US Stock MarketDetailed Quotes

PPCB PROPANC BIOPHARMA INC

Watchlist
  • 0.001800
  • -0.000100-5.26%
15min DelayClose Jun 3 16:00 ET
302.36KMarket Cap0.01P/E (TTM)

PROPANC BIOPHARMA INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
(Q1)Sep 30, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-93.33%6.22K
192.74%71.65K
-65.84%6.63K
147.04%10.05K
147.04%10.05K
-30.36%93.24K
-66.75%24.48K
-57.67%19.4K
80.35%4.07K
80.35%4.07K
-Cash and cash equivalents
-93.33%6.22K
192.74%71.65K
-65.84%6.63K
147.04%10.05K
147.04%10.05K
-30.36%93.24K
-66.75%24.48K
-57.67%19.4K
80.35%4.07K
80.35%4.07K
Receivables
57.92%5.27K
2,696.28%127.04K
4,298.48%118.8K
22.42%2.87K
22.42%2.87K
50.45%3.33K
-19.24%4.54K
20.69%2.7K
-46.05%2.34K
-46.05%2.34K
-Accounts receivable
----
--123.13K
--116.17K
----
----
----
----
----
----
----
-Taxes receivable
57.92%5.27K
-13.98%3.91K
-2.48%2.63K
22.42%2.87K
22.42%2.87K
50.45%3.33K
-19.24%4.54K
20.69%2.7K
-46.05%2.34K
-46.05%2.34K
Other current assets
--1.37K
-51.84%12.14K
29.25%20.38K
-28.95%6.13K
-28.95%6.13K
----
347.17%25.21K
88.73%15.77K
--8.62K
--8.62K
Total current assets
-86.69%12.86K
288.79%210.82K
285.09%145.8K
26.67%19.04K
26.67%19.04K
-33.17%96.58K
-36.11%54.23K
-32.88%37.86K
127.87%15.03K
127.87%15.03K
Non current assets
Net PPE
-50.12%22.53K
-43.89%29.04K
-40.07%32.64K
-39.13%39.29K
-39.13%39.29K
1,568.81%45.16K
1,559.85%51.75K
1,415.78%54.46K
1,416.94%64.55K
1,416.94%64.55K
-Gross PPE
-0.75%91.07K
0.03%92.2K
11.16%90.73K
-3.37%91.63K
-3.37%91.63K
220.84%91.76K
232.16%92.17K
196.47%81.63K
22.69%94.82K
22.69%94.82K
-Accumulated depreciation
-47.08%-68.54K
-56.27%-63.16K
-113.87%-58.09K
-72.87%-52.34K
-72.87%-52.34K
-79.97%-46.6K
-64.09%-40.42K
-13.47%-27.16K
58.54%-30.28K
58.54%-30.28K
Non current prepaid assets
-2.69%1.96K
0.10%2.04K
-0.10%1.93K
-3.66%2K
-3.66%2K
-10.63%2.01K
-6.37%2.04K
-10.81%1.93K
-7.78%2.08K
-7.78%2.08K
Total non current assets
-48.10%24.48K
-42.22%31.08K
-38.70%34.57K
-38.02%41.29K
-38.02%41.29K
89.02%47.17K
112.64%53.8K
879.54%56.39K
924.15%66.62K
924.15%66.62K
Total assets
-74.02%37.34K
123.94%241.91K
91.37%180.37K
-26.11%60.33K
-26.11%60.33K
-15.18%143.74K
-1.96%108.02K
51.62%94.25K
523.24%81.65K
523.24%81.65K
Liabilities
Current liabilities
Payables
28.35%1.22M
25.75%1.19M
19.62%1.11M
2.32%996.35K
2.32%996.35K
-5.25%947.97K
-0.87%944.75K
8.11%927.82K
-5.98%973.77K
-5.98%973.77K
-accounts payable
29.35%1.19M
26.59%1.16M
20.25%1.08M
2.51%966.72K
2.51%966.72K
-5.07%918.2K
-0.67%914.49K
8.84%899.23K
-5.92%943.02K
-5.92%943.02K
-Due to related parties current
-2.70%28.97K
0.12%30.29K
-0.06%28.58K
-3.63%29.63K
-3.63%29.63K
-10.64%29.78K
-6.41%30.26K
-10.84%28.6K
-7.80%30.75K
-7.80%30.75K
Current accrued expenses
14.11%849.14K
22.74%755.91K
