AU Stock MarketDetailed Quotes

NHF NIB Holdings Ltd

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  • 7.110
  • -0.060-0.84%
20min DelayMarket Closed Jul 3 16:00 AET
3.45BMarket Cap17.69P/E (Static)

NIB Holdings Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
12.63%3.28B
8.22%2.91B
2.17%2.69B
3.61%2.64B
8.48%2.54B
11.99%2.34B
6.88%2.09B
14.04%1.96B
10.04%1.72B
3,025.13%1.56B
Cash received from insurance business
12.73%3.29B
8.35%2.92B
2.17%2.69B
3.39%2.64B
8.55%2.55B
12.15%2.35B
6.73%2.09B
14.20%1.96B
10.03%1.72B
2,824.95%1.56B
Other cash income from operating activities
-103.03%-6.7M
---3.3M
----
----
-60.61%-5.3M
-3,200.00%-3.3M
96.38%-100K
---2.76M
----
96.96%-104K
Cash paid
-17.81%-3.03B
0.29%-2.58B
-6.60%-2.58B
-2.74%-2.42B
-8.97%-2.36B
-12.64%-2.16B
-6.16%-1.92B
-12.90%-1.81B
-9.28%-1.6B
-4,805.07%-1.47B
Cash paid for insurance business
-13.20%-2.31B
3.06%-2.04B
-10.20%-2.1B
-1.84%-1.91B
-10.15%-1.87B
-9.14%-1.7B
-3.65%-1.56B
-11.23%-1.5B
-8.77%-1.35B
---1.24B
Cash paid on behalf of employees
-35.21%-620.6M
-10.68%-459M
7.54%-414.7M
-7.12%-448.5M
-7.22%-418.7M
-25.16%-390.5M
-13.96%-312M
-22.13%-273.79M
-16.87%-224.17M
---191.81M
All taxes paid
-27.37%-95.4M
-17.77%-74.9M
-2.75%-63.6M
-3.17%-61.9M
11.11%-60M
-43.31%-67.5M
-64.44%-47.1M
-16.10%-28.64M
18.69%-24.67M
-6.71%-30.34M
Other cash payments from operating activities
-175.00%-12.1M
-37.50%-4.4M
42.86%-3.2M
22.22%-5.6M
-14.29%-7.2M
-34.04%-6.3M
2.43%-4.7M
-49.27%-4.82M
-20.05%-3.23M
-81.50%-2.69M
Operating cash flow
-26.93%246.7M
210.58%337.6M
-48.63%108.7M
14.69%211.6M
2.56%184.5M
4.78%179.9M
15.70%171.7M
29.94%148.4M
21.89%114.21M
367.64%93.7M
Investing cash flow
Cash flow from continuing investing activities
8.79%-236.5M
-1,003.40%-259.3M
62.93%-23.5M
44.58%-63.4M
37.14%-114.4M
-198.36%-182M
71.20%-61M
-333.45%-211.77M
-16.33%-48.86M
-275.12%-42M
Net PPE purchase and sale
-97.36%-52.3M
-12.77%-26.5M
12.64%-23.5M
5.94%-26.9M
-41.58%-28.6M
-28.66%-20.2M
2.76%-15.7M
-47.51%-16.15M
2.58%-10.95M
-25.60%-11.24M
Net intangibles purchase and sale
----
----
----
----
----
----
----
--46.26M
----
----
Net business purchase and sale
-160.17%-125.4M
---48.2M
----
----
71.63%-24.2M
-1,914.89%-85.3M
104.10%4.7M
---114.51M
----
99.76%-84K
Net investment purchase and sale
68.15%-58.8M
---184.6M
--0
51.59%-36.5M
3.83%-75.4M
-61.65%-78.4M
61.93%-48.5M
-235.99%-127.38M
-23.57%-37.91M
-144.97%-30.68M
Net proceeds payment for loan
----
----
----
----
----
----
---1.5M
----
----
----
Net other investing changes
----
----
----
----
626.32%13.8M
--1.9M
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
8.79%-236.5M
-1,003.40%-259.3M
62.93%-23.5M
44.58%-63.4M
37.14%-114.4M
-198.36%-182M
71.20%-61M
-333.45%-211.77M
-16.33%-48.86M
-275.12%-42M
Financing cash flow
Cash flow from continuing financing activities
130.81%26M
-21.79%-84.4M
39.48%-69.3M
-17.68%-114.5M
-228.36%-97.3M
193.81%75.8M
-364.57%-80.8M
134.30%30.54M
-92.30%-89.03M
-541.51%-46.3M
Net issuance payments of debt
-200.00%-21.8M
342.22%21.8M
---9M
--0
----
--80.5M
--0
--85M
----
-101.00%-550K
Net common stock issuance
1,887.65%161M
125.00%8.1M
350.00%3.6M
144.44%800K
-102.18%-1.8M
2,160.00%82.4M
-37.84%-4M
-2,018.25%-2.9M
83.63%-137K
---837K
Cash dividends paid
0.96%-113.2M
-78.87%-114.3M
38.97%-63.9M
-9.63%-104.7M
-9.77%-95.5M
-13.28%-87M
-48.89%-76.8M
41.97%-51.58M
-97.58%-88.89M
-2.49%-44.99M
Net other financing charges
----
----
----
---10.6M
----
---100K
----
--23K
----
112.90%81K
Cash from discontinued financing activities
Financing cash flow
130.81%26M
-21.79%-84.4M
39.48%-69.3M
-17.68%-114.5M
-228.36%-97.3M
193.81%75.8M
-364.57%-80.8M
134.30%30.54M
-92.30%-89.03M
-541.51%-46.3M
Net cash flow
Beginning cash position
-3.53%204.8M
8.32%212.3M
20.02%196M
-14.55%163.3M
62.64%191.1M
31.43%117.5M
-26.88%89.4M
-16.80%122.27M
5.15%146.95M
66.22%139.76M
Current changes in cash
693.44%36.2M
-138.36%-6.1M
-52.82%15.9M
223.90%33.7M
-136.91%-27.2M
146.49%73.7M
191.07%29.9M
-38.66%-32.83M
-538.56%-23.68M
-90.09%5.4M
Effect of exchange rate changes
164.29%900K
-450.00%-1.4M
140.00%400K
-66.67%-1M
-500.00%-600K
94.44%-100K
-29,900.00%-1.8M
99.41%-6K
-156.20%-1.01M
53.50%1.8M
End cash Position
18.12%241.9M
-3.53%204.8M
8.32%212.3M
20.02%196M
-14.55%163.3M
62.64%191.1M
31.39%117.5M
-26.86%89.43M
-16.80%122.27M
5.15%146.95M
Free cash flow
-37.49%194.4M
265.45%311M
-53.90%85.1M
18.41%184.6M
-2.32%155.9M
2.37%159.6M
17.90%155.9M
28.10%132.23M
25.19%103.23M
643.51%82.46M
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, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities 12.63%3.28B8.22%2.91B2.17%2.69B3.61%2.64B8.48%2.54B11.99%2.34B6.88%2.09B14.04%1.96B10.04%1.72B3,025.13%1.56B
Cash received from insurance business 12.73%3.29B8.35%2.92B2.17%2.69B3.39%2.64B8.55%2.55B12.15%2.35B6.73%2.09B14.20%1.96B10.03%1.72B2,824.95%1.56B
Other cash income from operating activities -103.03%-6.7M---3.3M---------60.61%-5.3M-3,200.00%-3.3M96.38%-100K---2.76M----96.96%-104K
Cash paid -17.81%-3.03B0.29%-2.58B-6.60%-2.58B-2.74%-2.42B-8.97%-2.36B-12.64%-2.16B-6.16%-1.92B-12.90%-1.81B-9.28%-1.6B-4,805.07%-1.47B
Cash paid for insurance business -13.20%-2.31B3.06%-2.04B-10.20%-2.1B-1.84%-1.91B-10.15%-1.87B-9.14%-1.7B-3.65%-1.56B-11.23%-1.5B-8.77%-1.35B---1.24B
Cash paid on behalf of employees -35.21%-620.6M-10.68%-459M7.54%-414.7M-7.12%-448.5M-7.22%-418.7M-25.16%-390.5M-13.96%-312M-22.13%-273.79M-16.87%-224.17M---191.81M
All taxes paid -27.37%-95.4M-17.77%-74.9M-2.75%-63.6M-3.17%-61.9M11.11%-60M-43.31%-67.5M-64.44%-47.1M-16.10%-28.64M18.69%-24.67M-6.71%-30.34M
Other cash payments from operating activities -175.00%-12.1M-37.50%-4.4M42.86%-3.2M22.22%-5.6M-14.29%-7.2M-34.04%-6.3M2.43%-4.7M-49.27%-4.82M-20.05%-3.23M-81.50%-2.69M
Operating cash flow -26.93%246.7M210.58%337.6M-48.63%108.7M14.69%211.6M2.56%184.5M4.78%179.9M15.70%171.7M29.94%148.4M21.89%114.21M367.64%93.7M
Investing cash flow
Cash flow from continuing investing activities 8.79%-236.5M-1,003.40%-259.3M62.93%-23.5M44.58%-63.4M37.14%-114.4M-198.36%-182M71.20%-61M-333.45%-211.77M-16.33%-48.86M-275.12%-42M
Net PPE purchase and sale -97.36%-52.3M-12.77%-26.5M12.64%-23.5M5.94%-26.9M-41.58%-28.6M-28.66%-20.2M2.76%-15.7M-47.51%-16.15M2.58%-10.95M-25.60%-11.24M
Net intangibles purchase and sale ------------------------------46.26M--------
Net business purchase and sale -160.17%-125.4M---48.2M--------71.63%-24.2M-1,914.89%-85.3M104.10%4.7M---114.51M----99.76%-84K
Net investment purchase and sale 68.15%-58.8M---184.6M--051.59%-36.5M3.83%-75.4M-61.65%-78.4M61.93%-48.5M-235.99%-127.38M-23.57%-37.91M-144.97%-30.68M
Net proceeds payment for loan ---------------------------1.5M------------
Net other investing changes ----------------626.32%13.8M--1.9M----------------
Cash from discontinued investing activities
Investing cash flow 8.79%-236.5M-1,003.40%-259.3M62.93%-23.5M44.58%-63.4M37.14%-114.4M-198.36%-182M71.20%-61M-333.45%-211.77M-16.33%-48.86M-275.12%-42M
Financing cash flow
Cash flow from continuing financing activities 130.81%26M-21.79%-84.4M39.48%-69.3M-17.68%-114.5M-228.36%-97.3M193.81%75.8M-364.57%-80.8M134.30%30.54M-92.30%-89.03M-541.51%-46.3M
Net issuance payments of debt -200.00%-21.8M342.22%21.8M---9M--0------80.5M--0--85M-----101.00%-550K
Net common stock issuance 1,887.65%161M125.00%8.1M350.00%3.6M144.44%800K-102.18%-1.8M2,160.00%82.4M-37.84%-4M-2,018.25%-2.9M83.63%-137K---837K
Cash dividends paid 0.96%-113.2M-78.87%-114.3M38.97%-63.9M-9.63%-104.7M-9.77%-95.5M-13.28%-87M-48.89%-76.8M41.97%-51.58M-97.58%-88.89M-2.49%-44.99M
Net other financing charges ---------------10.6M-------100K------23K----112.90%81K
Cash from discontinued financing activities
Financing cash flow 130.81%26M-21.79%-84.4M39.48%-69.3M-17.68%-114.5M-228.36%-97.3M193.81%75.8M-364.57%-80.8M134.30%30.54M-92.30%-89.03M-541.51%-46.3M
Net cash flow
Beginning cash position -3.53%204.8M8.32%212.3M20.02%196M-14.55%163.3M62.64%191.1M31.43%117.5M-26.88%89.4M-16.80%122.27M5.15%146.95M66.22%139.76M
Current changes in cash 693.44%36.2M-138.36%-6.1M-52.82%15.9M223.90%33.7M-136.91%-27.2M146.49%73.7M191.07%29.9M-38.66%-32.83M-538.56%-23.68M-90.09%5.4M
Effect of exchange rate changes 164.29%900K-450.00%-1.4M140.00%400K-66.67%-1M-500.00%-600K94.44%-100K-29,900.00%-1.8M99.41%-6K-156.20%-1.01M53.50%1.8M
End cash Position 18.12%241.9M-3.53%204.8M8.32%212.3M20.02%196M-14.55%163.3M62.64%191.1M31.39%117.5M-26.86%89.43M-16.80%122.27M5.15%146.95M
Free cash flow -37.49%194.4M265.45%311M-53.90%85.1M18.41%184.6M-2.32%155.9M2.37%159.6M17.90%155.9M28.10%132.23M25.19%103.23M643.51%82.46M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

No Data

Price Target

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