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MTS Metcash Ltd

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  • 3.120
  • 0.0000.00%
20min DelayNot Open Nov 29 16:00 AET
3.42BMarket Cap12.14P/E (Static)

Metcash Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Apr 30, 2024
(Q4)Apr 30, 2024
(FY)Apr 30, 2023
(Q4)Apr 30, 2023
(FY)Apr 30, 2022
(Q4)Apr 30, 2022
(FY)Apr 30, 2021
(Q4)Apr 30, 2021
(FY)Apr 30, 2020
(Q4)Apr 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
9.29%100M
9.29%100M
-14.49%91.5M
-14.49%91.5M
-16.01%107M
-16.01%107M
-53.94%127.4M
-53.94%127.4M
93.43%276.6M
93.43%276.6M
-Cash and cash equivalents
8.72%97.3M
8.72%97.3M
-14.52%89.5M
-14.52%89.5M
-15.97%104.7M
-15.97%104.7M
-54.71%124.6M
-54.71%124.6M
92.92%275.1M
92.92%275.1M
-Short term investments
35.00%2.7M
35.00%2.7M
-13.04%2M
-13.04%2M
-17.86%2.3M
-17.86%2.3M
86.67%2.8M
86.67%2.8M
275.00%1.5M
275.00%1.5M
Receivables
20.49%1.95B
20.49%1.95B
-0.96%1.62B
-0.96%1.62B
8.49%1.64B
8.49%1.64B
1.49%1.51B
1.49%1.51B
9.97%1.49B
9.97%1.49B
-Accounts receivable
5.46%1.47B
5.46%1.47B
-1.63%1.39B
-1.63%1.39B
9.35%1.42B
9.35%1.42B
4.18%1.29B
4.18%1.29B
6.26%1.24B
6.26%1.24B
-Loans receivable
----
----
-3.13%3.1M
-3.13%3.1M
-79.75%3.2M
-79.75%3.2M
-33.61%15.8M
-33.61%15.8M
-9.51%23.8M
-9.51%23.8M
-Other receivables
93.57%529.6M
93.57%529.6M
-1.08%273.6M
-1.08%273.6M
9.16%276.6M
9.16%276.6M
-10.17%253.4M
-10.17%253.4M
26.11%282.1M
26.11%282.1M
-Recievables adjustments allowances
6.04%-46.7M
6.04%-46.7M
17.44%-49.7M
17.44%-49.7M
-6.36%-60.2M
-6.36%-60.2M
10.87%-56.6M
10.87%-56.6M
7.97%-63.5M
7.97%-63.5M
Inventory
1.14%1.2B
1.14%1.2B
5.17%1.18B
5.17%1.18B
11.63%1.13B
11.63%1.13B
-2.34%1.01B
-2.34%1.01B
32.45%1.03B
32.45%1.03B
Prepaid assets
----
----
11.75%189.3M
11.75%189.3M
8.17%169.4M
8.17%169.4M
5.31%156.6M
5.31%156.6M
4.20%148.7M
4.20%148.7M
Current deferred assets
--6.7M
--6.7M
----
----
----
----
----
----
----
----
Holding assets for sale
0.00%7.6M
0.00%7.6M
-17.39%7.6M
-17.39%7.6M
-16.36%9.2M
-16.36%9.2M
-3.51%11M
-3.51%11M
0.00%11.4M
0.00%11.4M
Total current assets
5.54%3.26B
5.54%3.26B
1.49%3.09B
1.49%3.09B
8.39%3.05B
8.39%3.05B
-4.86%2.81B
-4.86%2.81B
21.72%2.95B
21.72%2.95B
Non current assets
Net PPE
10.79%986.4M
10.79%986.4M
3.37%890.3M
3.37%890.3M
1.25%861.3M
1.25%861.3M
21.63%850.7M
21.63%850.7M
209.74%699.4M
209.74%699.4M
-Gross PPE
15.59%1.91B
15.59%1.91B
12.60%1.65B
12.60%1.65B
10.14%1.47B
10.14%1.47B
46.41%1.33B
46.41%1.33B
102.83%908.7M
102.83%908.7M
-Accumulated depreciation
-21.22%-920.8M
-21.22%-920.8M
-25.76%-759.6M
