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AIZ Air New Zealand Ltd

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  • 0.485
  • 0.0000.00%
20min DelayTrading Oct 2 10:39 AET
1.63BMarket Cap12.44P/E (Static)

Air New Zealand Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(FY)Jun 30, 2020
(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-42.57%1.28B
-42.57%1.28B
24.21%2.23B
24.21%2.23B
574.06%1.79B
574.06%1.79B
-39.27%266M
-39.27%266M
-58.48%438M
-58.48%438M
-Cash and cash equivalents
-42.57%1.28B
-42.57%1.28B
24.21%2.23B
24.21%2.23B
574.06%1.79B
574.06%1.79B
-39.27%266M
-39.27%266M
-58.48%438M
-58.48%438M
-Accounts receivable
8.29%457M
8.29%457M
34.82%422M
34.82%422M
63.02%313M
63.02%313M
-28.09%192M
-28.09%192M
-39.32%267M
-39.32%267M
-Notes receivable
----
----
----
----
----
----
8.33%13M
8.33%13M
-14.29%12M
-14.29%12M
Current deferred assets
1,300.00%28M
1,300.00%28M
--2M
--2M
----
----
----
----
--3M
--3M
Holding assets for sale
----
----
----
----
-72.92%13M
-72.92%13M
41.18%48M
41.18%48M
3,300.00%34M
3,300.00%34M
Total current assets
-25.36%2.44B
-25.36%2.44B
30.92%3.27B
30.92%3.27B
202.30%2.5B
202.30%2.5B
-18.14%826M
-18.14%826M
-44.07%1.01B
-44.07%1.01B
Non current assets
-Accumulated depreciation
-10.02%-5.05B
-10.02%-5.05B
-15.07%-4.59B
-15.07%-4.59B
-16.37%-3.99B
-16.37%-3.99B
0.12%-3.43B
0.12%-3.43B
-12.78%-3.43B
-12.78%-3.43B
-Long term equity investment
-16.56%2.33B
-16.56%2.33B
0.43%2.79B
0.43%2.79B
15.70%2.78B
15.70%2.78B
-24.69%2.4B
-24.69%2.4B
39.21%3.19B
39.21%3.19B
-Including:Held to maturity investments
-2.22%88M
-2.22%88M
-45.45%90M
-45.45%90M
108.86%165M
108.86%165M
107.89%79M
107.89%79M
-20.83%38M
-20.83%38M
Financial assets
-24.59%92M
-24.59%92M
-14.69%122M
-14.69%122M
--143M
--143M
----
----
----
----
Non current note receivables
----
----
-95.12%8M
-95.12%8M
--164M
--164M
----
----
----
----
-Goodwill
9.30%188M
9.30%188M
17.01%172M
17.01%172M
-17.88%147M
-17.88%147M
-3.76%179M
-3.76%179M
0.00%186M
0.00%186M
Regulatory assets
8.29%457M
8.29%457M
34.82%422M
34.82%422M
63.02%313M
63.02%313M
-26.15%192M
-26.15%192M
-40.91%260M
-40.91%260M
Non current deferred assets
43.48%33M
43.48%33M
-36.11%23M
-36.11%23M
-60.87%36M
-60.87%36M
-35.21%92M
-35.21%92M
121.88%142M
121.88%142M
Liabilities
Current liabilities
Current debt and capital lease obligation
-10.46%488M
-10.46%488M
-7.63%545M
-7.63%545M
-35.02%590M
-35.02%590M
72.95%908M
72.95%908M
71.01%525M
71.01%525M
-Current debt
-18.65%157M
-18.65%157M
-22.18%193M
-22.18%193M
-52.76%248M
-52.76%248M
205.23%525M
205.23%525M
17.81%172M
17.81%172M
-Current capital lease obligation
-5.97%331M
-5.97%331M
2.92%352M
2.92%352M
-10.70%342M
-10.70%342M
8.50%383M
8.50%383M
119.25%353M
119.25%353M
-accounts payable
8.85%849M
8.85%849M
56.94%780M
56.94%780M
-5.15%497M
-5.15%497M
62.73%524M
62.73%524M
-44.96%322M
-44.96%322M
-Total tax payable
-10.40%2.94B
-10.40%2.94B
-6.34%3.28B
-6.34%3.28B
8.22%3.5B
8.22%3.5B
-21.51%3.24B
-21.51%3.24B
37.39%4.12B
37.39%4.12B
-Other payable
-0.22%462M
-0.22%462M
18.11%463M
18.11%463M
14.62%392M
14.62%392M
-2.56%342M
-2.56%342M
1,571.43%351M
1,571.43%351M
Current provisions
-8.51%129M
-8.51%129M
-39.22%141M
-39.22%141M
236.23%232M
236.23%232M
-68.64%69M
-68.64%69M
60.58%220M
60.58%220M
Current deferred liabilities
-10.65%1.84B
-10.65%1.84B
25.66%2.06B
25.66%2.06B
137.59%1.64B
137.59%1.64B
-16.79%689M
-16.79%689M
-40.73%828M
-40.73%828M
Current liabilities
-6.18%3.6B
-6.18%3.6B
20.97%3.84B
20.97%3.84B
34.76%3.17B
34.76%3.17B
11.94%2.35B
11.94%2.35B
-21.16%2.1B
-21.16%2.1B
Non current liabilities
-Long term debt
-16.32%1.09B
-16.32%1.09B
10.31%1.31B
10.31%1.31B
-14.15%1.18B
-14.15%1.18B
-26.90%1.38B
-26.90%1.38B
103.34%1.89B
103.34%1.89B
Non current accrued expenses
3.64%5.13B
3.64%5.13B
2.93%4.95B
2.93%4.95B
-6.06%4.81B
-6.06%4.81B
-10.12%5.12B
-10.12%5.12B
8.07%5.69B
8.07%5.69B
Derivative product liabilities
-26.28%101M
-26.28%101M
-13.84%137M
-13.84%137M
--159M
--159M
----
----
----
----
Long term provisions
-16.77%1.24B
-16.77%1.24B
-6.90%1.49B
-6.90%1.49B
55.91%1.6B
55.91%1.6B
-21.49%1.02B
-21.49%1.02B
-4.40%1.3B
-4.40%1.3B
Employee benefits
----
----
----
----
----
----
8.33%13M
8.33%13M
-14.29%12M
-14.29%12M
Regulatory liabilities
----
----
----
----
----
----
----
----
---7M
---7M
Preferred securities outside stock equity
-5.86%289M
-5.86%289M
49.03%307M
49.03%307M
34.64%206M
34.64%206M
-7.27%153M
-7.27%153M
-25.00%165M
-25.00%165M
Total non current liabilities
-8.12%6.54B
-8.12%6.54B
6.64%7.12B
6.64%7.12B
19.40%6.67B
19.40%6.67B
-10.22%5.59B
-10.22%5.59B
9.85%6.23B
9.85%6.23B
Shareholders'equity
Share capital
0.06%3.38B
0.06%3.38B
0.12%3.38B
0.12%3.38B
52.42%3.37B
52.42%3.37B
0.18%2.21B
0.18%2.21B
-0.45%2.21B
-0.45%2.21B
-common stock
0.06%3.38B
0.06%3.38B
0.12%3.38B
0.12%3.38B
52.42%3.37B
52.42%3.37B
0.18%2.21B
0.18%2.21B
-0.45%2.21B
-0.45%2.21B
Gains losses not affecting retained earnings
-5.47%-1.37B
-5.47%-1.37B
23.47%-1.3B
23.47%-1.3B
-53.07%-1.7B
-53.07%-1.7B
-24.35%-1.11B
-24.35%-1.11B
-585.38%-891M
-585.38%-891M
Other equity interest
12.24%376M
12.24%376M
415.38%335M
415.38%335M
-26.97%65M
-26.97%65M
4.71%89M
4.71%89M
54.55%85M
54.55%85M
Noncontrolling interests
7.89%205M
7.89%205M
15.85%190M
15.85%190M
18.84%164M
18.84%164M
-14.81%138M
-14.81%138M
8.72%162M
8.72%162M
Total equity
-7.04%8.55B
-7.04%8.55B
10.12%9.2B
10.12%9.2B
24.74%8.35B
24.74%8.35B
-11.26%6.69B
-11.26%6.69B
-2.75%7.54B
-2.75%7.54B
(FY)Jun 30, 2024(Q4)Jun 30, 2024(FY)Jun 30, 2023(Q4)Jun 30, 2023(FY)Jun 30, 2022(Q4)Jun 30, 2022(FY)Jun 30, 2021(Q4)Jun 30, 2021(FY)Jun 30, 2020(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -42.57%1.28B-42.57%1.28B24.21%2.23B24.21%2.23B574.06%1.79B574.06%1.79B-39.27%266M-39.27%266M-58.48%438M-58.48%438M
-Cash and cash equivalents -42.57%1.28B-42.57%1.28B24.21%2.23B24.21%2.23B574.06%1.79B574.06%1.79B-39.27%266M-39.27%266M-58.48%438M-58.48%438M
-Accounts receivable 8.29%457M8.29%457M34.82%422M34.82%422M63.02%313M63.02%313M-28.09%192M-28.09%192M-39.32%267M-39.32%267M
-Notes receivable ------------------------8.33%13M8.33%13M-14.29%12M-14.29%12M
Current deferred assets 1,300.00%28M1,300.00%28M--2M--2M------------------3M--3M
Holding assets for sale -----------------72.92%13M-72.92%13M41.18%48M41.18%48M3,300.00%34M3,300.00%34M
Total current assets -25.36%2.44B-25.36%2.44B30.92%3.27B30.92%3.27B202.30%2.5B202.30%2.5B-18.14%826M-18.14%826M-44.07%1.01B-44.07%1.01B
Non current assets
-Accumulated depreciation -10.02%-5.05B-10.02%-5.05B-15.07%-4.59B-15.07%-4.59B-16.37%-3.99B-16.37%-3.99B0.12%-3.43B0.12%-3.43B-12.78%-3.43B-12.78%-3.43B
-Long term equity investment -16.56%2.33B-16.56%2.33B0.43%2.79B0.43%2.79B15.70%2.78B15.70%2.78B-24.69%2.4B-24.69%2.4B39.21%3.19B39.21%3.19B
-Including:Held to maturity investments -2.22%88M-2.22%88M-45.45%90M-45.45%90M108.86%165M108.86%165M107.89%79M107.89%79M-20.83%38M-20.83%38M
Financial assets -24.59%92M-24.59%92M-14.69%122M-14.69%122M--143M--143M----------------
Non current note receivables ---------95.12%8M-95.12%8M--164M--164M----------------
-Goodwill 9.30%188M9.30%188M17.01%172M17.01%172M-17.88%147M-17.88%147M-3.76%179M-3.76%179M0.00%186M0.00%186M
Regulatory assets 8.29%457M8.29%457M34.82%422M34.82%422M63.02%313M63.02%313M-26.15%192M-26.15%192M-40.91%260M-40.91%260M
Non current deferred assets 43.48%33M43.48%33M-36.11%23M-36.11%23M-60.87%36M-60.87%36M-35.21%92M-35.21%92M121.88%142M121.88%142M
Liabilities
Current liabilities
Current debt and capital lease obligation -10.46%488M-10.46%488M-7.63%545M-7.63%545M-35.02%590M-35.02%590M72.95%908M72.95%908M71.01%525M71.01%525M
-Current debt -18.65%157M-18.65%157M-22.18%193M-22.18%193M-52.76%248M-52.76%248M205.23%525M205.23%525M17.81%172M17.81%172M
-Current capital lease obligation -5.97%331M-5.97%331M2.92%352M2.92%352M-10.70%342M-10.70%342M8.50%383M8.50%383M119.25%353M119.25%353M
-accounts payable 8.85%849M8.85%849M56.94%780M56.94%780M-5.15%497M-5.15%497M62.73%524M62.73%524M-44.96%322M-44.96%322M
-Total tax payable -10.40%2.94B-10.40%2.94B-6.34%3.28B-6.34%3.28B8.22%3.5B8.22%3.5B-21.51%3.24B-21.51%3.24B37.39%4.12B37.39%4.12B
-Other payable -0.22%462M-0.22%462M18.11%463M18.11%463M14.62%392M14.62%392M-2.56%342M-2.56%342M1,571.43%351M1,571.43%351M
Current provisions -8.51%129M-8.51%129M-39.22%141M-39.22%141M236.23%232M236.23%232M-68.64%69M-68.64%69M60.58%220M60.58%220M
Current deferred liabilities -10.65%1.84B-10.65%1.84B25.66%2.06B25.66%2.06B137.59%1.64B137.59%1.64B-16.79%689M-16.79%689M-40.73%828M-40.73%828M
Current liabilities -6.18%3.6B-6.18%3.6B20.97%3.84B20.97%3.84B34.76%3.17B34.76%3.17B11.94%2.35B11.94%2.35B-21.16%2.1B-21.16%2.1B
Non current liabilities
-Long term debt -16.32%1.09B-16.32%1.09B10.31%1.31B10.31%1.31B-14.15%1.18B-14.15%1.18B-26.90%1.38B-26.90%1.38B103.34%1.89B103.34%1.89B
Non current accrued expenses 3.64%5.13B3.64%5.13B2.93%4.95B2.93%4.95B-6.06%4.81B-6.06%4.81B-10.12%5.12B-10.12%5.12B8.07%5.69B8.07%5.69B
Derivative product liabilities -26.28%101M-26.28%101M-13.84%137M-13.84%137M--159M--159M----------------
Long term provisions -16.77%1.24B-16.77%1.24B-6.90%1.49B-6.90%1.49B55.91%1.6B55.91%1.6B-21.49%1.02B-21.49%1.02B-4.40%1.3B-4.40%1.3B
Employee benefits ------------------------8.33%13M8.33%13M-14.29%12M-14.29%12M
Regulatory liabilities -----------------------------------7M---7M
Preferred securities outside stock equity -5.86%289M-5.86%289M49.03%307M49.03%307M34.64%206M34.64%206M-7.27%153M-7.27%153M-25.00%165M-25.00%165M
Total non current liabilities -8.12%6.54B-8.12%6.54B6.64%7.12B6.64%7.12B19.40%6.67B19.40%6.67B-10.22%5.59B-10.22%5.59B9.85%6.23B9.85%6.23B
Shareholders'equity
Share capital 0.06%3.38B0.06%3.38B0.12%3.38B0.12%3.38B52.42%3.37B52.42%3.37B0.18%2.21B0.18%2.21B-0.45%2.21B-0.45%2.21B
-common stock 0.06%3.38B0.06%3.38B0.12%3.38B0.12%3.38B52.42%3.37B52.42%3.37B0.18%2.21B0.18%2.21B-0.45%2.21B-0.45%2.21B
Gains losses not affecting retained earnings -5.47%-1.37B-5.47%-1.37B23.47%-1.3B23.47%-1.3B-53.07%-1.7B-53.07%-1.7B-24.35%-1.11B-24.35%-1.11B-585.38%-891M-585.38%-891M
Other equity interest 12.24%376M12.24%376M415.38%335M415.38%335M-26.97%65M-26.97%65M4.71%89M4.71%89M54.55%85M54.55%85M
Noncontrolling interests 7.89%205M7.89%205M15.85%190M15.85%190M18.84%164M18.84%164M-14.81%138M-14.81%138M8.72%162M8.72%162M
Total equity -7.04%8.55B-7.04%8.55B10.12%9.2B10.12%9.2B24.74%8.35B24.74%8.35B-11.26%6.69B-11.26%6.69B-2.75%7.54B-2.75%7.54B

Analysis

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