AU Stock MarketDetailed Quotes

ANN Ansell Ltd

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  • 31.060
  • -0.140-0.45%
20min DelayMarket Closed Oct 17 16:00 AET
4.53BMarket Cap35.06P/E (Static)

Ansell 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
472.33%912.3M
472.33%912.3M
-22.70%159.4M
-22.70%159.4M
-14.15%206.2M
-14.15%206.2M
-41.26%240.2M
-41.26%240.2M
2.87%408.9M
2.87%408.9M
-Cash and cash equivalents
472.33%912.3M
472.33%912.3M
-22.70%159.4M
-22.70%159.4M
-14.15%206.2M
-14.15%206.2M
-41.26%240.2M
-41.26%240.2M
2.87%408.9M
2.87%408.9M
-Accounts receivable
7.07%265M
7.07%265M
-6.74%247.5M
-6.74%247.5M
-23.12%265.4M
-23.12%265.4M
43.30%345.2M
43.30%345.2M
-4.25%240.9M
-4.25%240.9M
-Notes receivable
-9.62%14.1M
-9.62%14.1M
-7.69%15.6M
-7.69%15.6M
-39.21%16.9M
-39.21%16.9M
14.88%27.8M
14.88%27.8M
2.98%24.2M
2.98%24.2M
-Other receivables
--45.9M
--45.9M
----
----
-2.64%44.3M
-2.64%44.3M
31.50%45.5M
31.50%45.5M
-14.14%34.6M
-14.14%34.6M
Total current assets
78.06%1.62B
78.06%1.62B
-7.36%912M
-7.36%912M
-15.63%984.5M
-15.63%984.5M
21.43%1.17B
21.43%1.17B
0.19%961M
0.19%961M
Non current assets
-Accumulated depreciation
-5.60%-516.4M
-5.60%-516.4M
-6.65%-489M
-6.65%-489M
-6.43%-458.5M
-6.43%-458.5M
-9.17%-430.8M
-9.17%-430.8M
-23.00%-394.6M
-23.00%-394.6M
-Long term equity investment
106.82%779.7M
106.82%779.7M
-19.38%377M
-19.38%377M
-5.48%467.6M
-5.48%467.6M
-2.85%494.7M
-2.85%494.7M
-3.06%509.2M
-3.06%509.2M
-Including:Held to maturity investments
4.76%4.4M
4.76%4.4M
-75.58%4.2M
-75.58%4.2M
341.03%17.2M
341.03%17.2M
-31.58%3.9M
-31.58%3.9M
11.76%5.7M
11.76%5.7M
Financial assets
0.00%5.7M
0.00%5.7M
200.00%5.7M
200.00%5.7M
72.73%1.9M
72.73%1.9M
-38.89%1.1M
-38.89%1.1M
-33.33%1.8M
-33.33%1.8M
Non current note receivables
8.97%80.2M
8.97%80.2M
13.06%73.6M
13.06%73.6M
-21.66%65.1M
-21.66%65.1M
21.31%83.1M
21.31%83.1M
3.79%68.5M
3.79%68.5M
-Goodwill
-0.46%1.05B
-0.46%1.05B
0.98%1.06B
0.98%1.06B
-2.57%1.05B
-2.57%1.05B
1.05%1.08B
1.05%1.08B
-1.54%1.07B
-1.54%1.07B
Defined pension benefit
12.50%2.7M
12.50%2.7M
0.00%2.4M
0.00%2.4M
-14.29%2.4M
-14.29%2.4M
33.33%2.8M
33.33%2.8M
-57.14%2.1M
-57.14%2.1M
Regulatory assets
10.83%211.9M
10.83%211.9M
-5.21%191.2M
-5.21%191.2M
-26.44%201.7M
-26.44%201.7M
51.32%274.2M
51.32%274.2M
-9.90%181.2M
-9.90%181.2M
Non current deferred assets
0.00%1.5M
0.00%1.5M
-11.76%1.5M
-11.76%1.5M
13.33%1.7M
13.33%1.7M
-63.41%1.5M
-63.41%1.5M
-4.65%4.1M
-4.65%4.1M
Liabilities
Current liabilities
Current debt and capital lease obligation
-33.93%77.5M
-33.93%77.5M
544.51%117.3M
544.51%117.3M
-12.50%18.2M
-12.50%18.2M
-69.55%20.8M
-69.55%20.8M
241.50%68.3M
241.50%68.3M
-Current debt
-40.30%59.7M
-40.30%59.7M
--100M
--100M
----
----
----
----
150.00%50M
150.00%50M
-Current capital lease obligation
2.89%17.8M
2.89%17.8M
-4.95%17.3M
