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RHT Resonance Health Ltd

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  • 0.040
  • 0.0000.00%
20min DelayMarket Closed Apr 24 12:14 AET
18.38MMarket Cap0.00P/E (Static)

Resonance Health 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
7.75%6.85M
7.75%6.85M
-6.21%6.36M
-6.21%6.36M
-23.41%6.78M
-23.41%6.78M
26.99%8.86M
26.99%8.86M
126.35%6.97M
126.35%6.97M
-Cash and cash equivalents
7.75%6.85M
7.75%6.85M
-6.21%6.36M
-6.21%6.36M
-23.41%6.78M
-23.41%6.78M
26.99%8.86M
26.99%8.86M
126.35%6.97M
126.35%6.97M
Receivables
102.86%2.32M
102.86%2.32M
-24.00%1.14M
-24.00%1.14M
90.42%1.51M
90.42%1.51M
3.24%790.38K
3.24%790.38K
15.67%765.61K
15.67%765.61K
-Accounts receivable
112.86%2.35M
112.86%2.35M
5.61%1.1M
5.61%1.1M
32.30%1.05M
32.30%1.05M
3.24%790.38K
3.24%790.38K
15.67%765.61K
15.67%765.61K
-Other receivables
-73.11%10.63K
-73.11%10.63K
-91.39%39.54K
-91.39%39.54K
--459.37K
--459.37K
----
----
----
----
-Recievables adjustments allowances
---40.87K
---40.87K
----
----
----
----
----
----
----
----
Prepaid assets
111.87%109.98K
111.87%109.98K
--51.91K
--51.91K
----
----
----
----
----
----
Other current assets
---3
---3
----
----
38.47%59.55K
38.47%59.55K
7.87%43.01K
7.87%43.01K
9.78%39.87K
9.78%39.87K
Total current assets
22.86%9.29M
22.86%9.29M
-9.47%7.56M
-9.47%7.56M
-13.85%8.35M
-13.85%8.35M
24.56%9.69M
24.56%9.69M
105.84%7.78M
105.84%7.78M
Non current assets
Net PPE
61.19%1.01M
61.19%1.01M
60.95%629.6K
60.95%629.6K
260.83%391.17K
260.83%391.17K
-22.17%108.41K
-22.17%108.41K
243.81%139.28K
243.81%139.28K
-Gross PPE
164.89%1.67M
164.89%1.67M
37.51%629.6K
37.51%629.6K
322.37%457.87K
322.37%457.87K
-22.17%108.41K
-22.17%108.41K
243.81%139.28K
243.81%139.28K
-Accumulated depreciation
---652.9K
---652.9K
----
----
---66.71K
---66.71K
----
----
----
----
Investments and advances
--119.1K
--119.1K
----
----
----
----
----
----
----
----
-Other investment
--119.1K
--119.1K
----
----
----
----
----
----
----
----
Goodwill and other intangible assets
263.53%9.86M
263.53%9.86M
-5.29%2.71M
-5.29%2.71M
10.42%2.87M
10.42%2.87M
2.47%2.59M
2.47%2.59M
-0.73%2.53M
-0.73%2.53M
-Goodwill
--7.26M
--7.26M
----
----
----
----
----
----
----
----
-Other intangible assets
-3.95%2.61M
-3.95%2.61M
-5.29%2.71M
-5.29%2.71M
10.42%2.87M
10.42%2.87M
2.47%2.59M
2.47%2.59M
-0.73%2.53M
-0.73%2.53M
Other non current assets
----
----
0.00%82.89K
0.00%82.89K
80.58%82.89K
80.58%82.89K
0.00%45.9K
0.00%45.9K
0.00%45.9K
0.00%45.9K
Total non current assets
221.02%11M
221.02%11M
2.60%3.43M
2.60%3.43M
21.47%3.34M
21.47%3.34M
1.16%2.75M
1.16%2.75M
3.04%2.72M
3.04%2.72M
Total assets
84.67%20.28M
84.67%20.28M
-6.02%10.98M
-6.02%10.98M
-6.05%11.69M
-6.05%11.69M
18.50%12.44M
18.50%12.44M
63.59%10.5M
63.59%10.5M
Liabilities
