AU Stock MarketDetailed Quotes

GDF Garda Property Group

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  • 1.115
  • 0.0000.00%
20min DelayMarket Closed Aug 23 15:59 AET
229.72MMarket Cap-5747P/E (Static)

Garda Property Group 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
29.16%17M
29.16%17M
-33.49%13.16M
-33.49%13.16M
27.42%19.79M
27.42%19.79M
-24.18%15.53M
-24.18%15.53M
1.36%20.49M
1.36%20.49M
-Cash and cash equivalents
29.16%17M
29.16%17M
-33.49%13.16M
-33.49%13.16M
27.42%19.79M
27.42%19.79M
-24.18%15.53M
-24.18%15.53M
1.36%20.49M
1.36%20.49M
-Accounts receivable
-60.87%54K
-60.87%54K
-11.54%138K
-11.54%138K
-62.68%156K
-62.68%156K
-63.04%418K
-63.04%418K
87.25%1.13M
87.25%1.13M
-Other receivables
-52.52%2.09M
-52.52%2.09M
59.70%4.41M
59.70%4.41M
-8.61%2.76M
-8.61%2.76M
399.01%3.02M
399.01%3.02M
-52.14%605K
-52.14%605K
Holding assets for sale
-88.10%13.3M
-88.10%13.3M
--111.75M
--111.75M
----
----
--10.68M
--10.68M
----
----
Total current assets
-57.86%58.29M
-57.86%58.29M
381.65%138.34M
381.65%138.34M
-4.04%28.72M
-4.04%28.72M
16.11%29.93M
16.11%29.93M
19.05%25.78M
19.05%25.78M
Non current assets
Investments and advances
1.35%495.37M
1.35%495.37M
-24.89%488.78M
-24.89%488.78M
34.01%650.73M
34.01%650.73M
16.32%485.57M
16.32%485.57M
25.43%417.45M
25.43%417.45M
-Long term equity investment
-3.35%216.77M
-3.35%216.77M
-13.38%224.27M
-13.38%224.27M
23.78%258.9M
23.78%258.9M
11.91%209.16M
11.91%209.16M
65.59%186.91M
65.59%186.91M
-Including:Held to maturity investments
--922K
--922K
----
----
----
----
----
----
----
----
Financial assets
-27.74%11.22M
-27.74%11.22M
4.29%15.53M
4.29%15.53M
623.82%14.89M
623.82%14.89M
--2.06M
--2.06M
----
----
Non current note receivables
48.00%444K
48.00%444K
-28.06%300K
-28.06%300K
57.95%417K
57.95%417K
--264K
--264K
----
----
-Goodwill
----
----
----
----
----
----
----
----
--33.59M
--33.59M
Regulatory assets
-98.77%150K
-98.77%150K
59.52%12.21M
59.52%12.21M
191.14%7.65M
191.14%7.65M
-42.77%2.63M
-42.77%2.63M
441.75%4.59M
441.75%4.59M
Non current deferred assets
----
----
-48.84%44K
-48.84%44K
--86K
--86K
----
----
----
----
Liabilities
Current liabilities
Current debt and capital lease obligation
--133K
--133K
----
----
6.56%130K
6.56%130K
6.09%122K
6.09%122K
-99.25%115K
-99.25%115K
-Current capital lease obligation
--133K
--133K
----
----
6.56%130K
6.56%130K
6.09%122K
6.09%122K
--115K
--115K
-accounts payable
----
----
71.43%24K
71.43%24K
-46.15%14K
-46.15%14K
-99.22%26K
-99.22%26K
12.35%3.34M
12.35%3.34M
-Total tax payable
-3.51%217.25M
-3.51%217.25M
-13.25%225.16M
-13.25%225.16M
23.90%259.55M
23.90%259.55M
10.90%209.48M
10.90%209.48M
62.81%188.89M
62.81%188.89M
-Dividends payable
-15.68%3.16M
-15.68%3.16M
-0.08%3.75M
-0.08%3.75M
0.00%3.75M
0.00%3.75M
-0.24%3.75M
-0.24%3.75M
5.55%3.76M
5.55%3.76M
Current provisions
198.04%152K
198.04%152K
21.43%51K
21.43%51K
--42K
--42K
----
----
----
----
Current deferred liabilities
----
----
--1.23M
--1.23M
----
----
----
----
--2K
--2K
Current liabilities
-38.79%5.79M
-38.79%5.79M
29.54%9.46M
29.54%9.46M
-1.18%7.31M
-1.18%7.31M
-5.51%7.39M
-5.51%7.39M
-66.30%7.82M
-66.30%7.82M
Non current liabilities
-Long term debt
--145K
--145K
----
----
----
----
-48.41%130K
-48.41%130K
--252K
--252K
Non current accrued expenses
--284K
--284K
----
----
-51.77%150K
-51.77%150K
-31.95%311K
-31.95%311K
--457K
--457K
Derivative product liabilities
----
----
----
----
----
----
----
----
-45.63%1.54M
-45.63%1.54M
Long term provisions
-3.41%216.62M
-3.41%216.62M
-13.38%224.27M
-13.38%224.27M
23.86%258.9M
23.86%258.9M
11.99%209.03M
11.99%209.03M
65.37%186.65M
65.37%186.65M
Regulatory liabilities
----
----
----
----
----
----
---369K
---369K
----
----
Total non current liabilities
-4.93%223.05M
-4.93%223.05M
-12.08%234.62M
-12.08%234.62M
23.05%266.86M
23.05%266.86M
10.25%216.88M
10.25%216.88M
41.28%196.71M
41.28%196.71M
Shareholders'equity
Share capital
-3.27%342.89M
-3.27%342.89M
-0.14%354.5M
-0.14%354.5M
0.00%355.01M
0.00%355.01M
0.00%354.99M
0.00%354.99M
26.28%354.99M
26.28%354.99M
-common stock
-3.27%342.89M
-3.27%342.89M
-0.14%354.5M
-0.14%354.5M
0.00%355.01M
0.00%355.01M
0.00%354.99M
0.00%354.99M
26.28%354.99M
26.28%354.99M
Gains losses not affecting retained earnings
65.64%4.21M
65.64%4.21M
38.32%2.54M
38.32%2.54M
55.15%1.84M
55.15%1.84M
166.67%1.18M
166.67%1.18M
--444K
--444K
Other equity interest
--26.92M
--26.92M
----
----
----
----
----
----
----
----
Total equity
-12.04%565.6M
-12.04%565.6M
-7.48%642.99M
-7.48%642.99M
33.95%695M
33.95%695M
8.71%518.85M
8.71%518.85M
33.94%477.27M
33.94%477.27M
(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 29.16%17M29.16%17M-33.49%13.16M-33.49%13.16M27.42%19.79M27.42%19.79M-24.18%15.53M-24.18%15.53M1.36%20.49M1.36%20.49M
-Cash and cash equivalents 29.16%17M29.16%17M-33.49%13.16M-33.49%13.16M27.42%19.79M27.42%19.79M-24.18%15.53M-24.18%15.53M1.36%20.49M1.36%20.49M
-Accounts receivable -60.87%54K-60.87%54K-11.54%138K-11.54%138K-62.68%156K-62.68%156K-63.04%418K-63.04%418K87.25%1.13M87.25%1.13M
-Other receivables -52.52%2.09M-52.52%2.09M59.70%4.41M59.70%4.41M-8.61%2.76M-8.61%2.76M399.01%3.02M399.01%3.02M-52.14%605K-52.14%605K
Holding assets for sale -88.10%13.3M-88.10%13.3M--111.75M--111.75M----------10.68M--10.68M--------
Total current assets -57.86%58.29M-57.86%58.29M381.65%138.34M381.65%138.34M-4.04%28.72M-4.04%28.72M16.11%29.93M16.11%29.93M19.05%25.78M19.05%25.78M
Non current assets
Investments and advances 1.35%495.37M1.35%495.37M-24.89%488.78M-24.89%488.78M34.01%650.73M34.01%650.73M16.32%485.57M16.32%485.57M25.43%417.45M25.43%417.45M
-Long term equity investment -3.35%216.77M-3.35%216.77M-13.38%224.27M-13.38%224.27M23.78%258.9M23.78%258.9M11.91%209.16M11.91%209.16M65.59%186.91M65.59%186.91M
-Including:Held to maturity investments --922K--922K--------------------------------
Financial assets -27.74%11.22M-27.74%11.22M4.29%15.53M4.29%15.53M623.82%14.89M623.82%14.89M--2.06M--2.06M--------
Non current note receivables 48.00%444K48.00%444K-28.06%300K-28.06%300K57.95%417K57.95%417K--264K--264K--------
-Goodwill ----------------------------------33.59M--33.59M
Regulatory assets -98.77%150K-98.77%150K59.52%12.21M59.52%12.21M191.14%7.65M191.14%7.65M-42.77%2.63M-42.77%2.63M441.75%4.59M441.75%4.59M
Non current deferred assets ---------48.84%44K-48.84%44K--86K--86K----------------
Liabilities
Current liabilities
Current debt and capital lease obligation --133K--133K--------6.56%130K6.56%130K6.09%122K6.09%122K-99.25%115K-99.25%115K
-Current capital lease obligation --133K--133K--------6.56%130K6.56%130K6.09%122K6.09%122K--115K--115K
-accounts payable --------71.43%24K71.43%24K-46.15%14K-46.15%14K-99.22%26K-99.22%26K12.35%3.34M12.35%3.34M
-Total tax payable -3.51%217.25M-3.51%217.25M-13.25%225.16M-13.25%225.16M23.90%259.55M23.90%259.55M10.90%209.48M10.90%209.48M62.81%188.89M62.81%188.89M
-Dividends payable -15.68%3.16M-15.68%3.16M-0.08%3.75M-0.08%3.75M0.00%3.75M0.00%3.75M-0.24%3.75M-0.24%3.75M5.55%3.76M5.55%3.76M
Current provisions 198.04%152K198.04%152K21.43%51K21.43%51K--42K--42K----------------
Current deferred liabilities ----------1.23M--1.23M------------------2K--2K
Current liabilities -38.79%5.79M-38.79%5.79M29.54%9.46M29.54%9.46M-1.18%7.31M-1.18%7.31M-5.51%7.39M-5.51%7.39M-66.30%7.82M-66.30%7.82M
Non current liabilities
-Long term debt --145K--145K-----------------48.41%130K-48.41%130K--252K--252K
Non current accrued expenses --284K--284K---------51.77%150K-51.77%150K-31.95%311K-31.95%311K--457K--457K
Derivative product liabilities ---------------------------------45.63%1.54M-45.63%1.54M
Long term provisions -3.41%216.62M-3.41%216.62M-13.38%224.27M-13.38%224.27M23.86%258.9M23.86%258.9M11.99%209.03M11.99%209.03M65.37%186.65M65.37%186.65M
Regulatory liabilities ---------------------------369K---369K--------
Total non current liabilities -4.93%223.05M-4.93%223.05M-12.08%234.62M-12.08%234.62M23.05%266.86M23.05%266.86M10.25%216.88M10.25%216.88M41.28%196.71M41.28%196.71M
Shareholders'equity
Share capital -3.27%342.89M-3.27%342.89M-0.14%354.5M-0.14%354.5M0.00%355.01M0.00%355.01M0.00%354.99M0.00%354.99M26.28%354.99M26.28%354.99M
-common stock -3.27%342.89M-3.27%342.89M-0.14%354.5M-0.14%354.5M0.00%355.01M0.00%355.01M0.00%354.99M0.00%354.99M26.28%354.99M26.28%354.99M
Gains losses not affecting retained earnings 65.64%4.21M65.64%4.21M38.32%2.54M38.32%2.54M55.15%1.84M55.15%1.84M166.67%1.18M166.67%1.18M--444K--444K
Other equity interest --26.92M--26.92M--------------------------------
Total equity -12.04%565.6M-12.04%565.6M-7.48%642.99M-7.48%642.99M33.95%695M33.95%695M8.71%518.85M8.71%518.85M33.94%477.27M33.94%477.27M

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