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Ignite Ltd (IGN)

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  • 0.750
  • 0.0000.00%
20min DelayMarket Closed Jan 5 10:39 AET
12.41MMarket Cap10.27P/E (Static)

Ignite Ltd (IGN) 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
29.75%5.32M
29.75%5.32M
1,652.56%4.1M
1,652.56%4.1M
-36.24%234K
-36.24%234K
321.84%367K
321.84%367K
-78.68%87K
-78.68%87K
-Cash and cash equivalents
29.75%5.32M
29.75%5.32M
1,652.56%4.1M
1,652.56%4.1M
-36.24%234K
-36.24%234K
321.84%367K
321.84%367K
-78.68%87K
-78.68%87K
Receivables
-8.37%7.47M
-8.37%7.47M
-22.22%8.16M
-22.22%8.16M
-14.93%10.49M
-14.93%10.49M
0.25%12.33M
0.25%12.33M
-0.49%12.3M
-0.49%12.3M
-Accounts receivable
-4.40%2.78M
-4.40%2.78M
-46.93%2.91M
-46.93%2.91M
-25.37%5.48M
-25.37%5.48M
-9.42%7.34M
-9.42%7.34M
6.98%8.11M
6.98%8.11M
-Other receivables
-10.57%4.7M
-10.57%4.7M
4.81%5.25M
4.81%5.25M
-0.14%5.01M
-0.14%5.01M
18.98%5.02M
18.98%5.02M
-11.78%4.22M
-11.78%4.22M
-Recievables adjustments allowances
0.00%-1K
0.00%-1K
50.00%-1K
50.00%-1K
93.75%-2K
93.75%-2K
-18.52%-32K
-18.52%-32K
---27K
---27K
Prepaid assets
-10.09%499K
-10.09%499K
5.71%555K
5.71%555K
8.25%525K
8.25%525K
46.53%485K
46.53%485K
42.67%331K
42.67%331K
Total current assets
3.75%13.29M
3.75%13.29M
13.93%12.81M
13.93%12.81M
-14.67%11.25M
-14.67%11.25M
3.66%13.18M
3.66%13.18M
-2.18%12.71M
-2.18%12.71M
Non current assets
Net PPE
-61.00%101K
-61.00%101K
-56.54%259K
-56.54%259K
-32.66%596K
-32.66%596K
115.85%885K
115.85%885K
-50.12%410K
-50.12%410K
-Gross PPE
-93.00%101K
-93.00%101K
-6.66%1.44M
-6.66%1.44M
-14.54%1.55M
-14.54%1.55M
3.91%1.81M
3.91%1.81M
-40.42%1.74M
-40.42%1.74M
-Accumulated depreciation
----
----
-24.63%-1.18M
-24.63%-1.18M
-2.81%-950K
-2.81%-950K
30.58%-924K
30.58%-924K
36.62%-1.33M
36.62%-1.33M
Total non current assets
-61.00%101K
-61.00%101K
-56.54%259K
-56.54%259K
-32.66%596K
-32.66%596K
115.85%885K
115.85%885K
-51.88%410K
-51.88%410K
Total assets
2.47%13.4M
2.47%13.4M
10.39%13.07M
10.39%13.07M
-15.80%11.84M
-15.80%11.84M
7.16%14.06M
7.16%14.06M
-5.24%13.12M
-5.24%13.12M
Liabilities
Current liabilities
Current debt and capital lease obligation
-90.95%21K
-90.95%21K
-90.04%232K
-90.04%232K
-11.34%2.33M
-11.34%2.33M
134.97%2.63M
134.97%2.63M
-36.94%1.12M
-36.94%1.12M
-Current debt
----
----
-99.90%2K
-99.90%2K
-13.45%2.01M
-13.45%2.01M
196.30%2.32M
196.30%2.32M
-34.04%783K
-34.04%783K
-Current capital lease obligation
-90.87%21K
-90.87%21K
-28.35%230K
-28.35%230K
4.56%321K
4.56%321K
-8.36%307K
-8.36%307K
-42.83%335K
-42.83%335K
Payables
-1.32%4.32M
-1.32%4.32M
-9.98%4.38M
-9.98%4.38M
-0.12%4.87M
-0.12%4.87M
-14.04%4.87M
-14.04%4.87M
-47.93%5.67M
-47.93%5.67M
-accounts payable
13.54%2.95M
13.54%2.95M
-10.71%2.6M
-10.71%2.6M
21.99%2.91M
21.99%2.91M
1.10%2.39M
1.10%2.39M
-69.32%2.36M
-69.32%2.36M
-Other payable
-23.01%1.37M
-23.01%1.37M
-8.90%1.78M
-8.90%1.78M
-21.35%1.96M
-21.35%1.96M
-24.84%2.49M
-24.84%2.49M
3.63%3.31M
3.63%3.31M
Current provisions
----
----
--96K
--96K
----
----
-77.78%30K
-77.78%30K
200.00%135K
200.00%135K
Pension and other retirement benefit plans
-28.20%527K
-28.20%527K
-3.93%734K
-3.93%734K
-8.28%764K
-8.28%764K
18.66%833K
18.66%833K
-17.61%702K
-17.61%702K
Current liabilities
-10.51%4.87M
-10.51%4.87M
-31.62%5.44M
-31.62%5.44M
-4.82%7.96M
-4.82%7.96M
9.69%8.36M
9.69%8.36M
-43.76%7.63M
-43.76%7.63M
Non current liabilities
Long term debt and capital lease obligation
----
----
-91.67%21K
-91.67%21K
-52.09%252K
-52.09%252K
806.90%526K
806.90%526K
-85.24%58K
-85.24%58K
-Long term capital lease obligation
----
----
-91.67%21K
-91.67%21K
-52.09%252K
-52.09%252K
806.90%526K
806.90%526K
-85.24%58K
-85.24%58K
Long term provisions
----
----
----
----
0.00%96K
0.00%96K
540.00%96K
540.00%96K
-81.25%15K
-81.25%15K
Employee benefits
-41.03%23K
-41.03%23K
-17.02%39K
-17.02%39K
-28.79%47K
-28.79%47K
-31.25%66K
-31.25%66K
2.13%96K
2.13%96K
Total non current liabilities
-61.67%23K
-61.67%23K
-84.81%60K
-84.81%60K
-42.59%395K
-42.59%395K
307.10%688K
307.10%688K
-70.19%169K
-70.19%169K
Total liabilities
-11.06%4.9M
-11.06%4.9M
-34.13%5.5M
-34.13%5.5M
-7.69%8.36M
-7.69%8.36M
16.14%9.05M
16.14%9.05M
-44.83%7.79M
-44.83%7.79M
Shareholders'equity
Share capital
0.29%37.16M
0.29%37.16M
-55.65%37.05M
-55.65%37.05M
0.00%83.54M
0.00%83.54M
0.00%83.54M
0.00%83.54M
0.00%83.54M
0.00%83.54M
-common stock
0.29%37.16M
0.29%37.16M
-55.65%37.05M
-55.65%37.05M
0.00%83.54M
0.00%83.54M
0.00%83.54M
0.00%83.54M
0.00%83.54M
0.00%83.54M
Retained earnings
0.00%-29.9M
0.00%-29.9M
62.61%-29.9M
62.61%-29.9M
-1.98%-79.95M
-1.98%-79.95M
-0.36%-78.4M
-0.36%-78.4M
3.00%-78.12M
3.00%-78.12M
Gains losses not affecting retained earnings
209.52%1.24M
209.52%1.24M
476.42%399K
476.42%399K
17.83%-106K
17.83%-106K
-34.38%-129K
-34.38%-129K
-1.05%-96K
-1.05%-96K
Total stockholders'equity
12.51%8.5M
12.51%8.5M
116.72%7.56M
