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DXS Dexus

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  • 7.620
  • -0.150-1.93%
20min DelayTrading Oct 7 10:40 AET
8.20BMarket Cap-5190P/E (Static)

Dexus 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
-56.42%54M
-56.42%54M
64.54%123.9M
64.54%123.9M
73.10%75.3M
73.10%75.3M
36.79%43.5M
36.79%43.5M
6.71%31.8M
6.71%31.8M
-Cash and cash equivalents
-56.42%54M
-56.42%54M
64.54%123.9M
64.54%123.9M
73.10%75.3M
73.10%75.3M
36.79%43.5M
36.79%43.5M
6.71%31.8M
6.71%31.8M
-Accounts receivable
50.67%11.3M
50.67%11.3M
-59.02%7.5M
-59.02%7.5M
422.86%18.3M
422.86%18.3M
-80.98%3.5M
-80.98%3.5M
6.36%18.4M
6.36%18.4M
-Notes receivable
-27.78%7.8M
-27.78%7.8M
217.65%10.8M
217.65%10.8M
25.93%3.4M
25.93%3.4M
--2.7M
--2.7M
----
----
-Other receivables
9.72%163.7M
9.72%163.7M
7.03%149.2M
7.03%149.2M
0.65%139.4M
0.65%139.4M
11.87%138.5M
11.87%138.5M
-14.80%123.8M
-14.80%123.8M
Current deferred assets
79.46%20.1M
79.46%20.1M
--11.2M
--11.2M
----
----
715.38%21.2M
715.38%21.2M
--2.6M
--2.6M
Holding assets for sale
-92.30%104.2M
-92.30%104.2M
251.69%1.35B
251.69%1.35B
41.13%385M
41.13%385M
-48.53%272.8M
-48.53%272.8M
--530M
--530M
Total current assets
-64.68%661.9M
-64.68%661.9M
150.76%1.87B
150.76%1.87B
17.17%747.3M
17.17%747.3M
-35.98%637.8M
-35.98%637.8M
161.98%996.3M
161.98%996.3M
Non current assets
Investment properties
9.46%246.4M
9.46%246.4M
--225.1M
--225.1M
----
----
----
----
----
----
Investments and advances
-15.24%5.12B
-15.24%5.12B
-27.21%6.04B
-27.21%6.04B
-2.14%8.3B
-2.14%8.3B
3.18%8.48B
3.18%8.48B
0.56%8.22B
0.56%8.22B
-Long term equity investment
-2.30%4.83B
-2.30%4.83B
0.72%4.94B
0.72%4.94B
0.20%4.91B
0.20%4.91B
8.95%4.9B
8.95%4.9B
12.43%4.49B
12.43%4.49B
-Including:Held to maturity investments
30.32%128.5M
30.32%128.5M
682.54%98.6M
682.54%98.6M
-8.70%12.6M
-8.70%12.6M
-84.98%13.8M
-84.98%13.8M
492.90%91.9M
492.90%91.9M
Financial assets
-16.71%321.1M
-16.71%321.1M
-15.81%385.5M
-15.81%385.5M
37.38%457.9M
37.38%457.9M
-44.85%333.3M
-44.85%333.3M
16.86%604.3M
16.86%604.3M
Non current note receivables
--700K
--700K
----
----
----
----
----
----
----
----
-Goodwill
-1.71%667.8M
-1.71%667.8M
39.22%679.4M
39.22%679.4M
59.79%488M
59.79%488M
-8.23%305.4M
-8.23%305.4M
3.32%332.8M
3.32%332.8M
Defined pension benefit
----
----
-97.52%1.8M
-97.52%1.8M
--72.5M
--72.5M
----
----
----
----
Regulatory assets
44.01%218.6M
44.01%218.6M
-8.83%151.8M
-8.83%151.8M
37.60%166.5M
37.60%166.5M
-8.47%121M
-8.47%121M
-10.37%132.2M
-10.37%132.2M
Non current deferred assets
----
----
-94.66%1.8M
-94.66%1.8M
9.77%33.7M
9.77%33.7M
--30.7M
--30.7M
----
----
Liabilities
Current liabilities
Current debt and capital lease obligation
-56.14%177.8M
-56.14%177.8M
986.86%405.4M
986.86%405.4M
-30.28%37.3M
-30.28%37.3M
-85.51%53.5M
-85.51%53.5M
427.29%369.1M
427.29%369.1M
-Current debt
-58.84%166M
-58.84%166M
1,118.43%403.3M
1,118.43%403.3M
-33.80%33.1M
-33.80%33.1M
-86.28%50M
-86.28%50M
