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BWP BWP Trust

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  • 3.460
  • -0.010-0.29%
20min DelayMarket Closed Feb 28 16:00 AET
2.47BMarket Cap12.67P/E (Static)

BWP Trust Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 30, 2024
(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
Operating cash flow (direct method)
Cash income from operating activities
107.59M
11.64%198.19M
6.78%177.53M
-1.06%166.27M
2.59%168.06M
-3.75%163.82M
-0.52%170.2M
0.35%171.09M
1.68%170.48M
2.90%167.67M
Revenue from customers
--107.59M
11.64%198.19M
6.78%177.53M
-1.06%166.27M
2.59%168.06M
-3.75%163.82M
-0.52%170.2M
0.35%171.09M
1.68%170.48M
2.90%167.67M
Cash paid
-37.82M
-5.25%-44.36M
-1.09%-42.14M
-3.81%-41.69M
-3.82%-40.16M
4.23%-38.68M
-9.40%-40.39M
-0.75%-36.92M
1.00%-36.64M
-24.08%-37.01M
Payments to suppliers for goods and services
---37.82M
-5.25%-44.36M
-1.09%-42.14M
-3.81%-41.69M
-3.82%-40.16M
4.23%-38.68M
-9.40%-40.39M
-0.75%-36.92M
1.00%-36.64M
-24.08%-37.01M
Direct interest paid
---17.06M
-62.67%-25.83M
-16.87%-15.88M
12.76%-13.59M
0.29%-15.57M
22.40%-15.62M
6.42%-20.13M
2.81%-21.51M
9.30%-22.13M
4.50%-24.4M
Direct interest received
--327K
214.17%754K
445.45%240K
69.23%44K
-83.01%26K
-69.46%153K
317.50%501K
-11.11%120K
16.38%135K
-54.69%116K
Operating cash flow
--53.03M
7.52%128.76M
7.85%119.75M
-1.17%111.04M
2.44%112.35M
-0.46%109.67M
-2.30%110.18M
0.83%112.78M
5.14%111.84M
-1.34%106.38M
Investing cash flow
Cash flow from continuing investing activities
-5.53M
-127.90%-23.14M
-333.40%-10.15M
71.46%4.35M
109.41%2.54M
-150.19%-26.98M
318.62%53.75M
1,219.63%12.84M
116.25%973K
87.04%-5.99M
Net business purchase and sale
----
--2.14M
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----
----
----
----
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Net investment purchase and sale
---5.53M
-148.93%-25.27M
-333.40%-10.15M
71.46%4.35M
109.41%2.54M
-150.19%-26.98M
318.62%53.75M
1,219.63%12.84M
116.25%973K
87.04%-5.99M
Cash from discontinued investing activities
Investing cash flow
---5.53M
-127.90%-23.14M
-333.40%-10.15M
71.46%4.35M
109.41%2.54M
-150.19%-26.98M
318.62%53.75M
1,219.63%12.84M
116.25%973K
87.04%-5.99M
Financing cash flow
Cash flow from continuing financing activities
-46.89M
9.05%-95.16M
23.41%-104.62M
6.44%-136.6M
-300.89%-146.01M
77.27%-36.42M
-26.18%-160.25M
-14.17%-127M
6.37%-111.23M
-188.24%-118.8M
Net issuance payments of debt
--19.25M
121.31%28.48M
167.36%12.87M
33.00%-19.11M
-131.50%-28.52M
301.69%90.51M
-231.17%-44.88M
-1,035.88%-13.55M
90.87%-1.19M
-135.25%-13.07M
Net common stock issuance
----
---6.15M
----
----
----
----
----
----
----
----
Cash dividends paid
---66.14M
0.00%-117.49M
0.00%-117.49M
0.00%-117.49M
7.44%-117.49M
-10.02%-126.94M
-1.70%-115.37M
-3.09%-113.45M
-4.07%-110.04M
-35.06%-105.74M
Cash from discontinued financing activities
Financing cash flow
---46.89M
9.05%-95.16M
23.41%-104.62M
6.44%-136.6M
-300.89%-146.01M
77.27%-36.42M
-26.18%-160.25M
-14.17%-127M
6.37%-111.23M
-188.24%-118.8M
Net cash flow
Beginning cash position
--27.3M
41.98%16.83M
-64.15%11.86M
-48.48%33.07M
258.38%64.19M
25.87%17.91M
-8.85%14.23M
11.28%15.61M
-56.76%14.03M
169.36%32.45M
Current changes in cash
--614K
110.33%10.47M
123.46%4.98M
31.84%-21.21M
-167.25%-31.12M
1,157.21%46.28M
366.55%3.68M
-187.29%-1.38M
108.59%1.58M
-190.27%-18.42M
End cash Position
--27.91M
62.19%27.3M
41.98%16.83M
-64.15%11.86M
-48.48%33.07M
258.38%64.19M
25.87%17.91M
-8.85%14.23M
11.28%15.61M
-56.76%14.03M
Free cash from
--53.03M
7.52%128.76M
7.85%119.75M
-1.17%111.04M
2.44%112.35M
-0.46%109.67M
-2.30%110.18M
0.83%112.78M
5.14%111.84M
-1.34%106.38M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(Q2)Dec 30, 2024(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
Operating cash flow (direct method)
Cash income from operating activities 107.59M11.64%198.19M6.78%177.53M-1.06%166.27M2.59%168.06M-3.75%163.82M-0.52%170.2M0.35%171.09M1.68%170.48M2.90%167.67M
Revenue from customers --107.59M11.64%198.19M6.78%177.53M-1.06%166.27M2.59%168.06M-3.75%163.82M-0.52%170.2M0.35%171.09M1.68%170.48M2.90%167.67M
Cash paid -37.82M-5.25%-44.36M-1.09%-42.14M-3.81%-41.69M-3.82%-40.16M4.23%-38.68M-9.40%-40.39M-0.75%-36.92M1.00%-36.64M-24.08%-37.01M
Payments to suppliers for goods and services ---37.82M-5.25%-44.36M-1.09%-42.14M-3.81%-41.69M-3.82%-40.16M4.23%-38.68M-9.40%-40.39M-0.75%-36.92M1.00%-36.64M-24.08%-37.01M
Direct interest paid ---17.06M-62.67%-25.83M-16.87%-15.88M12.76%-13.59M0.29%-15.57M22.40%-15.62M6.42%-20.13M2.81%-21.51M9.30%-22.13M4.50%-24.4M
Direct interest received --327K214.17%754K445.45%240K69.23%44K-83.01%26K-69.46%153K317.50%501K-11.11%120K16.38%135K-54.69%116K
Operating cash flow --53.03M7.52%128.76M7.85%119.75M-1.17%111.04M2.44%112.35M-0.46%109.67M-2.30%110.18M0.83%112.78M5.14%111.84M-1.34%106.38M
Investing cash flow
Cash flow from continuing investing activities -5.53M-127.90%-23.14M-333.40%-10.15M71.46%4.35M109.41%2.54M-150.19%-26.98M318.62%53.75M1,219.63%12.84M116.25%973K87.04%-5.99M
Net business purchase and sale ------2.14M--------------------------------
Net investment purchase and sale ---5.53M-148.93%-25.27M-333.40%-10.15M71.46%4.35M109.41%2.54M-150.19%-26.98M318.62%53.75M1,219.63%12.84M116.25%973K87.04%-5.99M
Cash from discontinued investing activities
Investing cash flow ---5.53M-127.90%-23.14M-333.40%-10.15M71.46%4.35M109.41%2.54M-150.19%-26.98M318.62%53.75M1,219.63%12.84M116.25%973K87.04%-5.99M
Financing cash flow
Cash flow from continuing financing activities -46.89M9.05%-95.16M23.41%-104.62M6.44%-136.6M-300.89%-146.01M77.27%-36.42M-26.18%-160.25M-14.17%-127M6.37%-111.23M-188.24%-118.8M
Net issuance payments of debt --19.25M121.31%28.48M167.36%12.87M33.00%-19.11M-131.50%-28.52M301.69%90.51M-231.17%-44.88M-1,035.88%-13.55M90.87%-1.19M-135.25%-13.07M
Net common stock issuance -------6.15M--------------------------------
Cash dividends paid ---66.14M0.00%-117.49M0.00%-117.49M0.00%-117.49M7.44%-117.49M-10.02%-126.94M-1.70%-115.37M-3.09%-113.45M-4.07%-110.04M-35.06%-105.74M
Cash from discontinued financing activities
Financing cash flow ---46.89M9.05%-95.16M23.41%-104.62M6.44%-136.6M-300.89%-146.01M77.27%-36.42M-26.18%-160.25M-14.17%-127M6.37%-111.23M-188.24%-118.8M
Net cash flow
Beginning cash position --27.3M41.98%16.83M-64.15%11.86M-48.48%33.07M258.38%64.19M25.87%17.91M-8.85%14.23M11.28%15.61M-56.76%14.03M169.36%32.45M
Current changes in cash --614K110.33%10.47M123.46%4.98M31.84%-21.21M-167.25%-31.12M1,157.21%46.28M366.55%3.68M-187.29%-1.38M108.59%1.58M-190.27%-18.42M
End cash Position --27.91M62.19%27.3M41.98%16.83M-64.15%11.86M-48.48%33.07M258.38%64.19M25.87%17.91M-8.85%14.23M11.28%15.61M-56.76%14.03M
Free cash from --53.03M7.52%128.76M7.85%119.75M-1.17%111.04M2.44%112.35M-0.46%109.67M-2.30%110.18M0.83%112.78M5.14%111.84M-1.34%106.38M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP