AU Stock MarketDetailed Quotes

SW1 Swift Networks Group Ltd

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  • 0.024
  • 0.0000.00%
20min DelayMarket Closed May 28 10:09 AET
15.53MMarket Cap-3428P/E (Static)

Swift Networks Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q4)Jun 30, 2020
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-44.72%2.07M
-44.72%2.07M
-3.28%3.75M
-3.28%3.75M
58.37%3.88M
58.37%3.88M
479.06%2.45M
479.06%2.45M
-86.80%422.77K
-86.80%422.77K
-Cash and cash equivalents
-44.72%2.07M
-44.72%2.07M
-3.28%3.75M
-3.28%3.75M
58.37%3.88M
58.37%3.88M
479.06%2.45M
479.06%2.45M
-86.80%422.77K
-86.80%422.77K
-Accounts receivable
36.05%2.9M
36.05%2.9M
-15.16%2.13M
-15.16%2.13M
-50.95%2.51M
-50.95%2.51M
5.25%5.13M
5.25%5.13M
43.18%4.87M
43.18%4.87M
-Notes receivable
21.21%40K
21.21%40K
17.86%33K
17.86%33K
-38.53%28K
-38.53%28K
155.69%45.55K
155.69%45.55K
--17.82K
--17.82K
-Other receivables
34.29%3.03M
34.29%3.03M
-33.17%2.26M
-33.17%2.26M
-3.06%3.38M
-3.06%3.38M
-16.73%3.48M
-16.73%3.48M
92.63%4.18M
92.63%4.18M
Total current assets
-4.58%7.4M
-4.58%7.4M
-8.13%7.76M
-8.13%7.76M
3.66%8.44M
3.66%8.44M
21.09%8.14M
21.09%8.14M
-19.14%6.72M
-19.14%6.72M
Non current assets
-Accumulated depreciation
-6.24%-6.57M
-6.24%-6.57M
-1.91%-6.19M
-1.91%-6.19M
29.73%-6.07M
29.73%-6.07M
-17.43%-8.64M
-17.43%-8.64M
-76.12%-7.35M
-76.12%-7.35M
Investment properties
-33.83%622K
-33.83%622K
-62.02%940K
-62.02%940K
--2.48M
--2.48M
----
----
----
----
-Long term equity investment
897.86%7M
897.86%7M
-89.33%701K
-89.33%701K
-25.04%6.57M
-25.04%6.57M
366.49%8.76M
366.49%8.76M
--1.88M
--1.88M
Non current note receivables
----
----
----
----
----
----
-54.79%1.53M
-54.79%1.53M
308.97%3.38M
308.97%3.38M
-Goodwill
19.76%2.37M
19.76%2.37M
15.73%1.98M
15.73%1.98M
-64.03%1.71M
-64.03%1.71M
-75.19%4.75M
-75.19%4.75M
45.52%19.16M
45.52%19.16M
Regulatory assets
27.63%3.21M
27.63%3.21M
-18.65%2.51M
-18.65%2.51M
-17.62%3.09M
-17.62%3.09M
-28.95%3.75M
-28.95%3.75M
53.03%5.28M
53.03%5.28M
Non current deferred assets
----
----
-78.15%144K
-78.15%144K
-51.12%659K
-51.12%659K
-61.51%1.35M
-61.51%1.35M
224.32%3.5M
224.32%3.5M
Liabilities
Current liabilities
Current debt and capital lease obligation
-97.40%192K
-97.40%192K
15,627.66%7.39M
15,627.66%7.39M
-96.38%47K
-96.38%47K
-64.71%1.3M
-64.71%1.3M
--3.68M
--3.68M
-Current debt
----
----
--7.24M
--7.24M
----
----
----
----
--2.46M
--2.46M
-Current capital lease obligation
24.68%192K
24.68%192K
227.66%154K
227.66%154K
-96.38%47K
-96.38%47K
6.17%1.3M
6.17%1.3M
--1.22M
--1.22M
-accounts payable
2.97%3.15M
2.97%3.15M
9.43%3.06M
9.43%3.06M
-45.18%2.8M
-45.18%2.8M
30.03%5.11M
30.03%5.11M
4.68%3.93M
4.68%3.93M
-Total tax payable
869.86%8.11M
869.86%8.11M
-87.41%836K
-87.41%836K
-38.39%6.64M
-38.39%6.64M
-1.72%10.78M
-1.72%10.78M
632.06%10.97M
632.06%10.97M
-Other payable
----
----
-73.77%16K
-73.77%16K
-88.15%61K
-88.15%61K
13.20%514.65K
13.20%514.65K
--454.63K
--454.63K
Current provisions
--7K
--7K
----
----
----
----
----
----
----
----
Current liabilities
-36.30%9.12M
-36.30%9.12M
90.94%14.32M
90.94%14.32M
-35.05%7.5M
-35.05%7.5M
-33.93%11.54M
-33.93%11.54M
9.74%17.47M
9.74%17.47M
Non current liabilities
-Long term debt
-17.69%577K
-17.69%577K
--701K
--701K
----
----
-2.15%1.84M
-2.15%1.84M
--1.88M
--1.88M
Non current accrued expenses
-21.45%1.12M
-21.45%1.12M
26.75%1.43M
26.75%1.43M
-78.92%1.13M
-78.92%1.13M
-5.33%5.36M
-5.33%5.36M
199.93%5.66M
199.93%5.66M
Long term provisions
--6.42M
--6.42M
----
----
-5.15%6.57M
-5.15%6.57M
--6.92M
--6.92M
----
----
Employee benefits
21.21%40K
21.21%40K
17.86%33K
17.86%33K
-38.53%28K
-38.53%28K
155.69%45.55K
155.69%45.55K
--17.82K
--17.82K
Regulatory liabilities
97.41%-3K
97.41%-3K
0.00%-116K
0.00%-116K
93.07%-116K
93.07%-116K
---1.67M
---1.67M
----
----
Trust preferred securities
-33.83%622K
-33.83%622K
-62.02%940K
-62.02%940K
--2.48M
--2.48M
----
----
----
----
Preferred securities outside stock equity
7.64%578K
7.64%578K
-7.57%537K
-7.57%537K
21.43%581K
21.43%581K
-25.15%478.45K
-25.15%478.45K
--639.18K
--639.18K
Total non current liabilities
13.70%17.23M
13.70%17.23M
7.16%15.15M
7.16%15.15M
-36.67%14.14M
-36.67%14.14M
-21.50%22.32M
-21.50%22.32M
63.28%28.44M
63.28%28.44M
Shareholders'equity
Share capital
0.00%61.63M
0.00%61.63M
0.00%61.63M
0.00%61.63M
8.47%61.63M
8.47%61.63M
20.81%56.81M
20.81%56.81M
22.35%47.03M
22.35%47.03M
-common stock
0.00%61.63M
0.00%61.63M
0.00%61.63M
0.00%61.63M
8.47%61.63M
8.47%61.63M
20.81%56.81M
20.81%56.81M
22.35%47.03M
22.35%47.03M
Gains losses not affecting retained earnings
19.99%6.92M
19.99%6.92M
8.07%5.77M
8.07%5.77M
22.20%5.34M
22.20%5.34M
20.37%4.37M
20.37%4.37M
46.92%3.63M
46.92%3.63M
Other equity interest
1.41%646K
1.41%646K
-1.55%637K
-1.55%637K
-32.10%647K
-32.10%647K
92.68%952.93K
92.68%952.93K
-18.32%494.57K
-18.32%494.57K
Total equity
-6.11%11.52M
-6.11%11.52M
-15.27%12.27M
-15.27%12.27M
-33.12%14.48M
-33.12%14.48M
-44.33%21.64M
-44.33%21.64M
53.82%38.88M
53.82%38.88M
(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(Q4)Jun 30, 2020(FY)Jun 30, 2019(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -44.72%2.07M-44.72%2.07M-3.28%3.75M-3.28%3.75M58.37%3.88M58.37%3.88M479.06%2.45M479.06%2.45M-86.80%422.77K-86.80%422.77K
-Cash and cash equivalents -44.72%2.07M-44.72%2.07M-3.28%3.75M-3.28%3.75M58.37%3.88M58.37%3.88M479.06%2.45M479.06%2.45M-86.80%422.77K-86.80%422.77K
-Accounts receivable 36.05%2.9M36.05%2.9M-15.16%2.13M-15.16%2.13M-50.95%2.51M-50.95%2.51M5.25%5.13M5.25%5.13M43.18%4.87M43.18%4.87M
-Notes receivable 21.21%40K21.21%40K17.86%33K17.86%33K-38.53%28K-38.53%28K155.69%45.55K155.69%45.55K--17.82K--17.82K
-Other receivables 34.29%3.03M34.29%3.03M-33.17%2.26M-33.17%2.26M-3.06%3.38M-3.06%3.38M-16.73%3.48M-16.73%3.48M92.63%4.18M92.63%4.18M
Total current assets -4.58%7.4M-4.58%7.4M-8.13%7.76M-8.13%7.76M3.66%8.44M3.66%8.44M21.09%8.14M21.09%8.14M-19.14%6.72M-19.14%6.72M
Non current assets
-Accumulated depreciation -6.24%-6.57M-6.24%-6.57M-1.91%-6.19M-1.91%-6.19M29.73%-6.07M29.73%-6.07M-17.43%-8.64M-17.43%-8.64M-76.12%-7.35M-76.12%-7.35M
Investment properties -33.83%622K-33.83%622K-62.02%940K-62.02%940K--2.48M--2.48M----------------
-Long term equity investment 897.86%7M897.86%7M-89.33%701K-89.33%701K-25.04%6.57M-25.04%6.57M366.49%8.76M366.49%8.76M--1.88M--1.88M
Non current note receivables -------------------------54.79%1.53M-54.79%1.53M308.97%3.38M308.97%3.38M
-Goodwill 19.76%2.37M19.76%2.37M15.73%1.98M15.73%1.98M-64.03%1.71M-64.03%1.71M-75.19%4.75M-75.19%4.75M45.52%19.16M45.52%19.16M
Regulatory assets 27.63%3.21M27.63%3.21M-18.65%2.51M-18.65%2.51M-17.62%3.09M-17.62%3.09M-28.95%3.75M-28.95%3.75M53.03%5.28M53.03%5.28M
Non current deferred assets ---------78.15%144K-78.15%144K-51.12%659K-51.12%659K-61.51%1.35M-61.51%1.35M224.32%3.5M224.32%3.5M
Liabilities
Current liabilities
Current debt and capital lease obligation -97.40%192K-97.40%192K15,627.66%7.39M15,627.66%7.39M-96.38%47K-96.38%47K-64.71%1.3M-64.71%1.3M--3.68M--3.68M
-Current debt ----------7.24M--7.24M------------------2.46M--2.46M
-Current capital lease obligation 24.68%192K24.68%192K227.66%154K227.66%154K-96.38%47K-96.38%47K6.17%1.3M6.17%1.3M--1.22M--1.22M
-accounts payable 2.97%3.15M2.97%3.15M9.43%3.06M9.43%3.06M-45.18%2.8M-45.18%2.8M30.03%5.11M30.03%5.11M4.68%3.93M4.68%3.93M
-Total tax payable 869.86%8.11M869.86%8.11M-87.41%836K-87.41%836K-38.39%6.64M-38.39%6.64M-1.72%10.78M-1.72%10.78M632.06%10.97M632.06%10.97M
-Other payable ---------73.77%16K-73.77%16K-88.15%61K-88.15%61K13.20%514.65K13.20%514.65K--454.63K--454.63K
Current provisions --7K--7K--------------------------------
Current liabilities -36.30%9.12M-36.30%9.12M90.94%14.32M90.94%14.32M-35.05%7.5M-35.05%7.5M-33.93%11.54M-33.93%11.54M9.74%17.47M9.74%17.47M
Non current liabilities
-Long term debt -17.69%577K-17.69%577K--701K--701K---------2.15%1.84M-2.15%1.84M--1.88M--1.88M
Non current accrued expenses -21.45%1.12M-21.45%1.12M26.75%1.43M26.75%1.43M-78.92%1.13M-78.92%1.13M-5.33%5.36M-5.33%5.36M199.93%5.66M199.93%5.66M
Long term provisions --6.42M--6.42M---------5.15%6.57M-5.15%6.57M--6.92M--6.92M--------
Employee benefits 21.21%40K21.21%40K17.86%33K17.86%33K-38.53%28K-38.53%28K155.69%45.55K155.69%45.55K--17.82K--17.82K
Regulatory liabilities 97.41%-3K97.41%-3K0.00%-116K0.00%-116K93.07%-116K93.07%-116K---1.67M---1.67M--------
Trust preferred securities -33.83%622K-33.83%622K-62.02%940K-62.02%940K--2.48M--2.48M----------------
Preferred securities outside stock equity 7.64%578K7.64%578K-7.57%537K-7.57%537K21.43%581K21.43%581K-25.15%478.45K-25.15%478.45K--639.18K--639.18K
Total non current liabilities 13.70%17.23M13.70%17.23M7.16%15.15M7.16%15.15M-36.67%14.14M-36.67%14.14M-21.50%22.32M-21.50%22.32M63.28%28.44M63.28%28.44M
Shareholders'equity
Share capital 0.00%61.63M0.00%61.63M0.00%61.63M0.00%61.63M8.47%61.63M8.47%61.63M20.81%56.81M20.81%56.81M22.35%47.03M22.35%47.03M
-common stock 0.00%61.63M0.00%61.63M0.00%61.63M0.00%61.63M8.47%61.63M8.47%61.63M20.81%56.81M20.81%56.81M22.35%47.03M22.35%47.03M
Gains losses not affecting retained earnings 19.99%6.92M19.99%6.92M8.07%5.77M8.07%5.77M22.20%5.34M22.20%5.34M20.37%4.37M20.37%4.37M46.92%3.63M46.92%3.63M
Other equity interest 1.41%646K1.41%646K-1.55%637K-1.55%637K-32.10%647K-32.10%647K92.68%952.93K92.68%952.93K-18.32%494.57K-18.32%494.57K
Total equity -6.11%11.52M-6.11%11.52M-15.27%12.27M-15.27%12.27M-33.12%14.48M-33.12%14.48M-44.33%21.64M-44.33%21.64M53.82%38.88M53.82%38.88M

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