420.43%364.3M
420.43%364.3M
-Current capital lease obligation
461.90%11.8M
461.90%11.8M
-50.00%2.1M
-50.00%2.1M
20.00%4.2M
20.00%4.2M
-27.08%3.5M
-27.08%3.5M
--4.8M
--4.8M
-accounts payable
-33.97%31.1M
-33.97%31.1M
14.88%47.1M
14.88%47.1M
16.15%41M
16.15%41M
-36.96%35.3M
-36.96%35.3M
28.74%56M
28.74%56M
-Total tax payable
-3.72%4.96B
-3.72%4.96B
1.57%5.15B
1.57%5.15B
0.25%5.07B
0.25%5.07B
8.37%5.06B
8.37%5.06B
11.23%4.67B
11.23%4.67B
-Dividends payable
-9.69%229.2M
-9.69%229.2M
-6.35%253.8M
-6.35%253.8M
9.54%271M
9.54%271M
-2.71%247.4M
-2.71%247.4M
0.79%254.3M
0.79%254.3M
-Other payable
--2M
--2M
----
----
----
----
-74.08%41M
-74.08%41M
-45.30%158.2M
-45.30%158.2M
Current provisions
-33.03%22.1M
-33.03%22.1M
2,650.00%33M
2,650.00%33M
-83.33%1.2M
-83.33%1.2M
-46.27%7.2M
-46.27%7.2M
-25.14%13.4M
-25.14%13.4M
Current deferred liabilities
----
----
----
----
170.49%16.5M
170.49%16.5M
--6.1M
--6.1M
----
----
Current liabilities
-34.40%699.7M
-34.40%699.7M
92.15%1.07B
92.15%1.07B
4.05%555.1M
4.05%555.1M
-36.87%533.5M
-36.87%533.5M
45.11%845.1M
45.11%845.1M
Non current liabilities
-Long term debt
546.40%80.8M
546.40%80.8M
-44.93%12.5M
-44.93%12.5M
10.73%22.7M
10.73%22.7M
5.13%20.5M
5.13%20.5M
--19.5M
--19.5M
Non current accrued expenses
416.29%91.9M
416.29%91.9M
-37.76%17.8M
-37.76%17.8M
20.68%28.6M
20.68%28.6M
-11.57%23.7M
-11.57%23.7M
78.67%26.8M
78.67%26.8M
Derivative product liabilities
-36.14%34.1M
-36.14%34.1M
31.85%53.4M
31.85%53.4M
-5.59%40.5M
-5.59%40.5M
-21.72%42.9M
-21.72%42.9M
-48.11%54.8M
-48.11%54.8M
Long term provisions
-3.69%4.75B
-3.69%4.75B
0.93%4.93B
0.93%4.93B
0.16%4.88B
0.16%4.88B
8.96%4.87B
8.96%4.87B
11.94%4.47B
11.94%4.47B
Employee benefits
-27.78%7.8M
-27.78%7.8M
217.65%10.8M
217.65%10.8M
25.93%3.4M
25.93%3.4M
--2.7M
--2.7M
----
----
Regulatory liabilities
20.00%-3.2M
20.00%-3.2M
47.37%-4M
47.37%-4M
57.06%-7.6M
57.06%-7.6M
-136.00%-17.7M
-136.00%-17.7M
-7,400.00%-7.5M
-7,400.00%-7.5M
Trust preferred securities
9.46%246.4M
9.46%246.4M
--225.1M
--225.1M
----
----
----
----
----
----
Preferred securities outside stock equity
26.54%75.8M
26.54%75.8M
34.91%59.9M
34.91%59.9M
17.77%44.4M
17.77%44.4M
47.84%37.7M
47.84%37.7M
-20.06%25.5M
-20.06%25.5M
Total non current liabilities
-8.98%5.66B
-8.98%5.66B
10.51%6.22B
10.51%6.22B
0.61%5.62B
0.61%5.62B
1.43%5.59B
1.43%5.59B
15.36%5.51B
15.36%5.51B
Shareholders'equity
Share capital
0.00%7.16B
0.00%7.16B
0.00%7.16B
0.00%7.16B
0.00%7.16B
0.00%7.16B
-1.86%7.16B
-1.86%7.16B
-0.85%7.29B
-0.85%7.29B
-common stock
0.00%7.16B
0.00%7.16B
0.00%7.16B
0.00%7.16B
0.00%7.16B
0.00%7.16B
-1.86%7.16B
-1.86%7.16B
-0.85%7.29B
-0.85%7.29B
Gains losses not affecting retained earnings
-75.31%13.8M
-75.31%13.8M
9.39%55.9M
9.39%55.9M
39.62%51.1M
39.62%51.1M
-27.67%36.6M
-27.67%36.6M
-5.77%50.6M
-5.77%50.6M
Other equity interest
-29.88%58.2M
-29.88%58.2M
126.16%83M
126.16%83M
321.84%36.7M
321.84%36.7M
-35.07%8.7M
-35.07%8.7M
688.24%13.4M
688.24%13.4M
Noncontrolling interests
-4.80%8.62B
-4.80%8.62B
1.89%9.05B
1.89%9.05B
10.06%8.88B
10.06%8.88B
10.74%8.07B
10.74%8.07B
6.80%7.29B
6.80%7.29B
Total equity
-14.38%15.82B
-14.38%15.82B
-3.71%18.48B
-3.71%18.48B
6.04%19.19B
6.04%19.19B
2.71%18.1B
2.71%18.1B
6.66%17.62B
6.66%17.62B
(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 -56.42%54M-56.42%54M64.54%123.9M64.54%123.9M73.10%75.3M73.10%75.3M36.79%43.5M36.79%43.5M6.71%31.8M6.71%31.8M
-Cash and cash equivalents -56.42%54M-56.42%54M64.54%123.9M64.54%123.9M73.10%75.3M73.10%75.3M36.79%43.5M36.79%43.5M6.71%31.8M6.71%31.8M
-Accounts receivable 50.67%11.3M50.67%11.3M-59.02%7.5M-59.02%7.5M422.86%18.3M422.86%18.3M-80.98%3.5M-80.98%3.5M6.36%18.4M6.36%18.4M
-Notes receivable -27.78%7.8M-27.78%7.8M217.65%10.8M217.65%10.8M25.93%3.4M25.93%3.4M--2.7M--2.7M--------
-Other receivables 9.72%163.7M9.72%163.7M7.03%149.2M7.03%149.2M0.65%139.4M0.65%139.4M11.87%138.5M11.87%138.5M-14.80%123.8M-14.80%123.8M
Current deferred assets 79.46%20.1M79.46%20.1M--11.2M--11.2M--------715.38%21.2M715.38%21.2M--2.6M--2.6M
Holding assets for sale -92.30%104.2M-92.30%104.2M251.69%1.35B251.69%1.35B41.13%385M41.13%385M-48.53%272.8M-48.53%272.8M--530M--530M
Total current assets -64.68%661.9M-64.68%661.9M150.76%1.87B150.76%1.87B17.17%747.3M17.17%747.3M-35.98%637.8M-35.98%637.8M161.98%996.3M161.98%996.3M
Non current assets
Investment properties 9.46%246.4M9.46%246.4M--225.1M--225.1M------------------------
Investments and advances -15.24%5.12B-15.24%5.12B-27.21%6.04B-27.21%6.04B-2.14%8.3B-2.14%8.3B3.18%8.48B3.18%8.48B0.56%8.22B0.56%8.22B
-Long term equity investment -2.30%4.83B-2.30%4.83B0.72%4.94B0.72%4.94B0.20%4.91B0.20%4.91B8.95%4.9B8.95%4.9B12.43%4.49B12.43%4.49B
-Including:Held to maturity investments 30.32%128.5M30.32%128.5M682.54%98.6M682.54%98.6M-8.70%12.6M-8.70%12.6M-84.98%13.8M-84.98%13.8M492.90%91.9M492.90%91.9M
Financial assets -16.71%321.1M-16.71%321.1M-15.81%385.5M-15.81%385.5M37.38%457.9M37.38%457.9M-44.85%333.3M-44.85%333.3M16.86%604.3M16.86%604.3M
Non current note receivables --700K--700K--------------------------------
-Goodwill -1.71%667.8M-1.71%667.8M39.22%679.4M39.22%679.4M59.79%488M59.79%488M-8.23%305.4M-8.23%305.4M3.32%332.8M3.32%332.8M
Defined pension benefit ---------97.52%1.8M-97.52%1.8M--72.5M--72.5M----------------
Regulatory assets 44.01%218.6M44.01%218.6M-8.83%151.8M-8.83%151.8M37.60%166.5M37.60%166.5M-8.47%121M-8.47%121M-10.37%132.2M-10.37%132.2M
Non current deferred assets ---------94.66%1.8M-94.66%1.8M9.77%33.7M9.77%33.7M--30.7M--30.7M--------
Liabilities
Current liabilities
Current debt and capital lease obligation -56.14%177.8M-56.14%177.8M986.86%405.4M986.86%405.4M-30.28%37.3M-30.28%37.3M-85.51%53.5M-85.51%53.5M427.29%369.1M427.29%369.1M
-Current debt -58.84%166M-58.84%166M1,118.43%403.3M1,118.43%403.3M-33.80%33.1M-33.80%33.1M-86.28%50M-86.28%50M420.43%364.3M420.43%364.3M
-Current capital lease obligation 461.90%11.8M461.90%11.8M-50.00%2.1M-50.00%2.1M20.00%4.2M20.00%4.2M-27.08%3.5M-27.08%3.5M--4.8M--4.8M
-accounts payable -33.97%31.1M-33.97%31.1M14.88%47.1M14.88%47.1M16.15%41M16.15%41M-36.96%35.3M-36.96%35.3M28.74%56M28.74%56M
-Total tax payable -3.72%4.96B-3.72%4.96B1.57%5.15B1.57%5.15B0.25%5.07B0.25%5.07B8.37%5.06B8.37%5.06B11.23%4.67B11.23%4.67B
-Dividends payable -9.69%229.2M-9.69%229.2M-6.35%253.8M-6.35%253.8M9.54%271M9.54%271M-2.71%247.4M-2.71%247.4M0.79%254.3M0.79%254.3M
-Other payable --2M--2M-----------------74.08%41M-74.08%41M-45.30%158.2M-45.30%158.2M
Current provisions -33.03%22.1M-33.03%22.1M2,650.00%33M2,650.00%33M-83.33%1.2M-83.33%1.2M-46.27%7.2M-46.27%7.2M-25.14%13.4M-25.14%13.4M
Current deferred liabilities ----------------170.49%16.5M170.49%16.5M--6.1M--6.1M--------
Current liabilities -34.40%699.7M-34.40%699.7M92.15%1.07B92.15%1.07B4.05%555.1M4.05%555.1M-36.87%533.5M-36.87%533.5M45.11%845.1M45.11%845.1M
Non current liabilities
-Long term debt 546.40%80.8M546.40%80.8M-44.93%12.5M-44.93%12.5M10.73%22.7M10.73%22.7M5.13%20.5M5.13%20.5M--19.5M--19.5M
Non current accrued expenses 416.29%91.9M416.29%91.9M-37.76%17.8M-37.76%17.8M20.68%28.6M20.68%28.6M-11.57%23.7M-11.57%23.7M78.67%26.8M78.67%26.8M
Derivative product liabilities -36.14%34.1M-36.14%34.1M31.85%53.4M31.85%53.4M-5.59%40.5M-5.59%40.5M-21.72%42.9M-21.72%42.9M-48.11%54.8M-48.11%54.8M
Long term provisions -3.69%4.75B-3.69%4.75B0.93%4.93B0.93%4.93B0.16%4.88B0.16%4.88B8.96%4.87B8.96%4.87B11.94%4.47B11.94%4.47B
Employee benefits -27.78%7.8M-27.78%7.8M217.65%10.8M217.65%10.8M25.93%3.4M25.93%3.4M--2.7M--2.7M--------
Regulatory liabilities 20.00%-3.2M20.00%-3.2M47.37%-4M47.37%-4M57.06%-7.6M57.06%-7.6M-136.00%-17.7M-136.00%-17.7M-7,400.00%-7.5M-7,400.00%-7.5M
Trust preferred securities 9.46%246.4M9.46%246.4M--225.1M--225.1M------------------------
Preferred securities outside stock equity 26.54%75.8M26.54%75.8M34.91%59.9M34.91%59.9M17.77%44.4M17.77%44.4M47.84%37.7M47.84%37.7M-20.06%25.5M-20.06%25.5M
Total non current liabilities -8.98%5.66B-8.98%5.66B10.51%6.22B10.51%6.22B0.61%5.62B0.61%5.62B1.43%5.59B1.43%5.59B15.36%5.51B15.36%5.51B
Shareholders'equity
Share capital 0.00%7.16B0.00%7.16B0.00%7.16B0.00%7.16B0.00%7.16B0.00%7.16B-1.86%7.16B-1.86%7.16B-0.85%7.29B-0.85%7.29B
-common stock 0.00%7.16B0.00%7.16B0.00%7.16B0.00%7.16B0.00%7.16B0.00%7.16B-1.86%7.16B-1.86%7.16B-0.85%7.29B-0.85%7.29B
Gains losses not affecting retained earnings -75.31%13.8M-75.31%13.8M9.39%55.9M9.39%55.9M39.62%51.1M39.62%51.1M-27.67%36.6M-27.67%36.6M-5.77%50.6M-5.77%50.6M
Other equity interest -29.88%58.2M-29.88%58.2M126.16%83M126.16%83M321.84%36.7M321.84%36.7M-35.07%8.7M-35.07%8.7M688.24%13.4M688.24%13.4M
Noncontrolling interests -4.80%8.62B-4.80%8.62B1.89%9.05B1.89%9.05B10.06%8.88B10.06%8.88B10.74%8.07B10.74%8.07B6.80%7.29B6.80%7.29B
Total equity -14.38%15.82B-14.38%15.82B-3.71%18.48B-3.71%18.48B6.04%19.19B6.04%19.19B2.71%18.1B2.71%18.1B6.66%17.62B6.66%17.62B

Analysis

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Symbol
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