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APA APA Group

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  • 7.195
  • +0.045+0.63%
20min DelayTrading Nov 26 10:31 AET
9.32BMarket Cap9.31P/E (Static)

APA Group 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
31.77%676M
31.77%676M
-45.43%513M
-45.43%513M
44.11%940.13M
44.11%940.13M
-44.39%652.35M
-44.39%652.35M
230.22%1.17B
230.22%1.17B
-Cash and cash equivalents
31.77%676M
31.77%676M
-45.43%513M
-45.43%513M
44.11%940.13M
44.11%940.13M
-44.38%652.35M
-44.38%652.35M
230.41%1.17B
230.41%1.17B
-Short term investments
----
----
----
----
----
----
----
----
0.00%285K
0.00%285K
Receivables
15.78%433M
15.78%433M
21.22%374M
21.22%374M
3.34%308.54M
3.34%308.54M
13.04%298.57M
13.04%298.57M
5.67%264.14M
5.67%264.14M
-Accounts receivable
38.16%105M
38.16%105M
52.21%76M
52.21%76M
21.09%49.93M
21.09%49.93M
-83.46%41.24M
-83.46%41.24M
10.86%249.33M
10.86%249.33M
-Other receivables
9.93%332M
9.93%332M
16.15%302M
16.15%302M
0.84%260M
0.84%260M
1,562.30%257.84M
1,562.30%257.84M
-38.14%15.51M
-38.14%15.51M
-Recievables adjustments allowances
0.00%-4M
0.00%-4M
-187.15%-4M
-187.15%-4M
-178.60%-1.39M
-178.60%-1.39M
28.57%-500K
28.57%-500K
-6,900.00%-700K
-6,900.00%-700K
Inventory
50.91%83M
50.91%83M
18.89%55M
18.89%55M
12.65%46.26M
12.65%46.26M
20.14%41.07M
20.14%41.07M
10.39%34.18M
10.39%34.18M
Hedging assets-current
259.18%176M
259.18%176M
55.95%49M
55.95%49M
-31.74%31.42M
-31.74%31.42M
41.80%46.03M
41.80%46.03M
-52.09%32.46M
-52.09%32.46M
Holding assets for sale
----
----
----
----
85,804.08%294.65M
85,804.08%294.65M
--343K
--343K
----
----
Other current assets
-54.76%19M
-54.76%19M
33.38%42M
33.38%42M
-16.40%31.49M
-16.40%31.49M
70.41%37.66M
70.41%37.66M
62.60%22.1M
62.60%22.1M
Total current assets
34.27%1.39B
34.27%1.39B
-37.49%1.03B
-37.49%1.03B
53.57%1.65B
53.57%1.65B
-29.48%1.08B
-29.48%1.08B
112.67%1.53B
112.67%1.53B
Non current assets
Net PPE
16.01%12.48B
16.01%12.48B
14.17%10.76B
14.17%10.76B
-0.85%9.42B
-0.85%9.42B
-3.27%9.5B
-3.27%9.5B
0.26%9.82B
0.26%9.82B
-Gross PPE
15.68%17.52B
15.68%17.52B
13.96%15.15B
13.96%15.15B
1.12%13.29B
1.12%13.29B
2.74%13.14B
2.74%13.14B
4.01%12.79B
4.01%12.79B
-Accumulated depreciation
-14.87%-5.04B
-14.87%-5.04B
-13.47%-4.39B
-13.47%-4.39B
-6.26%-3.87B
-6.26%-3.87B
-22.62%-3.64B
-22.62%-3.64B
-18.67%-2.97B
-18.67%-2.97B
Investments and advances
-3.89%272M
-3.89%272M
2.52%283M
2.52%283M
14.92%276.04M
14.92%276.04M
1.44%240.2M
1.44%240.2M
-13.66%236.78M
-13.66%236.78M
-Long term equity investment
-4.03%262M
-4.03%262M
2.77%273M
2.77%273M
10.59%265.64M
10.59%265.64M
6.11%240.2M
6.11%240.2M
-14.19%226.38M
-14.19%226.38M
-Other investment
0.00%10M
0.00%10M
-3.85%10M
-3.85%10M
--10.4M
--10.4M
----
----
0.00%10.4M
0.00%10.4M
Financial assets
-50.00%210M
-50.00%210M
19.39%420M
19.39%420M
60.70%351.78M
60.70%351.78M
-61.64%218.9M
-61.64%218.9M
16.04%570.63M
16.04%570.63M
Non current accounts receivable
-74.07%7M
-74.07%7M
-95.56%27M
-95.56%27M
5,758.49%607.82M
5,758.49%607.82M
-10.86%10.38M
-10.86%10.38M
-91.06%11.64M
-91.06%11.64M
Goodwill and other intangible assets
56.16%5.18B
56.16%5.18B
-5.19%3.31B
-5.19%3.31B
-4.63%3.5B
-4.63%3.5B
-3.83%3.66B
-3.83%3.66B
-4.57%3.81B
-4.57%3.81B
-Goodwill
58.95%1.88B
58.95%1.88B
0.03%1.18B
0.03%1.18B
0.00%1.18B
0.00%1.18B
0.00%1.18B
0.00%1.18B
0.00%1.18B
0.00%1.18B
-Other intangible assets
54.60%3.29B
54.60%3.29B
-7.86%2.13B
-7.86%2.13B
-6.84%2.31B
-6.84%2.31B
-5.55%2.48B
-5.55%2.48B
-6.49%2.63B
-6.49%2.63B
Other non current assets
2.94%35M
2.94%35M
4.30%34M
4.30%34M
3.00%32.6M
3.00%32.6M
7.86%31.65M
7.86%31.65M
-4.93%29.34M
-4.93%29.34M
Total non current assets
22.54%18.18B
22.54%18.18B
4.58%14.83B
4.58%14.83B
3.78%14.18B
3.78%14.18B
-5.62%13.67B
-5.62%13.67B
-1.60%14.48B
-1.60%14.48B
Total assets
23.30%19.56B
23.30%19.56B
0.19%15.87B
0.19%15.87B
7.42%15.84B
7.42%15.84B
-7.90%14.74B
-7.90%14.74B
3.71%16.01B
3.71%16.01B
Liabilities
Current liabilities
Current debt and capital lease obligation
780.28%1.92B
780.28%1.92B
1,213.17%218M
1,213.17%218M
0.31%16.6M
0.31%16.6M
-94.89%16.55M
-94.89%16.55M
-27.07%324.16M
-27.07%324.16M
-Current debt
840.10%1.9B
840.10%1.9B
7,957.44%202M
7,957.44%202M
-7.86%2.51M
-7.86%2.51M
-99.12%2.72M
-99.12%2.72M
-30.12%310.61M
-30.12%310.61M
-Current capital lease obligation
25.00%20M
25.00%20M
13.52%16M
13.52%16M
1.92%14.09M
1.92%14.09M
2.10%13.83M
2.10%13.83M
--13.54M
--13.54M
Payables
17.83%555M
17.83%555M
12.95%471M
12.95%471M
32.57%417M
32.57%417M
1.88%314.56M
1.88%314.56M
2.21%308.76M
2.21%308.76M
-accounts payable
27.94%87M
27.94%87M
-20.73%68M
-20.73%68M
44.67%85.78M
44.67%85.78M
66.74%59.3M
66.74%59.3M
-10.95%35.56M
-10.95%35.56M
-Other payable
16.13%468M
16.13%468M
21.67%403M
21.67%403M
29.75%331.22M
29.75%331.22M
-6.57%255.26M
-6.57%255.26M
4.22%273.2M
4.22%273.2M
Current provisions
7.69%224M
7.69%224M
-0.47%208M
-0.47%208M
17.65%208.98M
17.65%208.98M
-10.33%177.64M
-10.33%177.64M
23.05%198.11M
23.05%198.11M
Pension and other retirement benefit plans
-4.43%151M
-4.43%151M
17.09%158M
17.09%158M
58.47%134.94M
58.47%134.94M
9.34%85.15M
9.34%85.15M
-10.10%77.88M
-10.10%77.88M
Current deferred liabilities
15.38%15M
15.38%15M
-0.31%13M
-0.31%13M
21.30%13.04M
21.30%13.04M
-0.03%10.75M
-0.03%10.75M
-12.72%10.75M
-12.72%10.75M
Other current liabilities
----
----
----
----
11,975.97%31.16M
11,975.97%31.16M
--258K
--258K
----
----
Current liabilities
168.16%2.86B
168.16%2.86B
29.97%1.07B
29.97%1.07B
35.84%821.72M
35.84%821.72M
-34.22%604.91M
-34.22%604.91M
-8.63%919.66M
-8.63%919.66M
Non current liabilities
Long term debt and capital lease obligation
-2.60%11.07B
-2.60%11.07B
3.87%11.37B
3.87%11.37B
9.77%10.94B
9.77%10.94B
-6.50%9.97B
-6.50%9.97B
8.09%10.66B
8.09%10.66B
-Long term debt
-2.63%11.02B
-2.63%11.02B
3.85%11.32B
3.85%11.32B
9.88%10.9B
9.88%10.9B
-6.47%9.92B
-6.47%9.92B
7.52%10.61B
7.52%10.61B
-Long term capital lease obligation
6.38%50M
6.38%50M
9.10%47M
9.10%47M
-12.49%43.08M
-12.49%43.08M
-12.61%49.23M
-12.61%49.23M
--56.33M
--56.33M
Long term accounts payable and other payables
-88.89%1M
-88.89%1M
-21.40%9M
-21.40%9M
-14.49%11.45M
-14.49%11.45M
177.46%13.39M
177.46%13.39M
49.41%4.83M
49.41%4.83M
Derivative product liabilities
-1.99%443M
-1.99%443M
7.08%452M
7.08%452M
61.05%422.13M
61.05%422.13M
-38.71%262.12M
-38.71%262.12M
61.55%427.64M
61.55%427.64M
Long term provisions
305.43%373M
305.43%373M
32.09%92M
32.09%92M
3.82%69.65M
3.82%69.65M
20.17%67.09M
20.17%67.09M
-0.30%55.82M
-0.30%55.82M
Employee benefits
-38.10%13M
-38.10%13M
-14.04%21M
-14.04%21M
-30.73%24.43M
-30.73%24.43M
-41.30%35.27M
-41.30%35.27M
78.43%60.08M
78.43%60.08M
Non current deferred liabilities
63.64%1.55B
63.64%1.55B
3.55%946M
3.55%946M
11.37%913.57M
11.37%913.57M
25.90%820.33M
25.90%820.33M
7.77%651.57M
7.77%651.57M
Total non current liabilities
4.37%13.45B
4.37%13.45B
4.05%12.89B
4.05%12.89B
10.90%12.39B
10.90%12.39B
-5.86%11.17B
-5.86%11.17B
9.56%11.86B
9.56%11.86B
Total liabilities
16.90%16.32B
16.90%16.32B
5.66%13.96B
5.66%13.96B
12.18%13.21B
12.18%13.21B
-7.90%11.77B
-7.90%11.77B
8.02%12.78B
8.02%12.78B
Shareholders'equity
Share capital
59.57%3.13B
59.57%3.13B
-11.75%1.96B
-11.75%1.96B
-13.45%2.23B
-13.45%2.23B
-11.40%2.57B
-11.40%2.57B
-6.50%2.9B
-6.50%2.9B
-common stock
59.57%3.13B
59.57%3.13B
-11.75%1.96B
-11.75%1.96B
-13.45%2.23B
-13.45%2.23B
-11.40%2.57B
-11.40%2.57B
-6.50%2.9B
-6.50%2.9B
Retained earnings
744.30%667M
744.30%667M
6.13%79M
6.13%79M
334.77%74.44M
334.77%74.44M
-131.50%-31.71M
-131.50%-31.71M
0.00%100.67M
0.00%100.67M
Gains losses not affecting retained earnings
21.00%-553M
21.00%-553M
-112.52%-700M
-112.52%-700M
7.36%-329.37M
7.36%-329.37M
48.58%-355.54M
48.58%-355.54M
-15.37%-691.47M
-15.37%-691.47M
Total stockholders'equity
141.85%3.25B
141.85%3.25B
-31.85%1.34B
-31.85%1.34B
-9.78%1.97B
-9.78%1.97B
-5.50%2.18B
-5.50%2.18B
-11.28%2.31B
-11.28%2.31B
Noncontrolling interests
----
----
-13.82%567M
-13.82%567M
-16.19%657.92M
-16.19%657.92M
-13.97%785.06M
-13.97%785.06M
-8.22%912.53M
-8.22%912.53M
Total equity
70.05%3.25B
70.05%3.25B
-27.33%1.91B
-27.33%1.91B
-11.48%2.63B
-11.48%2.63B
-7.90%2.97B
-7.90%2.97B
-10.43%3.22B
-10.43%3.22B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(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 31.77%676M31.77%676M-45.43%513M-45.43%513M44.11%940.13M44.11%940.13M-44.39%652.35M-44.39%652.35M230.22%1.17B230.22%1.17B
-Cash and cash equivalents 31.77%676M31.77%676M-45.43%513M-45.43%513M44.11%940.13M44.11%940.13M-44.38%652.35M-44.38%652.35M230.41%1.17B230.41%1.17B
-Short term investments --------------------------------0.00%285K0.00%285K
Receivables 15.78%433M15.78%433M21.22%374M21.22%374M3.34%308.54M3.34%308.54M13.04%298.57M13.04%298.57M5.67%264.14M5.67%264.14M
-Accounts receivable 38.16%105M38.16%105M52.21%76M52.21%76M21.09%49.93M21.09%49.93M-83.46%41.24M-83.46%41.24M10.86%249.33M10.86%249.33M
-Other receivables 9.93%332M9.93%332M16.15%302M16.15%302M0.84%260M0.84%260M1,562.30%257.84M1,562.30%257.84M-38.14%15.51M-38.14%15.51M
-Recievables adjustments allowances 0.00%-4M0.00%-4M-187.15%-4M-187.15%-4M-178.60%-1.39M-178.60%-1.39M28.57%-500K28.57%-500K-6,900.00%-700K-6,900.00%-700K
Inventory 50.91%83M50.91%83M18.89%55M18.89%55M12.65%46.26M12.65%46.26M20.14%41.07M20.14%41.07M10.39%34.18M10.39%34.18M
Hedging assets-current 259.18%176M259.18%176M55.95%49M55.95%49M-31.74%31.42M-31.74%31.42M41.80%46.03M41.80%46.03M-52.09%32.46M-52.09%32.46M
Holding assets for sale ----------------85,804.08%294.65M85,804.08%294.65M--343K--343K--------
Other current assets -54.76%19M-54.76%19M33.38%42M33.38%42M-16.40%31.49M-16.40%31.49M70.41%37.66M70.41%37.66M62.60%22.1M62.60%22.1M
Total current assets 34.27%1.39B34.27%1.39B-37.49%1.03B-37.49%1.03B53.57%1.65B53.57%1.65B-29.48%1.08B-29.48%1.08B112.67%1.53B112.67%1.53B
Non current assets
Net PPE 16.01%12.48B16.01%12.48B14.17%10.76B14.17%10.76B-0.85%9.42B-0.85%9.42B-3.27%9.5B-3.27%9.5B0.26%9.82B0.26%9.82B
-Gross PPE 15.68%17.52B15.68%17.52B13.96%15.15B13.96%15.15B1.12%13.29B1.12%13.29B2.74%13.14B2.74%13.14B4.01%12.79B4.01%12.79B
-Accumulated depreciation -14.87%-5.04B-14.87%-5.04B-13.47%-4.39B-13.47%-4.39B-6.26%-3.87B-6.26%-3.87B-22.62%-3.64B-22.62%-3.64B-18.67%-2.97B-18.67%-2.97B
Investments and advances -3.89%272M-3.89%272M2.52%283M2.52%283M14.92%276.04M14.92%276.04M1.44%240.2M1.44%240.2M-13.66%236.78M-13.66%236.78M
-Long term equity investment -4.03%262M-4.03%262M2.77%273M2.77%273M10.59%265.64M10.59%265.64M6.11%240.2M6.11%240.2M-14.19%226.38M-14.19%226.38M
-Other investment 0.00%10M0.00%10M-3.85%10M-3.85%10M--10.4M--10.4M--------0.00%10.4M0.00%10.4M
Financial assets -50.00%210M-50.00%210M19.39%420M19.39%420M60.70%351.78M60.70%351.78M-61.64%218.9M-61.64%218.9M16.04%570.63M16.04%570.63M
Non current accounts receivable -74.07%7M-74.07%7M-95.56%27M-95.56%27M5,758.49%607.82M5,758.49%607.82M-10.86%10.38M-10.86%10.38M-91.06%11.64M-91.06%11.64M
Goodwill and other intangible assets 56.16%5.18B56.16%5.18B-5.19%3.31B-5.19%3.31B-4.63%3.5B-4.63%3.5B-3.83%3.66B-3.83%3.66B-4.57%3.81B-4.57%3.81B
-Goodwill 58.95%1.88B58.95%1.88B0.03%1.18B0.03%1.18B0.00%1.18B0.00%1.18B0.00%1.18B0.00%1.18B0.00%1.18B0.00%1.18B
-Other intangible assets 54.60%3.29B54.60%3.29B-7.86%2.13B-7.86%2.13B-6.84%2.31B-6.84%2.31B-5.55%2.48B-5.55%2.48B-6.49%2.63B-6.49%2.63B
Other non current assets 2.94%35M2.94%35M4.30%34M4.30%34M3.00%32.6M3.00%32.6M7.86%31.65M7.86%31.65M-4.93%29.34M-4.93%29.34M
Total non current assets 22.54%18.18B22.54%18.18B4.58%14.83B4.58%14.83B3.78%14.18B3.78%14.18B-5.62%13.67B-5.62%13.67B-1.60%14.48B-1.60%14.48B
Total assets 23.30%19.56B23.30%19.56B0.19%15.87B0.19%15.87B7.42%15.84B7.42%15.84B-7.90%14.74B-7.90%14.74B3.71%16.01B3.71%16.01B
Liabilities
Current liabilities
Current debt and capital lease obligation 780.28%1.92B780.28%1.92B1,213.17%218M1,213.17%218M0.31%16.6M0.31%16.6M-94.89%16.55M-94.89%16.55M-27.07%324.16M-27.07%324.16M
-Current debt 840.10%1.9B840.10%1.9B7,957.44%202M7,957.44%202M-7.86%2.51M-7.86%2.51M-99.12%2.72M-99.12%2.72M-30.12%310.61M-30.12%310.61M
-Current capital lease obligation 25.00%20M25.00%20M13.52%16M13.52%16M1.92%14.09M1.92%14.09M2.10%13.83M2.10%13.83M--13.54M--13.54M
Payables 17.83%555M17.83%555M12.95%471M12.95%471M32.57%417M32.57%417M1.88%314.56M1.88%314.56M2.21%308.76M2.21%308.76M
-accounts payable 27.94%87M27.94%87M-20.73%68M-20.73%68M44.67%85.78M44.67%85.78M66.74%59.3M66.74%59.3M-10.95%35.56M-10.95%35.56M
-Other payable 16.13%468M16.13%468M21.67%403M21.67%403M29.75%331.22M29.75%331.22M-6.57%255.26M-6.57%255.26M4.22%273.2M4.22%273.2M
Current provisions 7.69%224M7.69%224M-0.47%208M-0.47%208M17.65%208.98M17.65%208.98M-10.33%177.64M-10.33%177.64M23.05%198.11M23.05%198.11M
Pension and other retirement benefit plans -4.43%151M-4.43%151M17.09%158M17.09%158M58.47%134.94M58.47%134.94M9.34%85.15M9.34%85.15M-10.10%77.88M-10.10%77.88M
Current deferred liabilities 15.38%15M15.38%15M-0.31%13M-0.31%13M21.30%13.04M21.30%13.04M-0.03%10.75M-0.03%10.75M-12.72%10.75M-12.72%10.75M
Other current liabilities ----------------11,975.97%31.16M11,975.97%31.16M--258K--258K--------
Current liabilities 168.16%2.86B168.16%2.86B29.97%1.07B29.97%1.07B35.84%821.72M35.84%821.72M-34.22%604.91M-34.22%604.91M-8.63%919.66M-8.63%919.66M
Non current liabilities
Long term debt and capital lease obligation -2.60%11.07B-2.60%11.07B3.87%11.37B3.87%11.37B9.77%10.94B9.77%10.94B-6.50%9.97B-6.50%9.97B8.09%10.66B8.09%10.66B
-Long term debt -2.63%11.02B-2.63%11.02B3.85%11.32B3.85%11.32B9.88%10.9B9.88%10.9B-6.47%9.92B-6.47%9.92B7.52%10.61B7.52%10.61B
-Long term capital lease obligation 6.38%50M6.38%50M9.10%47M9.10%47M-12.49%43.08M-12.49%43.08M-12.61%49.23M-12.61%49.23M--56.33M--56.33M
Long term accounts payable and other payables -88.89%1M-88.89%1M-21.40%9M-21.40%9M-14.49%11.45M-14.49%11.45M177.46%13.39M177.46%13.39M49.41%4.83M49.41%4.83M
Derivative product liabilities -1.99%443M-1.99%443M7.08%452M7.08%452M61.05%422.13M61.05%422.13M-38.71%262.12M-38.71%262.12M61.55%427.64M61.55%427.64M
Long term provisions 305.43%373M305.43%373M32.09%92M32.09%92M3.82%69.65M3.82%69.65M20.17%67.09M20.17%67.09M-0.30%55.82M-0.30%55.82M
Employee benefits -38.10%13M-38.10%13M-14.04%21M-14.04%21M-30.73%24.43M-30.73%24.43M-41.30%35.27M-41.30%35.27M78.43%60.08M78.43%60.08M
Non current deferred liabilities 63.64%1.55B63.64%1.55B3.55%946M3.55%946M11.37%913.57M11.37%913.57M25.90%820.33M25.90%820.33M7.77%651.57M7.77%651.57M
Total non current liabilities 4.37%13.45B4.37%13.45B4.05%12.89B4.05%12.89B10.90%12.39B10.90%12.39B-5.86%11.17B-5.86%11.17B9.56%11.86B9.56%11.86B
Total liabilities 16.90%16.32B16.90%16.32B5.66%13.96B5.66%13.96B12.18%13.21B12.18%13.21B-7.90%11.77B-7.90%11.77B8.02%12.78B8.02%12.78B
Shareholders'equity
Share capital 59.57%3.13B59.57%3.13B-11.75%1.96B-11.75%1.96B-13.45%2.23B-13.45%2.23B-11.40%2.57B-11.40%2.57B-6.50%2.9B-6.50%2.9B
-common stock 59.57%3.13B59.57%3.13B-11.75%1.96B-11.75%1.96B-13.45%2.23B-13.45%2.23B-11.40%2.57B-11.40%2.57B-6.50%2.9B-6.50%2.9B
Retained earnings 744.30%667M744.30%667M6.13%79M6.13%79M334.77%74.44M334.77%74.44M-131.50%-31.71M-131.50%-31.71M0.00%100.67M0.00%100.67M
Gains losses not affecting retained earnings 21.00%-553M21.00%-553M-112.52%-700M-112.52%-700M7.36%-329.37M7.36%-329.37M48.58%-355.54M48.58%-355.54M-15.37%-691.47M-15.37%-691.47M
Total stockholders'equity 141.85%3.25B141.85%3.25B-31.85%1.34B-31.85%1.34B-9.78%1.97B-9.78%1.97B-5.50%2.18B-5.50%2.18B-11.28%2.31B-11.28%2.31B
Noncontrolling interests ---------13.82%567M-13.82%567M-16.19%657.92M-16.19%657.92M-13.97%785.06M-13.97%785.06M-8.22%912.53M-8.22%912.53M
Total equity 70.05%3.25B70.05%3.25B-27.33%1.91B-27.33%1.91B-11.48%2.63B-11.48%2.63B-7.90%2.97B-7.90%2.97B-10.43%3.22B-10.43%3.22B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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