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BBL Brisbane Broncos Ltd

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  • 0.860
  • +0.050+6.17%
20min DelayTrading Aug 9 12:08 AET
84.31MMarket Cap15.09P/E (Static)

Brisbane Broncos Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(FY)Dec 30, 2022
(FY)Dec 30, 2021
(FY)Dec 30, 2020
(FY)Dec 30, 2019
(FY)Dec 30, 2018
(FY)Dec 30, 2017
(FY)Dec 30, 2016
(FY)Dec 30, 2015
(FY)Dec 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
26.56%75.03M
10.67%59.29M
35.33%53.57M
-27.28%39.58M
-0.35%54.44M
1.27%54.63M
20.61%53.94M
5.03%44.72M
5.55%42.58M
8.90%40.34M
Revenue from customers
27.41%56.07M
15.42%44M
59.34%38.12M
-56.07%23.93M
-1.02%54.46M
0.57%55.03M
20.30%54.72M
5.70%45.48M
5.75%43.03M
8.83%40.69M
Other cash income from operating activities
24.12%18.97M
-1.06%15.28M
-1.36%15.45M
53,640.28%15.66M
92.68%-29.25K
48.35%-399.56K
-1.82%-773.63K
-68.36%-759.8K
-28.57%-451.3K
-1.88%-351K
Cash paid
-22.24%-67.43M
-11.96%-55.16M
-30.52%-49.27M
24.35%-37.75M
3.47%-49.9M
-13.81%-51.7M
-10.08%-45.42M
-11.91%-41.26M
5.13%-36.87M
-13.83%-38.87M
Payments to suppliers for goods and services
-22.24%-67.43M
-11.96%-55.16M
-30.52%-49.27M
24.35%-37.75M
3.47%-49.9M
-13.81%-51.7M
-10.08%-45.42M
-11.91%-41.26M
5.13%-36.87M
-13.83%-38.87M
Direct interest received
247.36%860.14K
448.05%247.62K
-69.40%45.18K
-38.72%147.63K
-11.84%240.91K
-30.87%273.26K
-32.99%395.28K
35.49%589.87K
-31.96%435.36K
-16.04%639.87K
Direct tax refund paid
-141.26%-2.73M
3.60%-1.13M
-483.72%-1.17M
135.55%305.58K
34.76%-859.48K
32.49%-1.32M
-58.55%-1.95M
-317.93%-1.23M
77.63%-294.47K
-11.00%-1.32M
Operating cash flow
77.06%5.73M
2.13%3.24M
38.66%3.17M
-41.58%2.29M
107.62%3.91M
-72.93%1.89M
146.86%6.96M
-51.78%2.82M
631.55%5.85M
-67.75%799.78K
Investing cash flow
Cash flow from continuing investing activities
-53.32%-1.28M
-167.62%-832.39K
-101.07%-311.03K
86.33%-154.69K
-739.59%-1.13M
99.14%-134.78K
-229.60%-15.7M
-4,918.60%-4.76M
109.40%98.84K
-168.91%-1.05M
Net PPE purchase and sale
-53.32%-1.28M
-167.62%-832.39K
-101.07%-311.03K
86.33%-154.69K
-44.82%-1.13M
95.95%-781.38K
-186.89%-19.29M
-464.76%-6.72M
-13.19%-1.19M
-168.91%-1.05M
Net intangibles purchas and sale
----
----
----
----
----
----
----
----
---30.8K
----
Net other investing changes
----
----
----
----
----
-81.98%646.6K
83.09%3.59M
48.47%1.96M
--1.32M
----
Cash from discontinued investing activities
Investing cash flow
-53.32%-1.28M
-167.62%-832.39K
-101.07%-311.03K
86.33%-154.69K
-739.59%-1.13M
99.14%-134.78K
-229.60%-15.7M
-4,918.60%-4.76M
109.40%98.84K
-168.91%-1.05M
Financing cash flow
Cash flow from continuing financing activities
-50.00%-1.47M
-100.00%-980.41K
50.00%-490.2K
0.00%-980.41K
-33.33%-980.41K
-242.86%-735.31K
-49.28%514.69K
306.99%1.01M
0.00%-490.2K
71.43%-490.2K
Cash dividends paid
-50.00%-1.47M
-100.00%-980.41K
50.00%-490.2K
0.00%-980.41K
-33.33%-980.41K
0.00%-735.31K
0.00%-735.31K
-50.00%-735.31K
0.00%-490.2K
71.43%-490.2K
Net other financing activities
----
----
----
----
----
----
-28.57%1.25M
--1.75M
----
----
Cash from discontinued financing activities
Financing cash flow
-50.00%-1.47M
-100.00%-980.41K
50.00%-490.2K
0.00%-980.41K
-33.33%-980.41K
-242.86%-735.31K
-49.28%514.69K
306.99%1.01M
0.00%-490.2K
71.43%-490.2K
Net cash flow
Beginning cash position
7.75%19.83M
14.78%18.4M
7.74%16.03M
13.79%14.88M
8.42%13.08M
-40.53%12.06M
-4.37%20.28M
34.67%21.21M
-4.50%15.75M
2.32%16.49M
Current changes in cash
109.53%2.99M
-39.83%1.43M
105.74%2.37M
-36.10%1.15M
77.54%1.8M
112.35%1.02M
-786.81%-8.22M
-116.98%-926.8K
835.74%5.46M
-298.65%-742.04K
End cash Position
15.07%22.81M
7.75%19.83M
14.78%18.4M
7.74%16.03M
13.79%14.88M
8.42%13.08M
-40.53%12.06M
-4.37%20.28M
34.67%21.21M
-4.50%15.75M
Free cash from
85.27%4.46M
-15.87%2.41M
34.13%2.86M
-23.38%2.13M
152.07%2.78M
108.96%1.1M
-215.84%-12.32M
-184.27%-3.9M
1,938.36%4.63M
-112.05%-251.84K
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2023(FY)Dec 30, 2022(FY)Dec 30, 2021(FY)Dec 30, 2020(FY)Dec 30, 2019(FY)Dec 30, 2018(FY)Dec 30, 2017(FY)Dec 30, 2016(FY)Dec 30, 2015(FY)Dec 30, 2014
Operating cash flow (direct method)
Cash income from operating activities 26.56%75.03M10.67%59.29M35.33%53.57M-27.28%39.58M-0.35%54.44M1.27%54.63M20.61%53.94M5.03%44.72M5.55%42.58M8.90%40.34M
Revenue from customers 27.41%56.07M15.42%44M59.34%38.12M-56.07%23.93M-1.02%54.46M0.57%55.03M20.30%54.72M5.70%45.48M5.75%43.03M8.83%40.69M
Other cash income from operating activities 24.12%18.97M-1.06%15.28M-1.36%15.45M53,640.28%15.66M92.68%-29.25K48.35%-399.56K-1.82%-773.63K-68.36%-759.8K-28.57%-451.3K-1.88%-351K
Cash paid -22.24%-67.43M-11.96%-55.16M-30.52%-49.27M24.35%-37.75M3.47%-49.9M-13.81%-51.7M-10.08%-45.42M-11.91%-41.26M5.13%-36.87M-13.83%-38.87M
Payments to suppliers for goods and services -22.24%-67.43M-11.96%-55.16M-30.52%-49.27M24.35%-37.75M3.47%-49.9M-13.81%-51.7M-10.08%-45.42M-11.91%-41.26M5.13%-36.87M-13.83%-38.87M
Direct interest received 247.36%860.14K448.05%247.62K-69.40%45.18K-38.72%147.63K-11.84%240.91K-30.87%273.26K-32.99%395.28K35.49%589.87K-31.96%435.36K-16.04%639.87K
Direct tax refund paid -141.26%-2.73M3.60%-1.13M-483.72%-1.17M135.55%305.58K34.76%-859.48K32.49%-1.32M-58.55%-1.95M-317.93%-1.23M77.63%-294.47K-11.00%-1.32M
Operating cash flow 77.06%5.73M2.13%3.24M38.66%3.17M-41.58%2.29M107.62%3.91M-72.93%1.89M146.86%6.96M-51.78%2.82M631.55%5.85M-67.75%799.78K
Investing cash flow
Cash flow from continuing investing activities -53.32%-1.28M-167.62%-832.39K-101.07%-311.03K86.33%-154.69K-739.59%-1.13M99.14%-134.78K-229.60%-15.7M-4,918.60%-4.76M109.40%98.84K-168.91%-1.05M
Net PPE purchase and sale -53.32%-1.28M-167.62%-832.39K-101.07%-311.03K86.33%-154.69K-44.82%-1.13M95.95%-781.38K-186.89%-19.29M-464.76%-6.72M-13.19%-1.19M-168.91%-1.05M
Net intangibles purchas and sale -----------------------------------30.8K----
Net other investing changes ---------------------81.98%646.6K83.09%3.59M48.47%1.96M--1.32M----
Cash from discontinued investing activities
Investing cash flow -53.32%-1.28M-167.62%-832.39K-101.07%-311.03K86.33%-154.69K-739.59%-1.13M99.14%-134.78K-229.60%-15.7M-4,918.60%-4.76M109.40%98.84K-168.91%-1.05M
Financing cash flow
Cash flow from continuing financing activities -50.00%-1.47M-100.00%-980.41K50.00%-490.2K0.00%-980.41K-33.33%-980.41K-242.86%-735.31K-49.28%514.69K306.99%1.01M0.00%-490.2K71.43%-490.2K
Cash dividends paid -50.00%-1.47M-100.00%-980.41K50.00%-490.2K0.00%-980.41K-33.33%-980.41K0.00%-735.31K0.00%-735.31K-50.00%-735.31K0.00%-490.2K71.43%-490.2K
Net other financing activities -------------------------28.57%1.25M--1.75M--------
Cash from discontinued financing activities
Financing cash flow -50.00%-1.47M-100.00%-980.41K50.00%-490.2K0.00%-980.41K-33.33%-980.41K-242.86%-735.31K-49.28%514.69K306.99%1.01M0.00%-490.2K71.43%-490.2K
Net cash flow
Beginning cash position 7.75%19.83M14.78%18.4M7.74%16.03M13.79%14.88M8.42%13.08M-40.53%12.06M-4.37%20.28M34.67%21.21M-4.50%15.75M2.32%16.49M
Current changes in cash 109.53%2.99M-39.83%1.43M105.74%2.37M-36.10%1.15M77.54%1.8M112.35%1.02M-786.81%-8.22M-116.98%-926.8K835.74%5.46M-298.65%-742.04K
End cash Position 15.07%22.81M7.75%19.83M14.78%18.4M7.74%16.03M13.79%14.88M8.42%13.08M-40.53%12.06M-4.37%20.28M34.67%21.21M-4.50%15.75M
Free cash from 85.27%4.46M-15.87%2.41M34.13%2.86M-23.38%2.13M152.07%2.78M108.96%1.1M-215.84%-12.32M-184.27%-3.9M1,938.36%4.63M-112.05%-251.84K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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