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MXO Motio Ltd

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  • 0.028
  • 0.0000.00%
20min DelayNot Open Apr 29 15:37 AET
7.80MMarket Cap-3.50P/E (Static)

Motio Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-24.21%1.12M
-24.21%1.12M
-20.64%1.47M
-20.64%1.47M
-60.68%1.86M
-60.68%1.86M
187.16%4.72M
187.16%4.72M
-25.45%1.64M
-25.45%1.64M
-Cash and cash equivalents
-29.75%989.74K
-29.75%989.74K
-23.42%1.41M
-23.42%1.41M
-59.13%1.84M
-59.13%1.84M
173.62%4.5M
173.62%4.5M
-25.45%1.64M
-25.45%1.64M
-Short term investments
95.33%127.45K
95.33%127.45K
264.09%65.25K
264.09%65.25K
-91.95%17.92K
-91.95%17.92K
--222.6K
--222.6K
----
----
Receivables
24.88%1.92M
24.88%1.92M
17.37%1.53M
17.37%1.53M
-12.80%1.31M
-12.80%1.31M
529.32%1.5M
529.32%1.5M
232.96%238.29K
232.96%238.29K
-Accounts receivable
24.88%1.92M
24.88%1.92M
48.18%1.53M
48.18%1.53M
-30.93%1.04M
-30.93%1.04M
529.32%1.5M
529.32%1.5M
232.96%238.29K
232.96%238.29K
-Other receivables
----
----
----
----
--271.91K
--271.91K
----
----
----
----
Prepaid assets
----
----
----
----
-51.83%50.19K
-51.83%50.19K
98.83%104.19K
98.83%104.19K
0.23%52.4K
0.23%52.4K
Total current assets
0.83%3.03M
0.83%3.03M
-6.42%3.01M
-6.42%3.01M
-49.18%3.22M
-49.18%3.22M
226.89%6.33M
226.89%6.33M
-16.94%1.94M
-16.94%1.94M
Non current assets
Net PPE
-5.65%1.5M
-5.65%1.5M
-14.95%1.59M
-14.95%1.59M
46.38%1.87M
46.38%1.87M
-3.89%1.28M
-3.89%1.28M
38.84%1.33M
38.84%1.33M
-Gross PPE
104.36%3.25M
104.36%3.25M
-61.29%1.59M
-61.29%1.59M
209.80%4.11M
209.80%4.11M
-4.05%1.33M
-4.05%1.33M
44.36%1.38M
44.36%1.38M
-Accumulated depreciation
---1.75M
---1.75M
----
----
-4,499.11%-2.24M
-4,499.11%-2.24M
8.01%-48.64K
8.01%-48.64K
---52.87K
---52.87K
Investments and advances
0.00%1
0.00%1
-100.00%1
-100.00%1
-34.68%25.67K
-34.68%25.67K
96.80%39.3K
96.80%39.3K
-48.55%19.97K
-48.55%19.97K
-Long term equity investment
0.00%1
0.00%1
-100.00%1
-100.00%1
-34.68%25.67K
-34.68%25.67K
96.80%39.3K
96.80%39.3K
-48.55%19.97K
-48.55%19.97K
Goodwill and other intangible assets
-20.56%4.28M
-20.56%4.28M
33.72%5.39M
33.72%5.39M
12.66%4.03M
12.66%4.03M
359.14%3.58M
359.14%3.58M
212.86%778.82K
212.86%778.82K
-Goodwill
--2.73M
--2.73M
----
----
28.66%2.73M
28.66%2.73M
224.46%2.12M
224.46%2.12M
--654.35K
--654.35K
-Other intangible assets
-71.27%1.55M
-71.27%1.55M
315.33%5.39M
315.33%5.39M
-10.71%1.3M
-10.71%1.3M
1,067.18%1.45M
1,067.18%1.45M
-50.00%124.47K
-50.00%124.47K
Other non current assets
-100.00%-1
-100.00%-1
--44.17K
--44.17K
----
----
----
----
----
----
Total non current assets
-17.69%5.78M
-17.69%5.78M
18.53%7.02M
18.53%7.02M
21.08%5.92M
21.08%5.92M
129.98%4.89M
129.98%4.89M
70.92%2.13M
70.92%2.13M
Total assets
-12.13%8.81M
-12.13%8.81M
9.75%10.03M
9.75%10.03M
-18.55%9.14M
-18.55%9.14M
176.15%11.22M
176.15%11.22M
13.65%4.06M
13.65%4.06M
Liabilities
Current liabilities
Current debt and capital lease obligation
424.38%725.33K
424.38%725.33K
23.54%138.32K
23.54%138.32K
10.77%111.96K
10.77%111.96K
-14.86%101.07K
-14.86%101.07K
--118.71K
--118.71K
-Current debt
--602.94K
--602.94K
----
----
----
----
----
----
----
----
-Current capital lease obligation
-11.52%122.39K
-11.52%122.39K
23.54%138.32K
23.54%138.32K
10.77%111.96K
10.77%111.96K
-14.86%101.07K
-14.86%101.07K
--118.71K
--118.71K
Payables
22.40%1.53M
22.40%1.53M
-32.99%1.25M
-32.99%1.25M
-2.71%1.87M
-2.71%1.87M
363.13%1.92M
363.13%1.92M
15.52%414.03K
15.52%414.03K
-accounts payable
-77.02%287.28K
-77.02%287.28K
156.55%1.25M
156.55%1.25M
-11.71%487.26K
-11.71%487.26K
185.79%551.9K
185.79%551.9K
196.54%193.11K
196.54%193.11K
-Other payable
--1.24M
--1.24M
----
----
0.93%1.38M
0.93%1.38M
518.14%1.37M
518.14%1.37M
-24.68%220.92K
-24.68%220.92K
Current provisions
0.04%184.43K
0.04%184.43K
--184.36K
--184.36K
----
----
----
----
----
----
Pension and other retirement benefit plans
----
----
----
----
12.59%129.44K
12.59%129.44K
246.49%114.96K
246.49%114.96K
--33.18K
--33.18K
Current deferred liabilities
--13.72K
--13.72K
----
----
----
----
----
----
----
----
Other current liabilities
----
----
--408.81K
--408.81K
----
----
----
----
----
----
Current liabilities
23.82%2.45M
23.82%2.45M
-5.95%1.98M
-5.95%1.98M
-1.25%2.11M
-1.25%2.11M
277.00%2.13M
277.00%2.13M
57.90%565.92K
57.90%565.92K
Non current liabilities
Long term debt and capital lease obligation
--1.9M
--1.9M
----
----
-48.22%138.05K
-48.22%138.05K
36.76%266.61K
36.76%266.61K
--194.95K
--194.95K
-Long term debt
--1.6M
--1.6M
----
----
----
----
----
----
----
----
-Long term capital lease obligation
--302.08K
--302.08K
----
----
-48.22%138.05K
-48.22%138.05K
36.76%266.61K
36.76%266.61K
--194.95K
--194.95K
Long term accounts payable and other payables
----
----
-44.59%152.33K
-44.59%152.33K
--274.91K
--274.91K
----
----
----
----
Long term provisions
70.78%42.7K
70.78%42.7K
--25K
--25K
----
----
----
----
----
----
Non current deferred liabilities
----
----
-33.95%191.73K
-33.95%191.73K
41.38%290.28K
41.38%290.28K
449.77%205.31K
449.77%205.31K
-50.00%37.35K
-50.00%37.35K
Other non current liabilities
----
----
--1.96M
--1.96M
----
----
----
----
----
----
Total non current liabilities
-16.71%1.94M
-16.71%1.94M
231.29%2.33M
231.29%2.33M
49.02%703.24K
49.02%703.24K
103.15%471.92K
103.15%471.92K
211.04%232.3K
211.04%232.3K
Total liabilities
1.92%4.39M
1.92%4.39M
53.42%4.31M
53.42%4.31M
7.86%2.81M
7.86%2.81M
226.41%2.61M
226.41%2.61M
84.30%798.22K
84.30%798.22K
Shareholders'equity
Share capital
0.97%23.11M
0.97%23.11M
2.86%22.88M
2.86%22.88M
3.57%22.25M
3.57%22.25M
33.91%21.48M
33.91%21.48M
0.94%16.04M
0.94%16.04M
-common stock
0.97%23.11M
0.97%23.11M
2.86%22.88M
2.86%22.88M
3.57%22.25M
3.57%22.25M
33.91%21.48M
33.91%21.48M
0.94%16.04M
0.94%16.04M
Retained earnings
-9.57%-20.36M
-9.57%-20.36M
-9.71%-18.58M
-9.71%-18.58M
-27.74%-16.93M
-27.74%-16.93M
-3.50%-13.26M
-3.50%-13.26M
1.16%-12.81M
1.16%-12.81M
Gains losses not affecting retained earnings
18.11%1.67M
18.11%1.67M
39.19%1.41M
39.19%1.41M
160.95%1.01M
160.95%1.01M
1,158.62%388.47K
1,158.62%388.47K
-85.15%30.87K
-85.15%30.87K
Total stockholders'equity
-22.72%4.42M
-22.72%4.42M
-9.64%5.72M
-9.64%5.72M
-26.53%6.33M
-26.53%6.33M
163.86%8.61M
163.86%8.61M
3.91%3.26M
3.91%3.26M
Total equity
-22.72%4.42M
-22.72%4.42M
-9.64%5.72M
-9.64%5.72M
-26.53%6.33M
-26.53%6.33M
163.86%8.61M
163.86%8.61M
3.91%3.26M
3.91%3.26M
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, 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(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -24.21%1.12M-24.21%1.12M-20.64%1.47M-20.64%1.47M-60.68%1.86M-60.68%1.86M187.16%4.72M187.16%4.72M-25.45%1.64M-25.45%1.64M
-Cash and cash equivalents -29.75%989.74K-29.75%989.74K-23.42%1.41M-23.42%1.41M-59.13%1.84M-59.13%1.84M173.62%4.5M173.62%4.5M-25.45%1.64M-25.45%1.64M
-Short term investments 95.33%127.45K95.33%127.45K264.09%65.25K264.09%65.25K-91.95%17.92K-91.95%17.92K--222.6K--222.6K--------
Receivables 24.88%1.92M24.88%1.92M17.37%1.53M17.37%1.53M-12.80%1.31M-12.80%1.31M529.32%1.5M529.32%1.5M232.96%238.29K232.96%238.29K
-Accounts receivable 24.88%1.92M24.88%1.92M48.18%1.53M48.18%1.53M-30.93%1.04M-30.93%1.04M529.32%1.5M529.32%1.5M232.96%238.29K232.96%238.29K
-Other receivables ------------------271.91K--271.91K----------------
Prepaid assets -----------------51.83%50.19K-51.83%50.19K98.83%104.19K98.83%104.19K0.23%52.4K0.23%52.4K
Total current assets 0.83%3.03M0.83%3.03M-6.42%3.01M-6.42%3.01M-49.18%3.22M-49.18%3.22M226.89%6.33M226.89%6.33M-16.94%1.94M-16.94%1.94M
Non current assets
Net PPE -5.65%1.5M-5.65%1.5M-14.95%1.59M-14.95%1.59M46.38%1.87M46.38%1.87M-3.89%1.28M-3.89%1.28M38.84%1.33M38.84%1.33M
-Gross PPE 104.36%3.25M104.36%3.25M-61.29%1.59M-61.29%1.59M209.80%4.11M209.80%4.11M-4.05%1.33M-4.05%1.33M44.36%1.38M44.36%1.38M
-Accumulated depreciation ---1.75M---1.75M---------4,499.11%-2.24M-4,499.11%-2.24M8.01%-48.64K8.01%-48.64K---52.87K---52.87K
Investments and advances 0.00%10.00%1-100.00%1-100.00%1-34.68%25.67K-34.68%25.67K96.80%39.3K96.80%39.3K-48.55%19.97K-48.55%19.97K
-Long term equity investment 0.00%10.00%1-100.00%1-100.00%1-34.68%25.67K-34.68%25.67K96.80%39.3K96.80%39.3K-48.55%19.97K-48.55%19.97K
Goodwill and other intangible assets -20.56%4.28M-20.56%4.28M33.72%5.39M33.72%5.39M12.66%4.03M12.66%4.03M359.14%3.58M359.14%3.58M212.86%778.82K212.86%778.82K
-Goodwill --2.73M--2.73M--------28.66%2.73M28.66%2.73M224.46%2.12M224.46%2.12M--654.35K--654.35K
-Other intangible assets -71.27%1.55M-71.27%1.55M315.33%5.39M315.33%5.39M-10.71%1.3M-10.71%1.3M1,067.18%1.45M1,067.18%1.45M-50.00%124.47K-50.00%124.47K
Other non current assets -100.00%-1-100.00%-1--44.17K--44.17K------------------------
Total non current assets -17.69%5.78M-17.69%5.78M18.53%7.02M18.53%7.02M21.08%5.92M21.08%5.92M129.98%4.89M129.98%4.89M70.92%2.13M70.92%2.13M
Total assets -12.13%8.81M-12.13%8.81M9.75%10.03M9.75%10.03M-18.55%9.14M-18.55%9.14M176.15%11.22M176.15%11.22M13.65%4.06M13.65%4.06M
Liabilities
Current liabilities
Current debt and capital lease obligation 424.38%725.33K424.38%725.33K23.54%138.32K23.54%138.32K10.77%111.96K10.77%111.96K-14.86%101.07K-14.86%101.07K--118.71K--118.71K
-Current debt --602.94K--602.94K--------------------------------
-Current capital lease obligation -11.52%122.39K-11.52%122.39K23.54%138.32K23.54%138.32K10.77%111.96K10.77%111.96K-14.86%101.07K-14.86%101.07K--118.71K--118.71K
Payables 22.40%1.53M22.40%1.53M-32.99%1.25M-32.99%1.25M-2.71%1.87M-2.71%1.87M363.13%1.92M363.13%1.92M15.52%414.03K15.52%414.03K
-accounts payable -77.02%287.28K-77.02%287.28K156.55%1.25M156.55%1.25M-11.71%487.26K-11.71%487.26K185.79%551.9K185.79%551.9K196.54%193.11K196.54%193.11K
-Other payable --1.24M--1.24M--------0.93%1.38M0.93%1.38M518.14%1.37M518.14%1.37M-24.68%220.92K-24.68%220.92K
Current provisions 0.04%184.43K0.04%184.43K--184.36K--184.36K------------------------
Pension and other retirement benefit plans ----------------12.59%129.44K12.59%129.44K246.49%114.96K246.49%114.96K--33.18K--33.18K
Current deferred liabilities --13.72K--13.72K--------------------------------
Other current liabilities ----------408.81K--408.81K------------------------
Current liabilities 23.82%2.45M23.82%2.45M-5.95%1.98M-5.95%1.98M-1.25%2.11M-1.25%2.11M277.00%2.13M277.00%2.13M57.90%565.92K57.90%565.92K
Non current liabilities
Long term debt and capital lease obligation --1.9M--1.9M---------48.22%138.05K-48.22%138.05K36.76%266.61K36.76%266.61K--194.95K--194.95K
-Long term debt --1.6M--1.6M--------------------------------
-Long term capital lease obligation --302.08K--302.08K---------48.22%138.05K-48.22%138.05K36.76%266.61K36.76%266.61K--194.95K--194.95K
Long term accounts payable and other payables ---------44.59%152.33K-44.59%152.33K--274.91K--274.91K----------------
Long term provisions 70.78%42.7K70.78%42.7K--25K--25K------------------------
Non current deferred liabilities ---------33.95%191.73K-33.95%191.73K41.38%290.28K41.38%290.28K449.77%205.31K449.77%205.31K-50.00%37.35K-50.00%37.35K
Other non current liabilities ----------1.96M--1.96M------------------------
Total non current liabilities -16.71%1.94M-16.71%1.94M231.29%2.33M231.29%2.33M49.02%703.24K49.02%703.24K103.15%471.92K103.15%471.92K211.04%232.3K211.04%232.3K
Total liabilities 1.92%4.39M1.92%4.39M53.42%4.31M53.42%4.31M7.86%2.81M7.86%2.81M226.41%2.61M226.41%2.61M84.30%798.22K84.30%798.22K
Shareholders'equity
Share capital 0.97%23.11M0.97%23.11M2.86%22.88M2.86%22.88M3.57%22.25M3.57%22.25M33.91%21.48M33.91%21.48M0.94%16.04M0.94%16.04M
-common stock 0.97%23.11M0.97%23.11M2.86%22.88M2.86%22.88M3.57%22.25M3.57%22.25M33.91%21.48M33.91%21.48M0.94%16.04M0.94%16.04M
Retained earnings -9.57%-20.36M-9.57%-20.36M-9.71%-18.58M-9.71%-18.58M-27.74%-16.93M-27.74%-16.93M-3.50%-13.26M-3.50%-13.26M1.16%-12.81M1.16%-12.81M
Gains losses not affecting retained earnings 18.11%1.67M18.11%1.67M39.19%1.41M39.19%1.41M160.95%1.01M160.95%1.01M1,158.62%388.47K1,158.62%388.47K-85.15%30.87K-85.15%30.87K
Total stockholders'equity -22.72%4.42M-22.72%4.42M-9.64%5.72M-9.64%5.72M-26.53%6.33M-26.53%6.33M163.86%8.61M163.86%8.61M3.91%3.26M3.91%3.26M
Total equity -22.72%4.42M-22.72%4.42M-9.64%5.72M-9.64%5.72M-26.53%6.33M-26.53%6.33M163.86%8.61M163.86%8.61M3.91%3.26M3.91%3.26M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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