AU Stock MarketDetailed Quotes

MEZ Meridian Energy Ltd

Watchlist
  • 5.400
  • 0.0000.00%
20min DelayMarket Closed Nov 15 16:00 AET
14.07BMarket Cap35.53P/E (Static)

Meridian Energy Ltd 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
4.25%221M
4.25%221M
-41.60%212M
-41.60%212M
145.27%363M
145.27%363M
-15.91%148M
-15.91%148M
125.64%176M
125.64%176M
-Cash and cash equivalents
4.25%221M
4.25%221M
-41.60%212M
-41.60%212M
145.27%363M
145.27%363M
-15.91%148M
-15.91%148M
125.64%176M
125.64%176M
Receivables
60.48%536M
60.48%536M
-19.71%334M
-19.71%334M
-15.27%416M
-15.27%416M
52.01%491M
52.01%491M
10.62%323M
10.62%323M
-Accounts receivable
62.71%493M
62.71%493M
-28.54%303M
-28.54%303M
-15.20%424M
-15.20%424M
47.49%500M
47.49%500M
14.14%339M
14.14%339M
-Other receivables
34.29%47M
34.29%47M
--35M
--35M
----
----
----
----
----
----
-Recievables adjustments allowances
0.00%-4M
0.00%-4M
50.00%-4M
50.00%-4M
11.11%-8M
11.11%-8M
43.75%-9M
43.75%-9M
-220.00%-16M
-220.00%-16M
Hedging assets-current
65.25%233M
65.25%233M
-39.22%141M
-39.22%141M
20.83%232M
20.83%232M
92.00%192M
92.00%192M
-15.25%100M
-15.25%100M
Other current assets
1.67%61M
1.67%61M
-9.09%60M
-9.09%60M
-23.26%66M
-23.26%66M
30.30%86M
30.30%86M
22.22%66M
22.22%66M
Total current assets
40.70%1.05B
40.70%1.05B
-30.64%747M
-30.64%747M
17.45%1.08B
17.45%1.08B
37.89%917M
37.89%917M
22.69%665M
22.69%665M
Non current assets
Net PPE
35.63%12.19B
35.63%12.19B
14.80%8.99B
14.80%8.99B
-8.93%7.83B
-8.93%7.83B
0.05%8.6B
0.05%8.6B
-2.62%8.59B
-2.62%8.59B
-Gross PPE
34.97%12.29B
34.97%12.29B
14.47%9.11B
14.47%9.11B
-9.06%7.95B
-9.06%7.95B
-2.36%8.75B
-2.36%8.75B
0.32%8.96B
0.32%8.96B
-Accumulated depreciation
16.38%-97M
16.38%-97M
6.45%-116M
6.45%-116M
16.22%-124M
16.22%-124M
59.23%-148M
59.23%-148M
-252.43%-363M
-252.43%-363M
Financial assets
5.16%224M
5.16%224M
-43.50%213M
-43.50%213M
76.17%377M
76.17%377M
-19.25%214M
-19.25%214M
38.74%265M
38.74%265M
Goodwill and other intangible assets
-15.07%62M
-15.07%62M
-14.12%73M
-14.12%73M
1.19%85M
1.19%85M
29.23%84M
29.23%84M
10.17%65M
10.17%65M
-Goodwill
----
----
----
----
----
----
----
----
--5M
--5M
-Other intangible assets
-15.07%62M
-15.07%62M
-14.12%73M
-14.12%73M
1.19%85M
1.19%85M
40.00%84M
40.00%84M
1.69%60M
1.69%60M
Non current deferred assets
----
----
----
----
----
----
2.94%35M
2.94%35M
-15.00%34M
-15.00%34M
Other non current assets
--14M
--14M
----
----
----
----
--8M
--8M
----
----
Total non current assets
34.68%12.49B
34.68%12.49B
11.85%9.28B
11.85%9.28B
-7.24%8.29B
-7.24%8.29B
-0.21%8.94B
-0.21%8.94B
-1.72%8.96B
-1.72%8.96B
Total assets
35.13%13.54B
35.13%13.54B
6.97%10.02B
6.97%10.02B
-4.94%9.37B
-4.94%9.37B
2.42%9.86B
2.42%9.86B
-0.35%9.62B
-0.35%9.62B
Liabilities
Current liabilities
Current debt and capital lease obligation
9.22%237M
9.22%237M
33.13%217M
33.13%217M
-57.66%163M
-57.66%163M
305.26%385M
305.26%385M
-43.45%95M
-43.45%95M
-Current debt
9.35%234M
9.35%234M
34.59%214M
34.59%214M
-57.94%159M
