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PPC Peet Ltd

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  • 1.310
  • 0.0000.00%
20min DelayMarket Closed Oct 17 16:00 AET
613.44MMarket Cap16.79P/E (Static)

Peet 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
-38.75%23.76M
-38.75%23.76M
-29.96%38.79M
-29.96%38.79M
-13.64%55.38M
-13.64%55.38M
36.91%64.13M
36.91%64.13M
39.37%46.84M
39.37%46.84M
-Cash and cash equivalents
-38.75%23.76M
-38.75%23.76M
-29.96%38.79M
-29.96%38.79M
-13.64%55.38M
-13.64%55.38M
36.91%64.13M
36.91%64.13M
39.37%46.84M
39.37%46.84M
-Accounts receivable
13.29%9.31M
13.29%9.31M
12.36%8.22M
12.36%8.22M
-5.36%7.31M
-5.36%7.31M
-6.03%7.73M
-6.03%7.73M
-2.61%8.22M
-2.61%8.22M
-Notes receivable
8.26%262K
8.26%262K
62.42%242K
62.42%242K
-5.70%149K
-5.70%149K
-26.85%158K
-26.85%158K
0.00%216K
0.00%216K
-Other receivables
-88.11%430K
-88.11%430K
31.86%3.62M
31.86%3.62M
-43.13%2.74M
-43.13%2.74M
-19.88%4.82M
-19.88%4.82M
-89.59%6.02M
-89.59%6.02M
Total current assets
-0.40%244.78M
-0.40%244.78M
-19.07%245.77M
-19.07%245.77M
40.29%303.7M
40.29%303.7M
20.66%216.48M
20.66%216.48M
9.00%179.4M
9.00%179.4M
Non current assets
-Long term equity investment
53.84%343.97M
53.84%343.97M
-12.53%223.59M
-12.53%223.59M
-4.68%255.61M
-4.68%255.61M
58.30%268.15M
58.30%268.15M
-29.45%169.4M
-29.45%169.4M
-Goodwill
-28.07%1.28M
-28.07%1.28M
-7.49%1.78M
-7.49%1.78M
-12.40%1.92M
-12.40%1.92M
-53.59%2.19M
-53.59%2.19M
-17.13%4.73M
-17.13%4.73M
Regulatory assets
1.79%19.89M
1.79%19.89M
-15.23%19.54M
-15.23%19.54M
-11.11%23.05M
-11.11%23.05M
-29.82%25.93M
-29.82%25.93M
94.45%36.94M
94.45%36.94M
Non current deferred assets
-5.65%43.29M
-5.65%43.29M
9.30%45.88M
9.30%45.88M
-20.51%41.98M
-20.51%41.98M
-28.55%52.81M
-28.55%52.81M
-26.09%73.91M
-26.09%73.91M
Liabilities
Current liabilities
Current debt and capital lease obligation
-92.11%6.21M
-92.11%6.21M
51.58%78.66M
51.58%78.66M
869.60%51.89M
869.60%51.89M
-95.54%5.35M
-95.54%5.35M
2,258.49%119.88M
2,258.49%119.88M
-Current debt
-93.13%5.3M
-93.13%5.3M
54.39%77.1M
54.39%77.1M
1,304.64%49.94M
1,304.64%49.94M
-96.99%3.56M
-96.99%3.56M
2,226.87%118.28M
2,226.87%118.28M
-Current capital lease obligation
-41.87%908K
-41.87%908K
-20.22%1.56M
-20.22%1.56M
8.96%1.96M
8.96%1.96M
11.82%1.8M
11.82%1.8M
--1.61M
--1.61M
-accounts payable
-24.82%33.92M
-24.82%33.92M
80.93%45.12M
80.93%45.12M
-16.11%24.94M
-16.11%24.94M
9.96%29.73M
9.96%29.73M
243.99%27.03M
243.99%27.03M
-Total tax payable
51.23%406.71M
51.23%406.71M
-12.06%268.93M
-12.06%268.93M
3.09%305.83M
3.09%305.83M
47.32%296.67M
47.32%296.67M
-25.37%201.38M
-25.37%201.38M
-Other payable
11.93%601.46M
11.93%601.46M
18.96%537.35M
18.96%537.35M
19.26%451.69M
19.26%451.69M
-3.22%378.75M
-3.22%378.75M
-5.22%391.37M
-5.22%391.37M
Current provisions
33.44%26.48M
33.44%26.48M
47.52%19.84M
47.52%19.84M
22.67%13.45M
22.67%13.45M
-4.20%10.96M
-4.20%10.96M
277.35%11.45M
277.35%11.45M
Current deferred liabilities
-80.71%2.38M
-80.71%2.38M
22.98%12.33M
22.98%12.33M
57.40%10.03M
57.40%10.03M
827.37%6.37M
827.37%6.37M
-92.29%687K
-92.29%687K
Current liabilities
-46.44%92.38M
-46.44%92.38M
41.60%172.47M
41.60%172.47M
101.23%121.81M
101.23%121.81M
-65.33%60.53M
-65.33%60.53M
89.10%174.6M
89.10%174.6M
Non current liabilities
-Long term debt
215.13%3.94M
215.13%3.94M
-29.28%1.25M
-29.28%1.25M
-52.57%1.77M
-52.57%1.77M
-32.55%3.72M
-32.55%3.72M
--5.52M
--5.52M
Non current accrued expenses
62.21%8.39M
62.21%8.39M
-5.03%5.17M
-5.03%5.17M
-21.59%5.45M
-21.59%5.45M
-25.69%6.94M
-25.69%6.94M
78.44%9.35M
78.44%9.35M
Derivative product liabilities
----
----
----
----
----
----
----
----
-17.01%4.41M
-17.01%4.41M
Long term provisions
52.93%340.04M
52.93%340.04M
-12.41%222.34M
-12.41%222.34M
-4.00%253.85M
-4.00%253.85M
61.36%264.43M
61.36%264.43M
-31.75%163.88M
-31.75%163.88M
Employee benefits
8.26%262K
8.26%262K
62.42%242K
62.42%242K
-5.70%149K
-5.70%149K
-26.85%158K
-26.85%158K
0.00%216K
0.00%216K
Regulatory liabilities
99.62%-2K
99.62%-2K
84.80%-522K
84.80%-522K
-9.26%-3.43M
-9.26%-3.43M
-4,205.48%-3.14M
-4,205.48%-3.14M
---73K
---73K
Preferred securities outside stock equity
-0.79%4.04M
-0.79%4.04M
3.12%4.07M
3.12%4.07M
19.79%3.95M
19.79%3.95M
3.52%3.3M
3.52%3.3M
-1.61%3.18M
-1.61%3.18M
Total non current liabilities
13.07%499.09M
13.07%499.09M
3.22%441.41M
3.22%441.41M
19.72%427.63M
19.72%427.63M
-4.99%357.2M
-4.99%357.2M
3.81%375.98M
3.81%375.98M
Shareholders'equity
Share capital
-0.77%363.59M
-0.77%363.59M
-2.22%366.42M
-2.22%366.42M
-1.10%374.73M
-1.10%374.73M
0.00%378.92M
0.00%378.92M
0.00%378.92M
0.00%378.92M
-common stock
-0.77%363.59M
-0.77%363.59M
-2.22%366.42M
-2.22%366.42M
-1.10%374.73M
-1.10%374.73M
0.00%378.92M
0.00%378.92M
0.00%378.92M
0.00%378.92M
Gains losses not affecting retained earnings
-324.46%-734K
-324.46%-734K
-44.01%327K
-44.01%327K
140.30%584K
140.30%584K
43.33%-1.45M
43.33%-1.45M
49.38%-2.56M
49.38%-2.56M
Other equity interest
91.43%11.75M
91.43%11.75M
-69.11%6.14M
-69.11%6.14M
72.37%19.87M
72.37%19.87M
35.05%11.53M
35.05%11.53M
36.93%8.54M
36.93%8.54M
Noncontrolling interests
0.28%194.9M
0.28%194.9M
3.38%194.35M
3.38%194.35M
-19.18%188.01M
-19.18%188.01M
0.24%232.62M
0.24%232.62M
-0.69%232.06M
-0.69%232.06M
Total equity
6.19%1.09B
6.19%1.09B
3.78%1.03B
3.78%1.03B
11.57%992.74M
11.57%992.74M
-0.11%889.8M
-0.11%889.8M
-3.39%890.82M
-3.39%890.82M
(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 -38.75%23.76M-38.75%23.76M-29.96%38.79M-29.96%38.79M-13.64%55.38M-13.64%55.38M36.91%64.13M36.91%64.13M39.37%46.84M39.37%46.84M
-Cash and cash equivalents -38.75%23.76M-38.75%23.76M-29.96%38.79M-29.96%38.79M-13.64%55.38M-13.64%55.38M36.91%64.13M36.91%64.13M39.37%46.84M39.37%46.84M
-Accounts receivable 13.29%9.31M13.29%9.31M12.36%8.22M12.36%8.22M-5.36%7.31M-5.36%7.31M-6.03%7.73M-6.03%7.73M-2.61%8.22M-2.61%8.22M
-Notes receivable 8.26%262K8.26%262K62.42%242K62.42%242K-5.70%149K-5.70%149K-26.85%158K-26.85%158K0.00%216K0.00%216K
-Other receivables -88.11%430K-88.11%430K31.86%3.62M31.86%3.62M-43.13%2.74M-43.13%2.74M-19.88%4.82M-19.88%4.82M-89.59%6.02M-89.59%6.02M
Total current assets -0.40%244.78M-0.40%244.78M-19.07%245.77M-19.07%245.77M40.29%303.7M40.29%303.7M20.66%216.48M20.66%216.48M9.00%179.4M9.00%179.4M
Non current assets
-Long term equity investment 53.84%343.97M53.84%343.97M-12.53%223.59M-12.53%223.59M-4.68%255.61M-4.68%255.61M58.30%268.15M58.30%268.15M-29.45%169.4M-29.45%169.4M
-Goodwill -28.07%1.28M-28.07%1.28M-7.49%1.78M-7.49%1.78M-12.40%1.92M-12.40%1.92M-53.59%2.19M-53.59%2.19M-17.13%4.73M-17.13%4.73M
Regulatory assets 1.79%19.89M1.79%19.89M-15.23%19.54M-15.23%19.54M-11.11%23.05M-11.11%23.05M-29.82%25.93M-29.82%25.93M94.45%36.94M94.45%36.94M
Non current deferred assets -5.65%43.29M-5.65%43.29M9.30%45.88M9.30%45.88M-20.51%41.98M-20.51%41.98M-28.55%52.81M-28.55%52.81M-26.09%73.91M-26.09%73.91M
Liabilities
Current liabilities
Current debt and capital lease obligation -92.11%6.21M-92.11%6.21M51.58%78.66M51.58%78.66M869.60%51.89M869.60%51.89M-95.54%5.35M-95.54%5.35M2,258.49%119.88M2,258.49%119.88M
-Current debt -93.13%5.3M-93.13%5.3M54.39%77.1M54.39%77.1M1,304.64%49.94M1,304.64%49.94M-96.99%3.56M-96.99%3.56M2,226.87%118.28M2,226.87%118.28M
-Current capital lease obligation -41.87%908K-41.87%908K-20.22%1.56M-20.22%1.56M8.96%1.96M8.96%1.96M11.82%1.8M11.82%1.8M--1.61M--1.61M
-accounts payable -24.82%33.92M-24.82%33.92M80.93%45.12M80.93%45.12M-16.11%24.94M-16.11%24.94M9.96%29.73M9.96%29.73M243.99%27.03M243.99%27.03M
-Total tax payable 51.23%406.71M51.23%406.71M-12.06%268.93M-12.06%268.93M3.09%305.83M3.09%305.83M47.32%296.67M47.32%296.67M-25.37%201.38M-25.37%201.38M
-Other payable 11.93%601.46M11.93%601.46M18.96%537.35M18.96%537.35M19.26%451.69M19.26%451.69M-3.22%378.75M-3.22%378.75M-5.22%391.37M-5.22%391.37M