48.78%667.61K
19.18%624.42K
19.18%624.42K
52.93%744.12K
46.54%615.85K
10.04%448.72K
-41.27%523.94K
-41.27%523.94K
Current debt and capital lease obligation
34.72%883.39K
15.63%974.66K
-32.62%657.45K
-47.24%526.64K
-47.24%526.64K
-42.03%655.74K
-17.89%842.88K
52.94%975.75K
46.78%998.21K
46.78%998.21K
-Current debt
35.70%861.07K
15.82%951.78K
-33.81%636.29K
-48.33%505.13K
-48.33%505.13K
-43.90%634.56K
-19.94%821.78K
50.67%961.24K
43.75%977.61K
43.75%977.61K
-Current capital lease obligation
5.37%22.32K
8.43%22.88K
45.78%21.16K
4.37%21.51K
4.37%21.51K
--21.19K
--21.1K
--14.52K
--20.61K
--20.61K
Other current liabilities
-3.07%128.43K
1,961.99%219.05K
63.20%119.07K
179.79%423.21K
179.79%423.21K
134.05%132.5K
-95.21%10.62K
25.52%72.96K
178.98%151.26K
178.98%151.26K
Current liabilities
20.51%3.69M
25.72%3.76M
11.01%3.13M
3.11%3.16M
3.11%3.16M
-1.82%3.06M
-1.57%2.99M
19.15%2.82M
-0.57%3.06M
-0.57%3.06M
Non current liabilities
Long term debt and capital lease obligation
95.96%48.87K
40.05%43.26K
-7.23%36.52K
-54.45%19.28K
-54.45%19.28K
--24.94K
--30.89K
--39.36K
--42.32K
--42.32K
-Long term debt
--46.93K
--35.21K
--23.37K
----
----
----
----
----
----
----
-Long term capital lease obligation
-92.21%1.94K
-73.96%8.04K
-66.60%13.15K
-54.45%19.28K
-54.45%19.28K
--24.94K
--30.89K
--39.36K
--42.32K
--42.32K
Total non current liabilities
95.96%48.87K
40.05%43.26K
-7.23%36.52K
-54.45%19.28K
-54.45%19.28K
--24.94K
--30.89K
--39.36K
--42.32K
--42.32K
Total liabilities
21.12%3.74M
25.87%3.81M
10.76%3.17M
2.33%3.18M
2.33%3.18M
-1.02%3.09M
-0.56%3.02M
20.81%2.86M
0.80%3.11M
0.80%3.11M
Shareholders'equity
Share capital
-95.81%109.71K
-97.11%36.17K
-97.73%15.46K
46.03%7.65K
46.03%7.65K
2,774.90%2.62M
2,054.08%1.25M
1,241.71%682.18K
-72.50%5.24K
-72.50%5.24K
-common stock
-95.81%109.71K
-97.10%36.17K
-97.72%15.46K
3,088.33%7.65K
3,088.33%7.65K
2,941.69%2.62M
2,247.63%1.25M
1,377.14%677.18K
-98.29%240
-98.29%240
-Preferred stock
--0
--0
--0
--0
--0
--0
0.00%5K
0.00%5K
0.00%5K
0.00%5K
Retained earnings
-3.85%-66.34M
-4.33%-65.8M
-4.18%-65.18M
-5.08%-64.68M
-5.08%-64.68M
-5.76%-63.88M
-5.65%-63.07M
-6.39%-62.56M
-5.77%-61.56M
-5.77%-61.56M
Paid-in capital
7.30%61.24M
5.76%61.02M
5.28%60.85M
5.14%60.31M
5.14%60.31M
1.33%57.07M
3.74%57.7M
4.25%57.8M
6.09%57.36M
6.09%57.36M
Less: Treasury stock
0.00%46.48K
0.00%46.48K
0.00%46.48K
0.00%46.48K
0.00%46.48K
0.00%46.48K
0.00%46.48K
0.00%46.48K
0.00%46.48K
0.00%46.48K
Gains losses not affecting retained earnings
3.53%1.34M
-1.52%1.23M
0.56%1.37M
4.89%1.29M
4.89%1.29M
19.06%1.29M
9.76%1.25M
18.41%1.36M
13.76%1.23M
13.76%1.23M
Other equity interest
----
---8.82K
----
----
----
----
----
----
---23.76K
---23.76K
Total stockholders'equity
-25.77%-3.7M
-22.23%-3.56M
-8.01%-2.99M
-3.09%-3.12M
-3.09%-3.12M
0.20%-2.94M
0.50%-2.92M
-19.98%-2.77M
1.43%-3.02M
1.43%-3.02M
Total equity
-25.77%-3.7M
-22.23%-3.56M
-8.01%-2.99M
-3.09%-3.12M
-3.09%-3.12M
0.20%-2.94M
0.50%-2.92M
-19.98%-2.77M
1.43%-3.02M
1.43%-3.02M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022(Q1)Sep 30, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -93.33%6.22K192.74%71.65K-65.84%6.63K147.04%10.05K147.04%10.05K-30.36%93.24K-66.75%24.48K-57.67%19.4K80.35%4.07K80.35%4.07K
-Cash and cash equivalents -93.33%6.22K192.74%71.65K-65.84%6.63K147.04%10.05K147.04%10.05K-30.36%93.24K-66.75%24.48K-57.67%19.4K80.35%4.07K80.35%4.07K
Receivables 57.92%5.27K2,696.28%127.04K4,298.48%118.8K22.42%2.87K22.42%2.87K50.45%3.33K-19.24%4.54K20.69%2.7K-46.05%2.34K-46.05%2.34K
-Accounts receivable ------123.13K--116.17K----------------------------
-Taxes receivable 57.92%5.27K-13.98%3.91K-2.48%2.63K22.42%2.87K22.42%2.87K50.45%3.33K-19.24%4.54K20.69%2.7K-46.05%2.34K-46.05%2.34K
Other current assets --1.37K-51.84%12.14K29.25%20.38K-28.95%6.13K-28.95%6.13K----347.17%25.21K88.73%15.77K--8.62K--8.62K
Total current assets -86.69%12.86K288.79%210.82K285.09%145.8K26.67%19.04K26.67%19.04K-33.17%96.58K-36.11%54.23K-32.88%37.86K127.87%15.03K127.87%15.03K
Non current assets
Net PPE -50.12%22.53K-43.89%29.04K-40.07%32.64K-39.13%39.29K-39.13%39.29K1,568.81%45.16K1,559.85%51.75K1,415.78%54.46K1,416.94%64.55K1,416.94%64.55K
-Gross PPE -0.75%91.07K0.03%92.2K11.16%90.73K-3.37%91.63K-3.37%91.63K220.84%91.76K232.16%92.17K196.47%81.63K22.69%94.82K22.69%94.82K
-Accumulated depreciation -47.08%-68.54K-56.27%-63.16K-113.87%-58.09K-72.87%-52.34K-72.87%-52.34K-79.97%-46.6K-64.09%-40.42K-13.47%-27.16K58.54%-30.28K58.54%-30.28K
Non current prepaid assets -2.69%1.96K0.10%2.04K-0.10%1.93K-3.66%2K-3.66%2K-10.63%2.01K-6.37%2.04K-10.81%1.93K-7.78%2.08K-7.78%2.08K
Total non current assets -48.10%24.48K-42.22%31.08K-38.70%34.57K-38.02%41.29K-38.02%41.29K89.02%47.17K112.64%53.8K879.54%56.39K924.15%66.62K924.15%66.62K
Total assets -74.02%37.34K123.94%241.91K91.37%180.37K-26.11%60.33K-26.11%60.33K-15.18%143.74K-1.96%108.02K51.62%94.25K523.24%81.65K523.24%81.65K
Liabilities
Current liabilities
Payables 28.35%1.22M25.75%1.19M19.62%1.11M2.32%996.35K2.32%996.35K-5.25%947.97K-0.87%944.75K8.11%927.82K-5.98%973.77K-5.98%973.77K
-accounts payable 29.35%1.19M26.59%1.16M20.25%1.08M2.51%966.72K2.51%966.72K-5.07%918.2K-0.67%914.49K8.84%899.23K-5.92%943.02K-5.92%943.02K
-Due to related parties current -2.70%28.97K0.12%30.29K-0.06%28.58K-3.63%29.63K-3.63%29.63K-10.64%29.78K-6.41%30.26K-10.84%28.6K-7.80%30.75K-7.80%30.75K
Current accrued expenses 14.11%849.14K22.74%755.91K48.78%667.61K19.18%624.42K19.18%624.42K52.93%744.12K46.54%615.85K10.04%448.72K-41.27%523.94K-41.27%523.94K
Current debt and capital lease obligation 34.72%883.39K15.63%974.66K-32.62%657.45K-47.24%526.64K-47.24%526.64K-42.03%655.74K-17.89%842.88K52.94%975.75K46.78%998.21K46.78%998.21K
-Current debt 35.70%861.07K15.82%951.78K-33.81%636.29K-48.33%505.13K-48.33%505.13K-43.90%634.56K-19.94%821.78K50.67%961.24K43.75%977.61K43.75%977.61K
-Current capital lease obligation 5.37%22.32K8.43%22.88K45.78%21.16K4.37%21.51K4.37%21.51K--21.19K--21.1K--14.52K--20.61K--20.61K
Other current liabilities -3.07%128.43K1,961.99%219.05K63.20%119.07K179.79%423.21K179.79%423.21K134.05%132.5K-95.21%10.62K25.52%72.96K178.98%151.26K178.98%151.26K
Current liabilities 20.51%3.69M25.72%3.76M11.01%3.13M3.11%3.16M3.11%3.16M-1.82%3.06M-1.57%2.99M19.15%2.82M-0.57%3.06M-0.57%3.06M
Non current liabilities
Long term debt and capital lease obligation 95.96%48.87K40.05%43.26K-7.23%36.52K-54.45%19.28K-54.45%19.28K--24.94K--30.89K--39.36K--42.32K--42.32K
-Long term debt --46.93K--35.21K--23.37K----------------------------
-Long term capital lease obligation -92.21%1.94K-73.96%8.04K-66.60%13.15K-54.45%19.28K-54.45%19.28K--24.94K--30.89K--39.36K--42.32K--42.32K
Total non current liabilities 95.96%48.87K40.05%43.26K-7.23%36.52K-54.45%19.28K-54.45%19.28K--24.94K--30.89K--39.36K--42.32K--42.32K
Total liabilities 21.12%3.74M25.87%3.81M10.76%3.17M2.33%3.18M2.33%3.18M-1.02%3.09M-0.56%3.02M20.81%2.86M0.80%3.11M0.80%3.11M
Shareholders'equity
Share capital -95.81%109.71K-97.11%36.17K-97.73%15.46K46.03%7.65K46.03%7.65K2,774.90%2.62M2,054.08%1.25M1,241.71%682.18K-72.50%5.24K-72.50%5.24K
-common stock -95.81%109.71K-97.10%36.17K-97.72%15.46K3,088.33%7.65K3,088.33%7.65K2,941.69%2.62M2,247.63%1.25M1,377.14%677.18K-98.29%240-98.29%240
-Preferred stock --0--0--0--0--0--00.00%5K0.00%5K0.00%5K0.00%5K
Retained earnings -3.85%-66.34M-4.33%-65.8M-4.18%-65.18M-5.08%-64.68M-5.08%-64.68M-5.76%-63.88M-5.65%-63.07M-6.39%-62.56M-5.77%-61.56M-5.77%-61.56M
Paid-in capital 7.30%61.24M5.76%61.02M5.28%60.85M5.14%60.31M5.14%60.31M1.33%57.07M3.74%57.7M4.25%57.8M6.09%57.36M6.09%57.36M
Less: Treasury stock 0.00%46.48K0.00%46.48K0.00%46.48K0.00%46.48K0.00%46.48K0.00%46.48K0.00%46.48K0.00%46.48K0.00%46.48K0.00%46.48K
Gains losses not affecting retained earnings 3.53%1.34M-1.52%1.23M0.56%1.37M4.89%1.29M4.89%1.29M19.06%1.29M9.76%1.25M18.41%1.36M13.76%1.23M13.76%1.23M
Other equity interest -------8.82K---------------------------23.76K---23.76K
Total stockholders'equity -25.77%-3.7M-22.23%-3.56M-8.01%-2.99M-3.09%-3.12M-3.09%-3.12M0.20%-2.94M0.50%-2.92M-19.98%-2.77M1.43%-3.02M1.43%-3.02M
Total equity -25.77%-3.7M-22.23%-3.56M-8.01%-2.99M-3.09%-3.12M-3.09%-3.12M0.20%-2.94M0.50%-2.92M-19.98%-2.77M1.43%-3.02M1.43%-3.02M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
US
Overall
Symbol
Latest Price
%Chg