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MGR Mirvac Group

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  • 1.995
  • -0.025-1.24%
20min DelayNot Open Dec 13 16:00 AET
7.87BMarket Cap-9.78P/E (Static)

Mirvac Group 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
174.59%335M
174.59%335M
-78.14%122M
-78.14%122M
376.92%558M
376.92%558M
-63.89%117M
-63.89%117M
141.79%324M
141.79%324M
-Cash and cash equivalents
174.59%335M
174.59%335M
-78.14%122M
-78.14%122M
376.92%558M
376.92%558M
-63.89%117M
-63.89%117M
141.79%324M
141.79%324M
Receivables
135.26%407M
135.26%407M
20.14%173M
20.14%173M
23.08%144M
23.08%144M
-57.45%117M
-57.45%117M
15.06%275M
15.06%275M
-Accounts receivable
64.29%69M
64.29%69M
5.00%42M
5.00%42M
-59.18%40M
-59.18%40M
-1.01%98M
-1.01%98M
52.31%99M
52.31%99M
-Other receivables
143.26%343M
143.26%343M
14.63%141M
14.63%141M
32.26%123M
32.26%123M
-63.67%93M
-63.67%93M
44.63%256M
44.63%256M
-Recievables adjustments allowances
50.00%-5M
50.00%-5M
47.37%-10M
47.37%-10M
74.32%-19M
74.32%-19M
7.50%-74M
7.50%-74M
-2,566.67%-80M
-2,566.67%-80M
Inventory
-10.31%1.35B
-10.31%1.35B
141.80%1.5B
141.80%1.5B
-1.58%622M
-1.58%622M
42.34%632M
42.34%632M
-28.50%444M
-28.50%444M
Current deferred assets
--30M
--30M
----
----
----
----
----
----
----
----
Hedging assets-current
177.27%61M
177.27%61M
-65.08%22M
-65.08%22M
--63M
--63M
----
----
----
----
Holding assets for sale
-60.47%300M
-60.47%300M
--759M
--759M
----
----
--133M
--133M
----
----
Other current assets
14.29%48M
14.29%48M
0.00%42M
0.00%42M
-2.33%42M
-2.33%42M
16.22%43M
16.22%43M
-13.95%37M
-13.95%37M
Total current assets
-3.51%2.53B
-3.51%2.53B
83.48%2.62B
83.48%2.62B
37.14%1.43B
37.14%1.43B
-3.52%1.04B
-3.52%1.04B
4.15%1.08B
4.15%1.08B
Non current assets
Net PPE
-25.81%23M
-25.81%23M
-24.39%31M
-24.39%31M
46.43%41M
46.43%41M
-26.32%28M
-26.32%28M
-11.63%38M
-11.63%38M
-Gross PPE
-25.81%23M
-25.81%23M
-24.39%31M
-24.39%31M
46.43%41M
46.43%41M
-26.32%28M
-26.32%28M
-11.63%38M
-11.63%38M
Investment properties
-10.42%8.74B
-10.42%8.74B
-19.99%9.75B
-19.99%9.75B
3.11%12.19B
3.11%12.19B
5.86%11.82B
5.86%11.82B
4.95%11.17B
4.95%11.17B
Investments and advances
9.85%2.61B
9.85%2.61B
52.90%2.38B
52.90%2.38B
80.49%1.55B
80.49%1.55B
6.03%861M
6.03%861M
-14.07%812M
-14.07%812M
-Long term equity investment
10.56%2.55B
10.56%2.55B
55.44%2.3B
55.44%2.3B
89.14%1.48B
89.14%1.48B
5.24%783M
5.24%783M
-15.93%744M
-15.93%744M
-Other investment
-12.16%65M
-12.16%65M
1.37%74M
1.37%74M
-6.41%73M
-6.41%73M
14.71%78M
14.71%78M
13.33%68M
13.33%68M
Financial assets
-8.89%164M
-8.89%164M
1.12%180M
1.12%180M
-28.23%178M
-28.23%178M
-59.14%248M
-59.14%248M
86.77%607M
86.77%607M
Non current accounts receivable
-77.36%12M
-77.36%12M
76.67%53M
76.67%53M
-69.07%30M
-69.07%30M
-24.22%97M
-24.22%97M
-17.95%128M
-17.95%128M
Goodwill and other intangible assets
-3.85%75M
-3.85%75M
-1.27%78M
-1.27%78M
1.28%79M
1.28%79M
-23.53%78M
-23.53%78M
29.11%102M
29.11%102M
-Goodwill
0.00%67M
0.00%67M
--67M
--67M
----
----
0.00%67M
0.00%67M
0.00%67M
0.00%67M
-Other intangible assets
-27.27%8M
-27.27%8M
-86.08%11M
-86.08%11M
618.18%79M
618.18%79M
-68.57%11M
-68.57%11M
191.67%35M
191.67%35M
Non current deferred assets
----
----
176.47%47M
176.47%47M
-69.09%17M
-69.09%17M
-26.67%55M
-26.67%55M
-82.80%75M
-82.80%75M
Other non current assets
-19.35%1.41B
-19.35%1.41B
3.20%1.74B
3.20%1.74B
0.30%1.69B
0.30%1.69B
20.39%1.68B
20.39%1.68B
25.95%1.4B
25.95%1.4B
Total non current assets
-8.65%13.03B
-8.65%13.03B
-9.61%14.26B
-9.61%14.26B
6.09%15.78B
6.09%15.78B
3.80%14.87B
3.80%14.87B
4.32%14.33B
4.32%14.33B
Total assets
-7.85%15.56B
-7.85%15.56B
-1.88%16.88B
-1.88%16.88B
8.12%17.21B
8.12%17.21B
3.28%15.91B
3.28%15.91B
4.31%15.41B
4.31%15.41B
Liabilities
Current liabilities
Current debt and capital lease obligation
-26.36%190M
-26.36%190M
-10.73%258M
-10.73%258M
7,125.00%289M
7,125.00%289M
-98.04%4M
-98.04%4M
--204M
--204M
-Current debt
-27.60%181M
-27.60%181M
-11.03%250M
-11.03%250M
--281M
--281M
----
----
--200M
--200M
-Current capital lease obligation
12.50%9M
12.50%9M
0.00%8M
0.00%8M
100.00%8M
100.00%8M
0.00%4M
0.00%4M
--4M
--4M
Payables
21.60%1.39B
21.60%1.39B
22.21%1.14B
22.21%1.14B
32.39%932M
32.39%932M
43.67%704M
43.67%704M
-30.00%490M
-30.00%490M
-accounts payable
7.35%73M
7.35%73M
44.68%68M
44.68%68M
-6.00%47M
-6.00%47M
-48.45%50M
-48.45%50M
-31.69%97M
-31.69%97M
-Dividends payable
12.92%236M
12.92%236M
3.47%209M
3.47%209M
0.50%202M
0.50%202M
71.79%201M
71.79%201M
-52.44%117M
-52.44%117M
-Other payable
24.83%1.08B
24.83%1.08B
26.21%862M
26.21%862M
50.77%683M
50.77%683M
64.13%453M
64.13%453M
-11.54%276M
-11.54%276M
Current provisions
71.11%77M
71.11%77M
200.00%45M
200.00%45M
7.14%15M
7.14%15M
-17.65%14M
-17.65%14M
183.33%17M
183.33%17M
Pension and other retirement benefit plans
6.67%16M
6.67%16M
0.00%15M
0.00%15M
15.38%15M
15.38%15M
8.33%13M
8.33%13M
9.09%12M
9.09%12M
Current deferred liabilities
-63.64%16M
-63.64%16M
-25.42%44M
-25.42%44M
9.26%59M
9.26%59M
107.69%54M
107.69%54M
-85.64%26M
-85.64%26M
Current liabilities
12.19%1.68B
12.19%1.68B
14.58%1.5B
14.58%1.5B
66.03%1.31B
66.03%1.31B
5.34%789M
5.34%789M
-16.59%749M
-16.59%749M
Non current liabilities
Long term debt and capital lease obligation
0.19%4.29B
0.19%4.29B
7.00%4.28B
7.00%4.28B
0.40%4B
0.40%4B
-4.37%3.99B
-4.37%3.99B
20.88%4.17B
20.88%4.17B
-Long term debt
0.40%4.24B
0.40%4.24B
7.53%4.23B
7.53%4.23B
0.20%3.93B
0.20%3.93B
-4.34%3.92B
-4.34%3.92B
18.91%4.1B
18.91%4.1B
-Long term capital lease obligation
-16.07%47M
-16.07%47M
-22.22%56M
-22.22%56M
12.50%72M
12.50%72M
-5.88%64M
-5.88%64M
--68M
--68M
Long term accounts payable and other payables
-98.42%6M
-98.42%6M
-33.63%379M
-33.63%379M
55.59%571M
55.59%571M
193.60%367M
193.60%367M
127.27%125M
127.27%125M
Derivative product liabilities
20.16%155M
20.16%155M
11.21%129M
11.21%129M
17.17%116M
17.17%116M
-24.43%99M
-24.43%99M
28.43%131M
28.43%131M
Long term provisions
0.00%4M
0.00%4M
-20.00%4M
-20.00%4M
-28.57%5M
-28.57%5M
--7M
--7M
----
----
Employee benefits
-14.29%6M
-14.29%6M
16.67%7M
16.67%7M
20.00%6M
20.00%6M
-16.67%5M
-16.67%5M
20.00%6M
20.00%6M
Non current deferred liabilities
160.87%60M
160.87%60M
666.67%23M
666.67%23M
200.00%3M
200.00%3M
-98.57%1M
-98.57%1M
-81.96%70M
-81.96%70M
Total non current liabilities
-6.28%4.52B
-6.28%4.52B
2.57%4.82B
2.57%4.82B
5.33%4.7B
5.33%4.7B
-0.78%4.47B
-0.78%4.47B
12.53%4.5B
12.53%4.5B
Total liabilities
-1.90%6.21B
-1.90%6.21B
5.19%6.33B
5.19%6.33B
14.45%6.01B
14.45%6.01B
0.10%5.25B
0.10%5.25B
7.19%5.25B
7.19%5.25B
Shareholders'equity
Share capital
0.01%7.53B
0.01%7.53B
0.08%7.53B
0.08%7.53B
0.23%7.53B
0.23%7.53B
0.09%7.51B
0.09%7.51B
0.79%7.5B
0.79%7.5B
-common stock
0.01%7.53B
0.01%7.53B
0.08%7.53B
0.08%7.53B
0.23%7.53B
0.23%7.53B
0.09%7.51B
0.09%7.51B
0.79%7.5B
0.79%7.5B
Retained earnings
-41.32%1.76B
-41.32%1.76B
-16.08%3B
-16.08%3B
16.48%3.58B
16.48%3.58B
19.18%3.07B
19.18%3.07B
8.42%2.58B
8.42%2.58B
Gains losses not affecting retained earnings
143.48%56M
143.48%56M
0.00%23M
0.00%23M
76.92%23M
76.92%23M
-53.57%13M
-53.57%13M
21.74%28M
21.74%28M
Total stockholders'equity
-11.42%9.35B
-11.42%9.35B
-5.11%10.56B
-5.11%10.56B
5.03%11.13B
5.03%11.13B
4.81%10.59B
4.81%10.59B
2.68%10.11B
2.68%10.11B
Noncontrolling interests
----
----
----
----
0.00%66M
0.00%66M
29.41%66M
29.41%66M
64.52%51M
64.52%51M
Total equity
-11.42%9.35B
-11.42%9.35B
-5.67%10.56B
-5.67%10.56B
5.00%11.19B
5.00%11.19B
4.93%10.66B
4.93%10.66B
2.88%10.16B
2.88%10.16B
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 174.59%335M174.59%335M-78.14%122M-78.14%122M376.92%558M376.92%558M-63.89%117M-63.89%117M141.79%324M141.79%324M
-Cash and cash equivalents 174.59%335M174.59%335M-78.14%122M-78.14%122M376.92%558M376.92%558M-63.89%117M-63.89%117M141.79%324M141.79%324M
Receivables 135.26%407M135.26%407M20.14%173M20.14%173M23.08%144M23.08%144M-57.45%117M-57.45%117M15.06%275M15.06%275M
-Accounts receivable 64.29%69M64.29%69M5.00%42M5.00%42M-59.18%40M-59.18%40M-1.01%98M-1.01%98M52.31%99M52.31%99M
-Other receivables 143.26%343M143.26%343M14.63%141M14.63%141M32.26%123M32.26%123M-63.67%93M-63.67%93M44.63%256M44.63%256M
-Recievables adjustments allowances 50.00%-5M50.00%-5M47.37%-10M47.37%-10M74.32%-19M74.32%-19M7.50%-74M7.50%-74M-2,566.67%-80M-2,566.67%-80M
Inventory -10.31%1.35B-10.31%1.35B141.80%1.5B141.80%1.5B-1.58%622M-1.58%622M42.34%632M42.34%632M-28.50%444M-28.50%444M
Current deferred assets --30M--30M--------------------------------
Hedging assets-current 177.27%61M177.27%61M-65.08%22M-65.08%22M--63M--63M----------------
