AU Stock MarketDetailed Quotes

MYR Myer Holdings Ltd

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  • 0.800
  • +0.005+0.63%
20min DelayMarket Closed Jul 19 16:00 AET
665.46MMarket Cap11.11P/E (Static)

Myer Holdings Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jul 30, 2023
(Q4)Jul 30, 2023
(FY)Jul 30, 2022
(Q4)Jul 30, 2022
(FY)Jul 30, 2021
(Q4)Jul 30, 2021
(FY)Jul 30, 2020
(Q4)Jul 30, 2020
(FY)Jul 30, 2019
(Q4)Jul 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-26.32%179.7M
-26.32%179.7M
36.56%243.9M
36.56%243.9M
106.47%178.6M
106.47%178.6M
82.30%86.5M
82.30%86.5M
13.54%47.45M
13.54%47.45M
-Cash and cash equivalents
-26.32%179.7M
-26.32%179.7M
36.56%243.9M
36.56%243.9M
106.47%178.6M
106.47%178.6M
82.30%86.5M
82.30%86.5M
13.54%47.45M
13.54%47.45M
-Accounts receivable
-19.23%10.5M
-19.23%10.5M
27.45%13M
27.45%13M
-30.61%10.2M
-30.61%10.2M
54.54%14.7M
54.54%14.7M
125.51%9.51M
125.51%9.51M
-Notes receivable
12.50%3.6M
12.50%3.6M
-33.33%3.2M
-33.33%3.2M
37.14%4.8M
37.14%4.8M
5.68%3.5M
5.68%3.5M
5.11%3.31M
5.11%3.31M
-Other receivables
-8.75%213.7M
-8.75%213.7M
24.51%234.2M
24.51%234.2M
-19.58%188.1M
-19.58%188.1M
26.38%233.9M
26.38%233.9M
-3.18%185.08M
-3.18%185.08M
Current deferred assets
----
----
----
----
----
----
--7.2M
--7.2M
----
----
Total current assets
-9.80%585.4M
-9.80%585.4M
28.03%649M
28.03%649M
24.33%506.9M
24.33%506.9M
-5.45%407.7M
-5.45%407.7M
-2.44%431.19M
-2.44%431.19M
Non current assets
-Accumulated depreciation
-4.94%-776.1M
-4.94%-776.1M
-0.22%-739.6M
-0.22%-739.6M
-7.56%-738M
-7.56%-738M
-7.22%-686.1M
-7.22%-686.1M
-11.25%-639.89M
-11.25%-639.89M
-Long term equity investment
-3.86%1.55B
-3.86%1.55B
-2.01%1.61B
-2.01%1.61B
1.16%1.65B
1.16%1.65B
1,789.15%1.63B
1,789.15%1.63B
-42.26%86.13M
-42.26%86.13M
-Including:Held to maturity investments
13.21%6M
13.21%6M
70.97%5.3M
70.97%5.3M
933.33%3.1M
933.33%3.1M
-94.73%300K
-94.73%300K
-15.42%5.69M
-15.42%5.69M
Financial assets
33.33%400K
33.33%400K
-57.14%300K
-57.14%300K
--700K
--700K
----
----
-62.45%101K
-62.45%101K
Non current note receivables
9.23%121.9M
9.23%121.9M
-0.53%111.6M
-0.53%111.6M
-2.86%112.2M
-2.86%112.2M
--115.5M
--115.5M
----
----
-Goodwill
-0.03%305.2M
-0.03%305.2M
0.30%305.3M
0.30%305.3M
-4.76%304.4M
-4.76%304.4M
-31.65%319.6M
-31.65%319.6M
-3.62%467.6M
-3.62%467.6M
Regulatory assets
-5.91%20.7M
-5.91%20.7M
37.50%22M
37.50%22M
-66.67%16M
-66.67%16M
154.40%48M
154.40%48M
45.00%18.87M
45.00%18.87M
Liabilities
Current liabilities
Current debt and capital lease obligation
7.00%154.3M
7.00%154.3M
-7.68%144.2M
-7.68%144.2M
-36.53%156.2M
-36.53%156.2M
--246.1M
--246.1M
----
----
-Current debt
----
----
----
----
----
----
--78.6M
--78.6M
----
----
-Current capital lease obligation
7.00%154.3M
7.00%154.3M
-7.68%144.2M
-7.68%144.2M
-6.75%156.2M
-6.75%156.2M
--167.5M
--167.5M
----
----
-accounts payable
-3.64%188M
-3.64%188M
18.10%195.1M
18.10%195.1M
37.32%165.2M
37.32%165.2M
-35.86%120.3M
-35.86%120.3M
-1.27%187.57M
-1.27%187.57M
-Total tax payable
-3.83%1.56B
-3.83%1.56B
-2.02%1.62B
-2.02%1.62B
1.22%1.65B
1.22%1.65B
598.69%1.63B
598.69%1.63B
-22.88%233.44M
-22.88%233.44M
-Other payable
-50.00%800K
-50.00%800K
23.08%1.6M
23.08%1.6M
-23.53%1.3M
-23.53%1.3M
-59.79%1.7M
-59.79%1.7M
176.52%4.23M
176.52%4.23M
Current provisions
62.14%16.7M
62.14%16.7M
77.59%10.3M
77.59%10.3M
-30.12%5.8M
-30.12%5.8M
-5.64%8.3M
-5.64%8.3M
-60.81%8.8M
-60.81%8.8M
Current deferred liabilities
-58.82%9.8M
-58.82%9.8M
45.12%23.8M
45.12%23.8M
--16.4M
--16.4M
----
----
-7.12%13.58M
-7.12%13.58M
Current liabilities
-3.76%640.7M
-3.76%640.7M
12.77%665.7M
12.77%665.7M
-10.42%590.3M
-10.42%590.3M
46.08%659M
46.08%659M
-3.26%451.12M
-3.26%451.12M
Non current liabilities
-Long term debt
-4.14%1.49B
-4.14%1.49B
-1.54%1.56B
-1.54%1.56B
-2.94%1.58B
-2.94%1.58B
--1.63B
--1.63B
----
----
Non current accrued expenses
-4.03%1.42B
-4.03%1.42B
-3.88%1.48B
-3.88%1.48B
-4.75%1.54B
-4.75%1.54B
322.34%1.62B
322.34%1.62B
-9.57%383.49M
-9.57%383.49M
Derivative product liabilities
----
----
--100K
--100K
----
----
6,566.67%200K
6,566.67%200K
-95.31%3K
-95.31%3K
Long term provisions
3.62%60.1M
3.62%60.1M
-13.17%58M
-13.17%58M
--66.8M
--66.8M
----
----
-42.26%86.13M
-42.26%86.13M
Employee benefits
12.50%3.6M
12.50%3.6M
-33.33%3.2M
-33.33%3.2M
37.14%4.8M
37.14%4.8M
5.68%3.5M
5.68%3.5M
5.11%3.31M
5.11%3.31M
Regulatory liabilities
-300.00%-400K
-300.00%-400K
80.00%-100K
80.00%-100K
76.19%-500K
76.19%-500K
-20.27%-2.1M
-20.27%-2.1M
-104.45%-1.75M
-104.45%-1.75M
Preferred securities outside stock equity
0.17%58.1M
0.17%58.1M
-0.68%58M
-0.68%58M
16.33%58.4M
16.33%58.4M
-9.91%50.2M
-9.91%50.2M
16.99%55.72M
16.99%55.72M
Total non current liabilities
-3.81%2.2B
-3.81%2.2B
1.87%2.28B
1.87%2.28B
-2.13%2.24B
-2.13%2.24B
234.52%2.29B
234.52%2.29B
-10.98%684.56M
-10.98%684.56M
Shareholders'equity
Share capital
-0.42%734M
-0.42%734M
-0.08%737.1M
-0.08%737.1M
-0.05%737.7M
-0.05%737.7M
-0.09%738.1M
-0.09%738.1M
-0.04%738.76M
-0.04%738.76M
-common stock
-0.42%734M
-0.42%734M
-0.08%737.1M
-0.08%737.1M
-0.05%737.7M
-0.05%737.7M
-0.09%738.1M
-0.09%738.1M
-0.04%738.76M
-0.04%738.76M
Gains losses not affecting retained earnings
26.32%9.6M
26.32%9.6M
137.50%7.6M
137.50%7.6M
162.75%3.2M
162.75%3.2M
-363.16%-5.1M
-363.16%-5.1M
-63.09%1.94M
-63.09%1.94M
Total equity
-4.46%2.44B
-4.46%2.44B
3.34%2.55B
3.34%2.55B
0.16%2.47B
0.16%2.47B
91.52%2.46B
91.52%2.46B
-4.91%1.29B
-4.91%1.29B
(FY)Jul 30, 2023(Q4)Jul 30, 2023(FY)Jul 30, 2022(Q4)Jul 30, 2022(FY)Jul 30, 2021(Q4)Jul 30, 2021(FY)Jul 30, 2020(Q4)Jul 30, 2020(FY)Jul 30, 2019(Q4)Jul 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -26.32%179.7M-26.32%179.7M36.56%243.9M36.56%243.9M106.47%178.6M106.47%178.6M82.30%86.5M82.30%86.5M13.54%47.45M13.54%47.45M
-Cash and cash equivalents -26.32%179.7M-26.32%179.7M36.56%243.9M36.56%243.9M106.47%178.6M106.47%178.6M82.30%86.5M82.30%86.5M13.54%47.45M13.54%47.45M
-Accounts receivable -19.23%10.5M-19.23%10.5M27.45%13M27.45%13M-30.61%10.2M-30.61%10.2M54.54%14.7M54.54%14.7M125.51%9.51M125.51%9.51M
-Notes receivable 12.50%3.6M12.50%3.6M-33.33%3.2M-33.33%3.2M37.14%4.8M37.14%4.8M5.68%3.5M5.68%3.5M5.11%3.31M5.11%3.31M
-Other receivables -8.75%213.7M-8.75%213.7M24.51%234.2M24.51%234.2M-19.58%188.1M-19.58%188.1M26.38%233.9M26.38%233.9M-3.18%185.08M-3.18%185.08M
Current deferred assets --------------------------7.2M--7.2M--------
Total current assets -9.80%585.4M-9.80%585.4M28.03%649M28.03%649M24.33%506.9M24.33%506.9M-5.45%407.7M-5.45%407.7M-2.44%431.19M-2.44%431.19M
Non current assets
-Accumulated depreciation -4.94%-776.1M-4.94%-776.1M-0.22%-739.6M-0.22%-739.6M-7.56%-738M-7.56%-738M-7.22%-686.1M-7.22%-686.1M-11.25%-639.89M-11.25%-639.89M
-Long term equity investment -3.86%1.55B-3.86%1.55B-2.01%1.61B-2.01%1.61B1.16%1.65B1.16%1.65B1,789.15%1.63B1,789.15%1.63B-42.26%86.13M-42.26%86.13M
-Including:Held to maturity investments 13.21%6M13.21%6M70.97%5.3M70.97%5.3M933.33%3.1M933.33%3.1M-94.73%300K-94.73%300K-15.42%5.69M-15.42%5.69M
Financial assets 33.33%400K33.33%400K-57.14%300K-57.14%300K--700K--700K---------62.45%101K-62.45%101K
Non current note receivables 9.23%121.9M9.23%121.9M-0.53%111.6M-0.53%111.6M-2.86%112.2M-2.86%112.2M--115.5M--115.5M--------
-Goodwill -0.03%305.2M-0.03%305.2M0.30%305.3M0.30%305.3M-4.76%304.4M-4.76%304.4M-31.65%319.6M-31.65%319.6M-3.62%467.6M-3.62%467.6M
Regulatory assets -5.91%20.7M-5.91%20.7M37.50%22M37.50%22M-66.67%16M-66.67%16M154.40%48M154.40%48M45.00%18.87M45.00%18.87M
Liabilities
Current liabilities
Current debt and capital lease obligation 7.00%154.3M7.00%154.3M-7.68%144.2M-7.68%144.2M-36.53%156.2M-36.53%156.2M--246.1M--246.1M--------
-Current debt --------------------------78.6M--78.6M--------
-Current capital lease obligation 7.00%154.3M7.00%154.3M-7.68%144.2M-7.68%144.2M-6.75%156.2M-6.75%156.2M--167.5M--167.5M--------
-accounts payable -3.64%188M-3.64%188M18.10%195.1M18.10%195.1M37.32%165.2M37.32%165.2M-35.86%120.3M-35.86%120.3M-1.27%187.57M-1.27%187.57M
-Total tax payable -3.83%1.56B-3.83%1.56B-2.02%1.62B-2.02%1.62B1.22%1.65B1.22%1.65B598.69%1.63B598.69%1.63B-22.88%233.44M-22.88%233.44M
-Other payable -50.00%800K-50.00%800K23.08%1.6M23.08%1.6M-23.53%1.3M-23.53%1.3M-59.79%1.7M-59.79%1.7M176.52%4.23M176.52%4.23M
Current provisions 62.14%16.7M62.14%16.7M77.59%10.3M77.59%10.3M-30.12%5.8M-30.12%5.8M-5.64%8.3M-5.64%8.3M-60.81%8.8M-60.81%8.8M
Current deferred liabilities -58.82%9.8M-58.82%9.8M45.12%23.8M45.12%23.8M--16.4M--16.4M---------7.12%13.58M-7.12%13.58M
Current liabilities -3.76%640.7M-3.76%640.7M12.77%665.7M12.77%665.7M-10.42%590.3M-10.42%590.3M46.08%659M46.08%659M-3.26%451.12M-3.26%451.12M
Non current liabilities
-Long term debt -4.14%1.49B-4.14%1.49B-1.54%1.56B-1.54%1.56B-2.94%1.58B-2.94%1.58B--1.63B--1.63B--------
Non current accrued expenses -4.03%1.42B-4.03%1.42B-3.88%1.48B-3.88%1.48B-4.75%1.54B-4.75%1.54B322.34%1.62B322.34%1.62B-9.57%383.49M-9.57%383.49M
Derivative product liabilities ----------100K--100K--------6,566.67%200K6,566.67%200K-95.31%3K-95.31%3K
Long term provisions 3.62%60.1M3.62%60.1M-13.17%58M-13.17%58M--66.8M--66.8M---------42.26%86.13M-42.26%86.13M
Employee benefits 12.50%3.6M12.50%3.6M-33.33%3.2M-33.33%3.2M37.14%4.8M37.14%4.8M5.68%3.5M5.68%3.5M5.11%3.31M5.11%3.31M
Regulatory liabilities -300.00%-400K-300.00%-400K80.00%-100K80.00%-100K76.19%-500K76.19%-500K-20.27%-2.1M-20.27%-2.1M-104.45%-1.75M-104.45%-1.75M
Preferred securities outside stock equity 0.17%58.1M0.17%58.1M-0.68%58M-0.68%58M16.33%58.4M16.33%58.4M-9.91%50.2M-9.91%50.2M16.99%55.72M16.99%55.72M
Total non current liabilities -3.81%2.2B-3.81%2.2B1.87%2.28B1.87%2.28B-2.13%2.24B-2.13%2.24B234.52%2.29B234.52%2.29B-10.98%684.56M-10.98%684.56M
Shareholders'equity
Share capital -0.42%734M-0.42%734M-0.08%737.1M-0.08%737.1M-0.05%737.7M-0.05%737.7M-0.09%738.1M-0.09%738.1M-0.04%738.76M-0.04%738.76M
-common stock -0.42%734M-0.42%734M-0.08%737.1M-0.08%737.1M-0.05%737.7M-0.05%737.7M-0.09%738.1M-0.09%738.1M-0.04%738.76M-0.04%738.76M
Gains losses not affecting retained earnings 26.32%9.6M26.32%9.6M137.50%7.6M137.50%7.6M162.75%3.2M162.75%3.2M-363.16%-5.1M-363.16%-5.1M-63.09%1.94M-63.09%1.94M
Total equity -4.46%2.44B-4.46%2.44B3.34%2.55B3.34%2.55B0.16%2.47B0.16%2.47B91.52%2.46B91.52%2.46B-4.91%1.29B-4.91%1.29B

Analysis

Analyst Rating

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Price Target

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