Micro X Financial Data

Nome Compagnia:Micro-X LtdStatus:Active
End of fiscal year:30 Giugno 2018ISINAU000000MX15
Year established:2011Company sector name:Healthcare
Trading currency:AUDIndustry name:Medical Devices
Place of incorporation:Australia (AU)Industry group nameMedical Devices
Doing business in:Australia (AU)AddressA14 6 MAB Eastern Promenade
Tonsley (Clovelly Park), 5042
Tel.:+61 870993966City/Country:Adelaide, Australia
Web address:http://www.micro-x.com
Descrizione Attività:Micro-X Ltd designs, develops and manufactures ultra-lightweight carbon nano tube based X-ray products for the healthcare and counter IED imaging security markets.
Prezzo Variazione [%] Denaro Lettera Aper Max Min Volume
0,295  0,00[0,0%] 0,29 0,30 0,30 0,31 0,295 339.411
Cap. di mercato [m] Azioni circolanti [m] Beta EPS DPS PE Ratio Yield Oscillazione-52-Settimane
42.58345591 151.758099 0,70 -0,12 - -2,57 - 0,18 - 0,45

MX1 KEY FIGURES (at previous day's close)

Yesterday's Close
0,30
PE Ratio
-2,57
Market Capitalisation
42,58M
Latest Shares Outstanding
151,76M
Earnings pS (EPS)
-0,12
Dividend pS (DPS)
-
Dividend Yield
-
Sales per Employee
-
Effective Tax Rate
-
Foreign Sales
-
Domestic Sales
-
Selling, General & Adm/tive (SG...
297,20%
Research & Devlopment (R&D) as ...
0,00%
Gross Profit Margin
60,55%
EBITDA Margin
-
Pre-Tax Profit Margin
-
Assets Turnover
9,12%
Return on Assets (ROA)
-0,82%
Return on Equity (ROE)
-2,27%
Return on Capital Invested (ROC...
-1,02%
Current Ratio
0,99
Leverage Ratio (Assets/Equity)
-
Interest Cover
-89,03
Total Debt/Equity (Gearing Rati...
-
LT Debt/Total Capital
-
Working Capital pS
0,03
Cash pS
0,03
Book-Value pS
0,09
Tangible Book-Value pS
0,02
Cash Flow pS
-
Free Cash Flow pS
-0,06
Spread
0,01
Gross gearing
0,00%
Net Debt
-4,07M

MX1 Balance Sheet Chart (30 Giugno 2018)

:assets
Periodo † Max Min
1 Sett.0,310,28
1 Mese0,310,245
3 Mesi0,350,225
6 Mesi0,370,225
1 Anno0,450,175
3 Anni0,450,105
5 Anni0,5750,105

Share price performance previous 3 years

Share price performance intraday

Periodo † Apert. Open Avg. VWAP Vol Min Vol Max Med. Vol. Giorn. Var %
1 Sett.0,300,2920,290843452.411849.415612.945-0,005-1,67%
1 Mese0,260,27950,28137759.496849.415367.7830,03513,46%
3 Mesi0,3150,2956780,29148159.4965.174.521591.385-0,02-6,35%
6 Mesi0,3450,3148810,3125551.8779.832.099608.280-0,05-14,49%
1 Anno0,200,3147460,31144313.5899.832.099657.1810,09547,5%
3 Anni0,340,2656290,23793820813.741.392597.618-0,045-13,24%
5 Anni0,360,3234940,25745120813.741.392396.060-0,065-18,06%

MX1 Growth Ratios (30 Giugno 2018)

1 year 3 years 5 years 10 years
Diluted EPS growth
-
-
-
-
Diluted continuous EPS growth
-
-
-
-
Dividend growth
-
-
-
-
Equity per share growth
-
-
-
-
Revenue growth
1,44
-
-
-
Operating income growth
-
-
-
-
Net income growth
-
-
-
-
Net income cont growth
-
-
-
-
CFO growth
-
-
-
-
FCF growth
-
-
-
-
Operating revenue growth
1,44
-
-
-

MX1 Income Statement 30 Giugno 2018 (AUD)

Total Revenue
1.607
Operating Revenue
1.607
Cost of Revenue
0.634
Gross Profit
0.973
Operating Expenses
14.188
Selling,General and Administr...
4.776
General and Administrative Ex...
4.776
Salary and Benefit
4.124
OtherGandA
0.652
Research and Development
7.413
Depreciation,Amortization and...
0.12
Depreciation and Amortization
0.12
Depreciation
0.12
Other Operating Expenses
1.879
Operating Income
-13.215
Interest Income/Expense,Net-N...
-0.158
Interest Income-Non Operating
0.025
Interest Expense-Non Operatin...
0.183
Other Income/Expense,Net
-3.222
Earnings from Equity Interest
-0.248
Special Income/Charges
-6.844
Impairment of Capital Assets
6.844
Other Non-Operating Income/Ex...
3.87
Pretax Income
-16.595
Provision for Income Tax
0,00
Net Income Available to Commo...
-16.595
Net Income
-16.595
Net Income Including Noncontr...
-16.595
Net Income from Continuing Op...
-16.595
Basic EPS
-0,12
Basic EPS from Continuing Ope...
-0,12
Basic EPS from Discontinued O...
0,00
Diluted EPS
-0,12
Diluted EPS from Continuing O...
-0,12
Diluted EPS from Discontinued...
0,00
Basic Weighted Average Shares...
144.350698
Diluted Weighted Average Shar...
144.350698
Net Income from Continuing an...
-16.595
Normalized Income
-9.751
Basic EPS,Continuing and Disc...
-0,12
Diluted EPS,Continuing and Di...
-0,12
Interest and Dividend Income
0.025
Interest Expense
0.183
Net Interest Income
-0.158
Earning Before Interest and T...
-16.412
Earning Before Interest Tax D...
-16.292
Cost of Revenue,Reconciled
0.634
Depreciation,Reconciled
0.12
Net Income from Continuing Op...
-16.595
TotalUnusualItemsExcludingGoo...
-6.844
TotalUnusualItems
-6.844
Normalized Basic EPS
-0,07
Normalized Diluted EPS
-0,07
NormalizedEBITDA
-9.448
Tax rate for calculations
0,00

MX1 Efficency Ratios (30 Giugno 2018)

Days in sales
83,13
Days in inventory
790,45
Days in payment
2.231,74
Cash conversion cycle
-1.358,16
Receivable turnover
4,39
Inventory turnover
0,46
Payable turnover
0,16
Fixed assets turnover
4,28
Assets turnover
0,08
ROE
-2,27
ROA
-0,82
ROIC
-1,02
FCF sales ratio
-
FCF net income ratio
-
Capital expenditure sales ratio
0,17

MX1 Financial Health Ratios (30 Giugno 2018)

Current ratio
0,99
Quick ratio
0,84
Debt total capital ratio
-
Debt equity ratio
-
Financial leverage
-
Total debt to equity
-

MX1 Avearge Growth Ratios Over 5 Years (30 Giugno 2018)

Growth ann capital spending
-
Growth ann gross profit
-
Avg gross margin
-
Avg post tax margin
-
Avg pre tax marginr
-
Avg net profit
-
Avg ret commonr
-
Avg ret assets
-
Avg ret invested capital
-

MX1 Profitability Ratios (30 Giugno 2018)

Gross margin
0,61
Operating margin
-8,22
EBT margin
-10,33
Tax rate
-
Net margin
-10,33
Sales per employee
-
EBIT margin
-10,21
EBITDA margin
-10,14
Normalized net profit margin
-6,07
Interest coverage
-89,68
Inc per employee tot ops
-

MX1 Valuation Ratios (29 Giugno 2018)

Sales per share
0,01
Growth ann sales per share 5 ye...
-
Book value per share
0,07
CF per share
-0,08
Price to EPS
-
Ratio PE 5 year high
-
Ratio PE 5 year low
-
Price to book
3,70
Price to sales
28,17
Price to cash flow
-
Price to free cash flow
-
Div rate
-
Dividend yield
-
Div payout tot ops
-
Div payout 5 year
-
Payout ratio
0,00
Sustainable growth rate
-0,63
Cash return
-0,29

MX1 Balance Sheet 30 Giugno 2018 (AUD)

Total Assets
14.655
Current Assets
10.112
Cash,Cash Equivalents,and Sho...
4.068
Cash and Cash Equivalents
4.068
Cash
4.068
Receivables
4.467
Accounts Receivable
0.533
Other Receivables
3.934
Inventories
1.55
Other Current Assets
0.027
Total Non-Current Assets
4.543
Net Property,Plant,and Equipm...
0.393
Gross Property,Plant,and Equi...
0.625
Machinery,Furniture/Equipment
0.314
Other Properties
0.067
Leasehold and Improvements
0.244
Accumulated Depreciation
-0.232
Goodwill and Other Intangible...
2.239
Other Intangible Assets
2.239
Investments and Advances
1.911
Long term equity investment
1.911
Investments in Associates, at...
1.911
Total Liabilities
15.382
Current Liabilities
10.184
Payables and Accrued Expenses
5.321
Payables
5.321
Accounts Payable
3.528
Other Payable
1.793
Provisions,Current
-5.000,00
Pension and Other Post-Retire...
0.268
Current Debt and Capital Leas...
4.6
Current Debt
4.6
Other Current Borrowings
4.6
Total Non-Current Liabilities
5.198
Provisions,Long Term
0.178
Long Term Debt and Capital Le...
5
Long Term Debt
5
Employee Benefits
0.02
Pension and Other Postretirem...
0.02
Total Equity
-0.727
Stockholder's Equity
-0.727
Capital Stock
48.024
Common Stock
48.024
Retained Earnings
-50.798
Accumulated Gains/ Losses Not...
2.047
Foreign Currency Translation ...
0.426
Other Equity Adjustments
1.621
Total Capitalization
4.273
Common Stock Equity
-0.727
Net Tangible Assets
-2.966
Working Capital
-0.072
Invested Capital
8.873
Tangible Book Value
-2.966
Total Debt
9.6
NetDebt
5.532
Ordinary Shares Number
144.350698
TotalLiabilitiesAsReported
15.382
TotalEquityAsReported
-0.727

MX1 Cash Flow 30 Giugno 2018 (AUD)

Classes of Cash Receipts from...
7.929
Receipts from Customers
1.173
Other Cash Receipts from Oper...
6.756
Classes of Cash Payments
-16.462
Payments to Suppliers for Goo...
-16.462
Interest Paid, Direct
-0.176
Interest Received, Direct
0.025
Taxes Refund/Paid, Direct
0.846
Cash Flow from Investing Acti...
-0.267
Cash Flow from Continuing Inv...
-0.267
Purchase/Sale of Property,Pla...
-0.155
Purchase of Property,Plant an...
-0.155
Purchase/Sale of Intangibles,...
-0.112
Purchase of Intangibles
-0.112
Cash Flow from Financing Acti...
6.6
Cash Flow from Continuing Fin...
6.6
Issuance/Payments of Debt,Net
6.6
Issuance/Payments of Long Ter...
6.6
Proceeds or Issuance of Long ...
6.6
Cash and Cash Equivalents,End...
4.068
Change in Cash
-1.505
Cash and Cash Equivalents,Beg...
5.573
Interest Paid, Supplemental D...
0.176
Capital Expenditure
-0.267
Issuance of Debt
6.6
Free Cash Flow
-8.105
ChangeinCashSupplementalAsRep...
-1.505
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