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ANZPJ Australia and New Zealand Banking Group Ltd

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  • 101.300
  • 0.0000.00%
20min DelayNot Open Apr 12 10:00 AET
298.59BMarket Cap0.00P/E (Static)

Australia and New Zealand Banking Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Sep 30, 2022
(FY)Sep 30, 2021
(FY)Sep 30, 2020
(FY)Sep 30, 2019
(FY)Sep 30, 2018
(FY)Sep 30, 2017
(FY)Sep 30, 2016
(FY)Sep 30, 2015
(FY)Sep 30, 2014
(FY)Sep 30, 2013
Operating cash flow (Indirect Method)
Cash from operating activities
-53.96%20.18B
8.79%43.82B
985.32%40.28B
-143.06%-4.55B
-56.06%10.57B
121.82%24.05B
-49.52%10.84B
280.58%21.48B
-65.10%5.64B
154.16%16.17B
Net profit before non-cash adjustment
15.53%7.12B
72.25%6.16B
-40.05%3.58B
-6.98%5.97B
-0.08%6.42B
12.26%6.42B
-23.66%5.72B
3.05%7.49B
15.23%7.27B
11.46%6.31B
Total adjustment of non-cash items
17.35%-4.83B
-356.14%-5.84B
-62.67%2.28B
-29.38%6.11B
983.35%8.65B
-153.73%-979M
-88.65%1.82B
133,883.33%16.05B
-100.16%-12M
38.87%7.55B
-Depreciation and amortization
-7.27%1.01B
-21.85%1.09B
59.70%1.39B
-27.36%871M
23.35%1.2B
-34.10%972M
54.45%1.48B
13.83%955M
7.56%839M
7.88%780M
-Reversal of impairment losses recognized in profit and loss
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--260M
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-Assets reserve and write-off
59.08%-232M
-115.62%-567M
357.18%3.63B
15.41%794M
-42.57%688M
-37.90%1.2B
63.61%1.93B
19.57%1.18B
-17.00%986M
-4.35%1.19B
-Disposal profit
23.34%-4.69B
-130.10%-6.12B
-155.46%-2.66B
-29.61%4.8B
328.57%6.82B
-98.27%-2.98B
-110.44%-1.5B
1,156.57%14.4B
-123.50%-1.36B
72.49%5.8B
-Remuneration paid in stock
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----
----
----
----
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----
-33.33%18M
-77.31%27M
-11.19%119M
-Other non-cash items
-283.54%-909M
-196.25%-237M
77.53%-80M
-547.27%-356M
67.07%-55M
50.59%-167M
32.26%-338M
0.40%-499M
-47.35%-501M
-1,159.26%-340M
Changes in working capital
-58.89%17.88B
26.36%43.5B
307.06%34.42B
-269.61%-16.63B
-124.18%-4.5B
463.96%18.61B
259.30%3.3B
-28.16%-2.07B
-169.93%-1.62B
148.82%2.31B
-Change in receivables
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----
----
----
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114.53%50M
-190.77%-344M
159.69%379M
-Change in loans
-461.54%-46.38B
-16.01%-8.26B
30.67%-7.12B
59.36%-10.27B
-41.64%-25.27B
-20.55%-17.84B
54.16%-14.8B
8.18%-32.28B
-16.65%-35.15B
7.97%-30.14B
-Change in financial assets
80,100.00%8.02B
100.55%10M
77.30%-1.8B
-192.71%-7.94B
311.58%8.57B
526.81%2.08B
-88.43%332M
133.37%2.87B
-1,219.79%-8.6B
116.74%768M
-Change in payables
29.26%-3.49B
-142.94%-4.93B
1,165.55%11.48B
-158.12%-1.08B
395.53%1.85B
-6.45%-627M
-327.41%-589M
-91.63%259M
72.96%3.1B
1,042.11%1.79B
-Change in accrued expense
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----
----
----
----
----
----
-8.82%-148M
-700.00%-136M
96.26%-17M
-Change in accrued income
----
----
----
----
----
----
----
-588.89%-44M
136.00%9M
-200.00%-25M
-Change in deposits by banks and customers
-0.03%48.88B
22.63%48.9B
469.13%39.87B
-42.61%7.01B
-60.50%12.21B
33.62%30.9B
-23.03%23.13B
-17.88%30.05B
32.86%36.59B
-15.41%27.54B
-Changes in other current assets
-138.01%-1.95B
2,382.13%5.14B
102.76%207M
-229.62%-7.49B
-154.35%-2.27B
211.02%4.18B
2.59%-3.77B
-339.17%-3.87B
162.76%1.62B
-54.34%615M
-Changes in other current liabilities
384.52%12.8B
132.18%2.64B
-361.13%-8.21B
659.42%3.14B
535.79%414M
90.59%-95M
-197.40%-1.01B
-20.54%1.04B
-6.59%1.31B
3,072.34%1.4B
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
Other operating cash inflow (outflow)
Operating cash flow
-53.96%20.18B
8.79%43.82B
985.32%40.28B
-143.06%-4.55B
-56.06%10.57B
121.82%24.05B
-49.52%10.84B
280.58%21.48B
-65.10%5.64B
154.16%16.17B
Investing cash flow
Net PPE purchase and sale
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----
----
----
----
----
----
13.24%-321M
-3.93%-370M
-19.06%-356M
Net business purchase and sale
---65M
--0
----
----
----
----
----
-98.41%4M
217.72%251M
364.71%79M
Net investment property transactions
-110.18%-1.1B
199.46%10.82B
-3,701.99%-10.88B
128.33%302M
91.59%-1.07B
7.80%-12.68B
-61.24%-13.76B
-462.73%-8.53B
75.13%-1.52B
-903.16%-6.1B
Net changes in other investments
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----
----
----
--1B
----
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----
Investing cash flow
-117.71%-1.82B
189.47%10.26B
-5,465.53%-11.47B
-224.10%-206M
101.29%166M
10.96%-12.83B
-47.40%-14.41B
-407.32%-9.78B
74.67%-1.93B
-3,280.89%-7.61B
Financing cash flow
Net issuance payments of debt
82.80%-2.6B
-64.50%-15.09B
-411.69%-9.17B
-67.94%2.94B
502.32%9.18B
-134.97%-2.28B
94.45%6.52B
-52.88%3.35B
1,598.53%7.12B
-105.38%-475M
Net common stock issuance
-31.38%-963M
-500.82%-733M
90.10%-122M
38.21%-1.23B
-2,558.67%-1.99B
---75M
----
746.57%3.21B
-25.57%-496M
-758.33%-395M
Net preferred stock issuance
--492M
--0
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----
----
----
---755M
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----
Increase or decrease of lease financing
33.94%-218M
-17.44%-330M
---281M
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----
----
----
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----
Cash dividends paid
-33.52%-3.78B
0.94%-2.83B
36.01%-2.86B
2.02%-4.47B
-4.04%-4.56B
3.90%-4.39B
-21.29%-4.56B
1.67%-3.76B
-18.63%-3.83B
-45.38%-3.23B
Net other fund-raising expenses
-49.27%4.72B
-22.43%9.31B
--12B
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Financing cash flow
75.75%-2.35B
-2,138.89%-9.67B
84.35%-432M
-205.38%-2.76B
138.86%2.62B
-444.33%-6.74B
-4.16%1.96B
-26.91%2.04B
168.24%2.8B
-161.48%-4.1B
Net cash flow
Beginning cash position
40.16%151.26B
32.22%107.92B
-3.93%81.62B
24.86%84.96B
2.76%68.05B
-4.41%66.22B
43.64%69.28B
17.31%48.23B
15.78%41.11B
18.27%35.51B
Current changes in cash
-63.94%16.01B
56.45%44.41B
477.61%28.39B
-156.30%-7.52B
198.37%13.35B
377.78%4.48B
-111.72%-1.61B
111.07%13.74B
45.86%6.51B
-65.12%4.46B
Effect of exchange rate changes
180.11%858M
48.58%-1.07B
-149.90%-2.08B
17.12%4.17B
234.64%3.56B
-82.93%-2.65B
-119.81%-1.45B
1,103.62%7.31B
-46.75%607M
183.27%1.14B
End cash Position
11.15%168.13B
40.16%151.26B
32.22%107.92B
-3.93%81.62B
24.86%84.96B
2.76%68.05B
-4.41%66.22B
43.64%69.28B
17.31%48.23B
-0.82%41.11B
Free cash flow
-53.96%20.18B
8.79%43.82B
985.32%40.28B
-143.06%-4.55B
-56.06%10.57B
121.82%24.05B
-48.75%10.84B
301.19%21.16B
-66.65%5.27B
161.68%15.81B
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Sep 30, 2022(FY)Sep 30, 2021(FY)Sep 30, 2020(FY)Sep 30, 2019(FY)Sep 30, 2018(FY)Sep 30, 2017(FY)Sep 30, 2016(FY)Sep 30, 2015(FY)Sep 30, 2014(FY)Sep 30, 2013
Operating cash flow (Indirect Method)
Cash from operating activities -53.96%20.18B8.79%43.82B985.32%40.28B-143.06%-4.55B-56.06%10.57B121.82%24.05B-49.52%10.84B280.58%21.48B-65.10%5.64B154.16%16.17B
Net profit before non-cash adjustment 15.53%7.12B72.25%6.16B-40.05%3.58B-6.98%5.97B-0.08%6.42B12.26%6.42B-23.66%5.72B3.05%7.49B15.23%7.27B11.46%6.31B
Total adjustment of non-cash items 17.35%-4.83B-356.14%-5.84B-62.67%2.28B-29.38%6.11B983.35%8.65B-153.73%-979M-88.65%1.82B133,883.33%16.05B-100.16%-12M38.87%7.55B
-Depreciation and amortization -7.27%1.01B-21.85%1.09B59.70%1.39B-27.36%871M23.35%1.2B-34.10%972M54.45%1.48B13.83%955M7.56%839M7.88%780M
-Reversal of impairment losses recognized in profit and loss --------------------------260M------------
-Assets reserve and write-off 59.08%-232M-115.62%-567M357.18%3.63B15.41%794M-42.57%688M-37.90%1.2B63.61%1.93B19.57%1.18B-17.00%986M-4.35%1.19B
-Disposal profit 23.34%-4.69B-130.10%-6.12B-155.46%-2.66B-29.61%4.8B328.57%6.82B-98.27%-2.98B-110.44%-1.5B1,156.57%14.4B-123.50%-1.36B72.49%5.8B
-Remuneration paid in stock -----------------------------33.33%18M-77.31%27M-11.19%119M
-Other non-cash items -283.54%-909M-196.25%-237M77.53%-80M-547.27%-356M67.07%-55M50.59%-167M32.26%-338M0.40%-499M-47.35%-501M-1,159.26%-340M
Changes in working capital -58.89%17.88B26.36%43.5B307.06%34.42B-269.61%-16.63B-124.18%-4.5B463.96%18.61B259.30%3.3B-28.16%-2.07B-169.93%-1.62B148.82%2.31B
-Change in receivables ----------------------------114.53%50M-190.77%-344M159.69%379M
-Change in loans -461.54%-46.38B-16.01%-8.26B30.67%-7.12B59.36%-10.27B-41.64%-25.27B-20.55%-17.84B54.16%-14.8B8.18%-32.28B-16.65%-35.15B7.97%-30.14B
-Change in financial assets 80,100.00%8.02B100.55%10M77.30%-1.8B-192.71%-7.94B311.58%8.57B526.81%2.08B-88.43%332M133.37%2.87B-1,219.79%-8.6B116.74%768M
-Change in payables 29.26%-3.49B-142.94%-4.93B1,165.55%11.48B-158.12%-1.08B395.53%1.85B-6.45%-627M-327.41%-589M-91.63%259M72.96%3.1B1,042.11%1.79B
-Change in accrued expense -----------------------------8.82%-148M-700.00%-136M96.26%-17M
-Change in accrued income -----------------------------588.89%-44M136.00%9M-200.00%-25M
-Change in deposits by banks and customers -0.03%48.88B22.63%48.9B469.13%39.87B-42.61%7.01B-60.50%12.21B33.62%30.9B-23.03%23.13B-17.88%30.05B32.86%36.59B-15.41%27.54B
-Changes in other current assets -138.01%-1.95B2,382.13%5.14B102.76%207M-229.62%-7.49B-154.35%-2.27B211.02%4.18B2.59%-3.77B-339.17%-3.87B162.76%1.62B-54.34%615M
-Changes in other current liabilities 384.52%12.8B132.18%2.64B-361.13%-8.21B659.42%3.14B535.79%414M90.59%-95M-197.40%-1.01B-20.54%1.04B-6.59%1.31B3,072.34%1.4B
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
Other operating cash inflow (outflow)
Operating cash flow -53.96%20.18B8.79%43.82B985.32%40.28B-143.06%-4.55B-56.06%10.57B121.82%24.05B-49.52%10.84B280.58%21.48B-65.10%5.64B154.16%16.17B
Investing cash flow
Net PPE purchase and sale ----------------------------13.24%-321M-3.93%-370M-19.06%-356M
Net business purchase and sale ---65M--0---------------------98.41%4M217.72%251M364.71%79M
Net investment property transactions -110.18%-1.1B199.46%10.82B-3,701.99%-10.88B128.33%302M91.59%-1.07B7.80%-12.68B-61.24%-13.76B-462.73%-8.53B75.13%-1.52B-903.16%-6.1B
Net changes in other investments ------------------1B--------------------
Investing cash flow -117.71%-1.82B189.47%10.26B-5,465.53%-11.47B-224.10%-206M101.29%166M10.96%-12.83B-47.40%-14.41B-407.32%-9.78B74.67%-1.93B-3,280.89%-7.61B
Financing cash flow
Net issuance payments of debt 82.80%-2.6B-64.50%-15.09B-411.69%-9.17B-67.94%2.94B502.32%9.18B-134.97%-2.28B94.45%6.52B-52.88%3.35B1,598.53%7.12B-105.38%-475M
Net common stock issuance -31.38%-963M-500.82%-733M90.10%-122M38.21%-1.23B-2,558.67%-1.99B---75M----746.57%3.21B-25.57%-496M-758.33%-395M
Net preferred stock issuance --492M--0-----------------------755M--------
Increase or decrease of lease financing 33.94%-218M-17.44%-330M---281M----------------------------
Cash dividends paid -33.52%-3.78B0.94%-2.83B36.01%-2.86B2.02%-4.47B-4.04%-4.56B3.90%-4.39B-21.29%-4.56B1.67%-3.76B-18.63%-3.83B-45.38%-3.23B
Net other fund-raising expenses -49.27%4.72B-22.43%9.31B--12B----------------------------
Financing cash flow 75.75%-2.35B-2,138.89%-9.67B84.35%-432M-205.38%-2.76B138.86%2.62B-444.33%-6.74B-4.16%1.96B-26.91%2.04B168.24%2.8B-161.48%-4.1B
Net cash flow
Beginning cash position 40.16%151.26B32.22%107.92B-3.93%81.62B24.86%84.96B2.76%68.05B-4.41%66.22B43.64%69.28B17.31%48.23B15.78%41.11B18.27%35.51B
Current changes in cash -63.94%16.01B56.45%44.41B477.61%28.39B-156.30%-7.52B198.37%13.35B377.78%4.48B-111.72%-1.61B111.07%13.74B45.86%6.51B-65.12%4.46B
Effect of exchange rate changes 180.11%858M48.58%-1.07B-149.90%-2.08B17.12%4.17B234.64%3.56B-82.93%-2.65B-119.81%-1.45B1,103.62%7.31B-46.75%607M183.27%1.14B
End cash Position 11.15%168.13B40.16%151.26B32.22%107.92B-3.93%81.62B24.86%84.96B2.76%68.05B-4.41%66.22B43.64%69.28B17.31%48.23B-0.82%41.11B
Free cash flow -53.96%20.18B8.79%43.82B985.32%40.28B-143.06%-4.55B-56.06%10.57B121.82%24.05B-48.75%10.84B301.19%21.16B-66.65%5.27B161.68%15.81B
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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