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Metal Powder Works Ltd (MPW)

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  • 2.700
  • 0.0000.00%
20min DelayMarket Closed May 8 16:00 AET
405.09MMarket Cap-36.49P/E (Static)

Metal Powder Works Ltd (MPW) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)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
(FY)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
1,996.53%6.32M
-80.68%301.23K
-80.68%301.23K
-58.62%1.56M
-58.62%1.56M
-26.21%3.77M
-26.21%3.77M
46.11%5.1M
--5.1M
4,263.21%3.49M
-Cash and cash equivalents
2,030.23%6.31M
-63.82%296.23K
-63.82%296.23K
-78.03%818.86K
-78.03%818.86K
-26.41%3.73M
-26.41%3.73M
44.96%5.06M
--5.06M
4,263.21%3.49M
-Short term investments
0.00%5K
-99.32%5K
-99.32%5K
1,750.00%740K
1,750.00%740K
0.00%40K
0.00%40K
--40K
--40K
----
Receivables
300.69%320.94K
-87.21%80.1K
-87.21%80.1K
-2.00%626.07K
-2.00%626.07K
-13.72%638.86K
-13.72%638.86K
1,333.66%740.43K
--740.43K
181.68%51.65K
-Accounts receivable
101.67%153.07K
-68.00%75.9K
-68.00%75.9K
-26.55%237.21K
-26.55%237.21K
-52.86%322.96K
-52.86%322.96K
4,881.94%685.12K
--685.12K
--13.75K
-Other receivables
3,901.53%167.86K
-98.92%4.2K
-98.92%4.2K
19.29%388.86K
19.29%388.86K
489.33%325.97K
489.33%325.97K
45.97%55.31K
--55.31K
106.68%37.89K
-Recievables adjustments allowances
----
----
----
----
----
---10.07K
---10.07K
----
----
----
Inventory
-9.75%1.84M
10.74%2.04M
10.74%2.04M
40.65%1.84M
40.65%1.84M
128.42%1.31M
128.42%1.31M
55.74%573.14K
--573.14K
--368.01K
Prepaid assets
----
-31.13%169.46K
-31.13%169.46K
13.02%246.03K
13.02%246.03K
50.86%217.69K
50.86%217.69K
140.40%144.3K
--144.3K
20.68%60.02K
Other current assets
--100.16K
----
----
----
----
----
----
----
----
----
Total current assets
231.16%8.58M
-39.38%2.59M
-39.38%2.59M
-27.99%4.27M
-27.99%4.27M
-9.60%5.93M
-9.60%5.93M
65.16%6.56M
--6.56M
2,582.08%3.97M
Non current assets
Net PPE
59.40%1.38M
-26.56%862.64K
-26.56%862.64K
36.01%1.17M
36.01%1.17M
37.50%863.69K
37.50%863.69K
-2.98%628.16K
--628.16K
--647.47K
-Gross PPE
18.91%2.11M
-7.48%1.78M
-7.48%1.78M
45.06%1.92M
45.06%1.92M
19.47%1.32M
19.47%1.32M
11.28%1.11M
--1.11M
--995.58K
-Accumulated depreciation
19.32%-737.21K
-22.59%-913.72K
-22.59%-913.72K
-62.07%-745.36K
-62.07%-745.36K
4.14%-459.9K
4.14%-459.9K
-37.82%-479.76K
---479.76K
---348.11K
Non current accounts receivable
----
0.00%14.15K
0.00%14.15K
0.00%14.15K
0.00%14.15K
0.00%14.15K
0.00%14.15K
--14.15K
--14.15K
----
Goodwill and other intangible assets
2,717.64%375.42K
-32.77%13.32K
-32.77%13.32K
-35.81%19.82K
-35.81%19.82K
-26.37%30.88K
-26.37%30.88K
-20.86%41.93K
--41.93K
--52.99K
-Other intangible assets
2,717.64%375.42K
-32.77%13.32K
-32.77%13.32K
-35.81%19.82K
-35.81%19.82K
-26.37%30.88K
-26.37%30.88K
-20.86%41.93K
--41.93K
--52.99K
Other non current assets
----
-150.00%-1
-150.00%-1
--2
--2
----
----
----
----
----
Total non current assets
96.66%1.75M
-26.36%890.11K
-26.36%890.11K
33.01%1.21M
33.01%1.21M
32.81%908.71K
32.81%908.71K
-2.32%684.24K
--684.24K
--700.46K
Total assets
196.76%10.33M
-36.51%3.48M
-36.51%3.48M
-19.88%5.48M
-19.88%5.48M
-5.59%6.84M
-5.59%6.84M
55.05%7.25M
--7.25M
3,054.91%4.67M
Liabilities
Current liabilities
Current debt and capital lease obligation
-74.95%828.05K
12.12%3.31M
12.12%3.31M
3,693.07%2.95M
3,693.07%2.95M
-8.78%77.73K
-8.78%77.73K
-3.05%85.21K
--85.21K
--87.89K
-Current debt
-78.50%645.12K
5.74%3M
5.74%3M
--2.84M
--2.84M
----
----
----
----
----
-Current capital lease obligation
-40.16%182.93K
175.08%305.71K
175.08%305.71K
42.98%111.14K
42.98%111.14K
-8.78%77.73K
-8.78%77.73K
-3.05%85.21K
--85.21K
--87.89K
Payables
251.19%907.67K
-89.63%258.45K
-89.63%258.45K
105.68%2.49M
105.68%2.49M
38.96%1.21M
38.96%1.21M
107.40%871.58K
--871.58K
25.00%420.24K
-accounts payable
203.37%593.91K
-86.18%195.77K
-86.18%195.77K
244.61%1.42M
244.61%1.42M
165.45%411.15K
165.45%411.15K
28.37%154.89K
--154.89K
-31.38%120.65K
-Other payable
400.58%313.76K
-94.17%62.68K
-94.17%62.68K
34.29%1.07M
34.29%1.07M
11.62%800K
11.62%800K
139.23%716.7K
--716.7K
86.82%299.58K
Current provisions
--50.95K
----
----
----
----
----
----
----
----
----
Pension and other retirement benefit plans
----
-79.94%53.49K
-79.94%53.49K
33.39%266.7K
33.39%266.7K
5.06%199.94K
5.06%199.94K
50.24%190.3K
--190.3K
--126.67K
Current deferred liabilities
-93.70%38.96K
39.21%618.47K
39.21%618.47K
37.86%444.26K
37.86%444.26K
88.51%322.26K
88.51%322.26K
48.83%170.95K
--170.95K
--114.86K
Other current liabilities
--33.84K
----
----
----
----
----
----
----
----
----
Current liabilities
-56.10%1.86M
-31.12%4.24M
-31.12%4.24M
239.60%6.15M
239.60%6.15M
37.41%1.81M
37.41%1.81M
75.82%1.32M
--1.32M
122.99%749.65K
Non current liabilities
Long term debt and capital lease obligation
-4.99%245.28K
-54.32%258.16K
-54.32%258.16K
57.17%565.16K
57.17%565.16K
--359.59K
--359.59K
----
----
--85.21K
-Long term capital lease obligation
-4.99%245.28K
-54.32%258.16K
-54.32%258.16K
57.17%565.16K
57.17%565.16K
--359.59K
--359.59K
----
----
--85.21K
Employee benefits
----
----
----
----
----
27.53%16.72K
27.53%16.72K
109.98%13.11K
--13.11K
--6.24K
Total non current liabilities
-4.99%245.28K
-54.32%258.16K
-54.32%258.16K
50.19%565.16K
50.19%565.16K
2,771.02%376.31K
2,771.02%376.31K
-85.67%13.11K
--13.11K
--91.45K
Total liabilities
-53.17%2.1M
-33.08%4.49M
-33.08%4.49M
207.02%6.72M
207.02%6.72M
64.32%2.19M
64.32%2.19M
58.26%1.33M
--1.33M
150.20%841.1K
Shareholders'equity
Share capital
-26.14%20.56M
0.00%27.84M
0.00%27.84M
1.98%27.84M
1.98%27.84M
16.45%27.3M
16.45%27.3M
32.20%23.44M
--23.44M
-35.11%17.73M
-common stock
-26.14%20.56M
0.00%27.84M
0.00%27.84M
1.98%27.84M
1.98%27.84M
16.45%27.3M
16.45%27.3M
32.20%23.44M
--23.44M
-35.11%17.73M
Retained earnings
66.26%-11.04M
-3.66%-32.71M
-3.66%-32.71M
-25.13%-31.56M
-25.13%-31.56M
-30.97%-25.22M
-30.97%-25.22M
-30.35%-19.25M
---19.25M
51.82%-14.77M
Gains losses not affecting retained earnings
-133.81%-1.3M
55.41%3.86M
55.41%3.86M
-3.54%2.48M
-3.54%2.48M
48.98%2.57M
48.98%2.57M
98.00%1.73M
--1.73M
-72.28%871.99K
Total stockholders'equity
910.67%8.22M
17.85%-1.01M
17.85%-1.01M
-126.53%-1.23M
-126.53%-1.23M
-21.33%4.65M
-21.33%4.65M
54.34%5.92M
--5.92M
2,138.26%3.83M
Total equity
910.67%8.22M
17.85%-1.01M
17.85%-1.01M
-126.53%-1.23M
-126.53%-1.23M
-21.33%4.65M
-21.33%4.65M
54.34%5.92M
--5.92M
2,138.26%3.83M
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(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(FY)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 1,996.53%6.32M-80.68%301.23K-80.68%301.23K-58.62%1.56M-58.62%1.56M-26.21%3.77M-26.21%3.77M46.11%5.1M--5.1M4,263.21%3.49M
-Cash and cash equivalents 2,030.23%6.31M-63.82%296.23K-63.82%296.23K-78.03%818.86K-78.03%818.86K-26.41%3.73M-26.41%3.73M44.96%5.06M--5.06M4,263.21%3.49M
-Short term investments 0.00%5K-99.32%5K-99.32%5K1,750.00%740K1,750.00%740K0.00%40K0.00%40K--40K--40K----
Receivables 300.69%320.94K-87.21%80.1K-87.21%80.1K-2.00%626.07K-2.00%626.07K-13.72%638.86K-13.72%638.86K1,333.66%740.43K--740.43K181.68%51.65K
-Accounts receivable 101.67%153.07K-68.00%75.9K-68.00%75.9K-26.55%237.21K-26.55%237.21K-52.86%322.96K-52.86%322.96K4,881.94%685.12K--685.12K--13.75K
-Other receivables 3,901.53%167.86K-98.92%4.2K-98.92%4.2K19.29%388.86K19.29%388.86K489.33%325.97K489.33%325.97K45.97%55.31K--55.31K106.68%37.89K
-Recievables adjustments allowances -----------------------10.07K---10.07K------------
Inventory -9.75%1.84M10.74%2.04M10.74%2.04M40.65%1.84M40.65%1.84M128.42%1.31M128.42%1.31M55.74%573.14K--573.14K--368.01K
Prepaid assets -----31.13%169.46K-31.13%169.46K13.02%246.03K13.02%246.03K50.86%217.69K50.86%217.69K140.40%144.3K--144.3K20.68%60.02K
Other current assets --100.16K------------------------------------
Total current assets 231.16%8.58M-39.38%2.59M-39.38%2.59M-27.99%4.27M-27.99%4.27M-9.60%5.93M-9.60%5.93M65.16%6.56M--6.56M2,582.08%3.97M
Non current assets
Net PPE 59.40%1.38M-26.56%862.64K-26.56%862.64K36.01%1.17M36.01%1.17M37.50%863.69K37.50%863.69K-2.98%628.16K--628.16K--647.47K
-Gross PPE 18.91%2.11M-7.48%1.78M-7.48%1.78M45.06%1.92M45.06%1.92M19.47%1.32M19.47%1.32M11.28%1.11M--1.11M--995.58K
-Accumulated depreciation 19.32%-737.21K-22.59%-913.72K-22.59%-913.72K-62.07%-745.36K-62.07%-745.36K4.14%-459.9K4.14%-459.9K-37.82%-479.76K---479.76K---348.11K
Non current accounts receivable ----0.00%14.15K0.00%14.15K0.00%14.15K0.00%14.15K0.00%14.15K0.00%14.15K--14.15K--14.15K----
Goodwill and other intangible assets 2,717.64%375.42K-32.77%13.32K-32.77%13.32K-35.81%19.82K-35.81%19.82K-26.37%30.88K-26.37%30.88K-20.86%41.93K--41.93K--52.99K
-Other intangible assets 2,717.64%375.42K-32.77%13.32K-32.77%13.32K-35.81%19.82K-35.81%19.82K-26.37%30.88K-26.37%30.88K-20.86%41.93K--41.93K--52.99K
Other non current assets -----150.00%-1-150.00%-1--2--2--------------------
Total non current assets 96.66%1.75M-26.36%890.11K-26.36%890.11K33.01%1.21M33.01%1.21M32.81%908.71K32.81%908.71K-2.32%684.24K--684.24K--700.46K
Total assets 196.76%10.33M-36.51%3.48M-36.51%3.48M-19.88%5.48M-19.88%5.48M-5.59%6.84M-5.59%6.84M55.05%7.25M--7.25M3,054.91%4.67M
Liabilities
Current liabilities
Current debt and capital lease obligation -74.95%828.05K12.12%3.31M12.12%3.31M3,693.07%2.95M3,693.07%2.95M-8.78%77.73K-8.78%77.73K-3.05%85.21K--85.21K--87.89K
-Current debt -78.50%645.12K5.74%3M5.74%3M--2.84M--2.84M--------------------
-Current capital lease obligation -40.16%182.93K175.08%305.71K175.08%305.71K42.98%111.14K42.98%111.14K-8.78%77.73K-8.78%77.73K-3.05%85.21K--85.21K--87.89K
Payables 251.19%907.67K-89.63%258.45K-89.63%258.45K105.68%2.49M105.68%2.49M38.96%1.21M38.96%1.21M107.40%871.58K--871.58K25.00%420.24K
-accounts payable 203.37%593.91K-86.18%195.77K-86.18%195.77K244.61%1.42M244.61%1.42M165.45%411.15K165.45%411.15K28.37%154.89K--154.89K-31.38%120.65K
-Other payable 400.58%313.76K-94.17%62.68K-94.17%62.68K34.29%1.07M34.29%1.07M11.62%800K11.62%800K139.23%716.7K--716.7K86.82%299.58K
Current provisions --50.95K------------------------------------
Pension and other retirement benefit plans -----79.94%53.49K-79.94%53.49K33.39%266.7K33.39%266.7K5.06%199.94K5.06%199.94K50.24%190.3K--190.3K--126.67K
Current deferred liabilities -93.70%38.96K39.21%618.47K39.21%618.47K37.86%444.26K37.86%444.26K88.51%322.26K88.51%322.26K48.83%170.95K--170.95K--114.86K
Other current liabilities --33.84K------------------------------------
Current liabilities -56.10%1.86M-31.12%4.24M-31.12%4.24M239.60%6.15M239.60%6.15M37.41%1.81M37.41%1.81M75.82%1.32M--1.32M122.99%749.65K
Non current liabilities
Long term debt and capital lease obligation -4.99%245.28K-54.32%258.16K-54.32%258.16K57.17%565.16K57.17%565.16K--359.59K--359.59K----------85.21K
-Long term capital lease obligation -4.99%245.28K-54.32%258.16K-54.32%258.16K57.17%565.16K57.17%565.16K--359.59K--359.59K----------85.21K
Employee benefits --------------------27.53%16.72K27.53%16.72K109.98%13.11K--13.11K--6.24K
Total non current liabilities -4.99%245.28K-54.32%258.16K-54.32%258.16K50.19%565.16K50.19%565.16K2,771.02%376.31K2,771.02%376.31K-85.67%13.11K--13.11K--91.45K
Total liabilities -53.17%2.1M-33.08%4.49M-33.08%4.49M207.02%6.72M207.02%6.72M64.32%2.19M64.32%2.19M58.26%1.33M--1.33M150.20%841.1K
Shareholders'equity
Share capital -26.14%20.56M0.00%27.84M0.00%27.84M1.98%27.84M1.98%27.84M16.45%27.3M16.45%27.3M32.20%23.44M--23.44M-35.11%17.73M
-common stock -26.14%20.56M0.00%27.84M0.00%27.84M1.98%27.84M1.98%27.84M16.45%27.3M16.45%27.3M32.20%23.44M--23.44M-35.11%17.73M
Retained earnings 66.26%-11.04M-3.66%-32.71M-3.66%-32.71M-25.13%-31.56M-25.13%-31.56M-30.97%-25.22M-30.97%-25.22M-30.35%-19.25M---19.25M51.82%-14.77M
Gains losses not affecting retained earnings -133.81%-1.3M55.41%3.86M55.41%3.86M-3.54%2.48M-3.54%2.48M48.98%2.57M48.98%2.57M98.00%1.73M--1.73M-72.28%871.99K
Total stockholders'equity 910.67%8.22M17.85%-1.01M17.85%-1.01M-126.53%-1.23M-126.53%-1.23M-21.33%4.65M-21.33%4.65M54.34%5.92M--5.92M2,138.26%3.83M
Total equity 910.67%8.22M17.85%-1.01M17.85%-1.01M-126.53%-1.23M-126.53%-1.23M-21.33%4.65M-21.33%4.65M54.34%5.92M--5.92M2,138.26%3.83M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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