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BPT Beach Energy Ltd

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  • 1.275
  • -0.030-2.30%
20min DelayNot Open Aug 28 16:00 AET
2.91BMarket Cap-6100P/E (Static)

Beach Energy Ltd 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
-21.43%172M
-21.43%172M
-13.99%218.9M
-13.99%218.9M
100.87%254.5M
100.87%254.5M
15.29%126.7M
15.29%126.7M
-36.07%109.9M
-36.07%109.9M
-Cash and cash equivalents
-21.43%172M
-21.43%172M
-13.99%218.9M
-13.99%218.9M
100.87%254.5M
100.87%254.5M
15.29%126.7M
15.29%126.7M
-36.07%109.9M
-36.07%109.9M
-Accounts receivable
11.58%265.9M
11.58%265.9M
7.00%238.3M
7.00%238.3M
-37.30%222.7M
-37.30%222.7M
64.29%355.2M
64.29%355.2M
-24.22%216.2M
-24.22%216.2M
-Notes receivable
-5.56%1.7M
-5.56%1.7M
100.00%1.8M
100.00%1.8M
12.50%900K
12.50%900K
-20.00%800K
-20.00%800K
-54.55%1M
-54.55%1M
Current deferred assets
-26.45%17.8M
-26.45%17.8M
--24.2M
--24.2M
----
----
----
----
----
----
Total current assets
2.31%685.6M
2.31%685.6M
-3.69%670.1M
-3.69%670.1M
3.71%695.8M
3.71%695.8M
32.17%670.9M
32.17%670.9M
-15.19%507.6M
-15.19%507.6M
Non current assets
-Accumulated depreciation
-28.64%-5.23B
-28.64%-5.23B
-10.88%-4.07B
-10.88%-4.07B
-10.54%-3.67B
-10.54%-3.67B
-13.41%-3.32B
-13.41%-3.32B
-11.11%-2.93B
-11.11%-2.93B
-Long term equity investment
96.81%782.3M
96.81%782.3M
276.42%397.5M
276.42%397.5M
-47.23%105.6M
-47.23%105.6M
117.50%200.1M
117.50%200.1M
--92M
--92M
Non current note receivables
--91.2M
--91.2M
----
----
----
----
----
----
-57.89%33.6M
-57.89%33.6M
-Goodwill
-65.72%26.6M
-65.72%26.6M
0.65%77.6M
0.65%77.6M
0.00%77.1M
0.00%77.1M
35.03%77.1M
35.03%77.1M
0.00%57.1M
0.00%57.1M
Regulatory assets
11.59%265.7M
11.59%265.7M
7.01%238.1M
7.01%238.1M
-37.32%222.5M
-37.32%222.5M
64.50%355M
64.50%355M
-24.25%215.8M
-24.25%215.8M
Liabilities
Current liabilities
Current debt and capital lease obligation
12.73%12.4M
12.73%12.4M
-25.17%11M
-25.17%11M
-80.91%14.7M
-80.91%14.7M
187.31%77M
187.31%77M
--26.8M
--26.8M
-Current capital lease obligation
12.73%12.4M
12.73%12.4M
-25.17%11M
-25.17%11M
-80.91%14.7M
-80.91%14.7M
187.31%77M
187.31%77M
--26.8M
--26.8M
-accounts payable
-14.46%282.2M
-14.46%282.2M
-1.49%329.9M
-1.49%329.9M
27.24%334.9M
27.24%334.9M
-4.78%263.2M
-4.78%263.2M
-14.80%276.4M
-14.80%276.4M
-Total tax payable
14.76%1.8B
14.76%1.8B
46.91%1.57B
46.91%1.57B
-10.21%1.07B
-10.21%1.07B
26.96%1.19B
26.96%1.19B
1.40%939.2M
1.40%939.2M
-Other payable
-24.83%56.6M
-24.83%56.6M
-13.55%75.3M
-13.55%75.3M
3.69%87.1M
3.69%87.1M
11.85%84M
11.85%84M
7.75%75.1M
7.75%75.1M
Current provisions
-3.95%65.6M
-3.95%65.6M
0.15%68.3M
0.15%68.3M
191.45%68.2M
191.45%68.2M
67.14%23.4M
67.14%23.4M
18.64%14M
18.64%14M
Current deferred liabilities
----
----
-74.95%12.1M
-74.95%12.1M
1,138.46%48.3M
1,138.46%48.3M
-95.49%3.9M
-95.49%3.9M
-57.10%86.4M
-57.10%86.4M
Current liabilities
-14.05%381.8M
-14.05%381.8M
-9.64%444.2M
-9.64%444.2M
23.21%491.6M
23.21%491.6M
-12.54%399M
-12.54%399M
-25.62%456.2M
-25.62%456.2M
Non current liabilities
-Long term debt
112.68%30.2M
112.68%30.2M
-22.40%14.2M
-22.40%14.2M
-29.62%18.3M
-29.62%18.3M
-26.35%26M
-26.35%26M
--35.3M
--35.3M
Non current accrued expenses
-8.53%4.64B
-8.53%4.64B
19.56%5.07B
19.56%5.07B
10.26%4.24B
10.26%4.24B
8.62%3.85B
8.62%3.85B
13.93%3.54B
13.93%3.54B
Long term provisions
96.22%752.1M
96.22%752.1M
339.06%383.3M
339.06%383.3M
-49.86%87.3M
-49.86%87.3M
207.05%174.1M
207.05%174.1M
--56.7M
--56.7M
Employee benefits
-5.56%1.7M
-5.56%1.7M
100.00%1.8M
100.00%1.8M
12.50%900K
12.50%900K
-20.00%800K
-20.00%800K
-54.55%1M
-54.55%1M
Regulatory liabilities
0.00%-200K
0.00%-200K
0.00%-200K
0.00%-200K
0.00%-200K
0.00%-200K
50.00%-200K
50.00%-200K
0.00%-400K
0.00%-400K
Preferred securities outside stock equity
-5.68%21.6M
-5.68%21.6M
8.02%22.9M
8.02%22.9M
8.72%21.2M
8.72%21.2M
15.38%19.5M
15.38%19.5M
24.26%16.9M
24.26%16.9M
Total non current liabilities
8.41%2.19B
8.41%2.19B
29.11%2.02B
29.11%2.02B
-1.83%1.56B
-1.83%1.56B
14.05%1.59B
14.05%1.59B
-9.36%1.4B
-9.36%1.4B
Shareholders'equity
Share capital
0.05%1.86B
0.05%1.86B
0.05%1.86B
0.05%1.86B
0.15%1.86B
0.15%1.86B
-0.09%1.86B
-0.09%1.86B
0.03%1.86B
0.03%1.86B
-common stock
0.05%1.86B
0.05%1.86B
0.05%1.86B
0.05%1.86B
0.15%1.86B
0.15%1.86B
-0.09%1.86B
-0.09%1.86B
0.03%1.86B
0.03%1.86B
Gains losses not affecting retained earnings
-12.10%660.8M
-12.10%660.8M
-7.82%751.8M
-7.82%751.8M
-5.94%815.6M
-5.94%815.6M
-4.91%867.1M
-4.91%867.1M
443.12%911.9M
443.12%911.9M
Other equity interest
29.60%35.9M
29.60%35.9M
-76.41%27.7M
-76.41%27.7M
30.73%117.4M
30.73%117.4M
19.73%89.8M
19.73%89.8M
111.27%75M
111.27%75M
Total equity
-6.71%5.5B
-6.71%5.5B
15.54%5.89B
15.54%5.89B
9.04%5.1B
9.04%5.1B
11.01%4.68B
11.01%4.68B
7.70%4.22B
7.70%4.22B
(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 -21.43%172M-21.43%172M-13.99%218.9M-13.99%218.9M100.87%254.5M100.87%254.5M15.29%126.7M15.29%126.7M-36.07%109.9M-36.07%109.9M
-Cash and cash equivalents -21.43%172M-21.43%172M-13.99%218.9M-13.99%218.9M100.87%254.5M100.87%254.5M15.29%126.7M15.29%126.7M-36.07%109.9M-36.07%109.9M
-Accounts receivable 11.58%265.9M11.58%265.9M7.00%238.3M7.00%238.3M-37.30%222.7M-37.30%222.7M64.29%355.2M64.29%355.2M-24.22%216.2M-24.22%216.2M
-Notes receivable -5.56%1.7M-5.56%1.7M100.00%1.8M100.00%1.8M12.50%900K12.50%900K-20.00%800K-20.00%800K-54.55%1M-54.55%1M
Current deferred assets -26.45%17.8M-26.45%17.8M--24.2M--24.2M------------------------
Total current assets 2.31%685.6M2.31%685.6M-3.69%670.1M-3.69%670.1M3.71%695.8M3.71%695.8M32.17%670.9M32.17%670.9M-15.19%507.6M-15.19%507.6M
Non current assets
-Accumulated depreciation -28.64%-5.23B-28.64%-5.23B-10.88%-4.07B-10.88%-4.07B-10.54%-3.67B-10.54%-3.67B-13.41%-3.32B-13.41%-3.32B-11.11%-2.93B-11.11%-2.93B
-Long term equity investment 96.81%782.3M96.81%782.3M276.42%397.5M276.42%397.5M-47.23%105.6M-47.23%105.6M117.50%200.1M117.50%200.1M--92M--92M
Non current note receivables --91.2M--91.2M-------------------------57.89%33.6M-57.89%33.6M
-Goodwill -65.72%26.6M-65.72%26.6M0.65%77.6M0.65%77.6M0.00%77.1M0.00%77.1M35.03%77.1M35.03%77.1M0.00%57.1M0.00%57.1M
Regulatory assets 11.59%265.7M11.59%265.7M7.01%238.1M7.01%238.1M-37.32%222.5M-37.32%222.5M64.50%355M64.50%355M-24.25%215.8M-24.25%215.8M
Liabilities
Current liabilities
Current debt and capital lease obligation 12.73%12.4M12.73%12.4M-25.17%11M-25.17%11M-80.91%14.7M-80.91%14.7M187.31%77M187.31%77M--26.8M--26.8M
-Current capital lease obligation 12.73%12.4M12.73%12.4M-25.17%11M-25.17%11M-80.91%14.7M-80.91%14.7M187.31%77M187.31%77M--26.8M--26.8M
-accounts payable -14.46%282.2M-14.46%282.2M-1.49%329.9M-1.49%329.9M27.24%334.9M27.24%334.9M-4.78%263.2M-4.78%263.2M-14.80%276.4M-14.80%276.4M
-Total tax payable 14.76%1.8B14.76%1.8B46.91%1.57B46.91%1.57B-10.21%1.07B-10.21%1.07B26.96%1.19B26.96%1.19B1.40%939.2M1.40%939.2M
-Other payable -24.83%56.6M-24.83%56.6M-13.55%75.3M-13.55%75.3M3.69%87.1M3.69%87.1M11.85%84M11.85%84M7.75%75.1M7.75%75.1M
Current provisions -3.95%65.6M-3.95%65.6M0.15%68.3M0.15%68.3M191.45%68.2M191.45%68.2M67.14%23.4M67.14%23.4M18.64%14M18.64%14M
Current deferred liabilities ---------74.95%12.1M-74.95%12.1M1,138.46%48.3M1,138.46%48.3M-95.49%3.9M-95.49%3.9M-57.10%86.4M-57.10%86.4M
Current liabilities -14.05%381.8M-14.05%381.8M-9.64%444.2M-9.64%444.2M23.21%491.6M23.21%491.6M-12.54%399M-12.54%399M-25.62%456.2M-25.62%456.2M
Non current liabilities
-Long term debt 112.68%30.2M112.68%30.2M-22.40%14.2M-22.40%14.2M-29.62%18.3M-29.62%18.3M-26.35%26M-26.35%26M--35.3M--35.3M
Non current accrued expenses -8.53%4.64B-8.53%4.64B19.56%5.07B19.56%5.07B10.26%4.24B10.26%4.24B8.62%3.85B8.62%3.85B13.93%3.54B13.93%3.54B
Long term provisions 96.22%752.1M96.22%752.1M339.06%383.3M339.06%383.3M-49.86%87.3M-49.86%87.3M207.05%174.1M207.05%174.1M--56.7M--56.7M
Employee benefits -5.56%1.7M-5.56%1.7M100.00%1.8M100.00%1.8M12.50%900K12.50%900K-20.00%800K-20.00%800K-54.55%1M-54.55%1M
Regulatory liabilities 0.00%-200K0.00%-200K0.00%-200K0.00%-200K0.00%-200K0.00%-200K50.00%-200K50.00%-200K0.00%-400K0.00%-400K
Preferred securities outside stock equity -5.68%21.6M-5.68%21.6M8.02%22.9M8.02%22.9M8.72%21.2M8.72%21.2M15.38%19.5M15.38%19.5M24.26%16.9M24.26%16.9M
Total non current liabilities 8.41%2.19B8.41%2.19B29.11%2.02B29.11%2.02B-1.83%1.56B-1.83%1.56B14.05%1.59B14.05%1.59B-9.36%1.4B-9.36%1.4B
Shareholders'equity
Share capital 0.05%1.86B0.05%1.86B0.05%1.86B0.05%1.86B0.15%1.86B0.15%1.86B-0.09%1.86B-0.09%1.86B0.03%1.86B0.03%1.86B
-common stock 0.05%1.86B0.05%1.86B0.05%1.86B0.05%1.86B0.15%1.86B0.15%1.86B-0.09%1.86B-0.09%1.86B0.03%1.86B0.03%1.86B
Gains losses not affecting retained earnings -12.10%660.8M-12.10%660.8M-7.82%751.8M-7.82%751.8M-5.94%815.6M-5.94%815.6M-4.91%867.1M-4.91%867.1M443.12%911.9M443.12%911.9M
Other equity interest 29.60%35.9M29.60%35.9M-76.41%27.7M-76.41%27.7M30.73%117.4M30.73%117.4M19.73%89.8M19.73%89.8M111.27%75M111.27%75M
Total equity -6.71%5.5B-6.71%5.5B15.54%5.89B15.54%5.89B9.04%5.1B9.04%5.1B11.01%4.68B11.01%4.68B7.70%4.22B7.70%4.22B

Analysis

Analyst Rating

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Price Target

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