116.72%7.56M
-30.45%3.49M
-30.45%3.49M
-5.97%5.01M
-5.97%5.01M
82.78%5.33M
82.78%5.33M
Total equity
12.51%8.5M
12.51%8.5M
116.72%7.56M
116.72%7.56M
-30.45%3.49M
-30.45%3.49M
-5.97%5.01M
-5.97%5.01M
82.78%5.33M
82.78%5.33M
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 29.75%5.32M29.75%5.32M1,652.56%4.1M1,652.56%4.1M-36.24%234K-36.24%234K321.84%367K321.84%367K-78.68%87K-78.68%87K
-Cash and cash equivalents 29.75%5.32M29.75%5.32M1,652.56%4.1M1,652.56%4.1M-36.24%234K-36.24%234K321.84%367K321.84%367K-78.68%87K-78.68%87K
Receivables -8.37%7.47M-8.37%7.47M-22.22%8.16M-22.22%8.16M-14.93%10.49M-14.93%10.49M0.25%12.33M0.25%12.33M-0.49%12.3M-0.49%12.3M
-Accounts receivable -4.40%2.78M-4.40%2.78M-46.93%2.91M-46.93%2.91M-25.37%5.48M-25.37%5.48M-9.42%7.34M-9.42%7.34M6.98%8.11M6.98%8.11M
-Other receivables -10.57%4.7M-10.57%4.7M4.81%5.25M4.81%5.25M-0.14%5.01M-0.14%5.01M18.98%5.02M18.98%5.02M-11.78%4.22M-11.78%4.22M
-Recievables adjustments allowances 0.00%-1K0.00%-1K50.00%-1K50.00%-1K93.75%-2K93.75%-2K-18.52%-32K-18.52%-32K---27K---27K
Prepaid assets -10.09%499K-10.09%499K5.71%555K5.71%555K8.25%525K8.25%525K46.53%485K46.53%485K42.67%331K42.67%331K
Total current assets 3.75%13.29M3.75%13.29M13.93%12.81M13.93%12.81M-14.67%11.25M-14.67%11.25M3.66%13.18M3.66%13.18M-2.18%12.71M-2.18%12.71M
Non current assets
Net PPE -61.00%101K-61.00%101K-56.54%259K-56.54%259K-32.66%596K-32.66%596K115.85%885K115.85%885K-50.12%410K-50.12%410K
-Gross PPE -93.00%101K-93.00%101K-6.66%1.44M-6.66%1.44M-14.54%1.55M-14.54%1.55M3.91%1.81M3.91%1.81M-40.42%1.74M-40.42%1.74M
-Accumulated depreciation ---------24.63%-1.18M-24.63%-1.18M-2.81%-950K-2.81%-950K30.58%-924K30.58%-924K36.62%-1.33M36.62%-1.33M
Total non current assets -61.00%101K-61.00%101K-56.54%259K-56.54%259K-32.66%596K-32.66%596K115.85%885K115.85%885K-51.88%410K-51.88%410K
Total assets 2.47%13.4M2.47%13.4M10.39%13.07M10.39%13.07M-15.80%11.84M-15.80%11.84M7.16%14.06M7.16%14.06M-5.24%13.12M-5.24%13.12M
Liabilities
Current liabilities
Current debt and capital lease obligation -90.95%21K-90.95%21K-90.04%232K-90.04%232K-11.34%2.33M-11.34%2.33M134.97%2.63M134.97%2.63M-36.94%1.12M-36.94%1.12M
-Current debt ---------99.90%2K-99.90%2K-13.45%2.01M-13.45%2.01M196.30%2.32M196.30%2.32M-34.04%783K-34.04%783K
-Current capital lease obligation -90.87%21K-90.87%21K-28.35%230K-28.35%230K4.56%321K4.56%321K-8.36%307K-8.36%307K-42.83%335K-42.83%335K
Payables -1.32%4.32M-1.32%4.32M-9.98%4.38M-9.98%4.38M-0.12%4.87M-0.12%4.87M-14.04%4.87M-14.04%4.87M-47.93%5.67M-47.93%5.67M
-accounts payable 13.54%2.95M13.54%2.95M-10.71%2.6M-10.71%2.6M21.99%2.91M21.99%2.91M1.10%2.39M1.10%2.39M-69.32%2.36M-69.32%2.36M
-Other payable -23.01%1.37M-23.01%1.37M-8.90%1.78M-8.90%1.78M-21.35%1.96M-21.35%1.96M-24.84%2.49M-24.84%2.49M3.63%3.31M3.63%3.31M
Current provisions ----------96K--96K---------77.78%30K-77.78%30K200.00%135K200.00%135K
Pension and other retirement benefit plans -28.20%527K-28.20%527K-3.93%734K-3.93%734K-8.28%764K-8.28%764K18.66%833K18.66%833K-17.61%702K-17.61%702K
Current liabilities -10.51%4.87M-10.51%4.87M-31.62%5.44M-31.62%5.44M-4.82%7.96M-4.82%7.96M9.69%8.36M9.69%8.36M-43.76%7.63M-43.76%7.63M
Non current liabilities
Long term debt and capital lease obligation ---------91.67%21K-91.67%21K-52.09%252K-52.09%252K806.90%526K806.90%526K-85.24%58K-85.24%58K
-Long term capital lease obligation ---------91.67%21K-91.67%21K-52.09%252K-52.09%252K806.90%526K806.90%526K-85.24%58K-85.24%58K
Long term provisions ----------------0.00%96K0.00%96K540.00%96K540.00%96K-81.25%15K-81.25%15K
Employee benefits -41.03%23K-41.03%23K-17.02%39K-17.02%39K-28.79%47K-28.79%47K-31.25%66K-31.25%66K2.13%96K2.13%96K
Total non current liabilities -61.67%23K-61.67%23K-84.81%60K-84.81%60K-42.59%395K-42.59%395K307.10%688K307.10%688K-70.19%169K-70.19%169K
Total liabilities -11.06%4.9M-11.06%4.9M-34.13%5.5M-34.13%5.5M-7.69%8.36M-7.69%8.36M16.14%9.05M16.14%9.05M-44.83%7.79M-44.83%7.79M
Shareholders'equity
Share capital 0.29%37.16M0.29%37.16M-55.65%37.05M-55.65%37.05M0.00%83.54M0.00%83.54M0.00%83.54M0.00%83.54M0.00%83.54M0.00%83.54M
-common stock 0.29%37.16M0.29%37.16M-55.65%37.05M-55.65%37.05M0.00%83.54M0.00%83.54M0.00%83.54M0.00%83.54M0.00%83.54M0.00%83.54M
Retained earnings 0.00%-29.9M0.00%-29.9M62.61%-29.9M62.61%-29.9M-1.98%-79.95M-1.98%-79.95M-0.36%-78.4M-0.36%-78.4M3.00%-78.12M3.00%-78.12M
Gains losses not affecting retained earnings 209.52%1.24M209.52%1.24M476.42%399K476.42%399K17.83%-106K17.83%-106K-34.38%-129K-34.38%-129K-1.05%-96K-1.05%-96K
Total stockholders'equity 12.51%8.5M12.51%8.5M116.72%7.56M116.72%7.56M-30.45%3.49M-30.45%3.49M-5.97%5.01M-5.97%5.01M82.78%5.33M82.78%5.33M
Total equity 12.51%8.5M12.51%8.5M116.72%7.56M116.72%7.56M-30.45%3.49M-30.45%3.49M-5.97%5.01M-5.97%5.01M82.78%5.33M82.78%5.33M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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