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HLI Helia Group Ltd

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  • 4.080
  • +0.130+3.29%
20min DelayMarket Closed Mar 28 16:00 AET
1.11BMarket Cap5.12P/E (Static)

Helia Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2024
(FY)Dec 30, 2023
(FY)Dec 30, 2022
(FY)Dec 30, 2021
(FY)Dec 30, 2020
(FY)Dec 30, 2019
(FY)Dec 30, 2018
(FY)Dec 30, 2017
(FY)Dec 30, 2016
(FY)Dec 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
10.77%191.23M
-4.17%172.64M
-55.73%180.15M
-10.78%406.96M
19.69%456.13M
31.92%381.09M
1.04%288.88M
-7.76%285.9M
-33.27%309.94M
24.15%464.48M
Cash received from insurance business
9.33%331.13M
-25.48%302.87M
-38.64%406.44M
-3.26%662.34M
18.56%684.65M
8.97%577.44M
10.83%529.93M
-7.30%478.16M
-22.36%515.82M
35.65%664.4M
Other cash income from operating activities
-7.42%-139.9M
42.45%-130.23M
11.39%-226.3M
-11.76%-255.38M
-16.38%-228.52M
18.55%-196.35M
-25.38%-241.06M
6.61%-192.27M
-2.98%-205.88M
-72.83%-199.92M
Cash paid
70.21%-56.8M
-83.26%-190.67M
-67.03%-104.04M
60.96%-62.29M
15.71%-159.54M
-0.99%-189.28M
17.51%-187.42M
-9.39%-227.21M
16.28%-207.71M
-155.56%-248.12M
Cash paid for insurance business
31.90%-45.66M
-131.36%-67.04M
29.57%-28.98M
66.80%-41.14M
7.49%-123.93M
9.27%-133.96M
-0.59%-147.64M
-70.94%-146.78M
-8.75%-85.86M
-61.34%-78.96M
All taxes paid
107.11%7.56M
-75.33%-106.3M
-582.68%-60.63M
62.08%-8.88M
48.39%-23.42M
-57.69%-45.39M
58.72%-28.78M
36.79%-69.73M
28.95%-110.32M
-279.67%-155.26M
Other cash payments from operating activities
-7.95%-18.71M
-20.05%-17.33M
-17.68%-14.44M
-0.64%-12.27M
-22.75%-12.19M
9.69%-9.93M
-2.81%-11M
7.21%-10.7M
17.03%-11.53M
-91.60%-13.89M
Operating cash flow
845.56%134.43M
-123.69%-18.03M
-77.92%76.11M
16.21%344.67M
54.62%296.59M
89.07%191.82M
72.87%101.46M
-42.59%58.69M
-52.75%102.23M
-21.90%216.37M
Investing cash flow
Cash flow from continuing investing activities
-46.15%213.84M
98.66%397.1M
158.06%199.89M
-48.62%-344.26M
-356.70%-231.64M
-64.73%90.24M
112.86%255.87M
-68.30%120.21M
110.26%379.24M
205.94%180.37M
Net PPE purchase and sale
-109.34%-91K
-18.08%974K
-32.98%1.19M
61.27%1.77M
173.28%1.1M
87.11%-1.5M
-791.42%-11.64M
14.08%-1.31M
-505.58%-1.52M
11.31%-251K
Net investment purchase and sale
-45.99%213.93M
99.36%396.12M
157.42%198.7M
-48.68%-346.04M
-353.70%-232.74M
-65.71%91.74M
120.15%267.51M
-68.09%121.51M
110.81%380.76M
176.13%180.62M
Cash from discontinued investing activities
Investing cash flow
-46.15%213.84M
98.66%397.1M
158.06%199.89M
-48.62%-344.26M
-356.70%-231.64M
-64.73%90.24M
112.86%255.87M
-68.30%120.21M
110.26%379.24M
205.94%180.37M
Financing cash flow
Cash flow from continuing financing activities
15.31%-292.93M
-5.15%-345.9M
-1,087.87%-328.96M
41.92%-27.69M
85.73%-47.68M
-28.64%-334.06M
-34.20%-259.69M
61.45%-193.51M
-23.26%-501.95M
-2,137.33%-407.22M
Net issuance payments of debt
53.72%-1.41M
38.75%-3.04M
-6.75%-4.96M
72.22%-4.65M
-374.57%-16.74M
---3.53M
----
----
-147.63%-49.62M
118.37%104.18M
Net common stock issuance
27.37%-113.44M
13.65%-156.17M
-7,380.15%-180.87M
---2.42M
----
57.13%-63.9M
-192.96%-149.07M
74.86%-50.88M
-34.96%-202.44M
-126.46%-150M
Cash dividends paid
4.61%-178.09M
-30.44%-186.69M
-593.90%-143.12M
33.33%-20.63M
88.40%-30.94M
-141.03%-266.63M
22.44%-110.62M
42.93%-142.62M
30.85%-249.89M
-1,885.71%-361.4M
Cash from discontinued financing activities
Financing cash flow
15.31%-292.93M
-5.15%-345.9M
-1,087.87%-328.96M
41.92%-27.69M
85.73%-47.68M
-28.64%-334.06M
-34.20%-259.69M
61.45%-193.51M
-23.26%-501.95M
-2,137.33%-407.22M
Net cash flow
Beginning cash position
139.29%57.05M
-68.93%23.84M
-26.62%76.72M
19.83%104.56M
-38.31%87.25M
228.76%141.45M
-25.35%43.03M
-26.22%57.63M
-11.83%78.11M
--88.6M
Current changes in cash
66.83%55.33M
162.62%33.17M
-94.07%-52.97M
-258.03%-27.29M
133.20%17.27M
-153.27%-52.01M
768.33%97.64M
28.67%-14.61M
-95.38%-20.48M
-111.83%-10.48M
Effect of exchange rate changes
-95.35%2K
-47.56%43K
115.13%82K
-1,694.12%-542K
101.55%34K
-377.54%-2.19M
--788K
----
----
----
End cash Position
96.99%112.38M
139.29%57.05M
-68.93%23.84M
-26.62%76.72M
19.83%104.56M
-38.31%87.25M
228.76%141.45M
-25.35%43.03M
-26.22%57.63M
-11.83%78.11M
Free cash flow
835.15%134.33M
-124.20%-18.27M
-78.09%75.51M
16.42%344.67M
56.34%296.06M
110.85%189.37M
56.51%89.81M
-43.02%57.38M
-53.40%100.71M
-21.91%216.12M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2024(FY)Dec 30, 2023(FY)Dec 30, 2022(FY)Dec 30, 2021(FY)Dec 30, 2020(FY)Dec 30, 2019(FY)Dec 30, 2018(FY)Dec 30, 2017(FY)Dec 30, 2016(FY)Dec 30, 2015
Operating cash flow (direct method)
Cash income from operating activities 10.77%191.23M-4.17%172.64M-55.73%180.15M-10.78%406.96M19.69%456.13M31.92%381.09M1.04%288.88M-7.76%285.9M-33.27%309.94M24.15%464.48M
Cash received from insurance business 9.33%331.13M-25.48%302.87M-38.64%406.44M-3.26%662.34M18.56%684.65M8.97%577.44M10.83%529.93M-7.30%478.16M-22.36%515.82M35.65%664.4M
Other cash income from operating activities -7.42%-139.9M42.45%-130.23M11.39%-226.3M-11.76%-255.38M-16.38%-228.52M18.55%-196.35M-25.38%-241.06M6.61%-192.27M-2.98%-205.88M-72.83%-199.92M
Cash paid 70.21%-56.8M-83.26%-190.67M-67.03%-104.04M60.96%-62.29M15.71%-159.54M-0.99%-189.28M17.51%-187.42M-9.39%-227.21M16.28%-207.71M-155.56%-248.12M
Cash paid for insurance business 31.90%-45.66M-131.36%-67.04M29.57%-28.98M66.80%-41.14M7.49%-123.93M9.27%-133.96M-0.59%-147.64M-70.94%-146.78M-8.75%-85.86M-61.34%-78.96M
All taxes paid 107.11%7.56M-75.33%-106.3M-582.68%-60.63M62.08%-8.88M48.39%-23.42M-57.69%-45.39M58.72%-28.78M36.79%-69.73M28.95%-110.32M-279.67%-155.26M
Other cash payments from operating activities -7.95%-18.71M-20.05%-17.33M-17.68%-14.44M-0.64%-12.27M-22.75%-12.19M9.69%-9.93M-2.81%-11M7.21%-10.7M17.03%-11.53M-91.60%-13.89M
Operating cash flow 845.56%134.43M-123.69%-18.03M-77.92%76.11M16.21%344.67M54.62%296.59M89.07%191.82M72.87%101.46M-42.59%58.69M-52.75%102.23M-21.90%216.37M
Investing cash flow
Cash flow from continuing investing activities -46.15%213.84M98.66%397.1M158.06%199.89M-48.62%-344.26M-356.70%-231.64M-64.73%90.24M112.86%255.87M-68.30%120.21M110.26%379.24M205.94%180.37M
Net PPE purchase and sale -109.34%-91K-18.08%974K-32.98%1.19M61.27%1.77M173.28%1.1M87.11%-1.5M-791.42%-11.64M14.08%-1.31M-505.58%-1.52M11.31%-251K
Net investment purchase and sale -45.99%213.93M99.36%396.12M157.42%198.7M-48.68%-346.04M-353.70%-232.74M-65.71%91.74M120.15%267.51M-68.09%121.51M110.81%380.76M176.13%180.62M
Cash from discontinued investing activities
Investing cash flow -46.15%213.84M98.66%397.1M158.06%199.89M-48.62%-344.26M-356.70%-231.64M-64.73%90.24M112.86%255.87M-68.30%120.21M110.26%379.24M205.94%180.37M
Financing cash flow
Cash flow from continuing financing activities 15.31%-292.93M-5.15%-345.9M-1,087.87%-328.96M41.92%-27.69M85.73%-47.68M-28.64%-334.06M-34.20%-259.69M61.45%-193.51M-23.26%-501.95M-2,137.33%-407.22M
Net issuance payments of debt 53.72%-1.41M38.75%-3.04M-6.75%-4.96M72.22%-4.65M-374.57%-16.74M---3.53M---------147.63%-49.62M118.37%104.18M
Net common stock issuance 27.37%-113.44M13.65%-156.17M-7,380.15%-180.87M---2.42M----57.13%-63.9M-192.96%-149.07M74.86%-50.88M-34.96%-202.44M-126.46%-150M
Cash dividends paid 4.61%-178.09M-30.44%-186.69M-593.90%-143.12M33.33%-20.63M88.40%-30.94M-141.03%-266.63M22.44%-110.62M42.93%-142.62M30.85%-249.89M-1,885.71%-361.4M
Cash from discontinued financing activities
Financing cash flow 15.31%-292.93M-5.15%-345.9M-1,087.87%-328.96M41.92%-27.69M85.73%-47.68M-28.64%-334.06M-34.20%-259.69M61.45%-193.51M-23.26%-501.95M-2,137.33%-407.22M
Net cash flow
Beginning cash position 139.29%57.05M-68.93%23.84M-26.62%76.72M19.83%104.56M-38.31%87.25M228.76%141.45M-25.35%43.03M-26.22%57.63M-11.83%78.11M--88.6M
Current changes in cash 66.83%55.33M162.62%33.17M-94.07%-52.97M-258.03%-27.29M133.20%17.27M-153.27%-52.01M768.33%97.64M28.67%-14.61M-95.38%-20.48M-111.83%-10.48M
Effect of exchange rate changes -95.35%2K-47.56%43K115.13%82K-1,694.12%-542K101.55%34K-377.54%-2.19M--788K------------
End cash Position 96.99%112.38M139.29%57.05M-68.93%23.84M-26.62%76.72M19.83%104.56M-38.31%87.25M228.76%141.45M-25.35%43.03M-26.22%57.63M-11.83%78.11M
Free cash flow 835.15%134.33M-124.20%-18.27M-78.09%75.51M16.42%344.67M56.34%296.06M110.85%189.37M56.51%89.81M-43.02%57.38M-53.40%100.71M-21.91%216.12M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP