The facts that affect Powerspeed's underlying value

Financial Summary

(All values are in US$)

 FY2024HY 2024FY2023HY 2023
Revenues128,618,47158,159,833127,954,88346,867,359
Attributable PAT4,313,6072,937,0493,830,2061,245,882
Shareholders funds49,784,13949,117,01149,318,01340,637,524
Net interest bearing debt8,735,7111,205,423802,140-45,878
Cash on hand1,420,2331,142,7021,070,7451,511,011
Interest bearing debt10,155,9442,348,1251,872,8851,465,133
Net current assets33,749,80027,669,95727,752,52527,213,880