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BFG Bell Financial Group Ltd

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  • 1.235
  • 0.0000.00%
20min DelayNot Open Nov 5 15:59 AET
396.12MMarket Cap16.25P/E (Static)

Bell Financial Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(Q4)Dec 30, 2023
(FY)Dec 30, 2022
(Q4)Dec 30, 2022
(FY)Dec 30, 2021
(Q4)Dec 30, 2021
(FY)Dec 30, 2020
(Q4)Dec 30, 2020
(FY)Dec 30, 2019
(Q4)Dec 30, 2019
Assets
Cash, cash equivalents and federal funds sold
-25.04%216.78M
-25.04%216.78M
-18.01%289.21M
-18.01%289.21M
24.19%352.74M
24.19%352.74M
45.56%284.04M
45.56%284.04M
0.78%195.14M
0.78%195.14M
-Cash and cash equivalents
-25.04%216.78M
-25.04%216.78M
-18.01%289.21M
-18.01%289.21M
24.19%352.74M
24.19%352.74M
45.56%284.04M
45.56%284.04M
0.78%195.14M
0.78%195.14M
Securities and investments
0.13%15.59M
0.13%15.59M
16.69%15.57M
16.69%15.57M
-14.69%13.35M
-14.69%13.35M
15.38%15.65M
15.38%15.65M
1,197.51%13.56M
1,197.51%13.56M
-Trading securities
5.94%12M
5.94%12M
39.35%11.33M
39.35%11.33M
-5.25%8.13M
-5.25%8.13M
-36.73%8.58M
-36.73%8.58M
1,197.51%13.56M
1,197.51%13.56M
-Short term investments
-15.38%3.59M
-15.38%3.59M
-18.63%4.25M
-18.63%4.25M
-26.17%5.22M
-26.17%5.22M
--7.07M
--7.07M
----
----
Long term equity investment
10.16%546.15M
10.16%546.15M
-7.16%495.76M
-7.16%495.76M
13.84%534.01M
13.84%534.01M
-13.69%469.08M
-13.69%469.08M
--543.49M
--543.49M
Derivative assets
-81.38%81K
-81.38%81K
143.02%435K
143.02%435K
70.48%179K
70.48%179K
1.94%105K
1.94%105K
--103K
--103K
Receivables
-30.43%176.6M
-30.43%176.6M
4.86%253.85M
4.86%253.85M
86.21%242.07M
86.21%242.07M
-22.60%130M
-22.60%130M
39.20%167.96M
39.20%167.96M
-Accounts receivable
-21.27%118.92M
-21.27%118.92M
49.69%151.05M
49.69%151.05M
23.01%100.91M
23.01%100.91M
-4.86%82.03M
-4.86%82.03M
11.70%86.22M
11.70%86.22M
-Other receivables
-43.89%57.68M
-43.89%57.68M
-27.18%102.8M
-27.18%102.8M
194.28%141.17M
194.28%141.17M
-41.31%47.97M
-41.31%47.97M
88.02%81.74M
88.02%81.74M
Net PPE
-11.45%41.56M
-11.45%41.56M
230.89%46.93M
230.89%46.93M
-21.54%14.18M
-21.54%14.18M
-24.37%18.08M
-24.37%18.08M
3,300.43%23.91M
3,300.43%23.91M
-Gross PPE
4.31%65.06M
4.31%65.06M
68.82%62.37M
68.82%62.37M
16.97%36.95M
16.97%36.95M
-14.23%31.59M
-14.23%31.59M
177.38%36.83M
177.38%36.83M
-Accumulated depreciation
-52.23%-23.5M
-52.23%-23.5M
32.18%-15.44M
32.18%-15.44M
-68.53%-22.76M
-68.53%-22.76M
-4.54%-13.51M
-4.54%-13.51M
-2.76%-12.92M
-2.76%-12.92M
Goodwill and other intangible assets
0.04%145.94M
0.04%145.94M
0.46%145.88M
0.46%145.88M
0.72%145.21M
0.72%145.21M
0.88%144.17M
0.88%144.17M
1.31%142.91M
1.31%142.91M
-Goodwill
0.00%130.41M
0.00%130.41M
0.00%130.41M
0.00%130.41M
0.00%130.41M
0.00%130.41M
0.00%130.41M
0.00%130.41M
0.00%130.41M
0.00%130.41M
-Other intangible assets
0.38%15.53M
0.38%15.53M
4.53%15.47M
4.53%15.47M
7.52%14.8M
7.52%14.8M
10.11%13.76M
10.11%13.76M
17.30%12.5M
17.30%12.5M
Deferred assets
--4.77M
--4.77M
----
----
9.71%4.54M
9.71%4.54M
-6.33%4.14M
-6.33%4.14M
-42.03%4.42M
-42.03%4.42M
Other assets
-79.02%1.34M
-79.02%1.34M
430.56%6.37M
430.56%6.37M
16.83%1.2M
16.83%1.2M
10.54%1.03M
10.54%1.03M
-99.69%930K
-99.69%930K
Total assets
-8.39%1.15B
-8.39%1.15B
-4.09%1.25B
-4.09%1.25B
22.62%1.31B
22.62%1.31B
-2.39%1.07B
-2.39%1.07B
43.38%1.09B
43.38%1.09B
Liabilities
Current debt and capital lease obligation
10.35%615.17M
10.35%615.17M
-5.41%557.47M
-5.41%557.47M
17.91%589.38M
17.91%589.38M
-15.28%499.83M
-15.28%499.83M
88.84%590M
88.84%590M
-Current debt
10.35%615.17M
10.35%615.17M
-5.41%557.47M
-5.41%557.47M
17.91%589.38M
17.91%589.38M
-15.28%499.83M
-15.28%499.83M
88.84%590M
88.84%590M
Derivative product liabilities
----
----
----
----
-96.22%9K
-96.22%9K
-37.37%238K
-37.37%238K
187.88%380K
187.88%380K
Payables
-38.95%257.63M
-38.95%257.63M
1.01%422M
1.01%422M
56.02%417.79M
56.02%417.79M
9.03%267.79M
9.03%267.79M
15.21%245.61M
15.21%245.61M
-Other payable
-38.95%257.63M
-38.95%257.63M
1.01%422M
1.01%422M
56.02%417.79M
56.02%417.79M
9.03%267.79M
9.03%267.79M
15.21%245.61M
15.21%245.61M
Current provisions
0.00%500K
0.00%500K
0.00%500K
0.00%500K
0.00%500K
0.00%500K
--500K
--500K
----
----
Current deferred liabilities
19.69%1.67M
19.69%1.67M
-24.45%1.4M
-24.45%1.4M
-54.41%1.85M
-54.41%1.85M
88.48%4.06M
88.48%4.06M
1,228.40%2.15M
1,228.40%2.15M
Long term provisions
----
----
----
----
5.57%5.14M
5.57%5.14M
11.24%4.87M
11.24%4.87M
10.23%4.38M
10.23%4.38M
Employee benefits
3.10%38.39M
3.10%38.39M
-30.76%37.23M
-30.76%37.23M
-7.39%53.78M
-7.39%53.78M
50.47%58.07M
50.47%58.07M
34.59%38.59M
34.59%38.59M
Total liabilities
-10.33%913.36M
-10.33%913.36M
-4.66%1.02B
-4.66%1.02B
27.90%1.07B
27.90%1.07B
-5.19%835.35M
-5.19%835.35M
57.74%881.11M
57.74%881.11M
Shareholders'equity
Share capital
0.00%204.24M
0.00%204.24M
16.45%204.24M
16.45%204.24M
0.00%175.38M
0.00%175.38M
0.00%175.38M
0.00%175.38M
0.75%175.38M
0.75%175.38M
-common stock
0.00%204.24M
0.00%204.24M
16.45%204.24M
16.45%204.24M
0.00%175.38M
0.00%175.38M
0.00%175.38M
0.00%175.38M
0.75%175.38M
0.75%175.38M
Retained earnings
0.44%61.31M
0.44%61.31M
-4.95%61.04M
-4.95%61.04M
15.96%64.22M
15.96%64.22M
57.19%55.39M
57.19%55.39M
24.04%35.23M
24.04%35.23M
Gains losses not affecting retained earnings
-0.77%-30.11M
-0.77%-30.11M
-5,282.88%-29.88M
-5,282.88%-29.88M
-413.56%-555K
-413.56%-555K
-74.38%177K
-74.38%177K
-19.37%691K
-19.37%691K
Total stockholders'equity
0.02%235.44M
0.02%235.44M
-1.52%235.4M