Current provisions 33.44%26.48M33.44%26.48M47.52%19.84M47.52%19.84M22.67%13.45M22.67%13.45M-4.20%10.96M-4.20%10.96M277.35%11.45M277.35%11.45M
Current deferred liabilities -80.71%2.38M-80.71%2.38M22.98%12.33M22.98%12.33M57.40%10.03M57.40%10.03M827.37%6.37M827.37%6.37M-92.29%687K-92.29%687K
Current liabilities -46.44%92.38M-46.44%92.38M41.60%172.47M41.60%172.47M101.23%121.81M101.23%121.81M-65.33%60.53M-65.33%60.53M89.10%174.6M89.10%174.6M
Non current liabilities
-Long term debt 215.13%3.94M215.13%3.94M-29.28%1.25M-29.28%1.25M-52.57%1.77M-52.57%1.77M-32.55%3.72M-32.55%3.72M--5.52M--5.52M
Non current accrued expenses 62.21%8.39M62.21%8.39M-5.03%5.17M-5.03%5.17M-21.59%5.45M-21.59%5.45M-25.69%6.94M-25.69%6.94M78.44%9.35M78.44%9.35M
Derivative product liabilities ---------------------------------17.01%4.41M-17.01%4.41M
Long term provisions 52.93%340.04M52.93%340.04M-12.41%222.34M-12.41%222.34M-4.00%253.85M-4.00%253.85M61.36%264.43M61.36%264.43M-31.75%163.88M-31.75%163.88M
Employee benefits 8.26%262K8.26%262K62.42%242K62.42%242K-5.70%149K-5.70%149K-26.85%158K-26.85%158K0.00%216K0.00%216K
Regulatory liabilities 99.62%-2K99.62%-2K84.80%-522K84.80%-522K-9.26%-3.43M-9.26%-3.43M-4,205.48%-3.14M-4,205.48%-3.14M---73K---73K
Preferred securities outside stock equity -0.79%4.04M-0.79%4.04M3.12%4.07M3.12%4.07M19.79%3.95M19.79%3.95M3.52%3.3M3.52%3.3M-1.61%3.18M-1.61%3.18M
Total non current liabilities 13.07%499.09M13.07%499.09M3.22%441.41M3.22%441.41M19.72%427.63M19.72%427.63M-4.99%357.2M-4.99%357.2M3.81%375.98M3.81%375.98M
Shareholders'equity
Share capital -0.77%363.59M-0.77%363.59M-2.22%366.42M-2.22%366.42M-1.10%374.73M-1.10%374.73M0.00%378.92M0.00%378.92M0.00%378.92M0.00%378.92M
-common stock -0.77%363.59M-0.77%363.59M-2.22%366.42M-2.22%366.42M-1.10%374.73M-1.10%374.73M0.00%378.92M0.00%378.92M0.00%378.92M0.00%378.92M
Gains losses not affecting retained earnings -324.46%-734K-324.46%-734K-44.01%327K-44.01%327K140.30%584K140.30%584K43.33%-1.45M43.33%-1.45M49.38%-2.56M49.38%-2.56M
Other equity interest 91.43%11.75M91.43%11.75M-69.11%6.14M-69.11%6.14M72.37%19.87M72.37%19.87M35.05%11.53M35.05%11.53M36.93%8.54M36.93%8.54M
Noncontrolling interests 0.28%194.9M0.28%194.9M3.38%194.35M3.38%194.35M-19.18%188.01M-19.18%188.01M0.24%232.62M0.24%232.62M-0.69%232.06M-0.69%232.06M
Total equity 6.19%1.09B6.19%1.09B3.78%1.03B3.78%1.03B11.57%992.74M11.57%992.74M-0.11%889.8M-0.11%889.8M-3.39%890.82M-3.39%890.82M

Analysis

Analyst Rating

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Price Target

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