-25.76%-759.6M
-25.91%-604M
-25.91%-604M
-129.19%-479.7M
-129.19%-479.7M
5.81%-209.3M
5.81%-209.3M
Investments and advances
14.16%141.1M
14.16%141.1M
20.59%123.6M
20.59%123.6M
24.24%102.5M
24.24%102.5M
6.31%82.5M
6.31%82.5M
-11.52%77.6M
-11.52%77.6M
-Long term equity investment
9.71%135.6M
9.71%135.6M
20.59%123.6M
20.59%123.6M
24.24%102.5M
24.24%102.5M
6.31%82.5M
6.31%82.5M
-11.52%77.6M
-11.52%77.6M
-Other investment
--5.5M
--5.5M
----
----
----
----
----
----
----
----
Non current accounts receivable
-4.04%9.5M
-4.04%9.5M
-45.60%9.9M
-45.60%9.9M
15.92%18.2M
15.92%18.2M
-38.91%15.7M
-38.91%15.7M
59.63%25.7M
59.63%25.7M
Goodwill and other intangible assets
18.59%1.06B
18.59%1.06B
12.06%895.1M
12.06%895.1M
9.56%798.8M
9.56%798.8M
25.32%729.1M
25.32%729.1M
-26.68%581.8M
-26.68%581.8M
-Goodwill
26.41%771.2M
26.41%771.2M
7.54%610.1M
7.54%610.1M
3.65%567.3M
3.65%567.3M
23.91%547.3M
23.91%547.3M
-31.96%441.7M
-31.96%441.7M
-Other intangible assets
1.86%290.3M
1.86%290.3M
23.11%285M
23.11%285M
27.34%231.5M
27.34%231.5M
29.76%181.8M
29.76%181.8M
-2.91%140.1M
-2.91%140.1M
Non current deferred assets
0.07%152.4M
0.07%152.4M
9.10%152.3M
9.10%152.3M
10.97%139.6M
10.97%139.6M
4.83%125.8M
4.83%125.8M
2.92%120M
2.92%120M
Other non current assets
-15.57%182.8M
-15.57%182.8M
-7.64%216.5M
-7.64%216.5M
-1.92%234.4M
-1.92%234.4M
0.80%239M
0.80%239M
--237.1M
--237.1M
Total non current assets
10.75%2.53B
10.75%2.53B
6.17%2.29B
6.17%2.29B
5.48%2.15B
5.48%2.15B
17.29%2.04B
17.29%2.04B
40.49%1.74B
40.49%1.74B
Total assets
7.76%5.8B
7.76%5.8B
3.43%5.38B
3.43%5.38B
7.17%5.2B
7.17%5.2B
3.35%4.85B
3.35%4.85B
28.06%4.7B
28.06%4.7B
Liabilities
Current liabilities
Current debt and capital lease obligation
-32.52%213.3M
-32.52%213.3M
63.70%316.1M
63.70%316.1M
31.72%193.1M
31.72%193.1M
-15.46%146.6M
-15.46%146.6M
9,026.32%173.4M
9,026.32%173.4M
-Current debt
-70.83%49.1M
-70.83%49.1M
274.00%168.3M
274.00%168.3M
--45M
--45M
----
----
----
----
-Current capital lease obligation
11.10%164.2M
11.10%164.2M
-0.20%147.8M
-0.20%147.8M
1.02%148.1M
1.02%148.1M
-15.46%146.6M
-15.46%146.6M
9,026.32%173.4M
9,026.32%173.4M
Payables
8.00%2.48B
8.00%2.48B
-1.16%2.29B
-1.16%2.29B
10.85%2.32B
10.85%2.32B
1.48%2.09B
1.48%2.09B
4.90%2.06B
4.90%2.06B
-accounts payable
8.00%2.48B
8.00%2.48B
-1.16%2.29B
-1.16%2.29B
10.85%2.32B
10.85%2.32B
1.48%2.09B
1.48%2.09B
4.90%2.06B
4.90%2.06B
Current provisions
-60.71%46.2M
-60.71%46.2M
295.96%117.6M
295.96%117.6M
1.71%29.7M
1.71%29.7M
153.91%29.2M
153.91%29.2M
-47.73%11.5M
-47.73%11.5M
Pension and other retirement benefit plans
-7.68%143.1M
-7.68%143.1M
7.64%155M
7.64%155M
12.32%144M
12.32%144M
22.33%128.2M
22.33%128.2M
2.85%104.8M
2.85%104.8M
Current deferred liabilities
----
----
-65.68%11.6M
-65.68%11.6M
5.96%33.8M
5.96%33.8M
1,776.47%31.9M
1,776.47%31.9M
-87.50%1.7M
-87.50%1.7M
Other current liabilities
566.67%8M
566.67%8M
-50.00%1.2M
-50.00%1.2M
-42.86%2.4M
-42.86%2.4M
-41.67%4.2M
-41.67%4.2M
7.46%7.2M
7.46%7.2M
Current liabilities
-0.26%2.89B
-0.26%2.89B
6.29%2.9B
6.29%2.9B
11.91%2.72B
11.91%2.72B
3.05%2.43B
3.05%2.43B
11.78%2.36B
11.78%2.36B
Non current liabilities
Long term debt and capital lease obligation
2.16%1.2B
2.16%1.2B
3.64%1.17B
3.64%1.17B
27.39%1.13B
27.39%1.13B
-1.45%888M
-1.45%888M
390.80%901.1M
390.80%901.1M
-Long term debt
10.82%300.1M
10.82%300.1M
8.89%270.8M
8.89%270.8M
--248.7M
--248.7M
----
----
5.78%188.4M
5.78%188.4M
-Long term capital lease obligation
-0.44%897.6M
-0.44%897.6M
2.16%901.6M
2.16%901.6M
-0.62%882.5M
-0.62%882.5M
24.60%888M
24.60%888M
12,858.18%712.7M
12,858.18%712.7M
Derivative product liabilities
-17.85%142.7M
-17.85%142.7M
-17.52%173.7M
-17.52%173.7M
8.11%210.6M
8.11%210.6M
--194.8M
--194.8M
----
----
Long term provisions
-39.22%18.6M
-39.22%18.6M
0.00%30.6M
0.00%30.6M
-7.83%30.6M
-7.83%30.6M
-28.76%33.2M
-28.76%33.2M
-55.36%46.6M
-55.36%46.6M
Employee benefits
32.35%13.5M
32.35%13.5M
-17.07%10.2M
-17.07%10.2M
9.82%12.3M
9.82%12.3M
-2.61%11.2M
-2.61%11.2M
0.00%11.5M
0.00%11.5M
Other non current liabilities
-39.25%6.5M
-39.25%6.5M
1,088.89%10.7M
1,088.89%10.7M
--900K
--900K
----
----
-34.38%2.1M
-34.38%2.1M
Total non current liabilities
-1.33%1.38B
-1.33%1.38B
0.87%1.4B
0.87%1.4B
22.92%1.39B
22.92%1.39B
17.26%1.13B
17.26%1.13B
217.58%961.3M
217.58%961.3M
Total liabilities
-0.61%4.27B
-0.61%4.27B
4.46%4.29B
4.46%4.29B
15.40%4.11B
15.40%4.11B
7.16%3.56B
7.16%3.56B
37.55%3.32B
37.55%3.32B
Shareholders'equity
Share capital
51.39%1.24B
51.39%1.24B
0.00%818.3M
0.00%818.3M
-5.62%818.3M
-5.62%818.3M
1.58%867M
1.58%867M
52.63%853.5M
52.63%853.5M
-common stock
51.39%1.24B
51.39%1.24B
0.00%818.3M
0.00%818.3M
-5.62%818.3M
-5.62%818.3M
1.58%867M
1.58%867M
52.63%853.5M
52.63%853.5M
Retained earnings
5.29%270.8M
5.29%270.8M
-2.94%257.2M
-2.94%257.2M
-36.08%265M
-36.08%265M
-17.98%414.6M
-17.98%414.6M
-25.89%505.5M
-25.89%505.5M
Gains losses not affecting retained earnings
468.42%7M
468.42%7M
44.12%-1.9M
44.12%-1.9M
-100.00%-3.4M
-100.00%-3.4M
26.09%-1.7M
26.09%-1.7M
-187.50%-2.3M
-187.50%-2.3M
Total stockholders'equity
41.26%1.52B
41.26%1.52B
-0.58%1.07B
-0.58%1.07B
-15.63%1.08B
-15.63%1.08B
-5.66%1.28B
-5.66%1.28B
9.37%1.36B
9.37%1.36B
Noncontrolling interests
2.61%11.8M
2.61%11.8M
9.52%11.5M
9.52%11.5M
-6.25%10.5M
-6.25%10.5M
-24.83%11.2M
-24.83%11.2M
55.21%14.9M
55.21%14.9M
Total equity
40.85%1.53B
40.85%1.53B
-0.49%1.09B
-0.49%1.09B
-15.54%1.09B
-15.54%1.09B
-5.87%1.29B
-5.87%1.29B
9.72%1.37B
9.72%1.37B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Apr 30, 2024(Q4)Apr 30, 2024(FY)Apr 30, 2023(Q4)Apr 30, 2023(FY)Apr 30, 2022(Q4)Apr 30, 2022(FY)Apr 30, 2021(Q4)Apr 30, 2021(FY)Apr 30, 2020(Q4)Apr 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 9.29%100M9.29%100M-14.49%91.5M-14.49%91.5M-16.01%107M-16.01%107M-53.94%127.4M-53.94%127.4M93.43%276.6M93.43%276.6M
-Cash and cash equivalents 8.72%97.3M8.72%97.3M-14.52%89.5M-14.52%89.5M-15.97%104.7M-15.97%104.7M-54.71%124.6M-54.71%124.6M92.92%275.1M92.92%275.1M
-Short term investments 35.00%2.7M35.00%2.7M-13.04%2M-13.04%2M-17.86%2.3M-17.86%2.3M86.67%2.8M86.67%2.8M275.00%1.5M275.00%1.5M
Receivables 20.49%1.95B20.49%1.95B-0.96%1.62B-0.96%1.62B8.49%1.64B8.49%1.64B1.49%1.51B1.49%1.51B9.97%1.49B9.97%1.49B
-Accounts receivable 5.46%1.47B5.46%1.47B-1.63%1.39B-1.63%1.39B9.35%1.42B9.35%1.42B4.18%1.29B4.18%1.29B6.26%1.24B6.26%1.24B
-Loans receivable ---------3.13%3.1M-3.13%3.1M-79.75%3.2M-79.75%3.2M-33.61%15.8M-33.61%15.8M-9.51%23.8M-9.51%23.8M
-Other receivables 93.57%529.6M93.57%529.6M-1.08%273.6M-1.08%273.6M9.16%276.6M9.16%276.6M-10.17%253.4M-10.17%253.4M26.11%282.1M26.11%282.1M
-Recievables adjustments allowances 6.04%-46.7M6.04%-46.7M17.44%-49.7M17.44%-49.7M-6.36%-60.2M-6.36%-60.2M10.87%-56.6M10.87%-56.6M7.97%-63.5M7.97%-63.5M
Inventory 1.14%1.2B1.14%1.2B5.17%1.18B5.17%1.18B11.63%1.13B11.63%1.13B-2.34%1.01B-2.34%1.01B32.45%1.03B32.45%1.03B
Prepaid assets --------11.75%189.3M11.75%189.3M8.17%169.4M8.17%169.4M5.31%156.6M5.31%156.6M4.20%148.7M4.20%148.7M
Current deferred assets --6.7M--6.7M--------------------------------
Holding assets for sale 0.00%7.6M0.00%7.6M-17.39%7.6M-17.39%7.6M-16.36%9.2M-16.36%9.2M-3.51%11M-3.51%11M0.00%11.4M0.00%11.4M
Total current assets 5.54%3.26B5.54%3.26B1.49%3.09B1.49%3.09B8.39%3.05B8.39%3.05B-4.86%2.81B-4.86%2.81B21.72%2.95B21.72%2.95B
Non current assets
Net PPE 10.79%986.4M10.79%986.4M3.37%890.3M3.37%890.3M1.25%861.3M1.25%861.3M21.63%850.7M21.63%850.7M209.74%699.4M209.74%699.4M
-Gross PPE 15.59%1.91B15.59%1.91B12.60%1.65B12.60%1.65B10.14%1.47B10.14%1.47B46.41%1.33B46.41%1.33B102.83%908.7M102.83%908.7M
-Accumulated depreciation -21.22%-920.8M-21.22%-920.8M-25.76%-759.6M-25.76%-759.6M-25.91%-604M-25.91%-604M-129.19%-479.7M-129.19%-479.7M5.81%-209.3M5.81%-209.3M