-1.52%235.4M
3.51%239.05M
3.51%239.05M
9.29%230.94M
9.29%230.94M
3.92%211.3M
3.92%211.3M
Total equity
0.02%235.44M
0.02%235.44M
-1.52%235.4M
-1.52%235.4M
3.51%239.05M
3.51%239.05M
9.29%230.94M
9.29%230.94M
3.92%211.3M
3.92%211.3M
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(Q4)Dec 30, 2023(FY)Dec 30, 2022(Q4)Dec 30, 2022(FY)Dec 30, 2021(Q4)Dec 30, 2021(FY)Dec 30, 2020(Q4)Dec 30, 2020(FY)Dec 30, 2019(Q4)Dec 30, 2019
Assets
Cash, cash equivalents and federal funds sold -25.04%216.78M-25.04%216.78M-18.01%289.21M-18.01%289.21M24.19%352.74M24.19%352.74M45.56%284.04M45.56%284.04M0.78%195.14M0.78%195.14M
-Cash and cash equivalents -25.04%216.78M-25.04%216.78M-18.01%289.21M-18.01%289.21M24.19%352.74M24.19%352.74M45.56%284.04M45.56%284.04M0.78%195.14M0.78%195.14M
Securities and investments 0.13%15.59M0.13%15.59M16.69%15.57M16.69%15.57M-14.69%13.35M-14.69%13.35M15.38%15.65M15.38%15.65M1,197.51%13.56M1,197.51%13.56M
-Trading securities 5.94%12M5.94%12M39.35%11.33M39.35%11.33M-5.25%8.13M-5.25%8.13M-36.73%8.58M-36.73%8.58M1,197.51%13.56M1,197.51%13.56M
-Short term investments -15.38%3.59M-15.38%3.59M-18.63%4.25M-18.63%4.25M-26.17%5.22M-26.17%5.22M--7.07M--7.07M--------
Long term equity investment 10.16%546.15M10.16%546.15M-7.16%495.76M-7.16%495.76M13.84%534.01M13.84%534.01M-13.69%469.08M-13.69%469.08M--543.49M--543.49M
Derivative assets -81.38%81K-81.38%81K143.02%435K143.02%435K70.48%179K70.48%179K1.94%105K1.94%105K--103K--103K
Receivables -30.43%176.6M-30.43%176.6M4.86%253.85M4.86%253.85M86.21%242.07M86.21%242.07M-22.60%130M-22.60%130M39.20%167.96M39.20%167.96M
-Accounts receivable -21.27%118.92M-21.27%118.92M49.69%151.05M49.69%151.05M23.01%100.91M23.01%100.91M-4.86%82.03M-4.86%82.03M11.70%86.22M11.70%86.22M
-Other receivables -43.89%57.68M-43.89%57.68M-27.18%102.8M-27.18%102.8M194.28%141.17M194.28%141.17M-41.31%47.97M-41.31%47.97M88.02%81.74M88.02%81.74M
Net PPE -11.45%41.56M-11.45%41.56M230.89%46.93M230.89%46.93M-21.54%14.18M-21.54%14.18M-24.37%18.08M-24.37%18.08M3,300.43%23.91M3,300.43%23.91M
-Gross PPE 4.31%65.06M4.31%65.06M68.82%62.37M68.82%62.37M16.97%36.95M16.97%36.95M-14.23%31.59M-14.23%31.59M177.38%36.83M177.38%36.83M
-Accumulated depreciation -52.23%-23.5M-52.23%-23.5M32.18%-15.44M32.18%-15.44M-68.53%-22.76M-68.53%-22.76M-4.54%-13.51M-4.54%-13.51M-2.76%-12.92M-2.76%-12.92M
Goodwill and other intangible assets 0.04%145.94M0.04%145.94M0.46%145.88M0.46%145.88M0.72%145.21M0.72%145.21M0.88%144.17M0.88%144.17M1.31%142.91M1.31%142.91M
-Goodwill 0.00%130.41M0.00%130.41M0.00%130.41M0.00%130.41M0.00%130.41M0.00%130.41M0.00%130.41M0.00%130.41M0.00%130.41M0.00%130.41M
-Other intangible assets 0.38%15.53M0.38%15.53M4.53%15.47M4.53%15.47M7.52%14.8M7.52%14.8M10.11%13.76M10.11%13.76M17.30%12.5M17.30%12.5M
Deferred assets --4.77M--4.77M--------9.71%4.54M9.71%4.54M-6.33%4.14M-6.33%4.14M-42.03%4.42M-42.03%4.42M
Other assets -79.02%1.34M-79.02%1.34M430.56%6.37M430.56%6.37M16.83%1.2M16.83%1.2M10.54%1.03M10.54%1.03M-99.69%930K-99.69%930K
Total assets -8.39%1.15B-8.39%1.15B-4.09%1.25B-4.09%1.25B22.62%1.31B22.62%1.31B-2.39%1.07B-2.39%1.07B43.38%1.09B43.38%1.09B
Liabilities
Current debt and capital lease obligation 10.35%615.17M10.35%615.17M-5.41%557.47M-5.41%557.47M17.91%589.38M17.91%589.38M-15.28%499.83M-15.28%499.83M88.84%590M88.84%590M
-Current debt 10.35%615.17M10.35%615.17M-5.41%557.47M-5.41%557.47M17.91%589.38M17.91%589.38M-15.28%499.83M-15.28%499.83M88.84%590M88.84%590M
Derivative product liabilities -----------------96.22%9K-96.22%9K-37.37%238K-37.37%238K187.88%380K187.88%380K
Payables -38.95%257.63M-38.95%257.63M1.01%422M1.01%422M56.02%417.79M56.02%417.79M9.03%267.79M9.03%267.79M15.21%245.61M15.21%245.61M
-Other payable -38.95%257.63M-38.95%257.63M1.01%422M1.01%422M56.02%417.79M56.02%417.79M9.03%267.79M9.03%267.79M15.21%245.61M15.21%245.61M
Current provisions 0.00%500K0.00%500K0.00%500K0.00%500K0.00%500K0.00%500K--500K--500K--------
Current deferred liabilities 19.69%1.67M19.69%1.67M-24.45%1.4M-24.45%1.4M-54.41%1.85M-54.41%1.85M88.48%4.06M88.48%4.06M1,228.40%2.15M1,228.40%2.15M
Long term provisions ----------------5.57%5.14M5.57%5.14M11.24%4.87M11.24%4.87M10.23%4.38M10.23%4.38M
Employee benefits 3.10%38.39M3.10%38.39M-30.76%37.23M-30.76%37.23M-7.39%53.78M-7.39%53.78M50.47%58.07M50.47%58.07M34.59%38.59M34.59%38.59M
Total liabilities -10.33%913.36M-10.33%913.36M-4.66%1.02B-4.66%1.02B27.90%1.07B27.90%1.07B-5.19%835.35M-5.19%835.35M57.74%881.11M57.74%881.11M
Shareholders'equity
Share capital 0.00%204.24M0.00%204.24M16.45%204.24M16.45%204.24M0.00%175.38M0.00%175.38M0.00%175.38M0.00%175.38M0.75%175.38M0.75%175.38M
-common stock 0.00%204.24M0.00%204.24M16.45%204.24M16.45%204.24M0.00%175.38M0.00%175.38M0.00%175.38M0.00%175.38M0.75%175.38M0.75%175.38M
Retained earnings 0.44%61.31M0.44%61.31M-4.95%61.04M-4.95%61.04M15.96%64.22M15.96%64.22M57.19%55.39M57.19%55.39M24.04%35.23M24.04%35.23M
Gains losses not affecting retained earnings -0.77%-30.11M-0.77%-30.11M-5,282.88%-29.88M-5,282.88%-29.88M-413.56%-555K-413.56%-555K-74.38%177K-74.38%177K-19.37%691K-19.37%691K
Total stockholders'equity 0.02%235.44M0.02%235.44M-1.52%235.4M-1.52%235.4M3.51%239.05M3.51%239.05M9.29%230.94M9.29%230.94M3.92%211.3M3.92%211.3M
Total equity 0.02%235.44M0.02%235.44M-1.52%235.4M-1.52%235.4M3.51%239.05M3.51%239.05M9.29%230.94M9.29%230.94M3.92%211.3M3.92%211.3M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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