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PMDIY

PRO MEDICUS UNSPON ADS EACH REP

Price Chart
Latest Quote

$23.51

+0.00 (+0.00%)
Current Price
Previous Close $23.51
Open $24.90
Day High $24.90
Day Low $23.51
Volume 400
Fetched: 2026-06-20T00:22:37
Stock Information
Note: Financial values converted from AUD to USD
Quarterly Dividend / Yield $0.08 / 0.36%
Shares Outstanding 522.35M
Quarterly Dividend Yield 0.36%
Quarterly Dividend $0.08
Total Debt $1.79M
Cash Equivalents $155.62M
Revenue $168.77M
Net Income $164.65M
Sector Healthcare
Industry Health Information Services
Market Cap $12.28B
P/E Ratio 73.47
EPS (TTM) $0.32
Exchange PNK
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📊 Comprehensive Analysis
Company Data
Enterprise Value$12.06B
Sales$168.77M
Income$164.65M
Book/sh$0.53
Cash/sh$0.42
Employees132
Financial Ratios
Quick Ratio6.06
Current Ratio6.22
Debt/Eq0.66
EPS Growth TTM230.90%
Returns & Margins
ROA26.95%
ROE76.80%
Gross Margin99.87%
Operating Margin72.66%
Profit Margin97.56%
Ownership
Insider & Institutional transactions data not available
Valuation Ratios
P/S51.05
P/B44.05
Analyst Data
Recommendationnone
Technical Indicators
SMA20$22.39
SMA50$20.95
SMA200$27.56
RSI74.61
ATR0.8959
Shares Float265.05M
Volatility0.59
Performance History
Week-7.26%
Month+26.91%
Quarter+28.96%
6 Months-29.71%
YTD-29.03%
10 Years-41.02%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-18 $23.51 0
2026-06-17 $23.51 0
2026-06-16 $23.51 420
2026-06-15 $24.04 104
2026-06-12 $25.35 0
2026-06-11 $25.35 0
2026-06-10 $25.35 0
2026-06-09 $25.35 3,296
2026-06-08 $23.17 0
2026-06-05 $23.17 961
2026-06-04 $22.88 0
2026-06-03 $22.88 2,506
2026-06-02 $22.98 1,228
2026-06-01 $21.36 716
2026-05-29 $19.75 335
2026-05-28 $19.50 10,616
2026-05-27 $19.90 0
2026-05-26 $19.90 193
2026-05-22 $18.15 0
2026-05-21 $18.15 0
2026-05-20 $18.15 340
2026-05-19 $18.52 148
About PRO MEDICUS UNSPON ADS EACH REP

Pro Medicus Limited, a healthcare informatics company, engages in the development and supply of healthcare imaging software, and radiology information (RIS) system software and services to hospitals, imaging centers, and health care groups in Australia, North America, and Europe. The company offers Visage RIS Visage 7 Enterprise Imaging Platform, a healthcare imaging software that provides radiologists, physicians, and clinicians with access and visualization capability for viewing 2-D, 3-D, and 4-D medical images; and picture archive and communication system (PACS)/digital imaging software. It also provides Visage RIS, a proprietary medical software for practice management, training, installation, professional services, and after-sale support and service products; and Promedicus.net, an e-health platform for secure email and integration products. In addition, the company offers Visage Ease, a mobile application that provides users access to medical imaging results; and Visage Ease Pro, a mobile application that provides users the ability to interpret various diagnostic imaging studies stored on a Visage 7 server. Pro Medicus Limited was incorporated in 1983 and is headquartered in Richmond, Australia.

Period:
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Income Statement (Annual)
Metric 2025-06-30 2024-06-30 2023-06-30 2022-06-30
Revenue
Reconciled Cost Of Revenue $216,796 $211,184 $381,674 $326,247
Cost Of Revenue $216,796 $211,184 $381,674 $326,247
Total Revenue $149,375,574 $113,259,668 $87,551,395 $65,530,767
Operating Revenue $149,375,574 $113,259,668 $87,551,395 $65,530,767
Expenses
Other Income Expense $-1,304,988 $-360,626 $-46,306 $72,967
Other Non Operating Income Expenses $-1,304,988 $-360,626 $-46,306 $72,967
Net Non Operating Interest Income Expense $5,302,743 $3,390,164 $1,705,606 $455,343
Operating Expense $38,575,740 $34,342,245 $28,402,442 $21,476,181
Other Operating Expenses $5,422,718 $5,027,012 $4,188,592 $4,171,753
Selling And Marketing Expense $2,623,307 $2,028,345 $1,768,750 $1,366,730
General And Administrative Expense $25,452,888 $21,316,215 $16,884,165 $10,804,743
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $80,837,019 $58,088,825 $42,551,043 $31,180,805
Net Interest Income $5,302,743 $3,390,164 $1,705,606 $455,343
Interest Income $5,302,743 $3,390,164 $1,705,606 $455,343
Normalized Income $80,837,019 $58,088,825 $42,551,043 $31,180,805
Net Income From Continuing And Discontinued Operation $80,837,019 $58,088,825 $42,551,043 $31,180,805
Net Income Common Stockholders $80,837,019 $58,088,825 $42,551,043 $31,180,805
Net Income $80,837,019 $58,088,825 $42,551,043 $31,180,805
Net Income Including Noncontrolling Interests $80,837,019 $58,088,825 $42,551,043 $31,180,805
Net Income Continuous Operations $80,837,019 $58,088,825 $42,551,043 $31,180,805
Pretax Income $114,580,793 $81,735,777 $60,426,579 $44,256,649
Interest Income Non Operating $5,302,743 $3,390,164 $1,705,606 $455,343
Operating Income $110,583,038 $78,706,240 $58,767,279 $43,728,339
Depreciation Amortization Depletion Income Statement $5,076,826 $5,970,673 $5,560,935 $5,132,955
Depreciation And Amortization In Income Statement $5,076,826 $5,970,673 $5,560,935 $5,132,955
Amortization Of Intangibles Income Statement $4,380,131 $5,376,412 $4,975,093 $4,562,548
Depreciation Income Statement $696,695 $594,261 $585,842 $570,406
Gross Profit $149,158,778 $113,048,484 $87,169,721 $65,204,520
Per Share
Diluted EPS - $0.11 $0.08 $0.06
Basic EPS - $0.11 $0.08 $0.06
Other
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $115,659,864 $84,676,913 $64,328,214 $48,861,294
Reconciled Depreciation $5,076,826 $5,970,673 $5,560,935 $5,132,955
EBITDA (Bullshit earnings) $115,659,864 $84,676,913 $64,328,214 $48,861,294
EBIT $110,583,038 $78,706,240 $58,767,279 $43,728,339
Tax Provision $33,743,774 $23,646,952 $17,875,536 $13,075,844
Amortization $4,380,131 $5,376,412 $4,975,093 $4,562,548
Selling General And Administration $28,076,195 $23,344,560 $18,652,916 $12,171,473
Salaries And Wages $25,452,888 $21,316,215 $16,884,165 $10,804,743
Diluted Average Shares - $367,186,000 $366,819,337 $366,833,000
Basic Average Shares - $366,381,429 $366,261,664 $365,937,466
Fetched: 2026-02-06
Balance Sheet (Annual)
Metric 2025-06-30 2024-06-30 2023-06-30 2022-06-30
Assets
Net Tangible Assets $165,717,398 $117,629,275 $82,387,570 $55,734,935
Total Assets $237,636,996 $180,987,166 $141,819,270 $110,188,034
Total Non Current Assets $41,121,169 $35,686,523 $26,903,109 $26,118,713
Other Non Current Assets $2,767,137 $2,733,460 $1,826,282 $1,028,555
Non Current Deferred Assets $16,696,135 $12,055,006 $8,563,811 $7,623,658
Non Current Deferred Taxes Assets $16,696,135 $12,055,006 $8,563,811 $7,623,658
Goodwill And Other Intangible Assets $14,569,565 $14,081,948 $14,978,601 $15,640,918
Other Intangible Assets $14,569,565 $14,081,948 $14,978,601 $15,640,918
Current Assets $196,515,827 $145,300,643 $114,916,161 $84,069,321
Other Current Assets $863,678 $801,936 $549,358 $315,021
Hedging Assets Current $1,031,362 $375,360 - -
Prepaid Assets $2,718,726 $1,326,037 $1,105,031 $914,895
Inventory $68,757 $34,379 $38,588 $54,024
Receivables $45,067,706 $33,715,710 $27,981,478 $19,252,088
Other Receivables $115,765 $103,838 $162,773 $180,313
Accounts Receivable $44,951,941 $33,611,872 $27,818,706 $19,530,626
Cash Cash Equivalents And Short Term Investments $146,765,598 $109,047,221 $85,241,706 $63,533,293
Cash And Cash Equivalents $122,455,627 $86,942,401 $64,020,208 $44,661,476
Cash Equivalents $47,042,028 $44,802,499 $42,695,574 -
Cash Financial $75,413,599 $42,139,902 $21,324,634 $44,661,476
Receivables Adjustments Allowances - - - $-458,851
Debt
Total Debt $1,582,123 $1,451,624 $1,298,674 $1,598,962
Long Term Debt And Capital Lease Obligation $1,119,764 $1,063,636 $839,823 $1,175,191
Current Debt And Capital Lease Obligation $462,359 $387,989 $458,851 $423,770
Liabilities
Total Liabilities Net Minority Interest $57,350,033 $48,900,584 $44,453,099 $38,812,181
Total Non Current Liabilities Net Minority Interest $27,084,123 $24,655,161 $22,807,831 $19,967,025
Non Current Deferred Liabilities $25,919,456 $23,512,244 $21,913,984 $18,745,528
Non Current Deferred Taxes Liabilities $5,269,768 $5,375,711 $5,481,653 $5,675,998
Current Liabilities $30,265,910 $24,245,423 $21,645,268 $18,845,156
Current Deferred Liabilities $16,284,292 $13,649,057 $13,429,454 $11,525,293
Current Deferred Taxes Liabilities $2,878,692 $1,685,961 $4,587,806 $4,419,421
Payables And Accrued Expenses $9,228,935 $7,155,687 $4,771,627 $3,929,699
Payables $9,228,935 $7,155,687 $4,771,627 $3,929,699
Other Payable $8,241,774 $5,935,593 $4,046,867 $2,776,959
Accounts Payable $987,161 $1,220,094 $724,760 $1,152,740
Equity
Common Stock Equity $180,286,962 $131,711,223 $97,366,171 $71,375,853
Total Equity Gross Minority Interest $180,286,962 $131,711,223 $97,366,171 $71,375,853
Stockholders Equity $180,286,962 $131,711,223 $97,366,171 $71,375,853
Gains Losses Not Affecting Retained Earnings $-12,088,683 $-6,508,805 $6,806,287 $5,049,463
Other Equity Adjustments $-12,264,787 $-5,870,343 $7,284,081 $5,636,708
Retained Earnings $168,006,039 $121,627,731 $89,185,437 $64,951,942
Other
Ordinary Shares Number $73,291,877 $73,265,197 $73,270,368 $73,164,920
Share Issued $73,291,877 $73,265,197 $73,270,368 $73,164,920
Tangible Book Value $165,717,398 $117,629,275 $82,387,570 $55,734,935
Invested Capital $180,286,962 $131,711,223 $97,366,171 $71,375,853
Working Capital $166,249,917 $121,055,220 $93,270,893 $65,224,165
Capital Lease Obligations $1,582,123 $1,451,624 $1,298,674 $1,598,962
Total Capitalization $180,286,962 $131,711,223 $97,366,171 $71,375,853
Foreign Currency Translation Adjustments $176,103 $-638,462 $-477,794 $-587,245
Capital Stock $24,369,607 $16,592,297 $1,374,448 $1,374,448
Common Stock $24,369,607 $16,592,297 $1,374,448 $1,374,448
Employee Benefits $44,903 $79,282 $54,024 $46,306
Non Current Pension And Other Postretirement Benefit Plans $44,903 $79,282 $54,024 $46,306
Non Current Deferred Revenue $20,649,688 $18,136,533 $16,432,331 $13,069,530
Long Term Capital Lease Obligation $1,119,764 $1,063,636 $839,823 $1,175,191
Current Deferred Revenue $13,405,599 $11,963,096 $8,841,648 $7,105,873
Current Capital Lease Obligation $462,359 $387,989 $458,851 $423,770
Pensionand Other Post Retirement Benefit Plans Current $4,290,325 $1,115,555 $2,631,727 $2,087,982
Investments And Advances $5,146,987 $5,146,987 - -
Other Investments $5,146,987 $5,146,987 - -
Net PPE $1,941,346 $1,669,122 $1,534,414 $1,825,581
Accumulated Depreciation $-465,867 - $-2,863,959 $-2,576,300
Gross PPE $2,407,213 $1,669,122 $4,398,372 $4,401,880
Other Properties $1,970,813 $1,309,900 $1,986,249 $2,247,948
Machinery Furniture Equipment $436,399 $359,223 $2,412,124 $2,153,933
Other Inventories $68,757 - - -
Other Short Term Investments $24,309,971 $22,104,821 $21,221,498 $18,871,817
Current Provisions - $1,937,136 $353,610 $878,412
Finished Goods - $34,379 $38,588 $54,024
Leases - - - -
Fetched: 2026-02-06
Cash Flow Statement (Annual)
Metric 2025-06-30 2024-06-30 2023-06-30 2022-06-30
Free Cash Flow
Free Cash Flow $72,935,524 $52,821,162 $39,352,418 $36,871,537
Operating Activities
Cash Flowsfromusedin Operating Activities Direct $78,111,277 $57,517,016 $43,874,975 $43,202,134
Classesof Cash Receiptsfrom Operating Activities $140,780,191 $111,168,880 $82,735,567 $64,618,679
Investing Activities
Capital Expenditure $-5,175,753 $-4,695,854 $-4,522,557 $-6,330,597
Investing Cash Flow $-4,614,467 $-51,411,634 $-5,302,042 $-11,862,064
Cash Flow From Continuing Investing Activities $-4,614,467 $-51,411,634 $-5,302,042 $-11,862,064
Net Other Investing Changes $-2,239,529 $-44,802,499 - -
Financing Activities
Repurchase Of Capital Stock $-5,509,717 $-1,942,749 $-592,858 $-2,818,354
Financing Cash Flow $-40,425,175 $-27,952,713 $-19,313,128 $-16,357,259
Cash Flow From Continuing Financing Activities $-40,425,175 $-27,952,713 $-19,313,128 $-16,357,259
Net Other Financing Charges $-456,746 $-726,865 $-805,444 $-714,236
Cash Dividends Paid $-34,458,711 $-25,646,531 $-18,317,548 $-13,181,787
Common Stock Dividend Paid $-34,458,711 $-25,646,531 $-18,317,548 $-13,181,787
Net Common Stock Issuance $-5,509,717 $-1,942,749 $-592,858 $-2,818,354
Other
Interest Paid Supplemental Data $73,669 $53,322 $53,322 $66,653
Income Tax Paid Supplemental Data $32,424,754 $27,259,525 $16,458,290 $5,034,730
End Cash Position $75,413,599 $42,139,902 $64,020,208 $44,661,476
Beginning Cash Position $42,139,902 $64,020,208 $44,661,476 $29,494,844
Effect Of Exchange Rate Changes $202,063 $-32,976 $98,927 $183,821
Changes In Cash $33,071,635 $-21,847,331 $19,259,806 $14,982,811
Common Stock Payments $-5,509,717 $-1,942,749 $-592,858 $-2,818,354
Interest Received Cfi $5,290,115 $3,365,607 $1,570,196 $455,343
Net Investment Purchase And Sale $-2,489,301 $-5,278,889 $-2,349,681 $-5,986,810
Sale Of Investment $20,825,090 $27,043,430 $12,560,865 $4,464,323
Purchase Of Investment $-23,314,391 $-32,322,319 $-14,910,546 $-10,451,133
Net Intangibles Purchase And Sale $-4,867,747 $-4,479,759 $-4,312,776 $-6,165,018
Purchase Of Intangibles $-4,867,747 $-4,479,759 $-4,312,776 $-6,165,018
Net PPE Purchase And Sale $-308,005 $-216,095 $-209,780 $-165,579
Purchase Of PPE $-308,005 $-216,095 $-209,780 $-165,579
Taxes Refund Paid Direct $-32,424,754 $-27,259,525 $-16,458,290 $-5,034,730
Interest Paid Direct $-73,669 $-53,322 $-53,322 $-66,653
Classesof Cash Payments $-30,170,491 $-26,339,017 $-22,348,980 $-16,315,162
Paymentsto Suppliersfor Goodsand Services $-30,170,491 $-26,339,017 $-22,348,980 $-16,315,162
Receiptsfrom Customers $140,780,191 $111,168,880 $82,735,567 $64,618,679
Fetched: 2026-02-06