-1.06M-40.68%-1.06M
-Long term equity investment 11,440.36%3.56M11,440.36%3.56M-89.80%30.88K-89.80%30.88K-50.77%302.75K-50.77%302.75K3,236.33%615.02K3,236.33%615.02K-62.63%18.43K-62.63%18.43K
Regulatory assets 194.98%92.46K194.98%92.46K--31.35K--31.35K---------99.99%71-99.99%715,594.13%495.62K5,594.13%495.62K
Liabilities
Current liabilities
Current debt and capital lease obligation 6,775.71%1.04M6,775.71%1.04M-95.77%15.14K-95.77%15.14K36.85%358.23K36.85%358.23K625.46%261.76K625.46%261.76K17.59%36.08K17.59%36.08K
-Current capital lease obligation 6,775.71%1.04M6,775.71%1.04M-95.77%15.14K-95.77%15.14K36.85%358.23K36.85%358.23K625.46%261.76K625.46%261.76K17.59%36.08K17.59%36.08K
-accounts payable -24.10%325.06K-24.10%325.06K48.55%428.28K48.55%428.28K-59.33%288.3K-59.33%288.3K-27.93%708.91K-27.93%708.91K144.90%983.68K144.90%983.68K
-Total tax payable 10,413.47%3.57M10,413.47%3.57M-88.86%33.91K-88.86%33.91K-50.52%304.28K-50.52%304.28K3,236.33%615.02K3,236.33%615.02K-62.63%18.43K-62.63%18.43K
Current provisions --------9.73%34.5K9.73%34.5K--31.44K--31.44K----------------
Current liabilities 123.32%1.73M123.32%1.73M-13.86%775.97K-13.86%775.97K-29.82%900.85K-29.82%900.85K-1.25%1.28M-1.25%1.28M103.27%1.3M103.27%1.3M
Non current liabilities
-Long term debt 11,440.36%3.56M11,440.36%3.56M-89.80%30.88K-89.80%30.88K-50.77%302.75K-50.77%302.75K3,236.33%615.02K3,236.33%615.02K-62.63%18.43K-62.63%18.43K
Non current accrued expenses 1,340.95%4.99M1,340.95%4.99M-49.48%346.1K-49.48%346.1K-47.27%685.02K-47.27%685.02K377.89%1.3M377.89%1.3M-26.94%271.86K-26.94%271.86K
Employee benefits -37.24%1.9K-37.24%1.9K97.53%3.03K97.53%3.03K--1.54K--1.54K----------------
Preferred securities outside stock equity 24.61%175.03K24.61%175.03K28.75%140.46K28.75%140.46K7.13%109.1K7.13%109.1K34.48%101.83K34.48%101.83K71.73%75.72K71.73%75.72K
Total non current liabilities 554.19%5.3M554.19%5.3M-32.80%809.88K-32.80%809.88K-36.52%1.21M-36.52%1.21M44.02%1.9M44.02%1.9M91.39%1.32M91.39%1.32M
Shareholders'equity
Share capital 0.00%56.83M0.00%56.83M10.73%56.83M10.73%56.83M39.07%51.32M39.07%51.32M11.22%36.9M11.22%36.9M15.67%33.18M15.67%33.18M
-common stock 0.00%56.83M0.00%56.83M10.73%56.83M10.73%56.83M39.07%51.32M39.07%51.32M11.22%36.9M11.22%36.9M15.67%33.18M15.67%33.18M
Gains losses not affecting retained earnings 46.84%3.69M46.84%3.69M56.87%2.51M56.87%2.51M124.12%1.6M124.12%1.6M-62.39%714.48K-62.39%714.48K66.83%1.9M66.83%1.9M
Other equity interest -20.39%134.86K-20.39%134.86K63.16%169.41K63.16%169.41K41.98%103.83K41.98%103.83K--73.14K--73.14K--------
Total equity -29.33%9.98M-29.33%9.98M-0.03%14.12M-0.03%14.12M189.79%14.12M189.79%14.12M-6.08%4.87M-6.08%4.87M-32.11%5.19M-32.11%5.19M

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