AU Stock MarketDetailed Quotes

GPT GPT Group

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  • 4.010
  • +0.030+0.75%
20min DelayNot Open Jul 3 16:00 AET
7.68BMarket Cap-32080P/E (Static)

GPT Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(Q4)Dec 30, 2023
(FY)Dec 30, 2022
(Q4)Dec 30, 2022
(FY)Dec 30, 2021
(Q4)Dec 30, 2021
(FY)Dec 30, 2020
(Q4)Dec 30, 2020
(FY)Dec 30, 2019
(Q4)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
12.79%67.9M
12.79%67.9M
-2.11%60.2M
-2.11%60.2M
-83.49%61.5M
-83.49%61.5M
257.49%372.5M
257.49%372.5M
77.51%104.2M
77.51%104.2M
-Cash and cash equivalents
12.79%67.9M
12.79%67.9M
-2.11%60.2M
-2.11%60.2M
-83.49%61.5M
-83.49%61.5M
257.49%372.5M
257.49%372.5M
77.51%104.2M
77.51%104.2M
-Accounts receivable
-27.03%21.6M
-27.03%21.6M
-30.19%29.6M
-30.19%29.6M
-15.54%42.4M
-15.54%42.4M
477.01%50.2M
477.01%50.2M
-83.77%8.7M
-83.77%8.7M
-Notes receivable
-26.67%1.1M
-26.67%1.1M
36.36%1.5M
36.36%1.5M
0.00%1.1M
0.00%1.1M
-8.33%1.1M
-8.33%1.1M
9.09%1.2M
9.09%1.2M
-Other receivables
-67.24%82M
-67.24%82M
407.71%250.3M
407.71%250.3M
-31.53%49.3M
-31.53%49.3M
-77.95%72M
-77.95%72M
15.37%326.5M
15.37%326.5M
Current deferred assets
----
----
--6.2M
--6.2M
----
----
----
----
175.00%2.2M
175.00%2.2M
Holding assets for sale
15.39%296.1M
15.39%296.1M
29.20%256.6M
29.20%256.6M
83.04%198.6M
83.04%198.6M
--108.5M
--108.5M
----
----
Total current assets
3.08%656.9M
3.08%656.9M
21.34%637.3M
21.34%637.3M
-24.96%525.2M
-24.96%525.2M
170.44%699.9M
170.44%699.9M
11.79%258.8M
11.79%258.8M
Non current assets
Investments and advances
-5.78%11.27B
-5.78%11.27B
0.02%11.96B
0.02%11.96B
15.80%11.95B
15.80%11.95B
-0.04%10.32B
-0.04%10.32B
1.96%10.33B
1.96%10.33B
-Long term equity investment
3.91%4.56B
3.91%4.56B
0.03%4.38B
0.03%4.38B
21.21%4.38B
21.21%4.38B
4.11%3.62B
4.11%3.62B
-3.49%3.47B
-3.49%3.47B
-Including:Held to maturity investments
46.27%49M
46.27%49M
2,292.86%33.5M
2,292.86%33.5M
-92.71%1.4M
-92.71%1.4M
170.42%19.2M
170.42%19.2M
373.33%7.1M
373.33%7.1M
Financial assets
-11.23%314.7M
-11.23%314.7M
-23.70%354.5M
-23.70%354.5M
0.76%464.6M
0.76%464.6M
-13.13%461.1M
-13.13%461.1M
56.62%530.8M
56.62%530.8M
Non current note receivables
21.92%26.7M
21.92%26.7M
-15.77%21.9M
-15.77%21.9M
170.83%26M
170.83%26M
-53.17%9.6M
-53.17%9.6M
1.99%20.5M
1.99%20.5M
-Goodwill
-10.61%21.9M
-10.61%21.9M
88.46%24.5M
88.46%24.5M
-68.67%13M
-68.67%13M
17.56%41.5M
17.56%41.5M
31.72%35.3M
31.72%35.3M
Regulatory assets
-51.21%113M
-51.21%113M
12.59%231.6M
12.59%231.6M
120.24%205.7M
120.24%205.7M
-1.99%93.4M
-1.99%93.4M
-8.28%95.3M
-8.28%95.3M
Liabilities
Current liabilities
Current debt and capital lease obligation
-61.18%277M
-61.18%277M
-11.97%713.5M
-11.97%713.5M
53.94%810.5M
53.94%810.5M
8.58%526.5M
8.58%526.5M
-6.03%484.9M
-6.03%484.9M
-Current debt
-62.12%267M
-62.12%267M
-12.15%704.9M
-12.15%704.9M
54.61%802.4M
54.61%802.4M
8.55%519M
8.55%519M
-7.34%478.1M
-7.34%478.1M
-Current capital lease obligation
16.28%10M
16.28%10M
6.17%8.6M
6.17%8.6M
8.00%8.1M
8.00%8.1M
10.29%7.5M
10.29%7.5M
--6.8M
--6.8M
-accounts payable
77.50%418.2M
77.50%418.2M
49.40%235.6M
49.40%235.6M
45.35%157.7M
45.35%157.7M
-16.47%108.5M
-16.47%108.5M
1.48%129.9M
1.48%129.9M
-Total tax payable
1.01%4.62B
1.01%4.62B
2.89%4.57B
2.89%4.57B
19.30%4.45B
19.30%4.45B
4.39%3.73B
4.39%3.73B
-4.04%3.57B
-4.04%3.57B
-Other payable
-26.71%122.1M
-26.71%122.1M
88.46%166.6M
88.46%166.6M
84.55%88.4M
84.55%88.4M
-46.66%47.9M
-46.66%47.9M
-20.74%89.8M
-20.74%89.8M
Current provisions
106.11%91.1M
106.11%91.1M
108.49%44.2M
108.49%44.2M
15.22%21.2M
15.22%21.2M
10.84%18.4M
10.84%18.4M
-7.78%16.6M
-7.78%16.6M
Current deferred liabilities
--4.3M
--4.3M
----
----
205.00%6.1M
205.00%6.1M
--2M
--2M
----
----
Current liabilities
-28.22%892.6M
-28.22%892.6M
17.28%1.24B
17.28%1.24B
42.78%1.06B
42.78%1.06B
-23.54%742.7M
-23.54%742.7M
1.47%971.3M
1.47%971.3M
Non current liabilities
-Long term debt
-28.26%26.4M
-28.26%26.4M
-20.00%36.8M
-20.00%36.8M
-3.36%46M
-3.36%46M
-11.52%47.6M
-11.52%47.6M
--53.8M
--53.8M
Non current accrued expenses
-33.04%23.1M
-33.04%23.1M
-13.53%34.5M
-13.53%34.5M
-22.07%39.9M
-22.07%39.9M
-17.55%51.2M
-17.55%51.2M
388.98%62.1M
388.98%62.1M
Derivative product liabilities
-66.00%64.2M
-66.00%64.2M
204.52%188.8M
204.52%188.8M
-43.43%62M
-43.43%62M
14.76%109.6M
14.76%109.6M
-20.55%95.5M
-20.55%95.5M
Long term provisions
4.18%4.53B
4.18%4.53B
0.25%4.35B
0.25%4.35B
21.54%4.34B
21.54%4.34B
4.36%3.57B
4.36%3.57B
-4.99%3.42B
-4.99%3.42B
Employee benefits
-26.67%1.1M
-26.67%1.1M
36.36%1.5M
36.36%1.5M
0.00%1.1M
0.00%1.1M
-8.33%1.1M
-8.33%1.1M
9.09%1.2M
9.09%1.2M
Regulatory liabilities
14.79%-14.4M
14.79%-14.4M
45.31%-16.9M
45.31%-16.9M
-60.10%-30.9M
-60.10%-30.9M
-915.79%-19.3M
-915.79%-19.3M
13.64%-1.9M
13.64%-1.9M
Preferred securities outside stock equity
--20M
--20M
----
----
1.96%15.6M
1.96%15.6M
14.18%15.3M
14.18%15.3M
9.84%13.4M
9.84%13.4M
Total non current liabilities
-5.24%5.51B
-5.24%5.51B
5.66%5.82B
5.66%5.82B
23.20%5.51B
23.20%5.51B
-1.58%4.47B
-1.58%4.47B
-2.91%4.54B
-2.91%4.54B
Shareholders'equity
Share capital
0.00%8.86B
0.00%8.86B
0.00%8.86B
0.00%8.86B
-1.63%8.86B
-1.63%8.86B
0.00%9.01B
0.00%9.01B
10.47%9.01B
10.47%9.01B
-common stock
0.00%8.86B
0.00%8.86B
0.00%8.86B
0.00%8.86B
-1.63%8.86B
-1.63%8.86B
0.00%9.01B
0.00%9.01B
10.47%9.01B
10.47%9.01B
Gains losses not affecting retained earnings
219.51%13.1M
219.51%13.1M
105.00%4.1M
105.00%4.1M
107.14%2M
107.14%2M
-302.90%-28M
-302.90%-28M
213.64%13.8M
213.64%13.8M
Other equity interest
26.14%30.4M
26.14%30.4M
17.56%24.1M
17.56%24.1M
-50.72%20.5M
-50.72%20.5M
26.83%41.6M
26.83%41.6M
43.86%32.8M
43.86%32.8M
Noncontrolling interests
-6.08%3.85B
-6.08%3.85B
0.75%4.1B
0.75%4.1B
9.24%4.07B
9.24%4.07B
-18.03%3.72B
-18.03%3.72B
16.31%4.54B
16.31%4.54B
Total equity
-5.87%16.28B
-5.87%16.28B
0.67%17.29B
0.67%17.29B
11.86%17.18B
11.86%17.18B
-3.21%15.36B
-3.21%15.36B
7.37%15.87B
7.37%15.87B
(FY)Dec 30, 2023(Q4)Dec 30, 2023(FY)Dec 30, 2022(Q4)Dec 30, 2022(FY)Dec 30, 2021(Q4)Dec 30, 2021(FY)Dec 30, 2020(Q4)Dec 30, 2020(FY)Dec 30, 2019(Q4)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments 12.79%67.9M12.79%67.9M-2.11%60.2M-2.11%60.2M-83.49%61.5M-83.49%61.5M257.49%372.5M257.49%372.5M77.51%104.2M77.51%104.2M
-Cash and cash equivalents 12.79%67.9M12.79%67.9M-2.11%60.2M-2.11%60.2M-83.49%61.5M-83.49%61.5M257.49%372.5M257.49%372.5M77.51%104.2M77.51%104.2M
-Accounts receivable -27.03%21.6M-27.03%21.6M-30.19%29.6M-30.19%29.6M-15.54%42.4M-15.54%42.4M477.01%50.2M477.01%50.2M-83.77%8.7M-83.77%8.7M
-Notes receivable -26.67%1.1M-26.67%1.1M36.36%1.5M36.36%1.5M0.00%1.1M0.00%1.1M-8.33%1.1M-8.33%1.1M9.09%1.2M9.09%1.2M
-Other receivables -67.24%82M-67.24%82M407.71%250.3M407.71%250.3M-31.53%49.3M-31.53%49.3M-77.95%72M-77.95%72M15.37%326.5M15.37%326.5M
Current deferred assets ----------6.2M--6.2M----------------175.00%2.2M175.00%2.2M
Holding assets for sale 15.39%296.1M15.39%296.1M29.20%256.6M29.20%256.6M83.04%198.6M83.04%198.6M--108.5M--108.5M--------
Total current assets 3.08%656.9M3.08%656.9M21.34%637.3M21.34%637.3M-24.96%525.2M-24.96%525.2M170.44%699.9M170.44%699.9M11.79%258.8M11.79%258.8M
Non current assets
Investments and advances -5.78%11.27B-5.78%11.27B0.02%11.96B0.02%11.96B15.80%11.95B15.80%11.95B-0.04%10.32B-0.04%10.32B1.96%10.33B1.96%10.33B
-Long term equity investment 3.91%4.56B3.91%4.56B0.03%4.38B0.03%4.38B21.21%4.38B21.21%4.38B4.11%3.62B4.11%3.62B-3.49%3.47B-3.49%3.47B
-Including:Held to maturity investments 46.27%49M46.27%49M2,292.86%33.5M2,292.86%33.5M-92.71%1.4M-92.71%1.4M170.42%19.2M170.42%19.2M373.33%7.1M373.33%7.1M
Financial assets -11.23%314.7M-11.23%314.7M-23.70%354.5M-23.70%354.5M0.76%464.6M0.76%464.6M-13.13%461.1M-13.13%461.1M56.62%530.8M56.62%530.8M
Non current note receivables 21.92%26.7M21.92%26.7M-15.77%21.9M-15.77%21.9M170.83%26M170.83%26M-53.17%9.6M-53.17%9.6M1.99%20.5M1.99%20.5M
-Goodwill -10.61%21.9M-10.61%21.9M88.46%24.5M88.46%24.5M-68.67%13M-68.67%13M17.56%41.5M17.56%41.5M31.72%35.3M31.72%35.3M
Regulatory assets -51.21%113M-51.21%113M12.59%231.6M12.59%231.6M120.24%205.7M120.24%205.7M-1.99%93.4M-1.99%93.4M-8.28%95.3M-8.28%95.3M
Liabilities
Current liabilities
Current debt and capital lease obligation -61.18%277M-61.18%277M-11.97%713.5M-11.97%713.5M53.94%810.5M53.94%810.5M8.58%526.5M8.58%526.5M-6.03%484.9M-6.03%484.9M
-Current debt -62.12%267M-62.12%267M-12.15%704.9M-12.15%704.9M54.61%802.4M54.61%802.4M8.55%519M8.55%519M-7.34%478.1M-7.34%478.1M
-Current capital lease obligation 16.28%10M16.28%10M6.17%8.6M6.17%8.6M8.00%8.1M8.00%8.1M10.29%7.5M10.29%7.5M--6.8M--6.8M
-accounts payable 77.50%418.2M77.50%418.2M49.40%235.6M49.40%235.6M45.35%157.7M45.35%157.7M-16.47%108.5M-16.47%108.5M1.48%129.9M1.48%129.9M
-Total tax payable 1.01%4.62B1.01%4.62B2.89%4.57B2.89%4.57B19.30%4.45B19.30%4.45B4.39%3.73B4.39%3.73B-4.04%3.57B-4.04%3.57B
-Other payable -26.71%122.1M-26.71%122.1M88.46%166.6M88.46%166.6M84.55%88.4M84.55%88.4M-46.66%47.9M-46.66%47.9M-20.74%89.8M-20.74%89.8M
Current provisions 106.11%91.1M106.11%91.1M108.49%44.2M108.49%44.2M15.22%21.2M15.22%21.2M10.84%18.4M10.84%18.4M-7.78%16.6M-7.78%16.6M
Current deferred liabilities --4.3M--4.3M--------205.00%6.1M205.00%6.1M--2M--2M--------
Current liabilities -28.22%892.6M-28.22%892.6M17.28%1.24B17.28%1.24B42.78%1.06B42.78%1.06B-23.54%742.7M-23.54%742.7M1.47%971.3M1.47%971.3M
Non current liabilities
-Long term debt -28.26%26.4M-28.26%26.4M-20.00%36.8M-20.00%36.8M-3.36%46M-3.36%46M-11.52%47.6M-11.52%47.6M--53.8M--53.8M
Non current accrued expenses -33.04%23.1M-33.04%23.1M-13.53%34.5M-13.53%34.5M-22.07%39.9M-22.07%39.9M-17.55%51.2M-17.55%51.2M388.98%62.1M388.98%62.1M
Derivative product liabilities -66.00%64.2M-66.00%64.2M204.52%188.8M204.52%188.8M-43.43%62M-43.43%62M14.76%109.6M14.76%109.6M-20.55%95.5M-20.55%95.5M
Long term provisions 4.18%4.53B4.18%4.53B0.25%4.35B0.25%4.35B21.54%4.34B21.54%4.34B4.36%3.57B4.36%3.57B-4.99%3.42B-4.99%3.42B
Employee benefits -26.67%1.1M-26.67%1.1M36.36%1.5M36.36%1.5M0.00%1.1M0.00%1.1M-8.33%1.1M-8.33%1.1M9.09%1.2M9.09%1.2M
Regulatory liabilities 14.79%-14.4M14.79%-14.4M45.31%-16.9M45.31%-16.9M-60.10%-30.9M-60.10%-30.9M-915.79%-19.3M-915.79%-19.3M13.64%-1.9M13.64%-1.9M
Preferred securities outside stock equity --20M--20M--------1.96%15.6M1.96%15.6M14.18%15.3M14.18%15.3M9.84%13.4M9.84%13.4M
Total non current liabilities -5.24%5.51B-5.24%5.51B5.66%5.82B5.66%5.82B23.20%5.51B23.20%5.51B-1.58%4.47B-1.58%4.47B-2.91%4.54B-2.91%4.54B
Shareholders'equity
Share capital 0.00%8.86B0.00%8.86B0.00%8.86B0.00%8.86B-1.63%8.86B-1.63%8.86B0.00%9.01B0.00%9.01B10.47%9.01B10.47%9.01B
-common stock 0.00%8.86B0.00%8.86B0.00%8.86B0.00%8.86B-1.63%8.86B-1.63%8.86B0.00%9.01B0.00%9.01B10.47%9.01B10.47%9.01B
Gains losses not affecting retained earnings 219.51%13.1M219.51%13.1M105.00%4.1M105.00%4.1M107.14%2M107.14%2M-302.90%-28M-302.90%-28M213.64%13.8M213.64%13.8M
Other equity interest 26.14%30.4M26.14%30.4M17.56%24.1M17.56%24.1M-50.72%20.5M-50.72%20.5M26.83%41.6M26.83%41.6M43.86%32.8M43.86%32.8M
Noncontrolling interests -6.08%3.85B-6.08%3.85B0.75%4.1B0.75%4.1B9.24%4.07B9.24%4.07B-18.03%3.72B-18.03%3.72B16.31%4.54B16.31%4.54B
Total equity -5.87%16.28B-5.87%16.28B0.67%17.29B0.67%17.29B11.86%17.18B11.86%17.18B-3.21%15.36B-3.21%15.36B7.37%15.87B7.37%15.87B

Analysis

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