-57.94%159M
329.55%378M
329.55%378M
-47.31%88M
-47.31%88M
-Current capital lease obligation
0.00%3M
0.00%3M
-25.00%3M
-25.00%3M
-42.86%4M
-42.86%4M
0.00%7M
0.00%7M
600.00%7M
600.00%7M
Payables
60.51%565M
60.51%565M
-25.11%352M
-25.11%352M
-18.54%470M
-18.54%470M
58.52%577M
58.52%577M
20.13%364M
20.13%364M
-Other payable
60.51%565M
60.51%565M
-25.11%352M
-25.11%352M
-18.54%470M
-18.54%470M
58.52%577M
58.52%577M
20.13%364M
20.13%364M
Current provisions
21.13%86M
21.13%86M
136.67%71M
136.67%71M
-52.38%30M
-52.38%30M
0.00%63M
0.00%63M
75.00%63M
75.00%63M
Pension and other retirement benefit plans
5.00%21M
5.00%21M
11.11%20M
11.11%20M
-28.00%18M
-28.00%18M
4.17%25M
4.17%25M
41.18%24M
41.18%24M
Current deferred liabilities
84.78%85M
84.78%85M
43.75%46M
43.75%46M
-13.51%32M
-13.51%32M
-53.16%37M
-53.16%37M
-1.25%79M
-1.25%79M
Other current liabilities
-28.57%10M
-28.57%10M
7.69%14M
7.69%14M
-43.48%13M
-43.48%13M
0.00%23M
0.00%23M
43.75%23M
43.75%23M
Current liabilities
39.44%1B
39.44%1B
-0.83%720M
-0.83%720M
-34.59%726M
-34.59%726M
71.30%1.11B
71.30%1.11B
4.52%648M
4.52%648M
Non current liabilities
Long term debt and capital lease obligation
8.99%1.14B
8.99%1.14B
0.48%1.05B
0.48%1.05B
-25.00%1.04B
-25.00%1.04B
-18.21%1.39B
-18.21%1.39B
27.21%1.7B
27.21%1.7B
-Long term debt
8.90%1.11B
8.90%1.11B
1.79%1.02B
1.79%1.02B
-22.65%1B
-22.65%1B
-18.88%1.3B
-18.88%1.3B
22.79%1.6B
22.79%1.6B
-Long term capital lease obligation
12.50%27M
12.50%27M
-35.14%24M
-35.14%24M
-58.89%37M
-58.89%37M
-7.22%90M
-7.22%90M
212.90%97M
212.90%97M
Long term accounts payable and other payables
12.73%62M
12.73%62M
1.85%55M
1.85%55M
35.00%54M
35.00%54M
-18.37%40M
-18.37%40M
-18.33%49M
-18.33%49M
Derivative product liabilities
27.93%142M
27.93%142M
19.35%111M
19.35%111M
-29.01%93M
-29.01%93M
-53.05%131M
-53.05%131M
33.49%279M
33.49%279M
Long term provisions
----
----
----
----
----
----
35.29%23M
35.29%23M
88.89%17M
88.89%17M
Non current deferred liabilities
40.23%2.95B
40.23%2.95B
8.85%2.1B
8.85%2.1B
-0.41%1.93B
-0.41%1.93B
4.86%1.94B
4.86%1.94B
-6.00%1.85B
-6.00%1.85B
Total non current liabilities
29.50%4.29B
29.50%4.29B
6.25%3.32B
6.25%3.32B
-11.41%3.12B
-11.41%3.12B
-9.51%3.52B
-9.51%3.52B
8.72%3.89B
8.72%3.89B
Total liabilities
31.28%5.3B
31.28%5.3B
4.91%4.04B
4.91%4.04B
-16.97%3.85B
-16.97%3.85B
2.03%4.63B
2.03%4.63B
8.10%4.54B
8.10%4.54B
Shareholders'equity
Share capital
1.71%1.73B
1.71%1.73B
1.74%1.7B
1.74%1.7B
4.76%1.67B
4.76%1.67B
-0.19%1.6B
-0.19%1.6B
-0.06%1.6B
-0.06%1.6B
-common stock
1.71%1.73B
1.71%1.73B
1.74%1.7B
1.74%1.7B
4.76%1.67B
4.76%1.67B
-0.19%1.6B
-0.19%1.6B
-0.06%1.6B
-0.06%1.6B
Retained earnings
-1.94%-1.63B
-1.94%-1.63B
-28.82%-1.6B
-28.82%-1.6B
19.77%-1.24B
19.77%-1.24B
-0.45%-1.55B
-0.45%-1.55B
-31.60%-1.54B
-31.60%-1.54B
Gains losses not affecting retained earnings
38.41%8.15B
38.41%8.15B
15.57%5.89B
15.57%5.89B
-1.60%5.09B
-1.60%5.09B
3.00%5.18B
3.00%5.18B
-0.06%5.03B
-0.06%5.03B
Total stockholders'equity
37.73%8.25B
37.73%8.25B
8.40%5.99B
8.40%5.99B
5.72%5.52B
5.72%5.52B
2.77%5.22B
2.77%5.22B
-6.85%5.08B
-6.85%5.08B
Total equity
37.73%8.25B
37.73%8.25B
8.40%5.99B
8.40%5.99B
5.72%5.52B
5.72%5.52B
2.77%5.22B
2.77%5.22B
-6.85%5.08B
-6.85%5.08B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(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 4.25%221M4.25%221M-41.60%212M-41.60%212M145.27%363M145.27%363M-15.91%148M-15.91%148M125.64%176M125.64%176M
-Cash and cash equivalents 4.25%221M4.25%221M-41.60%212M-41.60%212M145.27%363M145.27%363M-15.91%148M-15.91%148M125.64%176M125.64%176M
Receivables 60.48%536M60.48%536M-19.71%334M-19.71%334M-15.27%416M-15.27%416M52.01%491M52.01%491M10.62%323M10.62%323M
-Accounts receivable 62.71%493M62.71%493M-28.54%303M-28.54%303M-15.20%424M-15.20%424M47.49%500M47.49%500M14.14%339M14.14%339M
-Other receivables 34.29%47M34.29%47M--35M--35M------------------------
-Recievables adjustments allowances 0.00%-4M0.00%-4M50.00%-4M50.00%-4M11.11%-8M11.11%-8M43.75%-9M43.75%-9M-220.00%-16M-220.00%-16M
Hedging assets-current 65.25%233M65.25%233M-39.22%141M-39.22%141M20.83%232M20.83%232M92.00%192M92.00%192M-15.25%100M-15.25%100M
Other current assets 1.67%61M1.67%61M-9.09%60M-9.09%60M-23.26%66M-23.26%66M30.30%86M30.30%86M22.22%66M22.22%66M
Total current assets 40.70%1.05B40.70%1.05B-30.64%747M-30.64%747M17.45%1.08B17.45%1.08B37.89%917M37.89%917M22.69%665M22.69%665M
Non current assets
Net PPE 35.63%12.19B35.63%12.19B14.80%8.99B14.80%8.99B-8.93%7.83B-8.93%7.83B0.05%8.6B0.05%8.6B-2.62%8.59B-2.62%8.59B
-Gross PPE 34.97%12.29B34.97%12.29B14.47%9.11B14.47%9.11B-9.06%7.95B-9.06%7.95B-2.36%8.75B-2.36%8.75B0.32%8.96B0.32%8.96B
-Accumulated depreciation 16.38%-97M16.38%-97M6.45%-116M6.45%-116M16.22%-124M16.22%-124M59.23%-148M59.23%-148M-252.43%-363M-252.43%-363M
Financial assets 5.16%224M5.16%224M-43.50%213M-43.50%213M76.17%377M76.17%377M-19.25%214M-19.25%214M38.74%265M38.74%265M
Goodwill and other intangible assets -15.07%62M-15.07%62M-14.12%73M-14.12%73M1.19%85M1.19%85M29.23%84M29.23%84M10.17%65M10.17%65M
-Goodwill ----------------------------------5M--5M
-Other intangible assets -15.07%62M-15.07%62M-14.12%73M-14.12%73M1.19%85M1.19%85M40.00%84M40.00%84M1.69%60M1.69%60M
Non current deferred assets ------------------------2.94%35M2.94%35M-15.00%34M-15.00%34M
Other non current assets --14M--14M------------------8M--8M--------
Total non current assets 34.68%12.49B34.68%12.49B11.85%9.28B11.85%9.28B-7.24%8.29B-7.24%8.29B-0.21%8.94B-0.21%8.94B-1.72%8.96B-1.72%8.96B
Total assets 35.13%13.54B35.13%13.54B6.97%10.02B6.97%10.02B-4.94%9.37B-4.94%9.37B2.42%9.86B2.42%9.86B-0.35%9.62B-0.35%9.62B
Liabilities
Current liabilities
Current debt and capital lease obligation 9.22%237M9.22%237M33.13%217M33.13%217M-57.66%163M-57.66%163M305.26%385M305.26%385M-43.45%95M-43.45%95M
-Current debt 9.35%234M9.35%234M34.59%214M34.59%214M-57.94%159M-57.94%159M329.55%378M329.55%378M-47.31%88M-47.31%88M
-Current capital lease obligation 0.00%3M0.00%3M-25.00%3M-25.00%3M-42.86%4M-42.86%4M0.00%7M0.00%7M600.00%7M600.00%7M
Payables 60.51%565M60.51%565M-25.11%352M-25.11%352M-18.54%470M-18.54%470M58.52%577M58.52%577M20.13%364M20.13%364M
-Other payable 60.51%565M60.51%565M-25.11%352M-25.11%352M-18.54%470M-18.54%470M58.52%577M58.52%577M20.13%364M20.13%364M
Current provisions 21.13%86M21.13%86M136.67%71M136.67%71M-52.38%30M-52.38%30M0.00%63M0.00%63M75.00%63M75.00%63M
Pension and other retirement benefit plans 5.00%21M5.00%21M11.11%20M11.11%20M-28.00%18M-28.00%18M4.17%25M4.17%25M41.18%24M41.18%24M
Current deferred liabilities 84.78%85M84.78%85M43.75%46M43.75%46M-13.51%32M-13.51%32M-53.16%37M-53.16%37M-1.25%79M-1.25%79M
Other current liabilities -28.57%10M-28.57%10M7.69%14M7.69%14M-43.48%13M-43.48%13M0.00%23M0.00%23M43.75%23M43.75%23M
Current liabilities 39.44%1B39.44%1B-0.83%720M-0.83%720M-34.59%726M-34.59%726M71.30%1.11B71.30%1.11B4.52%648M4.52%648M
Non current liabilities
Long term debt and capital lease obligation 8.99%1.14B8.99%1.14B0.48%1.05B0.48%1.05B-25.00%1.04B-25.00%1.04B-18.21%1.39B-18.21%1.39B27.21%1.7B27.21%1.7B
-Long term debt 8.90%1.11B8.90%1.11B1.79%1.02B1.79%1.02B-22.65%1B-22.65%1B-18.88%1.3B-18.88%1.3B22.79%1.6B22.79%1.6B
-Long term capital lease obligation 12.50%27M12.50%27M-35.14%24M-35.14%24M-58.89%37M-58.89%37M-7.22%90M-7.22%90M212.90%97M212.90%97M
Long term accounts payable and other payables 12.73%62M12.73%62M1.85%55M1.85%55M35.00%54M35.00%54M-18.37%40M-18.37%40M-18.33%49M-18.33%49M
Derivative product liabilities 27.93%142M27.93%142M19.35%111M19.35%111M-29.01%93M-29.01%93M-53.05%131M-53.05%131M33.49%279M33.49%279M
Long term provisions ------------------------35.29%23M35.29%23M88.89%17M88.89%17M
Non current deferred liabilities 40.23%2.95B40.23%2.95B8.85%2.1B8.85%2.1B-0.41%1.93B-0.41%1.93B4.86%1.94B4.86%1.94B-6.00%1.85B-6.00%1.85B
Total non current liabilities 29.50%4.29B29.50%4.29B6.25%3.32B6.25%3.32B-11.41%3.12B-11.41%3.12B-9.51%3.52B-9.51%3.52B8.72%3.89B8.72%3.89B
Total liabilities 31.28%5.3B31.28%5.3B4.91%4.04B4.91%4.04B-16.97%3.85B-16.97%3.85B2.03%4.63B2.03%4.63B8.10%4.54B8.10%4.54B
Shareholders'equity
Share capital 1.71%1.73B1.71%1.73B1.74%1.7B1.74%1.7B4.76%1.67B4.76%1.67B-0.19%1.6B-0.19%1.6B-0.06%1.6B-0.06%1.6B
-common stock 1.71%1.73B1.71%1.73B1.74%1.7B1.74%1.7B4.76%1.67B4.76%1.67B-0.19%1.6B-0.19%1.6B-0.06%1.6B-0.06%1.6B
Retained earnings -1.94%-1.63B-1.94%-1.63B-28.82%-1.6B-28.82%-1.6B19.77%-1.24B19.77%-1.24B-0.45%-1.55B-0.45%-1.55B-31.60%-1.54B-31.60%-1.54B
Gains losses not affecting retained earnings 38.41%8.15B38.41%8.15B15.57%5.89B15.57%5.89B-1.60%5.09B-1.60%5.09B3.00%5.18B3.00%5.18B-0.06%5.03B-0.06%5.03B
Total stockholders'equity 37.73%8.25B37.73%8.25B8.40%5.99B8.40%5.99B5.72%5.52B5.72%5.52B2.77%5.22B2.77%5.22B-6.85%5.08B-6.85%5.08B
Total equity 37.73%8.25B37.73%8.25B8.40%5.99B8.40%5.99B5.72%5.52B5.72%5.52B2.77%5.22B2.77%5.22B-6.85%5.08B-6.85%5.08B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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