Current liabilities
Current debt and capital lease obligation
389.70%491.63K
389.70%491.63K
25.82%100.39K
25.82%100.39K
32.76%79.79K
32.76%79.79K
7.33%60.11K
7.33%60.11K
--56K
--56K
-Current debt
--320K
--320K
----
----
----
----
----
----
----
----
-Current capital lease obligation
70.96%171.63K
70.96%171.63K
25.82%100.39K
25.82%100.39K
32.76%79.79K
32.76%79.79K
7.33%60.11K
7.33%60.11K
--56K
--56K
Payables
73.48%1.27M
73.48%1.27M
5.03%732.38K
5.03%732.38K
41.58%697.27K
41.58%697.27K
27.83%492.51K
27.83%492.51K
-1.92%385.27K
-1.92%385.27K
-accounts payable
107.66%301.77K
107.66%301.77K
-39.62%145.32K
-39.62%145.32K
103.10%240.67K
103.10%240.67K
121.00%118.5K
121.00%118.5K
-41.27%53.62K
-41.27%53.62K
-Other payable
65.02%968.79K
65.02%968.79K
28.57%587.06K
28.57%587.06K
22.08%456.61K
22.08%456.61K
12.77%374.01K
12.77%374.01K
9.99%331.66K
9.99%331.66K
Current provisions
----
----
309.41%31.41K
309.41%31.41K
--7.67K
--7.67K
----
----
----
----
Pension and other retirement benefit plans
--119.78K
--119.78K
----
----
----
----
-64.49%26.92K
-64.49%26.92K
-0.04%75.82K
-0.04%75.82K
Current deferred liabilities
--264.61K
--264.61K
----
----
----
----
132.62%32.2K
132.62%32.2K
-74.55%13.84K
-74.55%13.84K
Other current liabilities
35,652.59%4M
35,652.59%4M
-50.08%11.19K
-50.08%11.19K
--22.41K
--22.41K
----
----
----
----
Current liabilities
602.16%6.15M
602.16%6.15M
8.45%875.37K
8.45%875.37K
31.94%807.15K
31.94%807.15K
15.22%611.74K
15.22%611.74K
1.50%530.93K
1.50%530.93K
Non current liabilities
Long term debt and capital lease obligation
1,757.29%3.2M
1,757.29%3.2M
-8.43%172.55K
-8.43%172.55K
--188.43K
--188.43K
----
----
--60.11K
--60.11K
-Long term debt
--2.85M
--2.85M
----
----
----
----
----
----
----
----
-Long term capital lease obligation
103.67%351.44K
103.67%351.44K
-8.43%172.55K
-8.43%172.55K
--188.43K
--188.43K
----
----
--60.11K
--60.11K
Total non current liabilities
1,757.29%3.2M
1,757.29%3.2M
-8.43%172.55K
-8.43%172.55K
--188.43K
--188.43K
--0
--0
--60.11K
--60.11K
Total liabilities
792.37%9.35M
792.37%9.35M
5.26%1.05M
5.26%1.05M
62.75%995.58K
62.75%995.58K
3.50%611.74K
3.50%611.74K
13.00%591.04K
13.00%591.04K
Shareholders'equity
Share capital
0.38%74.17M
0.38%74.17M
0.00%73.88M
0.00%73.88M
0.00%73.88M
0.00%73.88M
1.82%73.88M
1.82%73.88M
4.15%72.57M
4.15%72.57M
-common stock
0.38%74.17M
0.38%74.17M
0.00%73.88M
0.00%73.88M
0.00%73.88M
0.00%73.88M
1.82%73.88M
1.82%73.88M
4.15%72.57M
4.15%72.57M
Retained earnings
0.26%-65.87M
0.26%-65.87M
-1.20%-66.04M
-1.20%-66.04M
-1.78%-65.26M
-1.78%-65.26M
0.91%-64.12M
0.91%-64.12M
-1.12%-64.71M
-1.12%-64.71M
Gains losses not affecting retained earnings
25.92%2.64M
25.92%2.64M
1.18%2.09M
1.18%2.09M
0.27%2.07M
0.27%2.07M
0.89%2.06M
0.89%2.06M
875.53%2.05M
875.53%2.05M
Total stockholders'equity
10.03%10.93M
10.03%10.93M
-7.07%9.94M
-7.07%9.94M
-9.61%10.69M
-9.61%10.69M
19.40%11.83M
19.40%11.83M
68.08%9.91M
68.08%9.91M
Total equity
10.03%10.93M
10.03%10.93M
-7.07%9.94M
-7.07%9.94M
-9.61%10.69M
-9.61%10.69M
19.40%11.83M
19.40%11.83M
68.08%9.91M
68.08%9.91M
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 7.75%6.85M7.75%6.85M-6.21%6.36M-6.21%6.36M-23.41%6.78M-23.41%6.78M26.99%8.86M26.99%8.86M126.35%6.97M126.35%6.97M
-Cash and cash equivalents 7.75%6.85M7.75%6.85M-6.21%6.36M-6.21%6.36M-23.41%6.78M-23.41%6.78M26.99%8.86M26.99%8.86M126.35%6.97M126.35%6.97M
Receivables 102.86%2.32M102.86%2.32M-24.00%1.14M-24.00%1.14M90.42%1.51M90.42%1.51M3.24%790.38K3.24%790.38K15.67%765.61K15.67%765.61K
-Accounts receivable 112.86%2.35M112.86%2.35M5.61%1.1M5.61%1.1M32.30%1.05M32.30%1.05M3.24%790.38K3.24%790.38K15.67%765.61K15.67%765.61K
-Other receivables -73.11%10.63K-73.11%10.63K-91.39%39.54K-91.39%39.54K--459.37K--459.37K----------------
-Recievables adjustments allowances ---40.87K---40.87K--------------------------------
Prepaid assets 111.87%109.98K111.87%109.98K--51.91K--51.91K------------------------
Other current assets ---3---3--------38.47%59.55K38.47%59.55K7.87%43.01K7.87%43.01K9.78%39.87K9.78%39.87K
Total current assets 22.86%9.29M22.86%9.29M-9.47%7.56M-9.47%7.56M-13.85%8.35M-13.85%8.35M24.56%9.69M24.56%9.69M105.84%7.78M105.84%7.78M
Non current assets
Net PPE 61.19%1.01M61.19%1.01M60.95%629.6K60.95%629.6K260.83%391.17K260.83%391.17K-22.17%108.41K-22.17%108.41K243.81%139.28K243.81%139.28K
-Gross PPE 164.89%1.67M164.89%1.67M37.51%629.6K37.51%629.6K322.37%457.87K322.37%457.87K-22.17%108.41K-22.17%108.41K243.81%139.28K243.81%139.28K
-Accumulated depreciation ---652.9K---652.9K-----------66.71K---66.71K----------------
Investments and advances --119.1K--119.1K--------------------------------
-Other investment --119.1K--119.1K--------------------------------
Goodwill and other intangible assets 263.53%9.86M263.53%9.86M-5.29%2.71M-5.29%2.71M10.42%2.87M10.42%2.87M2.47%2.59M2.47%2.59M-0.73%2.53M-0.73%2.53M
-Goodwill --7.26M--7.26M--------------------------------
-Other intangible assets -3.95%2.61M-3.95%2.61M-5.29%2.71M-5.29%2.71M10.42%2.87M10.42%2.87M2.47%2.59M2.47%2.59M-0.73%2.53M-0.73%2.53M
Other non current assets --------0.00%82.89K0.00%82.89K80.58%82.89K80.58%82.89K0.00%45.9K0.00%45.9K0.00%45.9K0.00%45.9K
Total non current assets 221.02%11M221.02%11M2.60%3.43M2.60%3.43M21.47%3.34M21.47%3.34M1.16%2.75M1.16%2.75M3.04%2.72M3.04%2.72M
Total assets 84.67%20.28M84.67%20.28M-6.02%10.98M-6.02%10.98M-6.05%11.69M-6.05%11.69M18.50%12.44M18.50%12.44M63.59%10.5M63.59%10.5M
Liabilities
Current liabilities
Current debt and capital lease obligation 389.70%491.63K389.70%491.63K25.82%100.39K25.82%100.39K32.76%79.79K32.76%79.79K7.33%60.11K7.33%60.11K--56K--56K
-Current debt --320K--320K--------------------------------
-Current capital lease obligation 70.96%171.63K70.96%171.63K25.82%100.39K25.82%100.39K32.76%79.79K32.76%79.79K7.33%60.11K7.33%60.11K--56K--56K
Payables 73.48%1.27M73.48%1.27M5.03%732.38K5.03%732.38K41.58%697.27K41.58%697.27K27.83%492.51K27.83%492.51K-1.92%385.27K-1.92%385.27K
-accounts payable 107.66%301.77K107.66%301.77K-39.62%145.32K-39.62%145.32K103.10%240.67K103.10%240.67K121.00%118.5K121.00%118.5K-41.27%53.62K-41.27%53.62K
-Other payable 65.02%968.79K65.02%968.79K28.57%587.06K28.57%587.06K22.08%456.61K22.08%456.61K12.77%374.01K12.77%374.01K9.99%331.66K9.99%331.66K
Current provisions --------309.41%31.41K309.41%31.41K--7.67K--7.67K----------------
Pension and other retirement benefit plans --119.78K--119.78K-----------------64.49%26.92K-64.49%26.92K-0.04%75.82K-0.04%75.82K
Current deferred liabilities --264.61K--264.61K----------------132.62%32.2K132.62%32.2K-74.55%13.84K-74.55%13.84K
Other current liabilities 35,652.59%4M35,652.59%4M-50.08%11.19K-50.08%11.19K--22.41K--22.41K----------------
Current liabilities 602.16%6.15M602.16%6.15M8.45%875.37K8.45%875.37K31.94%807.15K31.94%807.15K15.22%611.74K15.22%611.74K1.50%530.93K1.50%530.93K
Non current liabilities
Long term debt and capital lease obligation 1,757.29%3.2M1,757.29%3.2M-8.43%172.55K-8.43%172.55K--188.43K--188.43K----------60.11K--60.11K
-Long term debt --2.85M--2.85M--------------------------------
-Long term capital lease obligation 103.67%351.44K103.67%351.44K-8.43%172.55K-8.43%172.55K--188.43K--188.43K----------60.11K--60.11K
Total non current liabilities 1,757.29%3.2M1,757.29%3.2M-8.43%172.55K-8.43%172.55K--188.43K--188.43K--0--0--60.11K--60.11K
Total liabilities 792.37%9.35M792.37%9.35M5.26%1.05M5.26%1.05M62.75%995.58K62.75%995.58K3.50%611.74K3.50%611.74K13.00%591.04K13.00%591.04K
Shareholders'equity
Share capital 0.38%74.17M0.38%74.17M0.00%73.88M0.00%73.88M0.00%73.88M0.00%73.88M1.82%73.88M1.82%73.88M4.15%72.57M4.15%72.57M
-common stock 0.38%74.17M0.38%74.17M0.00%73.88M0.00%73.88M0.00%73.88M0.00%73.88M1.82%73.88M1.82%73.88M4.15%72.57M4.15%72.57M
Retained earnings 0.26%-65.87M0.26%-65.87M-1.20%-66.04M-1.20%-66.04M-1.78%-65.26M-1.78%-65.26M0.91%-64.12M0.91%-64.12M-1.12%-64.71M-1.12%-64.71M
Gains losses not affecting retained earnings 25.92%2.64M25.92%2.64M1.18%2.09M1.18%2.09M0.27%2.07M0.27%2.07M0.89%2.06M0.89%2.06M875.53%2.05M875.53%2.05M
Total stockholders'equity 10.03%10.93M10.03%10.93M-7.07%9.94M-7.07%9.94M-9.61%10.69M-9.61%10.69M19.40%11.83M19.40%11.83M68.08%9.91M68.08%9.91M
Total equity 10.03%10.93M10.03%10.93M-7.07%9.94M-7.07%9.94M-9.61%10.69M-9.61%10.69M19.40%11.83M19.40%11.83M68.08%9.91M68.08%9.91M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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