-4.95%17.3M
-12.50%18.2M
-12.50%18.2M
13.66%20.8M
13.66%20.8M
--18.3M
--18.3M
-accounts payable
2.73%225.5M
2.73%225.5M
-5.39%219.5M
-5.39%219.5M
-35.09%232M
-35.09%232M
62.38%357.4M
62.38%357.4M
18.78%220.1M
18.78%220.1M
-Total tax payable
81.58%909M
81.58%909M
-15.05%500.6M
-15.05%500.6M
-5.44%589.3M
-5.44%589.3M
-2.14%623.2M
-2.14%623.2M
-2.57%636.8M
-2.57%636.8M
-Other payable
0.93%32.7M
0.93%32.7M
21.80%32.4M
21.80%32.4M
-2.56%26.6M
-2.56%26.6M
3.80%27.3M
3.80%27.3M
-4.01%26.3M
-4.01%26.3M
Current provisions
-21.55%14.2M
-21.55%14.2M
191.94%18.1M
191.94%18.1M
-51.18%6.2M
-51.18%6.2M
-14.19%12.7M
-14.19%12.7M
2.07%14.8M
2.07%14.8M
Current deferred liabilities
-36.91%9.4M
-36.91%9.4M
41.90%14.9M
41.90%14.9M
-63.29%10.5M
-63.29%10.5M
132.52%28.6M
132.52%28.6M
55.70%12.3M
55.70%12.3M
Current liabilities
2.12%423.4M
2.12%423.4M
15.07%414.6M
15.07%414.6M
-34.48%360.3M
-34.48%360.3M
34.65%549.9M
34.65%549.9M
30.52%408.4M
30.52%408.4M
Non current liabilities
-Long term debt
4.43%73.1M
4.43%73.1M
69.49%70M
69.49%70M
-3.95%41.3M
-3.95%41.3M
9.41%43M
9.41%43M
--39.3M
--39.3M
Non current accrued expenses
-0.30%435.5M
-0.30%435.5M
22.49%436.8M
22.49%436.8M
0.17%356.6M
0.17%356.6M
15.96%356M
15.96%356M
33.59%307M
33.59%307M
Derivative product liabilities
----
----
----
----
----
----
----
----
100.00%800K
100.00%800K
Long term provisions
130.16%706.6M
130.16%706.6M
-27.98%307M
-27.98%307M
-5.62%426.3M
-5.62%426.3M
-3.87%451.7M
-3.87%451.7M
-10.55%469.9M
-10.55%469.9M
Employee benefits
-9.62%14.1M
-9.62%14.1M
-7.69%15.6M
-7.69%15.6M
-39.21%16.9M
-39.21%16.9M
14.88%27.8M
14.88%27.8M
2.98%24.2M
2.98%24.2M
Regulatory liabilities
3.00%-64.6M
3.00%-64.6M
10.24%-66.6M
10.24%-66.6M
6.90%-74.2M
6.90%-74.2M
-18.07%-79.7M
-18.07%-79.7M
-13.64%-67.5M
-13.64%-67.5M
Preferred securities outside stock equity
13.62%50.9M
13.62%50.9M
-8.76%44.8M
-8.76%44.8M
-42.17%49.1M
-42.17%49.1M
45.63%84.9M
45.63%84.9M
29.84%58.3M
29.84%58.3M
Total non current liabilities
45.59%1.33B
45.59%1.33B
-3.62%915.2M
-3.62%915.2M
-19.05%949.6M
-19.05%949.6M
12.24%1.17B
12.24%1.17B
8.14%1.05B
8.14%1.05B
Shareholders'equity
Share capital
36.97%1.03B
36.97%1.03B
0.93%750.7M
0.93%750.7M
-3.28%743.8M
-3.28%743.8M
-4.59%769M
-4.59%769M
-7.77%806M
-7.77%806M
-common stock
36.97%1.03B
36.97%1.03B
0.93%750.7M
0.93%750.7M
-3.28%743.8M
-3.28%743.8M
-4.59%769M
-4.59%769M
-7.77%806M
-7.77%806M
Gains losses not affecting retained earnings
-9.47%-193.1M
-9.47%-193.1M
-23.44%-176.4M
-23.44%-176.4M
-68.91%-142.9M
-68.91%-142.9M
29.62%-84.6M
29.62%-84.6M
-40.58%-120.2M
-40.58%-120.2M
Other equity interest
20.26%37.4M
20.26%37.4M
-18.37%31.1M
-18.37%31.1M
1.87%38.1M
1.87%38.1M
49.00%37.4M
49.00%37.4M
26.13%25.1M
26.13%25.1M
Noncontrolling interests
----
----
----
----
-49.21%9.6M
-49.21%9.6M
58.82%18.9M
58.82%18.9M
--11.9M
--11.9M
Total equity
28.14%3.24B
28.14%3.24B
0.97%2.53B
0.97%2.53B
-8.46%2.51B
-8.46%2.51B
11.81%2.74B
11.81%2.74B
3.02%2.45B
3.02%2.45B
(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 472.33%912.3M472.33%912.3M-22.70%159.4M-22.70%159.4M-14.15%206.2M-14.15%206.2M-41.26%240.2M-41.26%240.2M2.87%408.9M2.87%408.9M
-Cash and cash equivalents 472.33%912.3M472.33%912.3M-22.70%159.4M-22.70%159.4M-14.15%206.2M-14.15%206.2M-41.26%240.2M-41.26%240.2M2.87%408.9M2.87%408.9M
-Accounts receivable 7.07%265M7.07%265M-6.74%247.5M-6.74%247.5M-23.12%265.4M-23.12%265.4M43.30%345.2M43.30%345.2M-4.25%240.9M-4.25%240.9M
-Notes receivable -9.62%14.1M-9.62%14.1M-7.69%15.6M-7.69%15.6M-39.21%16.9M-39.21%16.9M14.88%27.8M14.88%27.8M2.98%24.2M2.98%24.2M
-Other receivables --45.9M--45.9M---------2.64%44.3M-2.64%44.3M31.50%45.5M31.50%45.5M-14.14%34.6M-14.14%34.6M
Total current assets 78.06%1.62B78.06%1.62B-7.36%912M-7.36%912M-15.63%984.5M-15.63%984.5M21.43%1.17B21.43%1.17B0.19%961M0.19%961M
Non current assets
-Accumulated depreciation -5.60%-516.4M-5.60%-516.4M-6.65%-489M-6.65%-489M-6.43%-458.5M-6.43%-458.5M-9.17%-430.8M-9.17%-430.8M-23.00%-394.6M-23.00%-394.6M
-Long term equity investment 106.82%779.7M106.82%779.7M-19.38%377M-19.38%377M-5.48%467.6M-5.48%467.6M-2.85%494.7M-2.85%494.7M-3.06%509.2M-3.06%509.2M
-Including:Held to maturity investments 4.76%4.4M4.76%4.4M-75.58%4.2M-75.58%4.2M341.03%17.2M341.03%17.2M-31.58%3.9M-31.58%3.9M11.76%5.7M11.76%5.7M
Financial assets 0.00%5.7M0.00%5.7M200.00%5.7M200.00%5.7M72.73%1.9M72.73%1.9M-38.89%1.1M-38.89%1.1M-33.33%1.8M-33.33%1.8M
Non current note receivables 8.97%80.2M8.97%80.2M13.06%73.6M13.06%73.6M-21.66%65.1M-21.66%65.1M21.31%83.1M21.31%83.1M3.79%68.5M3.79%68.5M
-Goodwill -0.46%1.05B-0.46%1.05B0.98%1.06B0.98%1.06B-2.57%1.05B-2.57%1.05B1.05%1.08B1.05%1.08B-1.54%1.07B-1.54%1.07B
Defined pension benefit 12.50%2.7M12.50%2.7M0.00%2.4M0.00%2.4M-14.29%2.4M-14.29%2.4M33.33%2.8M33.33%2.8M-57.14%2.1M-57.14%2.1M
Regulatory assets 10.83%211.9M10.83%211.9M-5.21%191.2M-5.21%191.2M-26.44%201.7M-26.44%201.7M51.32%274.2M51.32%274.2M-9.90%181.2M-9.90%181.2M
Non current deferred assets 0.00%1.5M0.00%1.5M-11.76%1.5M-11.76%1.5M13.33%1.7M13.33%1.7M-63.41%1.5M-63.41%1.5M-4.65%4.1M-4.65%4.1M
Liabilities
Current liabilities
Current debt and capital lease obligation -33.93%77.5M-33.93%77.5M544.51%117.3M544.51%117.3M-12.50%18.2M-12.50%18.2M-69.55%20.8M-69.55%20.8M241.50%68.3M241.50%68.3M
-Current debt -40.30%59.7M-40.30%59.7M--100M--100M----------------150.00%50M150.00%50M
-Current capital lease obligation 2.89%17.8M2.89%17.8M-4.95%17.3M-4.95%17.3M-12.50%18.2M-12.50%18.2M13.66%20.8M13.66%20.8M--18.3M--18.3M
-accounts payable 2.73%225.5M2.73%225.5M-5.39%219.5M-5.39%219.5M-35.09%232M-35.09%232M62.38%357.4M62.38%357.4M18.78%220.1M18.78%220.1M
-Total tax payable 81.58%909M81.58%909M-15.05%500.6M-15.05%500.6M-5.44%589.3M-5.44%589.3M-2.14%623.2M-2.14%623.2M-2.57%636.8M-2.57%636.8M
-Other payable 0.93%32.7M0.93%32.7M21.80%32.4M21.80%32.4M-2.56%26.6M-2.56%26.6M3.80%27.3M3.80%27.3M-4.01%26.3M-4.01%26.3M
Current provisions -21.55%14.2M-21.55%14.2M191.94%18.1M191.94%18.1M-51.18%6.2M-51.18%6.2M-14.19%12.7M-14.19%12.7M2.07%14.8M2.07%14.8M
Current deferred liabilities -36.91%9.4M-36.91%9.4M41.90%14.9M41.90%14.9M-63.29%10.5M-63.29%10.5M132.52%28.6M132.52%28.6M55.70%12.3M55.70%12.3M
Current liabilities 2.12%423.4M2.12%423.4M15.07%414.6M15.07%414.6M-34.48%360.3M-34.48%360.3M34.65%549.9M34.65%549.9M30.52%408.4M30.52%408.4M
Non current liabilities
-Long term debt 4.43%73.1M4.43%73.1M69.49%70M69.49%70M-3.95%41.3M-3.95%41.3M9.41%43M9.41%43M--39.3M--39.3M
Non current accrued expenses -0.30%435.5M-0.30%435.5M22.49%436.8M22.49%436.8M0.17%356.6M0.17%356.6M15.96%356M15.96%356M33.59%307M33.59%307M
Derivative product liabilities --------------------------------100.00%800K100.00%800K
Long term provisions 130.16%706.6M130.16%706.6M-27.98%307M-27.98%307M-5.62%426.3M-5.62%426.3M-3.87%451.7M-3.87%451.7M-10.55%469.9M-10.55%469.9M
Employee benefits -9.62%14.1M-9.62%14.1M-7.69%15.6M-7.69%15.6M-39.21%16.9M-39.21%16.9M14.88%27.8M14.88%27.8M2.98%24.2M2.98%24.2M
Regulatory liabilities 3.00%-64.6M3.00%-64.6M10.24%-66.6M10.24%-66.6M6.90%-74.2M6.90%-74.2M-18.07%-79.7M-18.07%-79.7M-13.64%-67.5M-13.64%-67.5M
Preferred securities outside stock equity 13.62%50.9M13.62%50.9M-8.76%44.8M-8.76%44.8M-42.17%49.1M-42.17%49.1M45.63%84.9M45.63%84.9M29.84%58.3M29.84%58.3M
Total non current liabilities 45.59%1.33B45.59%1.33B-3.62%915.2M-3.62%915.2M-19.05%949.6M-19.05%949.6M12.24%1.17B12.24%1.17B8.14%1.05B8.14%1.05B
Shareholders'equity
Share capital 36.97%1.03B36.97%1.03B0.93%750.7M0.93%750.7M-3.28%743.8M-3.28%743.8M-4.59%769M-4.59%769M-7.77%806M-7.77%806M
-common stock 36.97%1.03B36.97%1.03B0.93%750.7M0.93%750.7M-3.28%743.8M-3.28%743.8M-4.59%769M-4.59%769M-7.77%806M-7.77%806M
Gains losses not affecting retained earnings -9.47%-193.1M-9.47%-193.1M-23.44%-176.4M-23.44%-176.4M-68.91%-142.9M-68.91%-142.9M29.62%-84.6M29.62%-84.6M-40.58%-120.2M-40.58%-120.2M
Other equity interest 20.26%37.4M20.26%37.4M-18.37%31.1M-18.37%31.1M1.87%38.1M1.87%38.1M49.00%37.4M49.00%37.4M26.13%25.1M26.13%25.1M
Noncontrolling interests -----------------49.21%9.6M-49.21%9.6M58.82%18.9M58.82%18.9M--11.9M--11.9M
Total equity 28.14%3.24B28.14%3.24B0.97%2.53B0.97%2.53B-8.46%2.51B-8.46%2.51B11.81%2.74B11.81%2.74B3.02%2.45B3.02%2.45B

Analysis

Analyst Rating

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Price Target

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Heat List
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Symbol
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