AU Stock MarketDetailed Quotes

ASX ASX Ltd

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  • 66.060
  • -0.260-0.39%
20min DelayMarket Closed Nov 29 16:00 AET
12.81BMarket Cap26.99P/E (Static)

ASX Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
137.77%1.08B
-483.88%-2.87B
-86.68%747.1M
194.51%5.61B
231.02%1.9B
-35.47%575.4M
6.74%891.7M
4.27%835.4M
5.96%801.2M
5.82%756.1M
Revenue from customers
1.59%1.1B
-4.25%1.08B
4.56%1.13B
4.03%1.08B
10.27%1.04B
5.62%941.8M
6.74%891.7M
4.27%835.4M
5.96%801.2M
5.82%756.1M
Other cash income from operating activities
99.61%-15.6M
-932.33%-3.95B
-108.45%-382.6M
422.88%4.53B
336.41%866.2M
---366.4M
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----
----
Cash paid
-15.58%-484.3M
-17.24%-419M
-4.02%-357.4M
-11.05%-343.6M
-4.07%-309.4M
-19.88%-297.3M
3.65%-248M
-2.02%-257.4M
-19.91%-252.3M
4.10%-210.4M
Payments to suppliers for goods and services
-15.58%-484.3M
-17.24%-419M
-4.02%-357.4M
-11.05%-343.6M
-4.07%-309.4M
-19.88%-297.3M
3.65%-248M
-2.02%-257.4M
-19.91%-252.3M
4.10%-210.4M
Direct dividend received
----
----
----
----
----
-64.08%5.1M
2.16%14.2M
6.11%13.9M
3.15%13.1M
17.59%12.7M
Direct interest paid
-53.90%-458M
-2,171.76%-297.6M
14.38%-13.1M
79.89%-15.3M
34.51%-76.1M
-14.03%-116.2M
-21.45%-101.9M
1.99%-83.9M
7.16%-85.6M
-19.28%-92.2M
Direct interest received
55.62%550.9M
662.93%354M
-13.59%46.4M
-47.25%53.7M
-23.75%101.8M
-21.05%133.5M
12.43%169.1M
1.62%150.4M
-3.27%148M
8.05%153M
Direct tax refund paid
-22.03%-211.6M
21.04%-173.4M
-4.87%-219.6M
26.71%-209.4M
-35.66%-285.7M
-7.23%-210.6M
-12.36%-196.4M
3.96%-174.8M
7.80%-182M
-35.86%-197.4M
Operating cash flow
114.11%480.3M
-1,773.55%-3.4B
-96.01%203.4M
281.56%5.1B
1,385.32%1.34B
-83.00%89.9M
9.33%528.7M
9.31%483.6M
4.88%442.4M
-0.73%421.8M
Investing cash flow
Cash flow from continuing investing activities
23.33%-93M
4.41%-121.3M
-1.20%-126.9M
-18.53%-125.4M
-136.22%-105.8M
-15.24%292.1M
-82.25%344.6M
-6.36%1.94B
981.63%2.07B
-258.49%-235.2M
Net PPE purchase and sale
----
----
----
----
----
----
----
----
-16.63%-48.4M
1.89%-41.5M
Net investment purchase and sale
346.15%44.8M
13.74%-18.2M
12.45%-21.1M
-2.12%-24.1M
-106.26%-23.6M
3,347.41%376.7M
28.40%-11.6M
33.61%-16.2M
63.53%-24.4M
-58.53%-66.9M
Net other investing changes
-33.66%-137.8M
2.55%-103.1M
-4.44%-105.8M
-23.24%-101.3M
2.84%-82.2M
-123.75%-84.6M
-81.81%356.2M
-8.78%1.96B
1,792.74%2.15B
-154.44%-126.8M
Cash from discontinued investing activities
Investing cash flow
23.33%-93M
4.41%-121.3M
-1.20%-126.9M
-18.53%-125.4M
-136.22%-105.8M
-15.24%292.1M
-82.25%344.6M
-6.36%1.94B
981.63%2.07B
-258.49%-235.2M
Financing cash flow
Cash flow from continuing financing activities
66.55%-149.6M
0.80%-447.2M
2.93%-450.8M
33.90%-464.4M
-62.38%-702.6M
-8.01%-432.7M