Holding assets for sale -60.47%300M-60.47%300M--759M--759M----------133M--133M--------
Other current assets 14.29%48M14.29%48M0.00%42M0.00%42M-2.33%42M-2.33%42M16.22%43M16.22%43M-13.95%37M-13.95%37M
Total current assets -3.51%2.53B-3.51%2.53B83.48%2.62B83.48%2.62B37.14%1.43B37.14%1.43B-3.52%1.04B-3.52%1.04B4.15%1.08B4.15%1.08B
Non current assets
Net PPE -25.81%23M-25.81%23M-24.39%31M-24.39%31M46.43%41M46.43%41M-26.32%28M-26.32%28M-11.63%38M-11.63%38M
-Gross PPE -25.81%23M-25.81%23M-24.39%31M-24.39%31M46.43%41M46.43%41M-26.32%28M-26.32%28M-11.63%38M-11.63%38M
Investment properties -10.42%8.74B-10.42%8.74B-19.99%9.75B-19.99%9.75B3.11%12.19B3.11%12.19B5.86%11.82B5.86%11.82B4.95%11.17B4.95%11.17B
Investments and advances 9.85%2.61B9.85%2.61B52.90%2.38B52.90%2.38B80.49%1.55B80.49%1.55B6.03%861M6.03%861M-14.07%812M-14.07%812M
-Long term equity investment 10.56%2.55B10.56%2.55B55.44%2.3B55.44%2.3B89.14%1.48B89.14%1.48B5.24%783M5.24%783M-15.93%744M-15.93%744M
-Other investment -12.16%65M-12.16%65M1.37%74M1.37%74M-6.41%73M-6.41%73M14.71%78M14.71%78M13.33%68M13.33%68M
Financial assets -8.89%164M-8.89%164M1.12%180M1.12%180M-28.23%178M-28.23%178M-59.14%248M-59.14%248M86.77%607M86.77%607M
Non current accounts receivable -77.36%12M-77.36%12M76.67%53M76.67%53M-69.07%30M-69.07%30M-24.22%97M-24.22%97M-17.95%128M-17.95%128M
Goodwill and other intangible assets -3.85%75M-3.85%75M-1.27%78M-1.27%78M1.28%79M1.28%79M-23.53%78M-23.53%78M29.11%102M29.11%102M
-Goodwill 0.00%67M0.00%67M--67M--67M--------0.00%67M0.00%67M0.00%67M0.00%67M
-Other intangible assets -27.27%8M-27.27%8M-86.08%11M-86.08%11M618.18%79M618.18%79M-68.57%11M-68.57%11M191.67%35M191.67%35M
Non current deferred assets --------176.47%47M176.47%47M-69.09%17M-69.09%17M-26.67%55M-26.67%55M-82.80%75M-82.80%75M
Other non current assets -19.35%1.41B-19.35%1.41B3.20%1.74B3.20%1.74B0.30%1.69B0.30%1.69B20.39%1.68B20.39%1.68B25.95%1.4B25.95%1.4B
Total non current assets -8.65%13.03B-8.65%13.03B-9.61%14.26B-9.61%14.26B6.09%15.78B6.09%15.78B3.80%14.87B3.80%14.87B4.32%14.33B4.32%14.33B
Total assets -7.85%15.56B-7.85%15.56B-1.88%16.88B-1.88%16.88B8.12%17.21B8.12%17.21B3.28%15.91B3.28%15.91B4.31%15.41B4.31%15.41B
Liabilities
Current liabilities
Current debt and capital lease obligation -26.36%190M-26.36%190M-10.73%258M-10.73%258M7,125.00%289M7,125.00%289M-98.04%4M-98.04%4M--204M--204M
-Current debt -27.60%181M-27.60%181M-11.03%250M-11.03%250M--281M--281M----------200M--200M
-Current capital lease obligation 12.50%9M12.50%9M0.00%8M0.00%8M100.00%8M100.00%8M0.00%4M0.00%4M--4M--4M
Payables 21.60%1.39B21.60%1.39B22.21%1.14B22.21%1.14B32.39%932M32.39%932M43.67%704M43.67%704M-30.00%490M-30.00%490M
-accounts payable 7.35%73M7.35%73M44.68%68M44.68%68M-6.00%47M-6.00%47M-48.45%50M-48.45%50M-31.69%97M-31.69%97M
-Dividends payable 12.92%236M12.92%236M3.47%209M3.47%209M0.50%202M0.50%202M71.79%201M71.79%201M-52.44%117M-52.44%117M
-Other payable 24.83%1.08B24.83%1.08B26.21%862M26.21%862M50.77%683M50.77%683M64.13%453M64.13%453M-11.54%276M-11.54%276M
Current provisions 71.11%77M71.11%77M200.00%45M200.00%45M7.14%15M7.14%15M-17.65%14M-17.65%14M183.33%17M183.33%17M
Pension and other retirement benefit plans 6.67%16M6.67%16M0.00%15M0.00%15M15.38%15M15.38%15M8.33%13M8.33%13M9.09%12M9.09%12M
Current deferred liabilities -63.64%16M-63.64%16M-25.42%44M-25.42%44M9.26%59M9.26%59M107.69%54M107.69%54M-85.64%26M-85.64%26M
Current liabilities 12.19%1.68B12.19%1.68B14.58%1.5B14.58%1.5B66.03%1.31B66.03%1.31B5.34%789M5.34%789M-16.59%749M-16.59%749M
Non current liabilities
Long term debt and capital lease obligation 0.19%4.29B0.19%4.29B7.00%4.28B7.00%4.28B0.40%4B0.40%4B-4.37%3.99B-4.37%3.99B20.88%4.17B20.88%4.17B
-Long term debt 0.40%4.24B0.40%4.24B7.53%4.23B7.53%4.23B0.20%3.93B0.20%3.93B-4.34%3.92B-4.34%3.92B18.91%4.1B18.91%4.1B
-Long term capital lease obligation -16.07%47M-16.07%47M-22.22%56M-22.22%56M12.50%72M12.50%72M-5.88%64M-5.88%64M--68M--68M
Long term accounts payable and other payables -98.42%6M-98.42%6M-33.63%379M-33.63%379M55.59%571M55.59%571M193.60%367M193.60%367M127.27%125M127.27%125M
Derivative product liabilities 20.16%155M20.16%155M11.21%129M11.21%129M17.17%116M17.17%116M-24.43%99M-24.43%99M28.43%131M28.43%131M
Long term provisions 0.00%4M0.00%4M-20.00%4M-20.00%4M-28.57%5M-28.57%5M--7M--7M--------
Employee benefits -14.29%6M-14.29%6M16.67%7M16.67%7M20.00%6M20.00%6M-16.67%5M-16.67%5M20.00%6M20.00%6M
Non current deferred liabilities 160.87%60M160.87%60M666.67%23M666.67%23M200.00%3M200.00%3M-98.57%1M-98.57%1M-81.96%70M-81.96%70M
Total non current liabilities -6.28%4.52B-6.28%4.52B2.57%4.82B2.57%4.82B5.33%4.7B5.33%4.7B-0.78%4.47B-0.78%4.47B12.53%4.5B12.53%4.5B
Total liabilities -1.90%6.21B-1.90%6.21B5.19%6.33B5.19%6.33B14.45%6.01B14.45%6.01B0.10%5.25B0.10%5.25B7.19%5.25B7.19%5.25B
Shareholders'equity
Share capital 0.01%7.53B0.01%7.53B0.08%7.53B0.08%7.53B0.23%7.53B0.23%7.53B0.09%7.51B0.09%7.51B0.79%7.5B0.79%7.5B
-common stock 0.01%7.53B0.01%7.53B0.08%7.53B0.08%7.53B0.23%7.53B0.23%7.53B0.09%7.51B0.09%7.51B0.79%7.5B0.79%7.5B
Retained earnings -41.32%1.76B-41.32%1.76B-16.08%3B-16.08%3B16.48%3.58B16.48%3.58B19.18%3.07B19.18%3.07B8.42%2.58B8.42%2.58B
Gains losses not affecting retained earnings 143.48%56M143.48%56M0.00%23M0.00%23M76.92%23M76.92%23M-53.57%13M-53.57%13M21.74%28M21.74%28M
Total stockholders'equity -11.42%9.35B-11.42%9.35B-5.11%10.56B-5.11%10.56B5.03%11.13B5.03%11.13B4.81%10.59B4.81%10.59B2.68%10.11B2.68%10.11B
Noncontrolling interests ----------------0.00%66M0.00%66M29.41%66M29.41%66M64.52%51M64.52%51M
Total equity -11.42%9.35B-11.42%9.35B-5.67%10.56B-5.67%10.56B5.00%11.19B5.00%11.19B4.93%10.66B4.93%10.66B2.88%10.16B2.88%10.16B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP