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CBAPD Commom Wealth Bank Pref D

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  • 100.200
  • 0.0000.00%
20min DelayMarket Closed Apr 12 10:00 AET
169.02BMarket Cap0.00P/E (Static)

Commom Wealth Bank Pref D Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2015
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
2.43%183.92B
28.26%179.56B
-8.51%140B
44.28%153.01B
-8.86%106.05B
-18.03%116.36B
-0.45%141.95B
-8.60%142.59B
19.64%156.01B
8.06%130.41B
Cash income from bank and customer deposits
-54.55%39.62B
26.70%87.16B
-0.68%68.8B
713.37%69.27B
863.35%8.52B
-97.87%884M
7.78%41.59B
-22.56%38.59B
69.37%49.83B
28.44%29.42B
Cash income from loans
187.10%110.79B
7.15%38.59B
16.48%36.02B
-23.11%30.92B
-10.75%40.22B
34.36%45.06B
-21.59%33.54B
15.20%42.77B
-5.23%37.13B
11.31%39.18B
Cash income from securities-related activities
-14.04%30.05B
18.39%34.96B
-33.43%29.53B
2.59%44.36B
-18.16%43.24B
6.96%52.83B
7.02%49.39B
-13.85%46.15B
21.39%53.57B
-6.29%44.13B
Other cash income from operating activities
-81.60%3.47B
233.28%18.85B
-33.21%5.66B
-39.87%8.47B
-19.94%14.08B
0.86%17.59B
15.60%17.44B
-2.61%15.09B
-12.39%15.49B
14.11%17.68B
Cash paid
-23.03%-192.31B
-58.40%-156.32B
14.71%-98.68B
-31.54%-115.71B
23.68%-87.97B
19.27%-115.25B
2.98%-142.76B
1.13%-147.15B
-17.71%-148.83B
-10.81%-126.44B
Cash paid for bank and customer deposits
-200.97%-5.26B
---1.75B
----
---9.05B
----
---9.16B
----
-66.44%-6.32B
-88.16%-3.8B
---2.02B
Cash paid for loan
18.62%-81.1B
-150.02%-99.65B
-28.16%-39.86B
-224.25%-31.1B
45.75%-9.59B
67.01%-17.68B
-1.45%-53.59B
-10.19%-52.83B
-30.29%-47.94B
-28.05%-36.8B
Cash paid for interest and commission
-310.92%-18.21B
31.01%-4.43B
46.16%-6.42B
23.98%-11.93B
-2.21%-15.7B
-2.33%-15.36B
7.85%-15.01B
6.63%-16.29B
3.99%-17.44B
13.73%-18.17B
All taxes paid
-9.66%-3.87B
3.87%-3.53B
-15.80%-3.67B
34.99%-3.17B
-1.82%-4.88B
-20.50%-4.79B
-29.47%-3.98B
10.83%-3.07B
8.48%-3.44B
-27.99%-3.76B
Other cash payments from operating activities
-78.62%-83.87B
3.64%-46.96B
19.39%-48.73B
-4.58%-60.45B
15.34%-57.8B
2.73%-68.27B
-2.24%-70.19B
9.92%-68.65B
-15.99%-76.2B
-7.05%-65.7B
Operating cash flow
-136.10%-8.39B
-43.75%23.24B
10.74%41.31B
106.28%37.31B
1,530.84%18.09B
237.42%1.11B
82.31%-807M
-163.50%-4.56B
81.25%7.18B
-39.74%3.96B
Investing cash flow
Net PPE purchase and sale
-395.12%-609M
30.90%-123M
74.93%-178M
-305.71%-710M
45.65%-175M
-45.70%-322M
74.12%-221M
-67.78%-854M
-14.38%-509M
27.05%-445M
Net intangibles purchase and sale
-18.63%-885M
-40.23%-746M
15.42%-532M
-100.32%-629M
37.57%-314M
-1.62%-503M
2.75%-495M
7.45%-509M
-37.50%-550M
13.79%-400M
Net business purchase and sale
-85.01%526M
141.43%3.51B
-70.90%1.45B
275.13%4.99B
643.27%1.33B
-345.45%-245M
92.64%-55M
-229.07%-747M
-123.26%-227M
469.70%976M
Dividends received (cash flow from investment activities)
216.67%95M
-76.56%30M
34.74%128M
-32.62%95M
107.35%141M
-27.66%68M
20.51%94M
9.86%78M
1.43%71M
-14.63%70M
Investing cash flow
-132.71%-873M
206.43%2.67B
-76.77%871M
281.38%3.75B
198.10%983M
-48.01%-1B
66.68%-677M
-67.24%-2.03B
-704.48%-1.22B
116.00%201M
Financing cash flow
Net issuance payments of debt
-66.12%6.53B
-15.43%19.27B
201.02%22.78B
-22.86%-22.55B
-512.98%-18.36B
-73.16%4.45B
374.61%16.56B
331.21%3.49B
-119.76%-1.51B
554.79%7.64B
Net common stock issuance
59.47%-2.63B
-9,746.97%-6.5B
-335.71%-66M
139.44%28M
-77.50%-71M
37.50%-40M
-101.29%-64M
10,891.30%4.96B
13.21%-46M
-132.52%-53M
Increase or decrease of lease financing
-0.38%-525M
-22.20%-523M
7.56%-428M
---463M
--0
--0
----
----
----
----
Cash dividends paid
-8.91%-7.12B
-58.16%-6.54B
45.84%-4.13B
-11.32%-7.63B
-27.71%-6.85B
11.80%-5.37B
-4.41%-6.08B
6.02%-5.83B
-12.91%-6.2B
-12.98%-5.49B
Net other fund-raising expenses
----
----
233.04%153M
74.89%-115M
-1,796.30%-458M
-55.74%27M
106.06%61M
-738.33%-1.01B
23.57%-120M
-172.02%-157M
Financing cash flow
-165.63%-3.75B
-68.81%5.71B
159.58%18.31B
-19.40%-30.73B
-2,655.78%-25.74B
-108.92%-934M
546.42%10.47B
120.57%1.62B
-506.98%-7.88B
131.42%1.94B
Net cash flow
Beginning cash position
36.59%119.36B
219.48%87.38B
60.79%27.35B
-26.06%17.01B
-0.48%23.01B
60.01%23.12B
-25.03%14.45B
0.74%19.27B
51.59%19.13B
0.12%12.62B
Current changes in cash
-141.15%-13.01B
-47.73%31.62B
485.96%60.49B
254.78%10.32B
-706.53%-6.67B
-109.20%-827M
280.74%8.99B
-160.78%-4.97B
-131.27%-1.91B
828.67%6.1B
Effect of exchange rate changes
133.24%828M
176.34%355M
-2,835.29%-465M
-97.48%17M
-5.59%675M
324.84%715M
-312.00%-318M
-92.68%150M
398.54%2.05B
-51.76%411M
End cash Position
-10.21%107.17B
36.59%119.36B
219.48%87.38B
60.79%27.35B
-26.06%17.01B
-0.48%23.01B
60.01%23.12B
-25.03%14.45B
0.74%19.27B
51.59%19.13B
Free cash flow
-144.73%-9.96B
-45.09%22.26B
13.36%40.55B
105.02%35.77B
13,424.03%17.45B
106.78%129M
69.92%-1.9B
-204.53%-6.33B
98.52%6.06B
-44.25%3.05B
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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(FY)Jun 30, 2015(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities 2.43%183.92B28.26%179.56B-8.51%140B44.28%153.01B-8.86%106.05B-18.03%116.36B-0.45%141.95B-8.60%142.59B19.64%156.01B8.06%130.41B
Cash income from bank and customer deposits -54.55%39.62B26.70%87.16B-0.68%68.8B713.37%69.27B863.35%8.52B-97.87%884M7.78%41.59B-22.56%38.59B69.37%49.83B28.44%29.42B
Cash income from loans 187.10%110.79B7.15%38.59B16.48%36.02B-23.11%30.92B-10.75%40.22B34.36%45.06B-21.59%33.54B15.20%42.77B-5.23%37.13B11.31%39.18B
Cash income from securities-related activities -14.04%30.05B18.39%34.96B-33.43%29.53B2.59%44.36B-18.16%43.24B6.96%52.83B7.02%49.39B-13.85%46.15B21.39%53.57B-6.29%44.13B
Other cash income from operating activities -81.60%3.47B233.28%18.85B-33.21%5.66B-39.87%8.47B-19.94%14.08B0.86%17.59B15.60%17.44B-2.61%15.09B-12.39%15.49B14.11%17.68B
Cash paid -23.03%-192.31B-58.40%-156.32B14.71%-98.68B-31.54%-115.71B23.68%-87.97B19.27%-115.25B2.98%-142.76B1.13%-147.15B-17.71%-148.83B-10.81%-126.44B
Cash paid for bank and customer deposits -200.97%-5.26B---1.75B-------9.05B-------9.16B-----66.44%-6.32B-88.16%-3.8B---2.02B
Cash paid for loan 18.62%-81.1B-150.02%-99.65B-28.16%-39.86B-224.25%-31.1B45.75%-9.59B67.01%-17.68B-1.45%-53.59B-10.19%-52.83B-30.29%-47.94B-28.05%-36.8B
Cash paid for interest and commission -310.92%-18.21B31.01%-4.43B46.16%-6.42B23.98%-11.93B-2.21%-15.7B-2.33%-15.36B7.85%-15.01B6.63%-16.29B3.99%-17.44B13.73%-18.17B
All taxes paid -9.66%-3.87B3.87%-3.53B-15.80%-3.67B34.99%-3.17B-1.82%-4.88B-20.50%-4.79B-29.47%-3.98B10.83%-3.07B8.48%-3.44B-27.99%-3.76B
Other cash payments from operating activities -78.62%-83.87B3.64%-46.96B19.39%-48.73B-4.58%-60.45B15.34%-57.8B2.73%-68.27B-2.24%-70.19B9.92%-68.65B-15.99%-76.2B-7.05%-65.7B
Operating cash flow -136.10%-8.39B-43.75%23.24B10.74%41.31B106.28%37.31B1,530.84%18.09B237.42%1.11B82.31%-807M-163.50%-4.56B81.25%7.18B-39.74%3.96B
Investing cash flow
Net PPE purchase and sale -395.12%-609M30.90%-123M74.93%-178M-305.71%-710M45.65%-175M-45.70%-322M74.12%-221M-67.78%-854M-14.38%-509M27.05%-445M
Net intangibles purchase and sale -18.63%-885M-40.23%-746M15.42%-532M-100.32%-629M37.57%-314M-1.62%-503M2.75%-495M7.45%-509M-37.50%-550M13.79%-400M
Net business purchase and sale -85.01%526M141.43%3.51B-70.90%1.45B275.13%4.99B643.27%1.33B-345.45%-245M92.64%-55M-229.07%-747M-123.26%-227M469.70%976M
Dividends received (cash flow from investment activities) 216.67%95M-76.56%30M34.74%128M-32.62%95M107.35%141M-27.66%68M20.51%94M9.86%78M1.43%71M-14.63%70M
Investing cash flow -132.71%-873M206.43%2.67B-76.77%871M281.38%3.75B198.10%983M-48.01%-1B66.68%-677M-67.24%-2.03B-704.48%-1.22B116.00%201M
Financing cash flow
Net issuance payments of debt -66.12%6.53B-15.43%19.27B201.02%22.78B-22.86%-22.55B-512.98%-18.36B-73.16%4.45B374.61%16.56B331.21%3.49B-119.76%-1.51B554.79%7.64B
Net common stock issuance 59.47%-2.63B-9,746.97%-6.5B-335.71%-66M139.44%28M-77.50%-71M37.50%-40M-101.29%-64M10,891.30%4.96B13.21%-46M-132.52%-53M
Increase or decrease of lease financing -0.38%-525M-22.20%-523M7.56%-428M---463M--0--0----------------
Cash dividends paid -8.91%-7.12B-58.16%-6.54B45.84%-4.13B-11.32%-7.63B-27.71%-6.85B11.80%-5.37B-4.41%-6.08B6.02%-5.83B-12.91%-6.2B-12.98%-5.49B
Net other fund-raising expenses --------233.04%153M74.89%-115M-1,796.30%-458M-55.74%27M106.06%61M-738.33%-1.01B23.57%-120M-172.02%-157M
Financing cash flow -165.63%-3.75B-68.81%5.71B159.58%18.31B-19.40%-30.73B-2,655.78%-25.74B-108.92%-934M546.42%10.47B120.57%1.62B-506.98%-7.88B131.42%1.94B
Net cash flow
Beginning cash position 36.59%119.36B219.48%87.38B60.79%27.35B-26.06%17.01B-0.48%23.01B60.01%23.12B-25.03%14.45B0.74%19.27B51.59%19.13B0.12%12.62B
Current changes in cash -141.15%-13.01B-47.73%31.62B485.96%60.49B254.78%10.32B-706.53%-6.67B-109.20%-827M280.74%8.99B-160.78%-4.97B-131.27%-1.91B828.67%6.1B
Effect of exchange rate changes 133.24%828M176.34%355M-2,835.29%-465M-97.48%17M-5.59%675M324.84%715M-312.00%-318M-92.68%150M398.54%2.05B-51.76%411M
End cash Position -10.21%107.17B36.59%119.36B219.48%87.38B60.79%27.35B-26.06%17.01B-0.48%23.01B60.01%23.12B-25.03%14.45B0.74%19.27B51.59%19.13B
Free cash flow -144.73%-9.96B-45.09%22.26B13.36%40.55B105.02%35.77B13,424.03%17.45B106.78%129M69.92%-1.9B-204.53%-6.33B98.52%6.06B-44.25%3.05B
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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