AU Stock MarketDetailed Quotes

IAG Insurance Australia Group Ltd

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  • 7.620
  • +0.230+3.11%
20min DelayNot Open Nov 6 16:00 AET
18.03BMarket Cap21.05P/E (Static)

Insurance Australia Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
12.63%18.57B
11.15%16.48B
1.48%14.83B
-1.79%14.61B
3.54%14.88B
6.96%14.37B
1.91%13.44B
9.74%13.18B
6.18%12.01B
17.46%11.31B
Other cash income from operating activities
24.75%-1.68B
-11.92%-2.23B
-6.48%-1.99B
-2.52%-1.87B
-18.54%-1.82B
21.38%-1.54B
11.02%-1.96B
-10.29%-2.2B
26.79%-1.99B
-14.42%-2.72B
Cash paid
-4.58%-16.77B
-15.07%-16.03B
-7.14%-13.93B
10.31%-13B
-5.20%-14.5B
-2.17%-13.78B
-7.50%-13.49B
10.12%-12.55B
-31.49%-13.96B
-24.09%-10.62B
Other cash payments from operating activities
-39.84%-179M
-42.22%-128M
-7.14%-90M
6.67%-84M
-2.27%-90M
-1.15%-88M
-1.16%-87M
9.47%-86M
6.86%-95M
-7.37%-102M
Operating cash flow
298.23%1.8B
-49.72%452M
-44.16%899M
322.57%1.61B
-35.31%381M
1,211.32%589M
-108.33%-53M
132.68%636M
-378.80%-1.95B
-35.19%698M
Investing cash flow
Cash flow from continuing investing activities
-259.39%-628M
127.00%394M
39.66%-1.46B
-254.21%-2.42B
45.86%1.57B
174.94%1.08B
-65.03%391M
-52.77%1.12B
239.89%2.37B
-473.56%-1.69B
Net PPE purchase and sale
----
----
----
----
----
----
----
----
254.38%2.36B
-9,100.00%-1.53B
Net business purchase and sale
-97.55%9M
1,212.12%367M
-266.67%-33M
-101.50%-9M
47.42%600M
10,075.00%407M
-89.19%4M
640.00%37M
103.09%5M
48.08%-162M
Net investment purchase and sale
-2,459.26%-637M
101.89%27M
40.81%-1.43B
-348.86%-2.41B
44.91%968M
72.61%668M
-64.20%387M
--1.08B
----
----
Cash from discontinued investing activities
Investing cash flow
-259.39%-628M
127.00%394M
39.66%-1.46B
-254.21%-2.42B
45.86%1.57B
174.94%1.08B
-65.03%391M
-52.77%1.12B
239.89%2.37B
-473.56%-1.69B
Financing cash flow
Cash flow from continuing financing activities
-56.06%-682M
16.92%-437M
-201.94%-526M
139.00%516M
-0.30%-1.32B
-177.68%-1.32B
65.53%-475M
-81.08%-1.38B
-33.04%-761M
-220.93%-572M
Net issuance payments of debt
404.05%373M
1,157.14%74M
-101.87%-7M
160.00%375M
-744.33%-625M
-71.97%97M
203.90%346M
-270.77%-333M
--195M
----
Net common stock issuance
-263.11%-443M
---122M
----
--764M
----
-2,683.33%-465M
105.70%18M
-802.22%-316M
-90.34%45M
-66.43%466M
Cash dividends paid
-73.23%-537M
40.27%-310M
-77.74%-519M
62.52%-292M
18.17%-779M
-13.47%-952M
-15.09%-839M
27.17%-729M
3.56%-1B
-15.21%-1.04B
Net other financing activities
5.06%-75M
---79M
----
-508.64%-331M
8,000.00%81M
--1M
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-56.06%-682M
16.92%-437M
-201.94%-526M
139.00%516M
-0.30%-1.32B
-177.68%-1.32B
65.53%-475M
-81.08%-1.38B
-33.04%-761M
-220.93%-572M
Net cash flow
Beginning cash position
44.24%1.35B
-53.77%938M
-12.62%2.03B
36.75%2.32B
26.25%1.7B
-9.12%1.35B
34.06%1.48B
-22.96%1.1B
-52.39%1.43B
75.41%3.01B
Current changes in cash
19.80%490M
137.66%409M
-271.92%-1.09B
-146.65%-292M
81.45%626M
351.82%345M
-136.44%-137M
210.59%376M
78.29%-340M
-224.78%-1.57B
Effect of exchange rate changes
-133.33%-2M
220.00%6M
-400.00%-5M
50.00%-1M
-125.00%-2M
300.00%8M
--2M
----
200.00%11M
-128.21%-11M
End cash Position
36.07%1.84B
44.24%1.35B
-53.77%938M
-12.62%2.03B
36.75%2.32B
26.25%1.7B
-9.12%1.35B
34.06%1.48B
-22.96%1.1B
-52.39%1.43B
Free cash from
298.23%1.8B
-49.72%452M
-44.16%899M
322.57%1.61B
-35.31%381M
1,211.32%589M
-108.33%-53M
132.68%636M
83.98%-1.95B
9.68%-12.15B
(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities 12.63%18.57B11.15%16.48B1.48%14.83B-1.79%14.61B3.54%14.88B6.96%14.37B1.91%13.44B9.74%13.18B6.18%12.01B17.46%11.31B
Other cash income from operating activities 24.75%-1.68B-11.92%-2.23B-6.48%-1.99B-2.52%-1.87B-18.54%-1.82B21.38%-1.54B11.02%-1.96B-10.29%-2.2B26.79%-1.99B-14.42%-2.72B
Cash paid -4.58%-16.77B-15.07%-16.03B-7.14%-13.93B10.31%-13B-5.20%-14.5B-2.17%-13.78B-7.50%-13.49B10.12%-12.55B-31.49%-13.96B-24.09%-10.62B
Other cash payments from operating activities -39.84%-179M-42.22%-128M-7.14%-90M6.67%-84M-2.27%-90M-1.15%-88M-1.16%-87M9.47%-86M6.86%-95M-7.37%-102M
Operating cash flow 298.23%1.8B-49.72%452M-44.16%899M322.57%1.61B-35.31%381M1,211.32%589M-108.33%-53M132.68%636M-378.80%-1.95B-35.19%698M
Investing cash flow
Cash flow from continuing investing activities -259.39%-628M127.00%394M39.66%-1.46B-254.21%-2.42B45.86%1.57B174.94%1.08B-65.03%391M-52.77%1.12B239.89%2.37B-473.56%-1.69B
Net PPE purchase and sale --------------------------------254.38%2.36B-9,100.00%-1.53B
Net business purchase and sale -97.55%9M1,212.12%367M-266.67%-33M-101.50%-9M47.42%600M10,075.00%407M-89.19%4M640.00%37M103.09%5M48.08%-162M
Net investment purchase and sale -2,459.26%-637M101.89%27M40.81%-1.43B-348.86%-2.41B44.91%968M72.61%668M-64.20%387M--1.08B--------
Cash from discontinued investing activities
Investing cash flow -259.39%-628M127.00%394M39.66%-1.46B-254.21%-2.42B45.86%1.57B174.94%1.08B-65.03%391M-52.77%1.12B239.89%2.37B-473.56%-1.69B
Financing cash flow
Cash flow from continuing financing activities -56.06%-682M16.92%-437M-201.94%-526M139.00%516M-0.30%-1.32B-177.68%-1.32B65.53%-475M-81.08%-1.38B-33.04%-761M-220.93%-572M
Net issuance payments of debt 404.05%373M1,157.14%74M-101.87%-7M160.00%375M-744.33%-625M-71.97%97M203.90%346M-270.77%-333M--195M----
Net common stock issuance -263.11%-443M---122M------764M-----2,683.33%-465M105.70%18M-802.22%-316M-90.34%45M-66.43%466M
Cash dividends paid -73.23%-537M40.27%-310M-77.74%-519M62.52%-292M18.17%-779M-13.47%-952M-15.09%-839M27.17%-729M3.56%-1B-15.21%-1.04B
Net other financing activities 5.06%-75M---79M-----508.64%-331M8,000.00%81M--1M----------------
Cash from discontinued financing activities
Financing cash flow -56.06%-682M16.92%-437M-201.94%-526M139.00%516M-0.30%-1.32B-177.68%-1.32B65.53%-475M-81.08%-1.38B-33.04%-761M-220.93%-572M
Net cash flow
Beginning cash position 44.24%1.35B-53.77%938M-12.62%2.03B36.75%2.32B26.25%1.7B-9.12%1.35B34.06%1.48B-22.96%1.1B-52.39%1.43B75.41%3.01B
Current changes in cash 19.80%490M137.66%409M-271.92%-1.09B-146.65%-292M81.45%626M351.82%345M-136.44%-137M210.59%376M78.29%-340M-224.78%-1.57B
Effect of exchange rate changes -133.33%-2M220.00%6M-400.00%-5M50.00%-1M-125.00%-2M300.00%8M--2M----200.00%11M-128.21%-11M
End cash Position 36.07%1.84B44.24%1.35B-53.77%938M-12.62%2.03B36.75%2.32B26.25%1.7B-9.12%1.35B34.06%1.48B-22.96%1.1B-52.39%1.43B
Free cash from 298.23%1.8B-49.72%452M-44.16%899M322.57%1.61B-35.31%381M1,211.32%589M-108.33%-53M132.68%636M83.98%-1.95B9.68%-12.15B

Analysis

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Price Target

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