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SHO Sportshero Ltd

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  • 0.023
  • +0.001+4.55%
20min DelayMarket Closed Apr 29 16:00 AET
16.82MMarket Cap-11.50P/E (Static)

Sportshero 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
-80.28%26.72K
-80.28%26.72K
-92.31%135.46K
-92.31%135.46K
27.91%1.76M
27.91%1.76M
790.92%1.38M
790.92%1.38M
465.31%154.59K
465.31%154.59K
-Cash and cash equivalents
-80.28%26.72K
-80.28%26.72K
-92.31%135.46K
-92.31%135.46K
27.91%1.76M
27.91%1.76M
790.92%1.38M
790.92%1.38M
465.31%154.59K
465.31%154.59K
Receivables
-79.65%8.77K
-79.65%8.77K
1,300.39%43.08K
1,300.39%43.08K
58.39%3.08K
58.39%3.08K
-98.68%1.94K
-98.68%1.94K
121.43%147.66K
121.43%147.66K
-Other receivables
-79.65%8.77K
-79.65%8.77K
1,300.39%43.08K
1,300.39%43.08K
58.39%3.08K
58.39%3.08K
-98.68%1.94K
-98.68%1.94K
121.43%147.66K
121.43%147.66K
Total current assets
-80.13%35.48K
-80.13%35.48K
-89.88%178.54K
-89.88%178.54K
27.95%1.76M
27.95%1.76M
356.32%1.38M
356.32%1.38M
221.44%302.24K
221.44%302.24K
Non current assets
Net PPE
-90.41%2.41K
-90.41%2.41K
1,084.97%25.15K
1,084.97%25.15K
-0.38%2.12K
-0.38%2.12K
-90.05%2.13K
-90.05%2.13K
1,321.17%21.42K
1,321.17%21.42K
-Gross PPE
-90.41%2.41K
-90.41%2.41K
1,084.97%25.15K
1,084.97%25.15K
-0.38%2.12K
-0.38%2.12K
-90.05%2.13K
-90.05%2.13K
1,321.17%21.42K
1,321.17%21.42K
Total non current assets
-90.41%2.41K
-90.41%2.41K
1,084.97%25.15K
1,084.97%25.15K
-0.38%2.12K
-0.38%2.12K
-90.05%2.13K
-90.05%2.13K
-87.13%21.42K
-87.13%21.42K
Total assets
-81.40%37.9K
-81.40%37.9K
-88.47%203.68K
-88.47%203.68K
27.91%1.77M
27.91%1.77M
326.78%1.38M
326.78%1.38M
24.29%323.66K
24.29%323.66K
Liabilities
Current liabilities
Current debt and capital lease obligation
-5.56%317.05K
-5.56%317.05K
--335.7K
--335.7K
----
----
----
----
--223.35K
--223.35K
-Current debt
-4.36%317.05K
-4.36%317.05K
--331.5K
--331.5K
----
----
----
----
--206.05K
--206.05K
-Current capital lease obligation
----
----
--4.2K
--4.2K
----
----
----
----
--17.31K
--17.31K
Payables
-27.03%221.91K
-27.03%221.91K
66.93%304.11K
66.93%304.11K
32.65%182.18K
32.65%182.18K
-76.59%137.34K
-76.59%137.34K
-52.93%586.71K
-52.93%586.71K
-accounts payable
-27.03%221.91K
-27.03%221.91K
66.93%304.11K
66.93%304.11K
32.65%182.18K
32.65%182.18K
-31.86%137.34K
-31.86%137.34K
-83.83%201.55K
-83.83%201.55K
-Other payable
----
----
----
----
----
----
----
----
--385.15K
--385.15K
Current liabilities
-15.76%538.96K
-15.76%538.96K
251.20%639.81K
251.20%639.81K
32.65%182.18K
32.65%182.18K
-83.05%137.34K
-83.05%137.34K
-35.01%810.06K
-35.01%810.06K
Non current liabilities
Long term debt and capital lease obligation
0.00%13.68K
0.00%13.68K
--13.68K
--13.68K
----
----
----
----
----
----
-Long term capital lease obligation
0.00%13.68K
0.00%13.68K
--13.68K
--13.68K
----
----
----
----
----
----
Total non current liabilities
0.00%13.68K
0.00%13.68K
--13.68K
--13.68K
--0
--0
--0
--0
--0
--0
Total liabilities
-15.43%552.64K
-15.43%552.64K
258.71%653.49K
258.71%653.49K
32.65%182.18K
32.65%182.18K
-83.05%137.34K
-83.05%137.34K
-35.01%810.06K
-35.01%810.06K
Shareholders'equity
Share capital
3.48%16.87M
3.48%16.87M
0.57%16.3M
0.57%16.3M
14.44%16.21M
14.44%16.21M
20.18%14.16M
20.18%14.16M
16.71%11.78M
16.71%11.78M
-common stock
3.48%16.87M
3.48%16.87M
0.57%16.3M
0.57%16.3M
14.44%16.21M
14.44%16.21M
20.18%14.16M
20.18%14.16M
16.71%11.78M
16.71%11.78M
Retained earnings
-3.29%-17.26M
-3.29%-17.26M
-7.92%-16.71M
-7.92%-16.71M
-12.51%-15.48M
-12.51%-15.48M
-9.26%-13.76M
-9.26%-13.76M
-14.30%-12.6M
-14.30%-12.6M
Gains losses not affecting retained earnings
-208.02%-122.71K
-208.02%-122.71K
-104.63%-39.84K
-104.63%-39.84K
1.99%860.81K
1.99%860.81K
160.07%844.04K
160.07%844.04K
606.41%324.55K
606.41%324.55K
Total stockholders'equity
-14.44%-514.74K
-14.44%-514.74K
-128.39%-449.81K
-128.39%-449.81K
27.38%1.58M
27.38%1.58M
355.75%1.24M
355.75%1.24M
50.67%-486.4K
50.67%-486.4K
Total equity
-14.44%-514.74K
-14.44%-514.74K
-128.39%-449.81K
-128.39%-449.81K
27.38%1.58M
27.38%1.58M
355.75%1.24M
355.75%1.24M
50.67%-486.4K
50.67%-486.4K
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 -80.28%26.72K-80.28%26.72K-92.31%135.46K-92.31%135.46K27.91%1.76M27.91%1.76M790.92%1.38M790.92%1.38M465.31%154.59K465.31%154.59K
-Cash and cash equivalents -80.28%26.72K-80.28%26.72K-92.31%135.46K-92.31%135.46K27.91%1.76M27.91%1.76M790.92%1.38M790.92%1.38M465.31%154.59K465.31%154.59K
Receivables -79.65%8.77K-79.65%8.77K1,300.39%43.08K1,300.39%43.08K58.39%3.08K58.39%3.08K-98.68%1.94K-98.68%1.94K121.43%147.66K121.43%147.66K
-Other receivables -79.65%8.77K-79.65%8.77K1,300.39%43.08K1,300.39%43.08K58.39%3.08K58.39%3.08K-98.68%1.94K-98.68%1.94K121.43%147.66K121.43%147.66K
Total current assets -80.13%35.48K-80.13%35.48K-89.88%178.54K-89.88%178.54K27.95%1.76M27.95%1.76M356.32%1.38M356.32%1.38M221.44%302.24K221.44%302.24K
Non current assets
Net PPE -90.41%2.41K-90.41%2.41K1,084.97%25.15K1,084.97%25.15K-0.38%2.12K-0.38%2.12K-90.05%2.13K-90.05%2.13K1,321.17%21.42K1,321.17%21.42K
-Gross PPE -90.41%2.41K-90.41%2.41K1,084.97%25.15K1,084.97%25.15K-0.38%2.12K-0.38%2.12K-90.05%2.13K-90.05%2.13K1,321.17%21.42K1,321.17%21.42K
Total non current assets -90.41%2.41K-90.41%2.41K1,084.97%25.15K1,084.97%25.15K-0.38%2.12K-0.38%2.12K-90.05%2.13K-90.05%2.13K-87.13%21.42K-87.13%21.42K
Total assets -81.40%37.9K-81.40%37.9K-88.47%203.68K-88.47%203.68K27.91%1.77M27.91%1.77M326.78%1.38M326.78%1.38M24.29%323.66K24.29%323.66K
Liabilities
Current liabilities
Current debt and capital lease obligation -5.56%317.05K-5.56%317.05K--335.7K--335.7K------------------223.35K--223.35K
-Current debt -4.36%317.05K-4.36%317.05K--331.5K--331.5K------------------206.05K--206.05K
-Current capital lease obligation ----------4.2K--4.2K------------------17.31K--17.31K
Payables -27.03%221.91K-27.03%221.91K66.93%304.11K66.93%304.11K32.65%182.18K32.65%182.18K-76.59%137.34K-76.59%137.34K-52.93%586.71K-52.93%586.71K
-accounts payable -27.03%221.91K-27.03%221.91K66.93%304.11K66.93%304.11K32.65%182.18K32.65%182.18K-31.86%137.34K-31.86%137.34K-83.83%201.55K-83.83%201.55K
-Other payable ----------------------------------385.15K--385.15K
Current liabilities -15.76%538.96K-15.76%538.96K251.20%639.81K251.20%639.81K32.65%182.18K32.65%182.18K-83.05%137.34K-83.05%137.34K-35.01%810.06K-35.01%810.06K
Non current liabilities
Long term debt and capital lease obligation 0.00%13.68K0.00%13.68K--13.68K--13.68K------------------------
-Long term capital lease obligation 0.00%13.68K0.00%13.68K--13.68K--13.68K------------------------
Total non current liabilities 0.00%13.68K0.00%13.68K--13.68K--13.68K--0--0--0--0--0--0
Total liabilities -15.43%552.64K-15.43%552.64K258.71%653.49K258.71%653.49K32.65%182.18K32.65%182.18K-83.05%137.34K-83.05%137.34K-35.01%810.06K-35.01%810.06K
Shareholders'equity
Share capital 3.48%16.87M3.48%16.87M0.57%16.3M0.57%16.3M14.44%16.21M14.44%16.21M20.18%14.16M20.18%14.16M16.71%11.78M16.71%11.78M
-common stock 3.48%16.87M3.48%16.87M0.57%16.3M0.57%16.3M14.44%16.21M14.44%16.21M20.18%14.16M20.18%14.16M16.71%11.78M16.71%11.78M
Retained earnings -3.29%-17.26M-3.29%-17.26M-7.92%-16.71M-7.92%-16.71M-12.51%-15.48M-12.51%-15.48M-9.26%-13.76M-9.26%-13.76M-14.30%-12.6M-14.30%-12.6M
Gains losses not affecting retained earnings -208.02%-122.71K-208.02%-122.71K-104.63%-39.84K-104.63%-39.84K1.99%860.81K1.99%860.81K160.07%844.04K160.07%844.04K606.41%324.55K606.41%324.55K
Total stockholders'equity -14.44%-514.74K-14.44%-514.74K-128.39%-449.81K-128.39%-449.81K27.38%1.58M27.38%1.58M355.75%1.24M355.75%1.24M50.67%-486.4K50.67%-486.4K
Total equity -14.44%-514.74K-14.44%-514.74K-128.39%-449.81K-128.39%-449.81K27.38%1.58M27.38%1.58M355.75%1.24M355.75%1.24M50.67%-486.4K50.67%-486.4K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP