AU Stock MarketDetailed Quotes

BFG Bell Financial Group Ltd

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  • 1.445
  • -0.025-1.70%
20min DelayMarket Closed Jul 22 15:57 AET
463.48MMarket Cap19.01P/E (Static)

Bell Financial Group 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
-27.98%173.89M
-30.17%241.44M
-2.39%345.74M
28.84%354.19M
13.01%274.9M
-11.11%243.26M
-6.64%273.66M
12.92%293.12M
50.95%259.57M
-16.64%171.95M
Cash income from bank and customer deposits
-1.92%213.83M
-22.72%218.01M
-1.89%282.1M
18.84%287.53M
12.22%241.95M
-16.26%215.61M
-7.59%257.48M
13.18%278.64M
55.36%246.19M
-17.27%158.47M
Cash income from loans
53.72%49.93M
42.59%32.48M
-9.12%22.78M
2.89%25.06M
33.51%24.36M
12.84%18.25M
11.69%16.17M
8.21%14.48M
-0.81%13.38M
-8.25%13.49M
Cash income from securities-related activities
-54.33%153K
16,650.00%335K
-90.91%2K
340.00%22K
-66.67%5K
114.29%15K
250.00%7K
-33.33%2K
--3K
----
Other cash income from operating activities
-859.84%-90.02M
-122.96%-9.38M
-1.73%40.86M
384.42%41.58M
-8.57%8.58M
--9.39M
----
----
----
----
Cash paid
4.01%-225M
10.16%-234.39M
-19.14%-260.9M
3.90%-218.99M
-8.48%-227.88M
3.96%-210.07M
19.64%-218.73M
-1.44%-272.19M
-74.15%-268.32M
2.52%-154.07M
Cash paid for bank and customer deposits
8.63%-196.19M
9.09%-214.71M
-21.11%-236.18M
7.68%-195.02M
-9.17%-211.25M
6.29%-193.51M
20.15%-206.5M
-0.23%-258.62M
-75.52%-258.03M
2.16%-147.01M
Cash paid for interest and commission
-141.42%-18.2M
-142.05%-7.54M
46.75%-3.12M
24.42%-5.85M
-54.58%-7.74M
-9.20%-5.01M
-9.06%-4.59M
-1.42%-4.2M
1.54%-4.15M
20.98%-4.21M
All taxes paid
12.61%-10.61M
43.82%-12.14M
-19.23%-21.61M
-103.73%-18.12M
22.98%-8.9M
-51.03%-11.55M
18.34%-7.65M
-52.38%-9.36M
-115.39%-6.15M
-15.83%-2.85M
Operating cash flow
-824.33%-51.11M
-91.68%7.06M
-37.25%84.84M
187.55%135.2M
41.68%47.02M
-39.58%33.19M
162.42%54.92M
339.28%20.93M
-148.91%-8.75M
-62.92%17.88M
Investing cash flow
Cash flow from continuing investing activities
35.90%-3.86M
-570.38%-6.02M
49.52%-898K
81.76%-1.78M
-717.67%-9.75M
231.04%1.58M
-212.09%-1.21M
187.40%1.08M
-466.07%-1.23M
-72.21%336K
Net PPE purchase and sale
-89.91%-828K
55.78%-436K
37.95%-986K
-104.24%-1.59M
-205.10%-778K
14.43%-255K
-57.67%-298K
-89.00%-189K
9.91%-100K
41.27%-111K
Net investment purchase and sale
45.72%-3.03M
-6,445.45%-5.58M
146.32%88K
97.88%-190K
-589.37%-8.98M
302.21%1.83M
-171.76%-907K
211.86%1.26M
-352.80%-1.13M
-68.03%447K
Cash from discontinued investing activities
Investing cash flow
35.90%-3.86M
-570.38%-6.02M
49.52%-898K
81.76%-1.78M
-717.67%-9.75M
231.04%1.58M
-212.09%-1.21M
187.40%1.08M
-466.07%-1.23M
-72.21%336K
Financing cash flow
Cash flow from continuing financing activities
72.96%-17.46M
-323.61%-64.57M
65.76%-15.24M
-24.52%-44.52M
8.61%-35.75M
14.16%-39.12M
-182.13%-45.57M
361.40%55.49M
-1.19%-21.23M
-93.23%-20.98M
Net issuance payments of debt
2,889.74%124.76M
79.57%-4.47M
69.72%-21.89M
-154.90%-72.29M
407.05%131.69M
144.18%25.97M
-9.11%-58.79M
-214.42%-53.88M
-18.91%-17.14M
---14.41M
Net commonstock issuance
----
20.18%-1.35M
---1.7M
----
----
--36.03M
----
----
73.00%-453K
-260.86%-1.68M
Cash dividends paid
16.67%-24.06M
18.18%-28.87M
-29.41%-35.28M
-10.56%-27.26M
-5.78%-24.66M
-53.41%-23.31M
-21.55%-15.2M
-39.72%-12.5M
-132.29%-8.95M
-48.38%-3.85M
Net other financing activities
-295.47%-118.16M
-168.49%-29.88M
-20.74%43.62M
138.55%55.04M
-83.50%-142.78M
-373.84%-77.81M
-76.69%28.41M
2,196.02%121.87M
611.37%5.31M
86.69%-1.04M
Cash from discontinued financing activities
Financing cash flow
72.96%-17.46M
-323.61%-64.57M
65.76%-15.24M
-24.52%-44.52M
8.61%-35.75M
14.16%-39.12M
-182.13%-45.57M
361.40%55.49M
-1.19%-21.23M
-93.23%-20.98M
Net cash flow
Beginning cash position
-18.01%289.21M
24.19%352.74M
45.56%284.04M
0.78%195.14M
-2.20%193.62M
4.29%197.98M
68.99%189.83M
-21.74%112.33M
-1.89%143.54M
35.81%146.3M
Current changes in cash
-14.00%-72.43M
-192.48%-63.54M
-22.73%68.7M
5,768.38%88.91M
134.80%1.52M
-153.45%-4.35M
-89.49%8.15M
348.34%77.5M
-1,031.06%-31.21M
-107.15%-2.76M
End cash position
-25.04%216.78M
-18.01%289.21M
24.19%352.74M
45.56%284.04M
0.78%195.14M
-2.20%193.62M
4.29%197.98M
68.99%189.83M
-21.74%112.33M
-1.89%143.54M
Free cash from
-884.55%-51.94M
-92.11%6.62M
-37.24%83.85M
188.95%133.61M
40.41%46.24M
-39.71%32.93M
163.37%54.63M
334.44%20.74M
-149.78%-8.85M
-63.01%17.77M
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 -27.98%173.89M-30.17%241.44M-2.39%345.74M28.84%354.19M13.01%274.9M-11.11%243.26M-6.64%273.66M12.92%293.12M50.95%259.57M-16.64%171.95M
Cash income from bank and customer deposits -1.92%213.83M-22.72%218.01M-1.89%282.1M18.84%287.53M12.22%241.95M-16.26%215.61M-7.59%257.48M13.18%278.64M55.36%246.19M-17.27%158.47M
Cash income from loans 53.72%49.93M42.59%32.48M-9.12%22.78M2.89%25.06M33.51%24.36M12.84%18.25M11.69%16.17M8.21%14.48M-0.81%13.38M-8.25%13.49M
Cash income from securities-related activities -54.33%153K16,650.00%335K-90.91%2K340.00%22K-66.67%5K114.29%15K250.00%7K-33.33%2K--3K----
Other cash income from operating activities -859.84%-90.02M-122.96%-9.38M-1.73%40.86M384.42%41.58M-8.57%8.58M--9.39M----------------
Cash paid 4.01%-225M10.16%-234.39M-19.14%-260.9M3.90%-218.99M-8.48%-227.88M3.96%-210.07M19.64%-218.73M-1.44%-272.19M-74.15%-268.32M2.52%-154.07M
Cash paid for bank and customer deposits 8.63%-196.19M9.09%-214.71M-21.11%-236.18M7.68%-195.02M-9.17%-211.25M6.29%-193.51M20.15%-206.5M-0.23%-258.62M-75.52%-258.03M2.16%-147.01M
Cash paid for interest and commission -141.42%-18.2M-142.05%-7.54M46.75%-3.12M24.42%-5.85M-54.58%-7.74M-9.20%-5.01M-9.06%-4.59M-1.42%-4.2M1.54%-4.15M20.98%-4.21M
All taxes paid 12.61%-10.61M43.82%-12.14M-19.23%-21.61M-103.73%-18.12M22.98%-8.9M-51.03%-11.55M18.34%-7.65M-52.38%-9.36M-115.39%-6.15M-15.83%-2.85M
Operating cash flow -824.33%-51.11M-91.68%7.06M-37.25%84.84M187.55%135.2M41.68%47.02M-39.58%33.19M162.42%54.92M339.28%20.93M-148.91%-8.75M-62.92%17.88M
Investing cash flow
Cash flow from continuing investing activities 35.90%-3.86M-570.38%-6.02M49.52%-898K81.76%-1.78M-717.67%-9.75M231.04%1.58M-212.09%-1.21M187.40%1.08M-466.07%-1.23M-72.21%336K
Net PPE purchase and sale -89.91%-828K55.78%-436K37.95%-986K-104.24%-1.59M-205.10%-778K14.43%-255K-57.67%-298K-89.00%-189K9.91%-100K41.27%-111K
Net investment purchase and sale 45.72%-3.03M-6,445.45%-5.58M146.32%88K97.88%-190K-589.37%-8.98M302.21%1.83M-171.76%-907K211.86%1.26M-352.80%-1.13M-68.03%447K
Cash from discontinued investing activities
Investing cash flow 35.90%-3.86M-570.38%-6.02M49.52%-898K81.76%-1.78M-717.67%-9.75M231.04%1.58M-212.09%-1.21M187.40%1.08M-466.07%-1.23M-72.21%336K
Financing cash flow
Cash flow from continuing financing activities 72.96%-17.46M-323.61%-64.57M65.76%-15.24M-24.52%-44.52M8.61%-35.75M14.16%-39.12M-182.13%-45.57M361.40%55.49M-1.19%-21.23M-93.23%-20.98M
Net issuance payments of debt 2,889.74%124.76M79.57%-4.47M69.72%-21.89M-154.90%-72.29M407.05%131.69M144.18%25.97M-9.11%-58.79M-214.42%-53.88M-18.91%-17.14M---14.41M
Net commonstock issuance ----20.18%-1.35M---1.7M----------36.03M--------73.00%-453K-260.86%-1.68M
Cash dividends paid 16.67%-24.06M18.18%-28.87M-29.41%-35.28M-10.56%-27.26M-5.78%-24.66M-53.41%-23.31M-21.55%-15.2M-39.72%-12.5M-132.29%-8.95M-48.38%-3.85M
Net other financing activities -295.47%-118.16M-168.49%-29.88M-20.74%43.62M138.55%55.04M-83.50%-142.78M-373.84%-77.81M-76.69%28.41M2,196.02%121.87M611.37%5.31M86.69%-1.04M
Cash from discontinued financing activities
Financing cash flow 72.96%-17.46M-323.61%-64.57M65.76%-15.24M-24.52%-44.52M8.61%-35.75M14.16%-39.12M-182.13%-45.57M361.40%55.49M-1.19%-21.23M-93.23%-20.98M
Net cash flow
Beginning cash position -18.01%289.21M24.19%352.74M45.56%284.04M0.78%195.14M-2.20%193.62M4.29%197.98M68.99%189.83M-21.74%112.33M-1.89%143.54M35.81%146.3M
Current changes in cash -14.00%-72.43M-192.48%-63.54M-22.73%68.7M5,768.38%88.91M134.80%1.52M-153.45%-4.35M-89.49%8.15M348.34%77.5M-1,031.06%-31.21M-107.15%-2.76M
End cash position -25.04%216.78M-18.01%289.21M24.19%352.74M45.56%284.04M0.78%195.14M-2.20%193.62M4.29%197.98M68.99%189.83M-21.74%112.33M-1.89%143.54M
Free cash from -884.55%-51.94M-92.11%6.62M-37.24%83.85M188.95%133.61M40.41%46.24M-39.71%32.93M163.37%54.63M334.44%20.74M-149.78%-8.85M-63.01%17.77M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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