Investments and advances 14.16%141.1M14.16%141.1M20.59%123.6M20.59%123.6M24.24%102.5M24.24%102.5M6.31%82.5M6.31%82.5M-11.52%77.6M-11.52%77.6M
-Long term equity investment 9.71%135.6M9.71%135.6M20.59%123.6M20.59%123.6M24.24%102.5M24.24%102.5M6.31%82.5M6.31%82.5M-11.52%77.6M-11.52%77.6M
-Other investment --5.5M--5.5M--------------------------------
Non current accounts receivable -4.04%9.5M-4.04%9.5M-45.60%9.9M-45.60%9.9M15.92%18.2M15.92%18.2M-38.91%15.7M-38.91%15.7M59.63%25.7M59.63%25.7M
Goodwill and other intangible assets 18.59%1.06B18.59%1.06B12.06%895.1M12.06%895.1M9.56%798.8M9.56%798.8M25.32%729.1M25.32%729.1M-26.68%581.8M-26.68%581.8M
-Goodwill 26.41%771.2M26.41%771.2M7.54%610.1M7.54%610.1M3.65%567.3M3.65%567.3M23.91%547.3M23.91%547.3M-31.96%441.7M-31.96%441.7M
-Other intangible assets 1.86%290.3M1.86%290.3M23.11%285M23.11%285M27.34%231.5M27.34%231.5M29.76%181.8M29.76%181.8M-2.91%140.1M-2.91%140.1M
Non current deferred assets 0.07%152.4M0.07%152.4M9.10%152.3M9.10%152.3M10.97%139.6M10.97%139.6M4.83%125.8M4.83%125.8M2.92%120M2.92%120M
Other non current assets -15.57%182.8M-15.57%182.8M-7.64%216.5M-7.64%216.5M-1.92%234.4M-1.92%234.4M0.80%239M0.80%239M--237.1M--237.1M
Total non current assets 10.75%2.53B10.75%2.53B6.17%2.29B6.17%2.29B5.48%2.15B5.48%2.15B17.29%2.04B17.29%2.04B40.49%1.74B40.49%1.74B
Total assets 7.76%5.8B7.76%5.8B3.43%5.38B3.43%5.38B7.17%5.2B7.17%5.2B3.35%4.85B3.35%4.85B28.06%4.7B28.06%4.7B
Liabilities
Current liabilities
Current debt and capital lease obligation -32.52%213.3M-32.52%213.3M63.70%316.1M63.70%316.1M31.72%193.1M31.72%193.1M-15.46%146.6M-15.46%146.6M9,026.32%173.4M9,026.32%173.4M
-Current debt -70.83%49.1M-70.83%49.1M274.00%168.3M274.00%168.3M--45M--45M----------------
-Current capital lease obligation 11.10%164.2M11.10%164.2M-0.20%147.8M-0.20%147.8M1.02%148.1M1.02%148.1M-15.46%146.6M-15.46%146.6M9,026.32%173.4M9,026.32%173.4M
Payables 8.00%2.48B8.00%2.48B-1.16%2.29B-1.16%2.29B10.85%2.32B10.85%2.32B1.48%2.09B1.48%2.09B4.90%2.06B4.90%2.06B
-accounts payable 8.00%2.48B8.00%2.48B-1.16%2.29B-1.16%2.29B10.85%2.32B10.85%2.32B1.48%2.09B1.48%2.09B4.90%2.06B4.90%2.06B
Current provisions -60.71%46.2M-60.71%46.2M295.96%117.6M295.96%117.6M1.71%29.7M1.71%29.7M153.91%29.2M153.91%29.2M-47.73%11.5M-47.73%11.5M
Pension and other retirement benefit plans -7.68%143.1M-7.68%143.1M7.64%155M7.64%155M12.32%144M12.32%144M22.33%128.2M22.33%128.2M2.85%104.8M2.85%104.8M
Current deferred liabilities ---------65.68%11.6M-65.68%11.6M5.96%33.8M5.96%33.8M1,776.47%31.9M1,776.47%31.9M-87.50%1.7M-87.50%1.7M
Other current liabilities 566.67%8M566.67%8M-50.00%1.2M-50.00%1.2M-42.86%2.4M-42.86%2.4M-41.67%4.2M-41.67%4.2M7.46%7.2M7.46%7.2M
Current liabilities -0.26%2.89B-0.26%2.89B6.29%2.9B6.29%2.9B11.91%2.72B11.91%2.72B3.05%2.43B3.05%2.43B11.78%2.36B11.78%2.36B
Non current liabilities
Long term debt and capital lease obligation 2.16%1.2B2.16%1.2B3.64%1.17B3.64%1.17B27.39%1.13B27.39%1.13B-1.45%888M-1.45%888M390.80%901.1M390.80%901.1M
-Long term debt 10.82%300.1M10.82%300.1M8.89%270.8M8.89%270.8M--248.7M--248.7M--------5.78%188.4M5.78%188.4M
-Long term capital lease obligation -0.44%897.6M-0.44%897.6M2.16%901.6M2.16%901.6M-0.62%882.5M-0.62%882.5M24.60%888M24.60%888M12,858.18%712.7M12,858.18%712.7M
Derivative product liabilities -17.85%142.7M-17.85%142.7M-17.52%173.7M-17.52%173.7M8.11%210.6M8.11%210.6M--194.8M--194.8M--------
Long term provisions -39.22%18.6M-39.22%18.6M0.00%30.6M0.00%30.6M-7.83%30.6M-7.83%30.6M-28.76%33.2M-28.76%33.2M-55.36%46.6M-55.36%46.6M
Employee benefits 32.35%13.5M32.35%13.5M-17.07%10.2M-17.07%10.2M9.82%12.3M9.82%12.3M-2.61%11.2M-2.61%11.2M0.00%11.5M0.00%11.5M
Other non current liabilities -39.25%6.5M-39.25%6.5M1,088.89%10.7M1,088.89%10.7M--900K--900K---------34.38%2.1M-34.38%2.1M
Total non current liabilities -1.33%1.38B-1.33%1.38B0.87%1.4B0.87%1.4B22.92%1.39B22.92%1.39B17.26%1.13B17.26%1.13B217.58%961.3M217.58%961.3M
Total liabilities -0.61%4.27B-0.61%4.27B4.46%4.29B4.46%4.29B15.40%4.11B15.40%4.11B7.16%3.56B7.16%3.56B37.55%3.32B37.55%3.32B
Shareholders'equity
Share capital 51.39%1.24B51.39%1.24B0.00%818.3M0.00%818.3M-5.62%818.3M-5.62%818.3M1.58%867M1.58%867M52.63%853.5M52.63%853.5M
-common stock 51.39%1.24B51.39%1.24B0.00%818.3M0.00%818.3M-5.62%818.3M-5.62%818.3M1.58%867M1.58%867M52.63%853.5M52.63%853.5M
Retained earnings 5.29%270.8M5.29%270.8M-2.94%257.2M-2.94%257.2M-36.08%265M-36.08%265M-17.98%414.6M-17.98%414.6M-25.89%505.5M-25.89%505.5M
Gains losses not affecting retained earnings 468.42%7M468.42%7M44.12%-1.9M44.12%-1.9M-100.00%-3.4M-100.00%-3.4M26.09%-1.7M26.09%-1.7M-187.50%-2.3M-187.50%-2.3M
Total stockholders'equity 41.26%1.52B41.26%1.52B-0.58%1.07B-0.58%1.07B-15.63%1.08B-15.63%1.08B-5.66%1.28B-5.66%1.28B9.37%1.36B9.37%1.36B
Noncontrolling interests 2.61%11.8M2.61%11.8M9.52%11.5M9.52%11.5M-6.25%10.5M-6.25%10.5M-24.83%11.2M-24.83%11.2M55.21%14.9M55.21%14.9M
Total equity 40.85%1.53B40.85%1.53B-0.49%1.09B-0.49%1.09B-15.54%1.09B-15.54%1.09B-5.87%1.29B-5.87%1.29B9.72%1.37B9.72%1.37B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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