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VVPRVivoPower International PLC
$4.37$73M
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HomeStocksVVPRBalance Sheet

VivoPower International PLC (VVPR) Balance Sheet

10Y historyFree accessUpdated daily

The company's financial position is highly precarious, evidenced by a negative equity base of $37.9 million and a current ratio of only 0.30.

VVPR Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricTTMJun'25Jun'24Jun'23Jun'22Jun'21Jun'20Mar'19Mar'18Mar'17Mar'16
Total Current Assets11.82M74.57M17.66M10.36M21.16M23.99M20.47M29.77M21.28M30.81M28K
Cash & Short-Term Investments26K251K199K553K1.28M8.6M2.82M4.52M1.94M10.97M28K
Cash Only26K251K199K600K1.28M8.6M2.82M4.52M1.94M10.97M28K
Short-Term Investments00000000000
Accounts Receivable10.04M70.96M9.96M6.74M8.25M9.88M12.12M9.77M7.51M19.84M0
Days Sales Outstanding461.95424.58K227.33K607.04134.13150.3490.8591.3681.49224.57-
Inventory1.54M1.15M1.65M2.12M1.44M1.54M1.01M00-563K0
Days Inventory Outstanding119.01740.94-22.25K44.5723.6128.69.04----
Other Current Assets210K5K5.77M674K10.2M1.14M4.51M15.48M11.83M563K0
Total Non-Current Assets20.05M22.56M19.77M51.1M48.49M52.52M41.91M35.63M55.03M69.24M7.88M
Property, Plant & Equipment415K1.46M439K3.74M3.74M2.58M2.49M1.21M1.92M2.16M3K
Fixed Asset Turnover3.06x0.04x0.04x1.08x6.00x9.31x19.59x32.40x17.57x14.91x-
Goodwill01.79M1.64M17.7M18.27M25.79M21.92M22.62M24.48M30.39M0
Intangible Assets15.79M14.91M13.6M24.48M21.81M21.66M7.93M9.74M11.92M15.93M0
Long-Term Investments134K0066K43.32M08.22M34.71M14.15M18.06M0
Other Non-Current Assets000-19K-43.32M00-34.71M01.17M7.88M
Total Assets31.87M97.13M37.43M61.4M69.66M76.51M62.38M65.39M76.31M100.05M7.91M
Asset Turnover0.13x0.00x0.00x0.07x0.32x0.31x0.78x0.60x0.44x0.32x-
Asset Growth %-106.98%159.47%-39.03%-11.85%-8.96%22.65%-4.61%-14.31%-23.73%1165.49%-
Total Current Liabilities39.96M55.27M54.13M18.91M23.3M13.43M19.68M20.81M20.61M13.13M8.19M
Accounts Payable35.21M10.12M10.97M7.72M5.68M4.33M4.81M5.67M5.64M2.16M185K
Days Payables Outstanding1.12K6.51K-148.34K162.7893.5280.4842.9163.2972.22158.26-
Short-Term Debt2.26M12.25M8.17M1.92M4.6M1M1.31M887K3.96M1.17M8M
Deferred Revenue (Current)496K11K10K318K974K1.13M6.01M4.98M1.54M305K0
Other Current Liabilities2.49M29.36M17.75M4.32M3.28M1.82M7.55M9.27M9.47M9.5M1K
Current Ratio0.30x1.35x0.33x0.55x0.91x1.79x1.04x1.43x1.03x2.35x0.00x
Quick Ratio0.26x1.33x0.30x0.44x0.85x1.67x0.99x1.43x1.03x2.39x0.00x
Cash Conversion Cycle-541.62418.81K353.41K488.8364.2298.4656.98----
Total Non-Current Liabilities29.83M21.75M23.84M55.3M24.74M22.66M24.81M20.6M18.7M23.1M8.19M
Long-Term Debt26.73M16.8M20.91M30M23.45M22.09M24.64M18.38M18.39M95K0
Capital Lease Obligations1.67M140K01.84M1.96M326K00000
Deferred Tax Liabilities10.83M2.57M2.87M2.23M1.23M411K01K26K3.78M0
Other Non-Current Liabilities57K2.24M57K6.52M57K165K169K9.06M7.56M18.99M8.19M
Total Liabilities69.78M77.02M77.97M57.7M47.69M36.09M44.49M41.41M39.31M36.23M8.19M
Total Debt28.99M29.19M29.09M32.4M28.56M23.09M25.95M19.27M22.34M1.26M8M
Net Debt28.97M28.94M28.89M31.8M27.28M14.49M23.13M14.74M20.4M-9.71M7.97M
Debt / Equity-0.76x1.45x-8.65x1.30x0.57x1.45x0.80x0.60x0.02x-
Debt / EBITDA-2.56x-----12.38x--0.07x-
Net Debt / EBITDA-2.56x-----11.03x---0.54x-
Interest Coverage-2.94x-1.59x-1.72x-2.76x-3.76x-1.54x0.11x-1.67x-2.30x29.80x-279.00x
Total Equity-37.92M20.1M-40.54M3.75M21.97M40.42M17.89M23.98M37M63.82M-281K
Equity Growth %-2228.68%149.59%-1182.14%-82.95%-45.65%125.93%-25.41%-35.18%-42.02%22812.46%-
Book Value per Share-5.543.02-13.171.5210.5924.7913.2017.6927.2983.71-0.51
Total Shareholders' Equity-37.92M20.1M-40.54M3.75M21.97M40.42M17.71M23.98M37M63.82M-281K
Common Stock1.04M2.7M533K308K256K222K163K163K163K163K72K
Retained Earnings-147.47M-155.78M-142.99M-96.29M-71.45M-51.57M-40.77M-34.06M-22.58M5.28M-281K
Treasury Stock0000000----
Accumulated OCI-6.55M-8.48M-10.03M-8.63M-9.42M-8.65M-9.3M-11.89M19.2M18.16M-72K
Minority Interest000000184K0000

Key Metrics

Growth RegimeContracting
ProfitabilityNegative
Balance SheetVulnerable
Cash FlowBurning
Top Statement Risk

Imminent insolvency and dilution

Rapid Erosion of Equity Base

As reported in recent financial filings, VivoPower's equity has deteriorated into a negative $37.9 million position as of 2025Q2, marking a severe trajectory of capital depletion that suggests the company's historical asset base is no longer sufficient to cover its mounting liabilities and operational losses.

The consistent decline in equity from positive levels in 2021 indicates that the company has been systematically consuming its capital base to fund ongoing operations. This trajectory suggests that the business model is currently unsustainable without continuous external capital injections, which may further dilute existing shareholders.

Critical Depletion of Cash Reserves

Based on the company's 2025Q2 balance sheet, cash and equivalents have plummeted to a nominal $26,000, a figure that, when compared to historical levels of $17.4 million in 2021, highlights an extremely precarious liquidity position that leaves virtually no buffer against operational shocks.

A current ratio of 0.30 confirms that the company lacks the liquid assets necessary to meet its short-term obligations. This liquidity profile suggests that the firm is likely operating on a day-to-day basis, necessitating immediate financing to avoid a potential default on its liabilities.

Leverage Burden Amidst Revenue Stagnation

According to the latest quarterly data, VivoPower maintains $29.0 million in total debt, which, in the context of negligible revenue, indicates that the company's leverage is a significant burden that likely restricts its ability to pivot or invest in new growth initiatives.

The presence of substantial debt on a balance sheet with negative equity and minimal cash flow suggests that the company is highly over-leveraged. Investors should monitor whether this debt structure necessitates a debt-for-equity swap or other restructuring measures to ensure the company's continued existence.

Goodwill Volatility Masks Asset Quality

As indicated by the company's reported figures, goodwill has fluctuated significantly, reaching $15.8 million in 2025Q2, which warrants further investigation as it may represent an overvaluation of intangible assets that are not currently generating the cash flows required to justify their carrying value.

The volatility in goodwill suggests that the company may be subject to future impairment charges, which would further erode the already negative equity position. This accounting treatment appears to obscure the underlying reality that the company's core assets are not performing at levels that support their historical acquisition costs.

VVPR — Frequently Asked Questions

Quick answers to the most common questions about buying VVPR stock.

What are the total assets of VivoPower International PLC (VVPR)?

As of 2025, VivoPower International PLC (VVPR) had total assets of $97.1M including $74.6M in current assets.

How much debt does VivoPower International PLC (VVPR) have?

VivoPower International PLC (VVPR) carries total debt of $29.2M, offset by $0.3M in cash and short-term investments. Comparing total debt to cash helps evaluate the company's debt burden and net leverage.

What is the book value or shareholders' equity of VivoPower International PLC?

VivoPower International PLC (VVPR) has total shareholders' equity (book value) of $20.1M ($3.02 book value per share). Book value represents the net worth of the company belonging to common stock holders.

What is VivoPower International PLC's current ratio and liquidity?

VivoPower International PLC (VVPR) reported a current ratio of 1.35x. A current ratio above 1.0x indicates that the company has more current assets than current liabilities, suggesting sufficient short-term liquidity.