AU Stock MarketDetailed Quotes

DXC Dexus Convenience Retail REIT

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  • 2.920
  • -0.010-0.34%
20min DelayTrading Nov 25 15:15 AET
402.25MMarket Cap116.80P/E (Static)

Dexus Convenience Retail REIT 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
-64.83%1.92M
-64.83%1.92M
5.33%5.45M
5.33%5.45M
558.78%5.18M
558.78%5.18M
-66.28%786K
-66.28%786K
706.57%2.33M
706.57%2.33M
-Cash and cash equivalents
-64.83%1.92M
-64.83%1.92M
5.33%5.45M
5.33%5.45M
558.78%5.18M
558.78%5.18M
-66.28%786K
-66.28%786K
706.57%2.33M
706.57%2.33M
Receivables
0.49%1.43M
0.49%1.43M
10.40%1.42M
10.40%1.42M
78.89%1.29M
78.89%1.29M
-15.89%720K
-15.89%720K
801.05%856K
801.05%856K
-Accounts receivable
-26.42%646K
-26.42%646K
-42.54%878K
-42.54%878K
112.22%1.53M
112.22%1.53M
-15.59%720K
-15.59%720K
807.45%853K
807.45%853K
-Other receivables
15.32%1.04M
15.32%1.04M
221.79%901K
221.79%901K
--280K
--280K
----
----
200.00%3K
200.00%3K
-Recievables adjustments allowances
28.29%-256K
28.29%-256K
31.35%-357K
31.35%-357K
---520K
---520K
----
----
----
----
Prepaid assets
56.25%50K
56.25%50K
-72.41%32K
-72.41%32K
--116K
--116K
----
----
----
----
Hedging assets-current
-24.64%3.77M
-24.64%3.77M
1,981.67%5M
1,981.67%5M
--240K
--240K
----
----
----
----
Holding assets for sale
----
----
--7.05M
--7.05M
----
----
----
----
----
----
Other current assets
-17.99%1.76M
-17.99%1.76M
-33.45%2.15M
-33.45%2.15M
-51.57%3.23M
-51.57%3.23M
2,335.77%6.67M
2,335.77%6.67M
813.33%274K
813.33%274K
Total current assets
-57.71%8.93M
-57.71%8.93M
109.92%21.11M
109.92%21.11M
22.91%10.05M
22.91%10.05M
136.35%8.18M
136.35%8.18M
735.99%3.46M
735.99%3.46M
Non current assets
Investment properties
-4.33%740.68M
-4.33%740.68M
-8.93%774.17M
-8.93%774.17M
34.36%850.05M
34.36%850.05M
41.17%632.65M
41.17%632.65M
25.08%448.16M
25.08%448.16M
Financial assets
-43.96%4.21M
-43.96%4.21M
-40.85%7.52M
-40.85%7.52M
--12.71M
--12.71M
----
----
----
----
Non current accounts receivable
----
----
----
----
----
----
--5.96M
--5.96M
----
----
Other non current assets
-44.44%40K
-44.44%40K
-76.92%72K
-76.92%72K
--312K
--312K
----
----
----
----
Total non current assets
-4.71%744.93M
-4.71%744.93M
-9.42%781.76M
-9.42%781.76M
35.15%863.07M
35.15%863.07M
42.50%638.61M
42.50%638.61M
25.08%448.16M
25.08%448.16M
Total assets
-6.10%753.86M
-6.10%753.86M
-8.05%802.86M
-8.05%802.86M
34.99%873.12M
34.99%873.12M
43.22%646.79M
43.22%646.79M
25.90%451.62M
25.90%451.62M
Liabilities
Current liabilities
Payables
-14.45%16.81M
-14.45%16.81M
33.11%19.65M
33.11%19.65M
35.91%14.76M
35.91%14.76M
-16.27%10.86M
-16.27%10.86M
86.12%12.97M
86.12%12.97M
-accounts payable
-89.43%80K
-89.43%80K
-4.66%757K
-4.66%757K
56.61%794K
56.61%794K
-84.82%507K
-84.82%507K
260.02%3.34M
260.02%3.34M
-Dividends payable
-3.87%7.35M
-3.87%7.35M
-4.72%7.65M
-4.72%7.65M
18.73%8.02M
18.73%8.02M
13.05%6.76M
13.05%6.76M
44.99%5.98M
44.99%5.98M
-Other payable
-16.60%9.38M
-16.60%9.38M
89.25%11.25M
89.25%11.25M
65.27%5.94M
65.27%5.94M
-1.53%3.6M
-1.53%3.6M
90.41%3.65M
90.41%3.65M
Current provisions
-17.99%1.76M
-17.99%1.76M
-33.45%2.15M
-33.45%2.15M
249.03%3.23M
249.03%3.23M
-22.18%926K
-22.18%926K
32.52%1.19M
32.52%1.19M
Other current liabilities
--1M
--1M
----
----
----
----
----
----
----
----
Current liabilities
-10.22%19.57M
-10.22%19.57M
21.16%21.8M
21.16%21.8M
52.65%17.99M
52.65%17.99M
-16.76%11.79M
-16.76%11.79M
80.01%14.16M
80.01%14.16M
Non current liabilities
Long term debt and capital lease obligation
-7.67%243.2M
-7.67%243.2M
-12.08%263.42M
-12.08%263.42M
65.74%299.61M
65.74%299.61M
138.40%180.77M
138.40%180.77M
-34.29%75.83M
-34.29%75.83M
-Long term debt
-7.67%243.2M
-7.67%243.2M
-12.08%263.42M
-12.08%263.42M
65.74%299.61M
65.74%299.61M
138.40%180.77M
138.40%180.77M
-34.29%75.83M
-34.29%75.83M
Derivative product liabilities
-36.54%165K
-36.54%165K
--260K
--260K
----
----
-58.05%967K
-58.05%967K
40.04%2.31M
40.04%2.31M
Other non current liabilities
----
----
0.00%1M
0.00%1M
--1M
--1M
----
----
----
----
Total non current liabilities
-8.05%243.37M
-8.05%243.37M
-11.95%264.68M
-11.95%264.68M
65.41%300.61M
65.41%300.61M
132.60%181.74M
132.60%181.74M
-33.25%78.13M
-33.25%78.13M
Total liabilities
-8.22%262.94M
-8.22%262.94M
-10.08%286.48M
-10.08%286.48M
64.63%318.6M
64.63%318.6M
109.69%193.52M
109.69%193.52M
-26.11%92.29M
-26.11%92.29M
Shareholders'equity
Share capital
0.00%407.26M
0.00%407.26M
0.00%407.26M
0.00%407.26M
14.20%407.26M
14.20%407.26M
14.99%356.62M
14.99%356.62M
47.72%310.12M
47.72%310.12M
-common stock
0.00%407.26M
0.00%407.26M
0.00%407.26M
0.00%407.26M
14.20%407.26M
14.20%407.26M
14.99%356.62M
14.99%356.62M
47.72%310.12M
47.72%310.12M
Retained earnings
-23.34%83.65M
-23.34%83.65M
-25.90%109.12M
-25.90%109.12M
52.35%147.26M
52.35%147.26M
96.42%96.65M
96.42%96.65M
106.24%49.21M
106.24%49.21M
Total stockholders'equity
-4.93%490.92M
-4.93%490.92M
-6.88%516.38M
-6.88%516.38M
22.34%554.52M
22.34%554.52M
26.14%453.27M
26.14%453.27M
53.69%359.33M
53.69%359.33M
Total equity
-4.93%490.92M
-4.93%490.92M
-6.88%516.38M
-6.88%516.38M
22.34%554.52M
22.34%554.52M
26.14%453.27M
26.14%453.27M
53.69%359.33M
53.69%359.33M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(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 -64.83%1.92M-64.83%1.92M5.33%5.45M5.33%5.45M558.78%5.18M558.78%5.18M-66.28%786K-66.28%786K706.57%2.33M706.57%2.33M
-Cash and cash equivalents -64.83%1.92M-64.83%1.92M5.33%5.45M5.33%5.45M558.78%5.18M558.78%5.18M-66.28%786K-66.28%786K706.57%2.33M706.57%2.33M
Receivables 0.49%1.43M0.49%1.43M10.40%1.42M10.40%1.42M78.89%1.29M78.89%1.29M-15.89%720K-15.89%720K801.05%856K801.05%856K
-Accounts receivable -26.42%646K-26.42%646K-42.54%878K-42.54%878K112.22%1.53M112.22%1.53M-15.59%720K-15.59%720K807.45%853K807.45%853K
-Other receivables 15.32%1.04M15.32%1.04M221.79%901K221.79%901K--280K--280K--------200.00%3K200.00%3K
-Recievables adjustments allowances 28.29%-256K28.29%-256K31.35%-357K31.35%-357K---520K---520K----------------
Prepaid assets 56.25%50K56.25%50K-72.41%32K-72.41%32K--116K--116K----------------
Hedging assets-current -24.64%3.77M-24.64%3.77M1,981.67%5M1,981.67%5M--240K--240K----------------
Holding assets for sale ----------7.05M--7.05M------------------------
Other current assets -17.99%1.76M-17.99%1.76M-33.45%2.15M-33.45%2.15M-51.57%3.23M-51.57%3.23M2,335.77%6.67M2,335.77%6.67M813.33%274K813.33%274K
Total current assets -57.71%8.93M-57.71%8.93M109.92%21.11M109.92%21.11M22.91%10.05M22.91%10.05M136.35%8.18M136.35%8.18M735.99%3.46M735.99%3.46M
Non current assets
Investment properties -4.33%740.68M-4.33%740.68M-8.93%774.17M-8.93%774.17M34.36%850.05M34.36%850.05M41.17%632.65M41.17%632.65M25.08%448.16M25.08%448.16M
Financial assets -43.96%4.21M-43.96%4.21M-40.85%7.52M-40.85%7.52M--12.71M--12.71M----------------
Non current accounts receivable --------------------------5.96M--5.96M--------
Other non current assets -44.44%40K-44.44%40K-76.92%72K-76.92%72K--312K--312K----------------
Total non current assets -4.71%744.93M-4.71%744.93M-9.42%781.76M-9.42%781.76M35.15%863.07M35.15%863.07M42.50%638.61M42.50%638.61M25.08%448.16M25.08%448.16M
Total assets -6.10%753.86M-6.10%753.86M-8.05%802.86M-8.05%802.86M34.99%873.12M34.99%873.12M43.22%646.79M43.22%646.79M25.90%451.62M25.90%451.62M
Liabilities
Current liabilities
Payables -14.45%16.81M-14.45%16.81M33.11%19.65M33.11%19.65M35.91%14.76M35.91%14.76M-16.27%10.86M-16.27%10.86M86.12%12.97M86.12%12.97M
-accounts payable -89.43%80K-89.43%80K-4.66%757K-4.66%757K56.61%794K56.61%794K-84.82%507K-84.82%507K260.02%3.34M260.02%3.34M
-Dividends payable -3.87%7.35M-3.87%7.35M-4.72%7.65M-4.72%7.65M18.73%8.02M18.73%8.02M13.05%6.76M13.05%6.76M44.99%5.98M44.99%5.98M
-Other payable -16.60%9.38M-16.60%9.38M89.25%11.25M89.25%11.25M65.27%5.94M65.27%5.94M-1.53%3.6M-1.53%3.6M90.41%3.65M90.41%3.65M
Current provisions -17.99%1.76M-17.99%1.76M-33.45%2.15M-33.45%2.15M249.03%3.23M249.03%3.23M-22.18%926K-22.18%926K32.52%1.19M32.52%1.19M
Other current liabilities --1M--1M--------------------------------
Current liabilities -10.22%19.57M-10.22%19.57M21.16%21.8M21.16%21.8M52.65%17.99M52.65%17.99M-16.76%11.79M-16.76%11.79M80.01%14.16M80.01%14.16M
Non current liabilities
Long term debt and capital lease obligation -7.67%243.2M-7.67%243.2M-12.08%263.42M-12.08%263.42M65.74%299.61M65.74%299.61M138.40%180.77M138.40%180.77M-34.29%75.83M-34.29%75.83M
-Long term debt -7.67%243.2M-7.67%243.2M-12.08%263.42M-12.08%263.42M65.74%299.61M65.74%299.61M138.40%180.77M138.40%180.77M-34.29%75.83M-34.29%75.83M
Derivative product liabilities -36.54%165K-36.54%165K--260K--260K---------58.05%967K-58.05%967K40.04%2.31M40.04%2.31M
Other non current liabilities --------0.00%1M0.00%1M--1M--1M----------------
Total non current liabilities -8.05%243.37M-8.05%243.37M-11.95%264.68M-11.95%264.68M65.41%300.61M65.41%300.61M132.60%181.74M132.60%181.74M-33.25%78.13M-33.25%78.13M
Total liabilities -8.22%262.94M-8.22%262.94M-10.08%286.48M-10.08%286.48M64.63%318.6M64.63%318.6M109.69%193.52M109.69%193.52M-26.11%92.29M-26.11%92.29M
Shareholders'equity
Share capital 0.00%407.26M0.00%407.26M0.00%407.26M0.00%407.26M14.20%407.26M14.20%407.26M14.99%356.62M14.99%356.62M47.72%310.12M47.72%310.12M
-common stock 0.00%407.26M0.00%407.26M0.00%407.26M0.00%407.26M14.20%407.26M14.20%407.26M14.99%356.62M14.99%356.62M47.72%310.12M47.72%310.12M
Retained earnings -23.34%83.65M-23.34%83.65M-25.90%109.12M-25.90%109.12M52.35%147.26M52.35%147.26M96.42%96.65M96.42%96.65M106.24%49.21M106.24%49.21M
Total stockholders'equity -4.93%490.92M-4.93%490.92M-6.88%516.38M-6.88%516.38M22.34%554.52M22.34%554.52M26.14%453.27M26.14%453.27M53.69%359.33M53.69%359.33M
Total equity -4.93%490.92M-4.93%490.92M-6.88%516.38M-6.88%516.38M22.34%554.52M22.34%554.52M26.14%453.27M26.14%453.27M53.69%359.33M53.69%359.33M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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