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NOVONIX Ltd

NVX

1.635USD

-0.005-0.30%
Fechamento 07/23, 16:00ETCotações atrasadas em 15 min
928.59MValor de mercado
--P/L TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar linhas em branco
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
Ativos Circulantes
Caixa, Equivalentes e Investimentos de Curto Prazo
-45.93%42.56M
-52.43%47.13M
-44.85%78.71M
-47.41%99.08M
39.12%142.74M
868.42%188.40M
283.06%102.60M
4847.52%19.45M
530.18%26.78M
-83.82%393.22K
1349.24%4.25M
-44.19%2.43M
-84.20%293.28K
780.76%4.35M
49.58%1.86M
-71.26%494.39K
16108307.18%1.24M
21057326.65%1.72M
--7.70
--8.17
- Caixa e Equivalentes de Caixa
-45.93%42.56M
-52.43%47.13M
-44.85%78.71M
-47.41%99.08M
39.12%142.74M
868.42%188.40M
283.06%102.60M
4847.52%19.45M
530.18%26.78M
-83.82%393.22K
1349.24%4.25M
-44.19%2.43M
-84.20%293.28K
780.76%4.35M
49.58%1.86M
-71.26%494.39K
16108307.18%1.24M
21057326.65%1.72M
--7.70
--8.17
Contas a Receber
128.88%8.16M
8.39%2.52M
45.34%3.56M
-9.46%2.33M
50.12%2.45M
139.70%2.57M
92.79%1.63M
7.71%1.07M
76.72%847.42K
402.26%994.57K
-20.14%479.54K
-48.00%198.02K
107.02%600.46K
385.41%380.82K
904.55%290.05K
-12.59%78.45K
484.59%28.87K
1614.07%89.76K
--4.94K
--5.24K
-Contas e Títulos a Receber
128.88%8.16M
8.39%2.52M
45.34%3.56M
-9.46%2.33M
50.12%2.45M
139.70%2.57M
92.79%1.63M
7.71%1.07M
76.72%847.42K
402.26%994.57K
-20.14%479.54K
-48.00%198.02K
107.02%600.46K
385.41%380.82K
904.55%290.05K
-12.59%78.45K
484.59%28.87K
1614.07%89.76K
--4.94K
--5.24K
Inventário
-30.83%1.38M
-20.43%2.04M
6.87%2.00M
-7.18%2.57M
-10.31%1.87M
64.23%2.76M
121.23%2.09M
189.14%1.68M
20.32%943.49K
-0.97%582.02K
63.95%784.13K
73.85%587.69K
95.25%478.27K
--338.04K
--244.95K
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Despesas Antecipadas
-8.55%1.70M
-28.34%2.28M
-63.32%1.86M
454.96%3.18M
166.11%5.07M
279.17%573.70K
--1.91M
--151.30K
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Outros Ativos Circulantes
82.78%1.45M
20.49%1.72M
-92.13%794.50K
-89.16%1.43M
--10.09M
--13.17M
--0.00
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--183.67K
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Total de Ativos Circulantes
-35.73%57.30M
-46.69%57.88M
-45.04%89.15M
-47.67%108.58M
49.89%162.22M
827.90%207.48M
278.74%108.23M
1035.13%22.36M
418.24%28.58M
-42.05%1.97M
301.89%5.51M
-32.99%3.40M
-42.62%1.37M
785.63%5.07M
88.31%2.39M
-68.35%572.85K
25570.75%1.27M
34406.03%1.81M
--4.95K
--5.24K
Ativos não Circulantes
Ativos Fixos Líquidos
7.89%155.67M
7.16%153.40M
29.33%144.28M
45.15%143.15M
252.85%111.56M
571.72%98.62M
196.23%31.62M
55.99%14.68M
72.31%10.67M
-17.65%9.41M
-46.68%6.19M
0.87%11.43M
17.96%11.62M
24.62%11.33M
983.36%9.85M
1303.62%9.09M
1071.24%909.08K
687.18%647.78K
--77.62K
--82.29K
-Ativos Fixos
9.66%170.71M
9.33%166.72M
33.40%155.68M
49.94%152.50M
--116.70M
540.18%101.70M
----
58.96%15.89M
75.18%11.58M
-14.05%9.99M
--6.61M
--11.63M
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-Depreciação Acumulada
31.97%15.05M
42.58%13.32M
121.53%11.40M
203.08%9.34M
--5.15M
155.86%3.08M
----
106.92%1.20M
117.72%909.78K
193.20%582.21K
--417.86K
--198.57K
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Goodwill e outros Ativos Intangíveis
-0.13%11.98M
-0.89%11.98M
-3.03%11.99M
-2.19%12.08M
-0.68%12.36M
-1.31%12.35M
-1.80%12.45M
-1.73%12.52M
-0.96%12.68M
257.18%12.74M
243.92%12.80M
-7.09%3.57M
-2.21%3.72M
--3.84M
--3.81M
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Outros ativos não circulantes
-7.87%1.16M
17.90%1.25M
643.77%1.25M
526.68%1.06M
850.12%168.71K
857.53%169.07K
4.63%17.76K
190.97%17.66K
180.13%16.97K
0.57%6.07K
1.80%6.06K
19.00%6.03K
-38.06%5.95K
40.56%5.07K
--9.61K
--3.61K
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Total de ativos não circulantes
-3.10%168.80M
6.18%182.96M
23.75%174.19M
55.04%172.32M
219.31%140.76M
308.38%111.14M
88.65%44.08M
22.85%27.22M
22.98%23.37M
-2.31%22.15M
-20.71%19.00M
-8.78%22.68M
1.02%23.96M
173.33%24.86M
2509.46%23.72M
1304.18%9.10M
1071.24%909.08K
687.18%647.78K
--77.62K
--82.29K
Total de ativos
-14.14%226.10M
-14.26%240.84M
-13.08%263.34M
-11.84%280.89M
98.92%302.98M
542.69%318.62M
193.23%152.31M
105.50%49.58M
111.89%51.94M
-7.49%24.12M
-3.24%24.51M
-12.88%26.08M
-2.98%25.34M
209.60%29.94M
1098.44%26.11M
293.44%9.67M
2539.11%2.18M
2707.42%2.46M
--82.56K
--87.54K
Passivos
Passivos circulantes
-Outros a pagar
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9155.22%19.96K
----
--215.64
Dívidas e arrendamentos de curto prazo
1807.48%32.19M
12.94%1.80M
24.67%1.69M
20.82%1.59M
162.14%1.35M
338.15%1.32M
79.84%516.40K
-93.51%300.91K
-90.13%287.15K
21.91%4.64M
4424.51%2.91M
8621.83%3.80M
-99.09%64.31K
--43.61K
--7.08M
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-Dívida de curto prazo
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2666.58%246.48K
-100.00%0.00
--8.91K
--22.67K
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--0.00
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-Passivos de arrendamento de curto prazo
50.98%522.30K
7.15%395.23K
2.46%345.93K
14.29%368.86K
9.48%337.64K
218.14%322.73K
216.63%308.40K
9.48%101.44K
--97.40K
--92.66K
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Passivos diferidos
1826.46%5.49M
27.52%324.13K
10405.38%285.22K
57.86%254.17K
-98.83%2.71K
31.82%161.02K
241.45%232.80K
1091.88%122.15K
-83.28%68.18K
-94.09%10.25K
163.22%407.75K
--173.47K
--154.91K
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Outros passivos circulantes
1826.46%5.49M
27.52%324.13K
10405.38%285.22K
57.86%254.17K
-98.83%2.71K
31.82%161.02K
241.45%232.80K
1091.88%122.15K
-83.28%68.18K
-94.09%10.25K
163.22%407.75K
--173.47K
--154.91K
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9155.22%19.96K
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--215.64
Total de passivos circulantes
489.79%46.24M
51.19%9.41M
-0.64%7.84M
62.23%6.22M
96.29%7.89M
210.08%3.83M
45.28%4.02M
-75.04%1.24M
-35.70%2.77M
18.83%4.95M
497.51%4.30M
78.02%4.17M
-92.87%720.23K
1237.64%2.34M
6294.01%10.10M
-31.80%175.06K
84.47%157.89K
182.88%256.70K
--85.59K
--90.74K
Passivos não circulantes
Dívidas e arrendamentos de longo prazo
-48.16%32.78M
0.32%63.18M
75.87%63.22M
79.69%62.98M
699.85%35.95M
2370.67%35.05M
236.15%4.49M
-82.48%1.42M
-85.37%1.34M
585.25%8.10M
650.11%9.14M
2.66%1.18M
--1.22M
--1.15M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Dívida de longo prazo
-48.16%32.78M
0.32%63.18M
75.87%63.22M
79.69%62.98M
699.85%35.95M
2370.67%35.05M
236.15%4.49M
-82.48%1.42M
-85.37%1.34M
585.25%8.10M
650.11%9.14M
2.66%1.18M
--1.22M
--1.15M
--0.00
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Passivos diferidos
0.00%3.00M
0.00%3.00M
0.00%3.00M
0.04%3.00M
--3.00M
--3.00M
--0.00
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Responsabilidades com derivativos
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-79.63%426.55K
--866.28K
--2.09M
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Outros passivos não circulantes
0.00%3.00M
0.00%3.00M
0.00%3.00M
0.04%3.00M
--3.00M
--3.00M
--0.00
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Total de passivos não circulantes
-40.95%42.26M
0.89%73.36M
62.82%71.57M
68.22%72.72M
346.70%43.96M
1220.33%43.23M
202.30%9.84M
-67.46%3.27M
-64.38%3.26M
751.32%10.06M
650.11%9.14M
2.66%1.18M
--1.22M
--1.15M
--0.00
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Total de passivos
11.46%88.51M
4.85%82.77M
53.16%79.41M
67.73%78.94M
274.07%51.85M
943.36%47.06M
130.15%13.86M
-69.96%4.51M
-55.20%6.02M
180.60%15.01M
593.41%13.44M
53.19%5.35M
-80.80%1.94M
1895.13%3.49M
6294.01%10.10M
-31.80%175.06K
84.47%157.89K
182.88%256.70K
--85.59K
--90.74K
Patrimônio líquido dos acionistas
Capital ordinário
8.48%413.18M
14.02%385.55M
2.93%380.89M
-2.36%338.16M
120.60%370.04M
249.49%346.33M
98.13%167.74M
149.36%99.10M
125.76%84.67M
15.02%39.74M
32.76%37.50M
16.02%34.55M
65.49%28.25M
178.72%29.78M
480.20%17.07M
271.90%10.68M
38187907.42%2.94M
35172354.29%2.87M
--7.70
--8.17
Lucros retidos
-40.48%-259.67M
-56.80%-213.56M
-66.93%-184.85M
-69.35%-136.20M
-278.00%-110.74M
-40.08%-80.43M
33.53%-29.30M
-60.78%-57.42M
-43.25%-44.07M
-121.79%-35.71M
-362.85%-30.77M
-207.90%-16.10M
-127.97%-6.65M
-339.23%-5.23M
-216.63%-2.92M
-77.15%-1.19M
-30255.67%-920.94K
-20794.25%-672.08K
---3.03K
---3.22K
Reservas de capital
7.49%45.64M
--47.13M
32.59%42.46M
----
--32.03M
34.32%26.04M
----
49.73%19.38M
47.02%15.75M
69.25%12.95M
--10.71M
--7.65M
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Ganhos (perdas) fora do lucro retido
-22.95%-20.44M
---18.45M
-31.01%-16.63M
----
---12.69M
181.41%1.14M
----
-296.01%-1.40M
55.26%1.04M
410.38%713.71K
--666.90K
--139.84K
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Patrimônio total
-25.20%137.59M
-21.73%158.07M
-26.76%183.94M
-25.63%201.96M
81.39%251.13M
502.59%271.56M
201.50%138.45M
394.65%45.07M
314.73%45.92M
-56.05%9.11M
-52.68%11.07M
-21.61%20.73M
46.06%23.40M
178.52%26.44M
692.56%16.02M
331.38%9.49M
66887.00%2.02M
68695.47%2.20M
---3.03K
---3.21K
Moeda
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