Westpac Banking Corp
WBC
CommBank
CBA
Fortescue Ltd
FMG
Rio Tinto Ltd
RIO
National Australia Bank Ltd
NAB
(FY)Mar 30, 2024 | (Q4)Mar 30, 2024 | (FY)Mar 30, 2023 | (Q4)Mar 30, 2023 | (FY)Mar 30, 2022 | (Q4)Mar 30, 2022 | (FY)Mar 30, 2021 | (Q4)Mar 30, 2021 | (FY)Mar 30, 2020 | (Q4)Mar 30, 2020 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -69.50%236.2M | -69.50%236.2M | -8.99%774.5M | -8.99%774.5M | 536.02%851M | 536.02%851M | -81.68%133.8M | -81.68%133.8M | 76.27%730.3M | 76.27%730.3M |
-Cash and cash equivalents | -69.50%236.2M | -69.50%236.2M | -8.99%774.5M | -8.99%774.5M | 536.02%851M | 536.02%851M | -81.68%133.8M | -81.68%133.8M | 76.27%730.3M | 76.27%730.3M |
Receivables | 140.92%315.6M | 140.92%315.6M | -24.36%131M | -24.36%131M | 91.59%173.2M | 91.59%173.2M | 11.74%90.4M | 11.74%90.4M | 14.27%80.9M | 14.27%80.9M |
-Accounts receivable | 276.94%408.6M | 276.94%408.6M | -37.41%108.4M | -37.41%108.4M | 58.32%173.2M | 58.32%173.2M | 3.31%109.4M | 3.31%109.4M | 43.89%105.9M | 43.89%105.9M |
-Other receivables | -363.61%-77.5M | -363.61%-77.5M | --29.4M | --29.4M | ---- | ---- | 27.81%-13.5M | 27.81%-13.5M | ---18.7M | ---18.7M |
-Recievables adjustments allowances | -127.94%-15.5M | -127.94%-15.5M | ---6.8M | ---6.8M | ---- | ---- | 12.70%-5.5M | 12.70%-5.5M | -125.00%-6.3M | -125.00%-6.3M |
Inventory | 1,908.70%46.2M | 1,908.70%46.2M | 15.00%2.3M | 15.00%2.3M | 5.26%2M | 5.26%2M | --1.9M | --1.9M | ---- | ---- |
Prepaid assets | 146.47%157M | 146.47%157M | --63.7M | --63.7M | ---- | ---- | 139.62%225M | 139.62%225M | -47.28%93.9M | -47.28%93.9M |
Current deferred assets | 17.58%10.7M | 17.58%10.7M | -26.02%9.1M | -26.02%9.1M | -30.11%12.3M | -30.11%12.3M | 89.25%17.6M | 89.25%17.6M | 675.00%9.3M | 675.00%9.3M |
Hedging assets-current | 359.68%116.3M | 359.68%116.3M | -61.26%25.3M | -61.26%25.3M | -14.30%65.3M | -14.30%65.3M | 303.17%76.2M | 303.17%76.2M | 6.18%18.9M | 6.18%18.9M |
Holding assets for sale | -1.12%167.9M | -1.12%167.9M | -12.83%169.8M | -12.83%169.8M | -91.36%194.8M | -91.36%194.8M | --2.25B | --2.25B | ---- | ---- |
Other current assets | --30M | --30M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total current assets | -8.15%1.08B | -8.15%1.08B | -9.46%1.18B | -9.46%1.18B | -53.59%1.3B | -53.59%1.3B | 199.83%2.8B | 199.83%2.8B | -22.48%933.3M | -22.48%933.3M |
Non current assets | ||||||||||
Net PPE | 57.44%5.86B | 57.44%5.86B | 4.52%3.72B | 4.52%3.72B | 6.14%3.56B | 6.14%3.56B | -18.58%3.35B | -18.58%3.35B | -1.95%4.12B | -1.95%4.12B |
-Gross PPE | 61.10%6.3B | 61.10%6.3B | 3.33%3.91B | 3.33%3.91B | 7.55%3.79B | 7.55%3.79B | -18.84%3.52B | -18.84%3.52B | -2.92%4.34B | -2.92%4.34B |
-Accumulated depreciation | -132.58%-443.3M | -132.58%-443.3M | 15.44%-190.6M | 15.44%-190.6M | -36.03%-225.4M | -36.03%-225.4M | 23.92%-165.7M | 23.92%-165.7M | 18.15%-217.8M | 18.15%-217.8M |
Investments and advances | 12.97%3.49B | 12.97%3.49B | 3.95%3.09B | 3.95%3.09B | 20.58%2.98B | 20.58%2.98B | 7.30%2.47B | 7.30%2.47B | 124.57%2.3B | 124.57%2.3B |
-Long term equity investment | 12.70%3.18B | 12.70%3.18B | 8.60%2.82B | 8.60%2.82B | 22.02%2.6B | 22.02%2.6B | 8.41%2.13B | 8.41%2.13B | 129.06%1.96B | 129.06%1.96B |
-Other investment | 15.76%318.1M | 15.76%318.1M | -27.78%274.8M | -27.78%274.8M | 11.58%380.5M | 11.58%380.5M | 0.86%341M | 0.86%341M | 101.61%338.1M | 101.61%338.1M |
Financial assets | -62.68%77.4M | -62.68%77.4M | 156.37%207.4M | 156.37%207.4M | -12.07%80.9M | -12.07%80.9M | 40.46%92M | 40.46%92M | -58.20%65.5M | -58.20%65.5M |
Non current accounts receivable | 372.56%77.5M | 372.56%77.5M | 112.99%16.4M | 112.99%16.4M | -42.96%7.7M | -42.96%7.7M | -27.81%13.5M | -27.81%13.5M | --18.7M | --18.7M |
Goodwill and other intangible assets | 179.62%5.52B | 179.62%5.52B | 2.40%1.97B | 2.40%1.97B | 137.70%1.93B | 137.70%1.93B | 447.44%811.3M | 447.44%811.3M | 1.02%148.2M | 1.02%148.2M |
-Goodwill | 153.34%4.68B | 153.34%4.68B | 2.15%1.85B | 2.15%1.85B | 134.49%1.81B | 134.49%1.81B | 581.43%770.7M | 581.43%770.7M | -0.09%113.1M | -0.09%113.1M |
-Other intangible assets | 556.49%844.9M | 556.49%844.9M | 6.10%128.7M | 6.10%128.7M | 198.77%121.3M | 198.77%121.3M | 15.67%40.6M | 15.67%40.6M | 4.78%35.1M | 4.78%35.1M |
Other non current assets | ---- | ---- | ---100K | ---100K | ---- | ---- | ---- | ---- | ---- | ---- |
Total non current assets | 66.76%15.03B | 66.76%15.03B | 5.38%9.01B | 5.38%9.01B | 26.92%8.55B | 26.92%8.55B | 1.31%6.74B | 1.31%6.74B | 20.31%6.65B | 20.31%6.65B |
Total assets | 58.11%16.11B | 58.11%16.11B | 3.42%10.19B | 3.42%10.19B | 3.30%9.85B | 3.30%9.85B | 25.74%9.54B | 25.74%9.54B | 12.65%7.59B | 12.65%7.59B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -20.19%567.1M | -20.19%567.1M | 27.03%710.6M | 27.03%710.6M | 52.76%559.4M | 52.76%559.4M | 101.76%366.2M | 101.76%366.2M | -68.88%181.5M | -68.88%181.5M |
-Current debt | -29.77%485.7M | -29.77%485.7M | 28.86%691.6M | 28.86%691.6M | 55.16%536.7M | 55.16%536.7M | 116.59%345.9M | 116.59%345.9M | -72.62%159.7M | -72.62%159.7M |
-Current capital lease obligation | 328.42%81.4M | 328.42%81.4M | -16.30%19M | -16.30%19M | 11.82%22.7M | 11.82%22.7M | -6.88%20.3M | -6.88%20.3M | --21.8M | --21.8M |
Payables | 146.01%890.3M | 146.01%890.3M | -18.84%361.9M | -18.84%361.9M | 45.81%445.9M | 45.81%445.9M | 34.54%305.8M | 34.54%305.8M | -17.19%227.3M | -17.19%227.3M |
-accounts payable | 146.01%890.3M | 146.01%890.3M | -18.84%361.9M | -18.84%361.9M | 45.81%445.9M | 45.81%445.9M | 34.54%305.8M | 34.54%305.8M | -17.19%227.3M | -17.19%227.3M |
Current provisions | 143.78%90.2M | 143.78%90.2M | -23.40%37M | -23.40%37M | -45.85%48.3M | -45.85%48.3M | 1,015.00%89.2M | 1,015.00%89.2M | -75.16%8M | -75.16%8M |
Current deferred liabilities | -63.16%2.1M | -63.16%2.1M | -39.36%5.7M | -39.36%5.7M | 129.27%9.4M | 129.27%9.4M | -10.87%4.1M | -10.87%4.1M | -50.54%4.6M | -50.54%4.6M |
Other current liabilities | -1.14%69.3M | -1.14%69.3M | 37.72%70.1M | 37.72%70.1M | -94.39%50.9M | -94.39%50.9M | --906.7M | --906.7M | ---- | ---- |
Current liabilities | 36.59%1.62B | 36.59%1.62B | 6.41%1.19B | 6.41%1.19B | -33.38%1.11B | -33.38%1.11B | 296.77%1.67B | 296.77%1.67B | -59.69%421.4M | -59.69%421.4M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 134.62%6.29B | 134.62%6.29B | -14.01%2.68B | -14.01%2.68B | -3.89%3.12B | -3.89%3.12B | -1.73%3.24B | -1.73%3.24B | 38.23%3.3B | 38.23%3.3B |
-Long term debt | 109.58%5.22B | 109.58%5.22B | -13.81%2.49B | -13.81%2.49B | -5.57%2.89B | -5.57%2.89B | -0.46%3.06B | -0.46%3.06B | 28.80%3.08B | 28.80%3.08B |
-Long term capital lease obligation | 464.48%1.07B | 464.48%1.07B | -16.50%189.2M | -16.50%189.2M | 24.30%226.6M | 24.30%226.6M | -19.01%182.3M | -19.01%182.3M | --225.1M | --225.1M |
Long term accounts payable and other payables | 35.69%241.4M | 35.69%241.4M | --177.9M | --177.9M | ---- | ---- | ---- | ---- | ---- | ---- |
Derivative product liabilities | -25.75%59.4M | -25.75%59.4M | 13.48%80M | 13.48%80M | 5.38%70.5M | 5.38%70.5M | -44.85%66.9M | -44.85%66.9M | 42.20%121.3M | 42.20%121.3M |
Non current deferred liabilities | 70.28%432M | 70.28%432M | -1.44%253.7M | -1.44%253.7M | -4.45%257.4M | -4.45%257.4M | -14.37%269.4M | -14.37%269.4M | -28.90%314.6M | -28.90%314.6M |
Other non current liabilities | ---- | ---- | ---- | ---- | -22.57%151.3M | -22.57%151.3M | 125.90%195.4M | 125.90%195.4M | 233.98%86.5M | 233.98%86.5M |
Total non current liabilities | 119.98%7.02B | 119.98%7.02B | -11.24%3.19B | -11.24%3.19B | -4.74%3.6B | -4.74%3.6B | -1.25%3.78B | -1.25%3.78B | 29.97%3.82B | 29.97%3.82B |
Total liabilities | 97.40%8.64B | 97.40%8.64B | -7.07%4.38B | -7.07%4.38B | -13.53%4.71B | -13.53%4.71B | 28.33%5.45B | 28.33%5.45B | 6.46%4.25B | 6.46%4.25B |
Shareholders'equity | ||||||||||
Share capital | 93.31%2.04B | 93.31%2.04B | 0.00%1.06B | 0.00%1.06B | 0.79%1.06B | 0.79%1.06B | 38.96%1.05B | 38.96%1.05B | 108.65%754.9M | 108.65%754.9M |
-common stock | 93.31%2.04B | 93.31%2.04B | 0.00%1.06B | 0.00%1.06B | 0.79%1.06B | 0.79%1.06B | 38.96%1.05B | 38.96%1.05B | 108.65%754.9M | 108.65%754.9M |
Retained earnings | 27.80%3.24B | 27.80%3.24B | 25.03%2.53B | 25.03%2.53B | 175.62%2.03B | 175.62%2.03B | -18.50%735.5M | -18.50%735.5M | 28.42%902.4M | 28.42%902.4M |
Gains losses not affecting retained earnings | 3.21%636M | 3.21%636M | -2.10%616.2M | -2.10%616.2M | -26.77%629.4M | -26.77%629.4M | 80.99%859.5M | 80.99%859.5M | -18.49%474.9M | -18.49%474.9M |
Total stockholders'equity | 40.66%5.92B | 40.66%5.92B | 13.31%4.21B | 13.31%4.21B | 40.47%3.71B | 40.47%3.71B | 24.00%2.64B | 24.00%2.64B | 29.45%2.13B | 29.45%2.13B |
Noncontrolling interests | -3.38%1.55B | -3.38%1.55B | 12.32%1.6B | 12.32%1.6B | -1.27%1.43B | -1.27%1.43B | 19.67%1.45B | 19.67%1.45B | 9.94%1.21B | 9.94%1.21B |
Total equity | 28.51%7.47B | 28.51%7.47B | 13.03%5.81B | 13.03%5.81B | 25.71%5.14B | 25.71%5.14B | 22.43%4.09B | 22.43%4.09B | 21.65%3.34B | 21.65%3.34B |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |