AU Stock MarketDetailed Quotes

COH Cochlear Ltd

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  • 306.490
  • +2.490+0.82%
20min DelayMarket Closed Aug 23 16:00 AET
20.07BMarket Cap56.44P/E (Static)

Cochlear 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
-7.54%513.6M
-7.54%513.6M
-11.73%555.5M
-11.73%555.5M
3.23%629.3M
3.23%629.3M
-34.45%609.6M
-34.45%609.6M
1,083.21%930M
1,083.21%930M
-Cash and cash equivalents
-7.54%513.6M
-7.54%513.6M
-11.73%555.5M
-11.73%555.5M
3.23%629.3M
3.23%629.3M
7.89%609.6M
7.89%609.6M
618.83%565M
618.83%565M
-Accounts receivable
9.50%425.3M
9.50%425.3M
19.36%388.4M
19.36%388.4M
24.15%325.4M
24.15%325.4M
11.39%262.1M
11.39%262.1M
-24.92%235.3M
-24.92%235.3M
-Notes receivable
-19.59%7.8M
-19.59%7.8M
51.56%9.7M
51.56%9.7M
-47.11%6.4M
-47.11%6.4M
-2.42%12.1M
-2.42%12.1M
-5.34%12.4M
-5.34%12.4M
Current deferred assets
-43.50%11.3M
-43.50%11.3M
-52.27%20M
-52.27%20M
-39.45%41.9M
-39.45%41.9M
-0.29%69.2M
-0.29%69.2M
468.85%69.4M
468.85%69.4M
Total current assets
6.65%1.45B
6.65%1.45B
2.60%1.36B
2.60%1.36B
7.89%1.33B
7.89%1.33B
-16.75%1.23B
-16.75%1.23B
132.68%1.48B
132.68%1.48B
Non current assets
-Accumulated depreciation
-11.85%-294.6M
-11.85%-294.6M
-12.76%-263.4M
-12.76%-263.4M
-12.31%-233.6M
-12.31%-233.6M
-3.74%-208M
-3.74%-208M
-9.50%-200.5M
-9.50%-200.5M
-Long term equity investment
24.29%202.1M
24.29%202.1M
-7.19%162.6M
-7.19%162.6M
-24.61%175.2M
-24.61%175.2M
-18.57%232.4M
-18.57%232.4M
60.07%285.4M
60.07%285.4M
-Including:Held to maturity investments
108.11%7.7M
108.11%7.7M
-55.95%3.7M
-55.95%3.7M
-52.27%8.4M
-52.27%8.4M
1,366.67%17.6M
1,366.67%17.6M
-45.45%1.2M
-45.45%1.2M
Financial assets
118.75%3.5M
118.75%3.5M
-33.33%1.6M
-33.33%1.6M
-27.27%2.4M
-27.27%2.4M
57.14%3.3M
57.14%3.3M
0.00%2.1M
0.00%2.1M
Non current note receivables
10.69%138.7M
10.69%138.7M
7.92%125.3M
7.92%125.3M
-20.91%116.1M
-20.91%116.1M
-0.20%146.8M
-0.20%146.8M
46.95%147.1M
46.95%147.1M
-Goodwill
1.55%451M
1.55%451M
13.15%444.1M
13.15%444.1M
-2.56%392.5M
-2.56%392.5M
-1.83%402.8M
-1.83%402.8M
-3.32%410.3M
-3.32%410.3M
Regulatory assets
12.16%490.7M
12.16%490.7M
25.54%437.5M
25.54%437.5M
17.62%348.5M
17.62%348.5M
25.82%296.3M
25.82%296.3M
-26.34%235.5M
-26.34%235.5M
Non current deferred assets
44.44%1.3M
44.44%1.3M
--900K
--900K
----
----
----
----
51.52%5M
51.52%5M
Liabilities
Current liabilities
Current debt and capital lease obligation
6.12%41.6M
6.12%41.6M
-50.19%39.2M
-50.19%39.2M
146.71%78.7M
146.71%78.7M
-92.39%31.9M
-92.39%31.9M
12,600.00%419.1M
12,600.00%419.1M
-Current debt
----
----
----
----
--42.6M
--42.6M
----
----
11,812.12%393.1M
11,812.12%393.1M
-Current capital lease obligation
6.12%41.6M
6.12%41.6M
8.59%39.2M
8.59%39.2M
13.17%36.1M
13.17%36.1M
22.69%31.9M
22.69%31.9M
--26M
--26M
-accounts payable
12.13%303.2M
12.13%303.2M
16.35%270.4M
16.35%270.4M
14.54%232.4M
14.54%232.4M
27.37%202.9M
27.37%202.9M
-0.93%159.3M
-0.93%159.3M
-Total tax payable
12.90%273.1M
12.90%273.1M
-3.93%241.9M
-3.93%241.9M
-24.61%251.8M
-24.61%251.8M
-6.36%334M
-6.36%334M
21.41%356.7M
21.41%356.7M
-Other payable
7.82%97.9M
7.82%97.9M
31.98%90.8M
31.98%90.8M
--68.8M
--68.8M
----
----
----
----
Current provisions
20.98%51.9M
20.98%51.9M
-4.67%42.9M
-4.67%42.9M
86.72%45M
86.72%45M
-81.53%24.1M
-81.53%24.1M
170.75%130.5M
170.75%130.5M
Current deferred liabilities
6.57%84.3M
6.57%84.3M
13.16%79.1M
13.16%79.1M
25.49%69.9M
25.49%69.9M
2.77%55.7M
2.77%55.7M
-30.24%54.2M
-30.24%54.2M
Current liabilities
9.26%631.5M
9.26%631.5M
9.55%578M
9.55%578M
31.08%527.6M
31.08%527.6M
-50.76%402.5M
-50.76%402.5M
127.40%817.5M
127.40%817.5M
Non current liabilities
-Long term debt
24.29%202.1M
24.29%202.1M
-7.19%162.6M
-7.19%162.6M
-6.51%175.2M
-6.51%175.2M
-8.81%187.4M
-8.81%187.4M
--205.5M
--205.5M
Non current accrued expenses
15.65%517.2M
15.65%517.2M
1.82%447.2M
1.82%447.2M
2.50%439.2M
2.50%439.2M
-2.35%428.5M
-2.35%428.5M
163.54%438.8M
163.54%438.8M
Derivative product liabilities
-93.75%400K
-93.75%400K
-1.54%6.4M
-1.54%6.4M
103.13%6.5M
103.13%6.5M
88.24%3.2M
88.24%3.2M
-77.63%1.7M
-77.63%1.7M
Long term provisions
----
----
----
----
----
----
-43.68%45M
-43.68%45M
-55.19%79.9M
-55.19%79.9M
Employee benefits
-19.59%7.8M
-19.59%7.8M
51.56%9.7M
51.56%9.7M
-47.11%6.4M
-47.11%6.4M
-2.42%12.1M
-2.42%12.1M
-5.34%12.4M
-5.34%12.4M
Regulatory liabilities
----
----
----
----
4.49%-17M
4.49%-17M
25.52%-17.8M
25.52%-17.8M
-71.94%-23.9M
-71.94%-23.9M
Preferred securities outside stock equity
2.80%150.5M
2.80%150.5M
44.09%146.4M
44.09%146.4M
15.59%101.6M
15.59%101.6M
61.58%87.9M
61.58%87.9M
-21.73%54.4M
-21.73%54.4M
Total non current liabilities
10.33%904.6M
10.33%904.6M
5.20%819.9M
5.20%819.9M
5.82%779.4M
5.82%779.4M
-37.28%736.5M
-37.28%736.5M
79.73%1.17B
79.73%1.17B
Shareholders'equity
Share capital
-3.69%1.2B
-3.69%1.2B
-2.06%1.25B
-2.06%1.25B
0.00%1.28B
0.00%1.28B
0.33%1.28B
0.33%1.28B
597.97%1.27B
597.97%1.27B
-common stock
-3.69%1.2B
-3.69%1.2B
-2.06%1.25B
-2.06%1.25B
0.00%1.28B
0.00%1.28B
0.33%1.28B
0.33%1.28B
597.97%1.27B
597.97%1.27B
Gains losses not affecting retained earnings
44.46%-31.6M
44.46%-31.6M
-23.16%-56.9M
-23.16%-56.9M
-179.79%-46.2M
-179.79%-46.2M
355.91%57.9M
355.91%57.9M
183.01%12.7M
183.01%12.7M
Noncontrolling interests
-17.14%2.9M
-17.14%2.9M
--3.5M
--3.5M
----
----
----
----
--69M
--69M
Total equity
6.87%2.75B
6.87%2.75B
4.20%2.57B
4.20%2.57B
1.10%2.47B
1.10%2.47B
-5.34%2.44B
-5.34%2.44B
86.75%2.58B
86.75%2.58B
(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 -7.54%513.6M-7.54%513.6M-11.73%555.5M-11.73%555.5M3.23%629.3M3.23%629.3M-34.45%609.6M-34.45%609.6M1,083.21%930M1,083.21%930M
-Cash and cash equivalents -7.54%513.6M-7.54%513.6M-11.73%555.5M-11.73%555.5M3.23%629.3M3.23%629.3M7.89%609.6M7.89%609.6M618.83%565M618.83%565M
-Accounts receivable 9.50%425.3M9.50%425.3M19.36%388.4M19.36%388.4M24.15%325.4M24.15%325.4M11.39%262.1M11.39%262.1M-24.92%235.3M-24.92%235.3M
-Notes receivable -19.59%7.8M-19.59%7.8M51.56%9.7M51.56%9.7M-47.11%6.4M-47.11%6.4M-2.42%12.1M-2.42%12.1M-5.34%12.4M-5.34%12.4M
Current deferred assets -43.50%11.3M-43.50%11.3M-52.27%20M-52.27%20M-39.45%41.9M-39.45%41.9M-0.29%69.2M-0.29%69.2M468.85%69.4M468.85%69.4M
Total current assets 6.65%1.45B6.65%1.45B2.60%1.36B2.60%1.36B7.89%1.33B7.89%1.33B-16.75%1.23B-16.75%1.23B132.68%1.48B132.68%1.48B
Non current assets
-Accumulated depreciation -11.85%-294.6M-11.85%-294.6M-12.76%-263.4M-12.76%-263.4M-12.31%-233.6M-12.31%-233.6M-3.74%-208M-3.74%-208M-9.50%-200.5M-9.50%-200.5M
-Long term equity investment 24.29%202.1M24.29%202.1M-7.19%162.6M-7.19%162.6M-24.61%175.2M-24.61%175.2M-18.57%232.4M-18.57%232.4M60.07%285.4M60.07%285.4M
-Including:Held to maturity investments 108.11%7.7M108.11%7.7M-55.95%3.7M-55.95%3.7M-52.27%8.4M-52.27%8.4M1,366.67%17.6M1,366.67%17.6M-45.45%1.2M-45.45%1.2M
Financial assets 118.75%3.5M118.75%3.5M-33.33%1.6M-33.33%1.6M-27.27%2.4M-27.27%2.4M57.14%3.3M57.14%3.3M0.00%2.1M0.00%2.1M
Non current note receivables 10.69%138.7M10.69%138.7M7.92%125.3M7.92%125.3M-20.91%116.1M-20.91%116.1M-0.20%146.8M-0.20%146.8M46.95%147.1M46.95%147.1M
-Goodwill 1.55%451M1.55%451M13.15%444.1M13.15%444.1M-2.56%392.5M-2.56%392.5M-1.83%402.8M-1.83%402.8M-3.32%410.3M-3.32%410.3M
Regulatory assets 12.16%490.7M12.16%490.7M25.54%437.5M25.54%437.5M17.62%348.5M17.62%348.5M25.82%296.3M25.82%296.3M-26.34%235.5M-26.34%235.5M
Non current deferred assets 44.44%1.3M44.44%1.3M--900K--900K----------------51.52%5M51.52%5M
Liabilities
Current liabilities
Current debt and capital lease obligation 6.12%41.6M6.12%41.6M-50.19%39.2M-50.19%39.2M146.71%78.7M146.71%78.7M-92.39%31.9M-92.39%31.9M12,600.00%419.1M12,600.00%419.1M
-Current debt ------------------42.6M--42.6M--------11,812.12%393.1M11,812.12%393.1M
-Current capital lease obligation 6.12%41.6M6.12%41.6M8.59%39.2M8.59%39.2M13.17%36.1M13.17%36.1M22.69%31.9M22.69%31.9M--26M--26M
-accounts payable 12.13%303.2M12.13%303.2M16.35%270.4M16.35%270.4M14.54%232.4M14.54%232.4M27.37%202.9M27.37%202.9M-0.93%159.3M-0.93%159.3M
-Total tax payable 12.90%273.1M12.90%273.1M-3.93%241.9M-3.93%241.9M-24.61%251.8M-24.61%251.8M-6.36%334M-6.36%334M21.41%356.7M21.41%356.7M
-Other payable 7.82%97.9M7.82%97.9M31.98%90.8M31.98%90.8M--68.8M--68.8M----------------
Current provisions 20.98%51.9M20.98%51.9M-4.67%42.9M-4.67%42.9M86.72%45M86.72%45M-81.53%24.1M-81.53%24.1M170.75%130.5M170.75%130.5M
Current deferred liabilities 6.57%84.3M6.57%84.3M13.16%79.1M13.16%79.1M25.49%69.9M25.49%69.9M2.77%55.7M2.77%55.7M-30.24%54.2M-30.24%54.2M
Current liabilities 9.26%631.5M9.26%631.5M9.55%578M9.55%578M31.08%527.6M31.08%527.6M-50.76%402.5M-50.76%402.5M127.40%817.5M127.40%817.5M
Non current liabilities
-Long term debt 24.29%202.1M24.29%202.1M-7.19%162.6M-7.19%162.6M-6.51%175.2M-6.51%175.2M-8.81%187.4M-8.81%187.4M--205.5M--205.5M
Non current accrued expenses 15.65%517.2M15.65%517.2M1.82%447.2M1.82%447.2M2.50%439.2M2.50%439.2M-2.35%428.5M-2.35%428.5M163.54%438.8M163.54%438.8M
Derivative product liabilities -93.75%400K-93.75%400K-1.54%6.4M-1.54%6.4M103.13%6.5M103.13%6.5M88.24%3.2M88.24%3.2M-77.63%1.7M-77.63%1.7M
Long term provisions -------------------------43.68%45M-43.68%45M-55.19%79.9M-55.19%79.9M
Employee benefits -19.59%7.8M-19.59%7.8M51.56%9.7M51.56%9.7M-47.11%6.4M-47.11%6.4M-2.42%12.1M-2.42%12.1M-5.34%12.4M-5.34%12.4M
Regulatory liabilities ----------------4.49%-17M4.49%-17M25.52%-17.8M25.52%-17.8M-71.94%-23.9M-71.94%-23.9M
Preferred securities outside stock equity 2.80%150.5M2.80%150.5M44.09%146.4M44.09%146.4M15.59%101.6M15.59%101.6M61.58%87.9M61.58%87.9M-21.73%54.4M-21.73%54.4M
Total non current liabilities 10.33%904.6M10.33%904.6M5.20%819.9M5.20%819.9M5.82%779.4M5.82%779.4M-37.28%736.5M-37.28%736.5M79.73%1.17B79.73%1.17B
Shareholders'equity
Share capital -3.69%1.2B-3.69%1.2B-2.06%1.25B-2.06%1.25B0.00%1.28B0.00%1.28B0.33%1.28B0.33%1.28B597.97%1.27B597.97%1.27B
-common stock -3.69%1.2B-3.69%1.2B-2.06%1.25B-2.06%1.25B0.00%1.28B0.00%1.28B0.33%1.28B0.33%1.28B597.97%1.27B597.97%1.27B
Gains losses not affecting retained earnings 44.46%-31.6M44.46%-31.6M-23.16%-56.9M-23.16%-56.9M-179.79%-46.2M-179.79%-46.2M355.91%57.9M355.91%57.9M183.01%12.7M183.01%12.7M
Noncontrolling interests -17.14%2.9M-17.14%2.9M--3.5M--3.5M------------------69M--69M
Total equity 6.87%2.75B6.87%2.75B4.20%2.57B4.20%2.57B1.10%2.47B1.10%2.47B-5.34%2.44B-5.34%2.44B86.75%2.58B86.75%2.58B

Analysis

Analyst Rating

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Price Target

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