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Opthea Ltd

OPT
0.000
Close 12/08, 16:00ETQuotes delayed by 15 min
--Market Cap
--P/E TTM
You can check out the annual or quarterly balance sheets of Opthea Ltd here to evaluate the financial health, analyze fundamentals, and calculate key ratios for liquidity, leverage, and return on equity.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
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FY2025H2
FY2025H1
FY2024H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2019H2
FY2019H1
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Total equity
Cash, cash equivalents and short-term investments
-71.54%73.62M
--213.21M
--258.69M
71.14%208.09M
-58.97%64.67M
-39.97%121.59M
--157.63M
--202.54M
--21.53M
-4.29%40.14M
219.07%41.94M
254.54%51.96M
-26.68%13.14M
--14.66M
-5.59%17.93M
139.70%18.99M
-34.91%7.16M
-34.63%7.92M
-33.06%11.00M
-33.68%12.12M
--16.44M
--18.27M
- Cash and cash equivalents
-71.54%73.62M
--213.21M
--258.69M
71.14%208.09M
-58.97%64.67M
-39.97%121.59M
--157.63M
--202.54M
--21.53M
-4.29%40.14M
219.07%41.94M
258.68%51.96M
-25.98%13.14M
--14.49M
-6.48%17.76M
139.70%18.99M
-34.91%7.16M
-34.63%7.92M
-33.06%11.00M
-33.68%12.12M
--16.44M
--18.27M
-Short-term investments
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--0.00
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-100.00%0.00
-100.00%0.00
--169.10K
--169.10K
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----
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Receivables
-34.83%11.56M
--12.90M
--17.74M
186.93%13.44M
28.64%9.50M
7.11%4.68M
--7.39M
--4.37M
--14.93M
61.11%8.08M
177.92%5.02M
78.03%3.22M
68.76%1.81M
--1.81M
-77.32%1.07M
23.11%4.72M
16.43%2.71M
135.50%3.83M
40.31%2.32M
87.77%1.63M
--1.66M
--866.69K
-Accounts and notes receivable
--636.78K
--3.23M
----
78.79%1.19M
-50.47%373.38K
-21.62%666.15K
--753.92K
--849.94K
--295.79K
0.45%447.71K
133.13%445.69K
130.29%508.97K
-2.20%191.18K
--221.01K
-75.45%195.48K
-79.22%796.26K
-82.19%413.82K
135.50%3.83M
40.31%2.32M
567.25%1.63M
--1.66M
--243.90K
-Other receivables
-66.36%179.33K
----
--533.07K
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Prepaid expenses
-80.50%1.14M
--6.83M
--5.84M
-83.01%4.06M
-34.14%12.64M
292.56%23.88M
--19.19M
--6.08M
--424.60K
15.64%211.33K
45.34%182.75K
-15.42%153.96K
0.91%125.74K
--182.04K
43.33%124.60K
9.50%86.93K
-21.20%113.12K
33.58%79.39K
93.59%143.55K
-20.28%59.43K
--74.16K
--74.55K
Total current assets
-69.42%86.32M
--232.95M
--282.28M
50.24%225.59M
-52.87%86.81M
-29.51%150.16M
--184.21M
--213.00M
--36.89M
2.75%48.44M
212.69%47.14M
232.42%55.33M
-21.16%15.08M
--16.65M
-19.64%19.12M
101.07%23.79M
-25.91%9.98M
-14.28%11.83M
-25.86%13.47M
-28.15%13.80M
--18.17M
--19.21M
Non-current assets
Net Fixed Assets
-100.00%0.00
--71.12K
--197.92K
286.82%349.86K
-73.95%40.69K
-57.41%90.44K
--156.19K
--212.36K
--54.06K
-31.84%53.04K
-3.54%77.82K
-29.96%63.84K
-13.29%80.68K
--91.15K
-28.09%93.04K
-19.46%129.38K
80.24%148.78K
67.44%160.63K
-22.78%82.55K
-11.56%95.94K
--106.90K
--108.47K
Goodwill and other intangible assets
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0.00%500.00K
0.00%500.00K
--500.00K
--500.00K
----
Long-term prepaid expenses
--0.00
--2.59M
----
-41.70%113.41K
-31.34%159.83K
--194.55K
--232.78K
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Other non-current assets
-100.00%0.00
--2.59M
--700.02K
-41.70%113.41K
-31.34%159.83K
--194.55K
--232.78K
----
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-43.33%35.48K
----
-10.28%62.61K
-56.18%77.39K
-59.24%69.78K
--176.58K
--171.22K
Total non-current assets
-100.00%0.00
--2.66M
--897.94K
62.56%463.27K
-48.45%200.52K
34.20%284.99K
--388.97K
--212.36K
--768.18K
-51.27%560.83K
21.83%1.15M
197.76%1.21M
-10.62%944.65K
--407.06K
-45.26%1.06M
-45.85%1.93M
-17.56%2.42M
6.03%3.57M
-33.70%2.94M
-21.68%3.36M
--4.44M
--4.29M
Total assets
-69.52%86.32M
--235.61M
--283.17M
50.26%226.05M
-52.86%87.01M
-29.44%150.44M
--184.59M
--213.21M
--37.66M
1.46%49.00M
201.44%48.29M
231.59%56.54M
-20.61%16.02M
--17.05M
-21.56%20.18M
67.05%25.72M
-24.41%12.41M
-10.30%15.40M
-27.40%16.41M
-26.97%17.17M
--22.60M
--23.51M
Liabilities
Current liabilities
-Other payables
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--0.00
----
--398.46K
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Accrued expenses
8.63%1.73M
----
--1.59M
----
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Current provisions
--1.73M
--1.87M
----
29.00%966.34K
31.66%863.94K
9.80%749.10K
--656.18K
--682.26K
--538.55K
11.30%477.69K
20.52%429.18K
10.65%399.67K
10.19%356.10K
--361.21K
91.71%323.18K
-41.40%168.58K
-48.54%160.33K
8.30%287.67K
65.75%311.58K
42.96%265.63K
--187.99K
--185.81K
Short-term debt and lease liabilities
268899.60%375.37M
--61.42K
--139.54K
33.60%123.75K
-100.00%0.00
-36.14%92.63K
--150.66K
--145.04K
--0.00
----
--0.00
-100.00%0.00
-100.00%0.00
--21.00K
--13.49K
----
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-Short-term debt
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-100.00%0.00
-100.00%0.00
--21.00K
--13.49K
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-Short-term lease liabilities
-100.00%0.00
--61.42K
--139.54K
33.60%123.75K
-100.00%0.00
-36.14%92.63K
--150.66K
--145.04K
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Other current liabilities
--1.73M
--1.87M
----
29.00%966.34K
31.66%863.94K
9.80%749.10K
--656.18K
--682.26K
--538.55K
-42.28%477.69K
132.42%827.64K
10.65%399.67K
10.19%356.10K
--361.21K
91.71%323.18K
-41.40%168.58K
-48.54%160.33K
8.30%287.67K
65.75%311.58K
42.96%265.63K
--187.99K
--185.81K
Total current liabilities
307.89%391.90M
--148.29M
--96.08M
12.46%13.82M
321.17%17.45M
-20.79%12.29M
--4.14M
--15.52M
--6.52M
95.66%9.24M
119.36%4.72M
-0.47%2.00M
96.61%2.15M
--2.01M
-43.69%1.10M
0.70%1.94M
-7.61%1.76M
37.45%1.93M
-10.12%1.91M
-2.59%1.41M
--2.13M
--1.44M
Non-current liabilities
Long-term provisions
-100.00%0.00
--22.63K
--14.81K
-21.88%25.61K
79.69%40.54K
-35.31%32.78K
--22.56K
--50.68K
--24.84K
-42.14%18.56K
49.59%32.08K
47.41%24.80K
-18.97%21.45K
--16.83K
-73.25%26.46K
57.75%98.93K
32.03%86.17K
-15.11%62.71K
-38.55%65.26K
15.57%73.88K
--106.21K
--63.92K
Long-term debt and lease liabilities
-100.00%0.00
--359.97M
--300.79M
--129.14M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Long-term debt
-100.00%0.00
--359.97M
--300.79M
--129.14M
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--0.00
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--0.00
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Employee benefits
-100.00%0.00
----
--14.81K
----
--40.54K
--32.78K
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Other non-current liabilities
-100.00%0.00
--22.63K
--14.81K
-21.88%25.61K
79.69%40.54K
-35.31%32.78K
--22.56K
--50.68K
--24.84K
-58.85%18.56K
-20.50%45.10K
-19.76%49.96K
-29.22%56.73K
--62.26K
-52.09%80.15K
166.77%167.30K
146.62%160.94K
-15.11%62.71K
-38.55%65.26K
15.57%73.88K
--106.21K
--63.92K
Total non-current liabilities
-100.00%0.00
--359.99M
--300.80M
394480.48%129.35M
79.69%40.54K
-70.61%32.78K
--22.56K
--111.53K
--24.84K
-58.85%18.56K
-20.50%45.10K
-19.76%49.96K
-29.22%56.73K
--62.26K
-60.48%80.15K
-0.99%202.78K
12.83%160.94K
42.56%204.80K
-49.56%142.65K
-52.00%143.66K
--282.79K
--299.27K
Total liabilities
-1.26%391.90M
--508.28M
--396.88M
1061.82%143.17M
319.86%17.49M
-21.15%12.32M
--4.17M
--15.63M
--6.54M
94.20%9.26M
115.77%4.77M
-1.05%2.05M
88.03%2.21M
--2.07M
-45.27%1.18M
0.54%2.15M
-6.19%1.93M
37.92%2.14M
-14.75%2.05M
-11.08%1.55M
--2.41M
--1.74M
Shareholders' equity
Common equity
4.42%756.06M
--843.29M
--724.05M
45.66%483.39M
11.16%353.20M
-0.55%331.87M
--317.73M
--333.71M
--116.44M
12.88%115.64M
90.23%102.44M
81.73%97.85M
0.02%53.85M
--53.84M
-3.98%53.84M
41.42%56.07M
0.37%39.60M
0.50%39.65M
0.15%39.45M
2.81%39.45M
--39.40M
--38.37M
Retained earnings
-22.10%-1.06B
---1.15B
---869.52M
-93.61%-431.59M
-89.90%-314.36M
-62.04%-222.92M
---165.54M
---137.57M
---86.06M
-28.07%-76.43M
-49.04%-59.68M
-11.56%-43.36M
-14.93%-40.04M
---38.87M
-4.46%-34.84M
-19.14%-33.35M
-16.96%-30.41M
-12.59%-27.99M
-20.72%-26.00M
-30.10%-24.86M
---21.54M
---19.11M
Capital reserves
38.65%34.60M
--39.24M
--24.95M
48.04%12.84M
125.05%12.27M
29.11%8.67M
--5.45M
--6.72M
--3.42M
-39.27%2.62M
--4.31M
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1034.59%2.23M
--146.25K
--196.83K
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--0.00
--19.00
Gains losses not affecting retained earnings
1.32%32.18M
--34.22M
--31.76M
6.56%31.08M
8.65%30.68M
1917.16%29.17M
--28.24M
--1.45M
--737.25K
-29.88%530.92K
--757.18K
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-93.06%43.50K
--347.05K
--627.26K
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--1.06M
--2.50M
Non-controlling interests
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--0.00
-100.00%0.00
-16.98%812.30K
4.05%944.09K
-4.76%978.48K
-29.42%907.33K
--1.03M
--1.29M
----
Total equity
-168.73%-305.58M
---272.68M
---113.71M
-39.99%82.88M
-61.47%69.52M
-30.10%138.12M
--180.43M
--197.59M
--31.12M
-8.70%39.74M
215.15%43.52M
263.81%54.49M
-27.33%13.81M
--14.98M
-19.40%19.00M
77.76%23.58M
-27.02%10.48M
-15.08%13.26M
-28.91%14.36M
-28.24%15.62M
--20.20M
--21.77M
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