-3.03%-400.6M
-3.51%-388.8M
-6.58%-375.6M
-577.69%-352.4M
Net issuance payments of debt
1,175.00%255M
--20M
--0
--0
--0
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----
----
----
----
Cash dividends paid
14.59%-390.6M
-3.79%-457.3M
3.12%-440.6M
34.70%-454.8M
-60.97%-696.5M
-8.01%-432.7M
-3.03%-400.6M
-3.51%-388.8M
-6.58%-375.6M
-6.82%-352.4M
Net other financing activities
-41.41%-14M
2.94%-9.9M
-6.25%-10.2M
-57.38%-9.6M
---6.1M
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
66.55%-149.6M
0.80%-447.2M
2.93%-450.8M
33.90%-464.4M
-62.38%-702.6M
-8.01%-432.7M
-3.03%-400.6M
-3.51%-388.8M
-6.58%-375.6M
-577.69%-352.4M
Net cash flow
Beginning cash position
-79.72%1.01B
-7.20%4.97B
524.38%5.36B
157.61%858.1M
-11.69%333.1M
-95.85%377.2M
28.46%9.09B
44.96%7.07B
-2.72%4.88B
11.55%5.02B
Current changes in cash
105.98%237.7M
-961.31%-3.97B
-108.31%-374.3M
755.04%4.51B
1,139.25%526.9M
-110.73%-50.7M
-76.79%472.7M
-4.85%2.04B
1,390.95%2.14B
-131.81%-165.8M
Effect of exchange rate changes
-135.96%-3.2M
178.76%8.9M
-105.45%-11.3M
-189.47%-5.5M
-128.79%-1.9M
0.00%6.6M
129.46%6.6M
-140.29%-22.4M
106.69%55.6M
--26.9M
Cash adjustments other than cash changes
----
----
----
----
----
----
130.77%400K
40.91%-1.3M
-195.65%-2.2M
221.05%2.3M
End cash Position
23.25%1.24B
-79.72%1.01B
-7.20%4.97B
524.38%5.36B
157.61%858.1M
-96.52%333.1M
5.28%9.57B
28.46%9.09B
44.96%7.07B
-2.72%4.88B
Free cash from
114.11%480.3M
-1,773.55%-3.4B
-96.01%203.4M
281.56%5.1B
1,385.32%1.34B
-83.00%89.9M
9.33%528.7M
22.74%483.6M
3.60%394M
-0.60%380.3M
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(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities 137.77%1.08B-483.88%-2.87B-86.68%747.1M194.51%5.61B231.02%1.9B-35.47%575.4M6.74%891.7M4.27%835.4M5.96%801.2M5.82%756.1M
Revenue from customers 1.59%1.1B-4.25%1.08B4.56%1.13B4.03%1.08B10.27%1.04B5.62%941.8M6.74%891.7M4.27%835.4M5.96%801.2M5.82%756.1M
Other cash income from operating activities 99.61%-15.6M-932.33%-3.95B-108.45%-382.6M422.88%4.53B336.41%866.2M---366.4M----------------
Cash paid -15.58%-484.3M-17.24%-419M-4.02%-357.4M-11.05%-343.6M-4.07%-309.4M-19.88%-297.3M3.65%-248M-2.02%-257.4M-19.91%-252.3M4.10%-210.4M
Payments to suppliers for goods and services -15.58%-484.3M-17.24%-419M-4.02%-357.4M-11.05%-343.6M-4.07%-309.4M-19.88%-297.3M3.65%-248M-2.02%-257.4M-19.91%-252.3M4.10%-210.4M
Direct dividend received ---------------------64.08%5.1M2.16%14.2M6.11%13.9M3.15%13.1M17.59%12.7M
Direct interest paid -53.90%-458M-2,171.76%-297.6M14.38%-13.1M79.89%-15.3M34.51%-76.1M-14.03%-116.2M-21.45%-101.9M1.99%-83.9M7.16%-85.6M-19.28%-92.2M
Direct interest received 55.62%550.9M662.93%354M-13.59%46.4M-47.25%53.7M-23.75%101.8M-21.05%133.5M12.43%169.1M1.62%150.4M-3.27%148M8.05%153M
Direct tax refund paid -22.03%-211.6M21.04%-173.4M-4.87%-219.6M26.71%-209.4M-35.66%-285.7M-7.23%-210.6M-12.36%-196.4M3.96%-174.8M7.80%-182M-35.86%-197.4M
Operating cash flow 114.11%480.3M-1,773.55%-3.4B-96.01%203.4M281.56%5.1B1,385.32%1.34B-83.00%89.9M9.33%528.7M9.31%483.6M4.88%442.4M-0.73%421.8M
Investing cash flow
Cash flow from continuing investing activities 23.33%-93M4.41%-121.3M-1.20%-126.9M-18.53%-125.4M-136.22%-105.8M-15.24%292.1M-82.25%344.6M-6.36%1.94B981.63%2.07B-258.49%-235.2M
Net PPE purchase and sale ---------------------------------16.63%-48.4M1.89%-41.5M
Net investment purchase and sale 346.15%44.8M13.74%-18.2M12.45%-21.1M-2.12%-24.1M-106.26%-23.6M3,347.41%376.7M28.40%-11.6M33.61%-16.2M63.53%-24.4M-58.53%-66.9M
Net other investing changes -33.66%-137.8M2.55%-103.1M-4.44%-105.8M-23.24%-101.3M2.84%-82.2M-123.75%-84.6M-81.81%356.2M-8.78%1.96B1,792.74%2.15B-154.44%-126.8M
Cash from discontinued investing activities
Investing cash flow 23.33%-93M4.41%-121.3M-1.20%-126.9M-18.53%-125.4M-136.22%-105.8M-15.24%292.1M-82.25%344.6M-6.36%1.94B981.63%2.07B-258.49%-235.2M
Financing cash flow
Cash flow from continuing financing activities 66.55%-149.6M0.80%-447.2M2.93%-450.8M33.90%-464.4M-62.38%-702.6M-8.01%-432.7M-3.03%-400.6M-3.51%-388.8M-6.58%-375.6M-577.69%-352.4M
Net issuance payments of debt 1,175.00%255M--20M--0--0--0--------------------
Cash dividends paid 14.59%-390.6M-3.79%-457.3M3.12%-440.6M34.70%-454.8M-60.97%-696.5M-8.01%-432.7M-3.03%-400.6M-3.51%-388.8M-6.58%-375.6M-6.82%-352.4M
Net other financing activities -41.41%-14M2.94%-9.9M-6.25%-10.2M-57.38%-9.6M---6.1M--------------------
Cash from discontinued financing activities
Financing cash flow 66.55%-149.6M0.80%-447.2M2.93%-450.8M33.90%-464.4M-62.38%-702.6M-8.01%-432.7M-3.03%-400.6M-3.51%-388.8M-6.58%-375.6M-577.69%-352.4M
Net cash flow
Beginning cash position -79.72%1.01B-7.20%4.97B524.38%5.36B157.61%858.1M-11.69%333.1M-95.85%377.2M28.46%9.09B44.96%7.07B-2.72%4.88B11.55%5.02B
Current changes in cash 105.98%237.7M-961.31%-3.97B-108.31%-374.3M755.04%4.51B1,139.25%526.9M-110.73%-50.7M-76.79%472.7M-4.85%2.04B1,390.95%2.14B-131.81%-165.8M
Effect of exchange rate changes -135.96%-3.2M178.76%8.9M-105.45%-11.3M-189.47%-5.5M-128.79%-1.9M0.00%6.6M129.46%6.6M-140.29%-22.4M106.69%55.6M--26.9M
Cash adjustments other than cash changes ------------------------130.77%400K40.91%-1.3M-195.65%-2.2M221.05%2.3M
End cash Position 23.25%1.24B-79.72%1.01B-7.20%4.97B524.38%5.36B157.61%858.1M-96.52%333.1M5.28%9.57B28.46%9.09B44.96%7.07B-2.72%4.88B
Free cash from 114.11%480.3M-1,773.55%-3.4B-96.01%203.4M281.56%5.1B1,385.32%1.34B-83.00%89.9M9.33%528.7M22.74%483.6M3.60%394M-0.60%380.3M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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