AU Stock MarketDetailed Quotes

PSI PSC Insurance Group Ltd

Watchlist
  • 6.170
  • -0.010-0.16%
20min DelayMarket Closed Sep 27 16:00 AET
2.25BMarket Cap39.30P/E (Static)

PSC Insurance Group 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
-1.91%72.38M
-1.91%72.38M
-30.95%73.79M
-30.95%73.79M
119.12%106.87M
119.12%106.87M
87.36%48.77M
87.36%48.77M
-80.43%26.03M
-80.43%26.03M
-Cash and cash equivalents
-0.29%71.16M
-0.29%71.16M
-32.74%71.37M
-32.74%71.37M
121.88%106.11M
121.88%106.11M
84.13%47.82M
84.13%47.82M
-80.46%25.97M
-80.46%25.97M
-Notes receivable
16.64%806K
16.64%806K
27.73%691K
27.73%691K
-11.75%541K
-11.75%541K
8.50%613K
8.50%613K
24.18%565K
24.18%565K
-Other receivables
15.86%24.88M
15.86%24.88M
18.62%21.47M
18.62%21.47M
7.85%18.1M
7.85%18.1M
32.74%16.79M
32.74%16.79M
204.94%12.65M
204.94%12.65M
Total current assets
13.65%500.12M
13.65%500.12M
2.97%440.04M
2.97%440.04M
16.13%427.35M
16.13%427.35M
39.34%367.98M
39.34%367.98M
-54.26%264.09M
-54.26%264.09M
Non current assets
-Accumulated depreciation
1.69%-17.57M
1.69%-17.57M
-28.03%-17.87M
-28.03%-17.87M
-7.58%-13.96M
-7.58%-13.96M
-16.59%-12.98M
-16.59%-12.98M
-73.81%-11.13M
-73.81%-11.13M
Investment properties
39.96%76.33M
39.96%76.33M
37.98%54.54M
37.98%54.54M
-13.69%39.53M
-13.69%39.53M
40.98%45.8M
40.98%45.8M
-32.29%32.49M
-32.29%32.49M
-Long term equity investment
0.43%230.53M
0.43%230.53M
11.73%229.54M
11.73%229.54M
4.84%205.44M
4.84%205.44M
13.65%195.95M
13.65%195.95M
208.81%172.41M
208.81%172.41M
-Including:Held to maturity investments
-80.74%202K
-80.74%202K
--1.05M
--1.05M
----
----
--519K
--519K
----
----
Financial assets
----
----
--52K
--52K
----
----
----
----
----
----
Non current note receivables
----
----
----
----
----
----
----
----
17.33%3.94M
17.33%3.94M
-Goodwill
4.56%543.61M
4.56%543.61M
13.69%519.89M
13.69%519.89M
8.65%457.3M
8.65%457.3M
33.03%420.88M
33.03%420.88M
192.73%316.37M
192.73%316.37M
Regulatory assets
-30.85%7.99M
-30.85%7.99M
12.50%11.55M
12.50%11.55M
21.52%10.26M
21.52%10.26M
-27.26%8.45M
-27.26%8.45M
-97.35%11.61M
-97.35%11.61M
Non current deferred assets
87.55%1.33M
87.55%1.33M
-30.82%707K
-30.82%707K
-30.05%1.02M
-30.05%1.02M
-57.03%1.46M
-57.03%1.46M
0.80%3.4M
0.80%3.4M
Liabilities
Current liabilities
Current debt and capital lease obligation
5.15%6.51M
5.15%6.51M
27.86%6.19M
27.86%6.19M
22.21%4.84M
22.21%4.84M
69.24%3.96M
69.24%3.96M
96.39%2.34M
96.39%2.34M
-Current capital lease obligation
5.15%6.51M
5.15%6.51M
27.86%6.19M
27.86%6.19M
22.21%4.84M
22.21%4.84M
69.24%3.96M
69.24%3.96M
--2.34M
--2.34M
-accounts payable
19.27%331.44M
19.27%331.44M
13.36%277.89M
13.36%277.89M
-0.69%245.14M
-0.69%245.14M
44.88%246.83M
44.88%246.83M
-66.87%170.38M
-66.87%170.38M
-Total tax payable
1.68%285.2M
1.68%285.2M
15.05%280.5M
15.05%280.5M
1.44%243.81M
1.44%243.81M
21.44%240.35M
21.44%240.35M
177.22%197.91M
177.22%197.91M
Current provisions
----
----
----
----
--906K
--906K
----
----
--1.13M
--1.13M
Current deferred liabilities
44.47%9.41M
44.47%9.41M
3.07%6.51M
3.07%6.51M
24.31%6.32M
24.31%6.32M
27.31%5.08M
27.31%5.08M
-51.64%3.99M
-51.64%3.99M
Current liabilities
18.17%406.79M
18.17%406.79M
6.16%344.24M
6.16%344.24M
7.33%324.25M
7.33%324.25M
37.42%302.11M
37.42%302.11M
-59.35%219.85M
-59.35%219.85M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
6.49%1.21M
6.49%1.21M
-52.66%1.14M
-52.66%1.14M
--2.41M
--2.41M
-Long term debt
9.21%17.31M
9.21%17.31M
-14.13%15.85M
-14.13%15.85M
-4.20%18.46M
-4.20%18.46M
38.54%19.27M
38.54%19.27M
--13.91M
--13.91M
Non current accrued expenses
11.05%39.3M
11.05%39.3M
-4.80%35.39M
-4.80%35.39M
-4.31%37.17M
-4.31%37.17M
23.25%38.85M
23.25%38.85M
106.52%31.52M
106.52%31.52M
Derivative product liabilities
----
----
----
----
----
----
-76.59%48K
-76.59%48K
--205K
--205K
Long term provisions
-0.22%213.22M
-0.22%213.22M
14.29%213.69M
14.29%213.69M
5.83%186.98M
5.83%186.98M
11.47%176.68M
11.47%176.68M
183.90%158.51M
183.90%158.51M
Employee benefits
16.64%806K
16.64%806K
27.73%691K
27.73%691K
-11.75%541K
-11.75%541K
8.50%613K
8.50%613K
24.18%565K
24.18%565K
Trust preferred securities
39.96%76.33M
39.96%76.33M
37.98%54.54M
37.98%54.54M
-13.69%39.53M
-13.69%39.53M
40.98%45.8M
40.98%45.8M
-32.29%32.49M
-32.29%32.49M
Preferred securities outside stock equity
16.15%7.45M
16.15%7.45M
17.43%6.41M
17.43%6.41M
18.72%5.46M
18.72%5.46M
1.28%4.6M
1.28%4.6M
42.70%4.54M
42.70%4.54M
Total non current liabilities
10.77%691.99M
10.77%691.99M
9.98%624.74M
9.98%624.74M
4.72%568.06M
4.72%568.06M
29.85%542.46M
29.85%542.46M
-31.77%417.76M
-31.77%417.76M
Shareholders'equity
Share capital
6.37%453.1M
6.37%453.1M
3.48%425.98M
3.48%425.98M
24.30%411.66M
24.30%411.66M
36.26%331.17M
36.26%331.17M
72.90%243.04M
72.90%243.04M
-common stock
6.37%453.1M
6.37%453.1M
3.48%425.98M
3.48%425.98M
24.30%411.66M
24.30%411.66M
36.26%331.17M
36.26%331.17M
72.90%243.04M
72.90%243.04M
Gains losses not affecting retained earnings
23.10%-19.53M
23.10%-19.53M
45.85%-25.39M
45.85%-25.39M
-25.88%-46.89M
-25.88%-46.89M
7.91%-37.25M
7.91%-37.25M
-18.20%-40.45M
-18.20%-40.45M
Other equity interest
18.85%411.31M
18.85%411.31M
14.00%346.09M
14.00%346.09M
0.46%303.58M
0.46%303.58M
38.96%302.18M
38.96%302.18M
5,683.40%217.46M
5,683.40%217.46M
Noncontrolling interests
2.11%24.53M
2.11%24.53M
160.12%24.03M
160.12%24.03M
1.15%9.24M
1.15%9.24M
7.27%9.13M
7.27%9.13M
12.43%8.51M
12.43%8.51M
Total equity
9.92%1.19B
9.92%1.19B
10.61%1.08B
10.61%1.08B
9.90%976.83M
9.90%976.83M
34.21%888.86M
34.21%888.86M
-13.59%662.28M
-13.59%662.28M
(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 -1.91%72.38M-1.91%72.38M-30.95%73.79M-30.95%73.79M119.12%106.87M119.12%106.87M87.36%48.77M87.36%48.77M-80.43%26.03M-80.43%26.03M
-Cash and cash equivalents -0.29%71.16M-0.29%71.16M-32.74%71.37M-32.74%71.37M121.88%106.11M121.88%106.11M84.13%47.82M84.13%47.82M-80.46%25.97M-80.46%25.97M
-Notes receivable 16.64%806K16.64%806K27.73%691K27.73%691K-11.75%541K-11.75%541K8.50%613K8.50%613K24.18%565K24.18%565K
-Other receivables 15.86%24.88M15.86%24.88M18.62%21.47M18.62%21.47M7.85%18.1M7.85%18.1M32.74%16.79M32.74%16.79M204.94%12.65M204.94%12.65M
Total current assets 13.65%500.12M13.65%500.12M2.97%440.04M2.97%440.04M16.13%427.35M16.13%427.35M39.34%367.98M39.34%367.98M-54.26%264.09M-54.26%264.09M
Non current assets
-Accumulated depreciation 1.69%-17.57M1.69%-17.57M-28.03%-17.87M-28.03%-17.87M-7.58%-13.96M-7.58%-13.96M-16.59%-12.98M-16.59%-12.98M-73.81%-11.13M-73.81%-11.13M
Investment properties 39.96%76.33M39.96%76.33M37.98%54.54M37.98%54.54M-13.69%39.53M-13.69%39.53M40.98%45.8M40.98%45.8M-32.29%32.49M-32.29%32.49M
-Long term equity investment 0.43%230.53M0.43%230.53M11.73%229.54M11.73%229.54M4.84%205.44M4.84%205.44M13.65%195.95M13.65%195.95M208.81%172.41M208.81%172.41M
-Including:Held to maturity investments -80.74%202K-80.74%202K--1.05M--1.05M----------519K--519K--------
Financial assets ----------52K--52K------------------------
Non current note receivables --------------------------------17.33%3.94M17.33%3.94M
-Goodwill 4.56%543.61M4.56%543.61M13.69%519.89M13.69%519.89M8.65%457.3M8.65%457.3M33.03%420.88M33.03%420.88M192.73%316.37M192.73%316.37M
Regulatory assets -30.85%7.99M-30.85%7.99M12.50%11.55M12.50%11.55M21.52%10.26M21.52%10.26M-27.26%8.45M-27.26%8.45M-97.35%11.61M-97.35%11.61M
Non current deferred assets 87.55%1.33M87.55%1.33M-30.82%707K-30.82%707K-30.05%1.02M-30.05%1.02M-57.03%1.46M-57.03%1.46M0.80%3.4M0.80%3.4M
Liabilities
Current liabilities
Current debt and capital lease obligation 5.15%6.51M5.15%6.51M27.86%6.19M27.86%6.19M22.21%4.84M22.21%4.84M69.24%3.96M69.24%3.96M96.39%2.34M96.39%2.34M
-Current capital lease obligation 5.15%6.51M5.15%6.51M27.86%6.19M27.86%6.19M22.21%4.84M22.21%4.84M69.24%3.96M69.24%3.96M--2.34M--2.34M
-accounts payable 19.27%331.44M19.27%331.44M13.36%277.89M13.36%277.89M-0.69%245.14M-0.69%245.14M44.88%246.83M44.88%246.83M-66.87%170.38M-66.87%170.38M
-Total tax payable 1.68%285.2M1.68%285.2M15.05%280.5M15.05%280.5M1.44%243.81M1.44%243.81M21.44%240.35M21.44%240.35M177.22%197.91M177.22%197.91M
Current provisions ------------------906K--906K----------1.13M--1.13M
Current deferred liabilities 44.47%9.41M44.47%9.41M3.07%6.51M3.07%6.51M24.31%6.32M24.31%6.32M27.31%5.08M27.31%5.08M-51.64%3.99M-51.64%3.99M
Current liabilities 18.17%406.79M18.17%406.79M6.16%344.24M6.16%344.24M7.33%324.25M7.33%324.25M37.42%302.11M37.42%302.11M-59.35%219.85M-59.35%219.85M
Non current liabilities
Long term debt and capital lease obligation ----------------6.49%1.21M6.49%1.21M-52.66%1.14M-52.66%1.14M--2.41M--2.41M
-Long term debt 9.21%17.31M9.21%17.31M-14.13%15.85M-14.13%15.85M-4.20%18.46M-4.20%18.46M38.54%19.27M38.54%19.27M--13.91M--13.91M
Non current accrued expenses 11.05%39.3M11.05%39.3M-4.80%35.39M-4.80%35.39M-4.31%37.17M-4.31%37.17M23.25%38.85M23.25%38.85M106.52%31.52M106.52%31.52M
Derivative product liabilities -------------------------76.59%48K-76.59%48K--205K--205K
Long term provisions -0.22%213.22M-0.22%213.22M14.29%213.69M14.29%213.69M5.83%186.98M5.83%186.98M11.47%176.68M11.47%176.68M183.90%158.51M183.90%158.51M
Employee benefits 16.64%806K16.64%806K27.73%691K27.73%691K-11.75%541K-11.75%541K8.50%613K8.50%613K24.18%565K24.18%565K
Trust preferred securities 39.96%76.33M39.96%76.33M37.98%54.54M37.98%54.54M-13.69%39.53M-13.69%39.53M40.98%45.8M40.98%45.8M-32.29%32.49M-32.29%32.49M
Preferred securities outside stock equity 16.15%7.45M16.15%7.45M17.43%6.41M17.43%6.41M18.72%5.46M18.72%5.46M1.28%4.6M1.28%4.6M42.70%4.54M42.70%4.54M
Total non current liabilities 10.77%691.99M10.77%691.99M9.98%624.74M9.98%624.74M4.72%568.06M4.72%568.06M29.85%542.46M29.85%542.46M-31.77%417.76M-31.77%417.76M
Shareholders'equity
Share capital 6.37%453.1M6.37%453.1M3.48%425.98M3.48%425.98M24.30%411.66M24.30%411.66M36.26%331.17M36.26%331.17M72.90%243.04M72.90%243.04M
-common stock 6.37%453.1M6.37%453.1M3.48%425.98M3.48%425.98M24.30%411.66M24.30%411.66M36.26%331.17M36.26%331.17M72.90%243.04M72.90%243.04M
Gains losses not affecting retained earnings 23.10%-19.53M23.10%-19.53M45.85%-25.39M45.85%-25.39M-25.88%-46.89M-25.88%-46.89M7.91%-37.25M7.91%-37.25M-18.20%-40.45M-18.20%-40.45M
Other equity interest 18.85%411.31M18.85%411.31M14.00%346.09M14.00%346.09M0.46%303.58M0.46%303.58M38.96%302.18M38.96%302.18M5,683.40%217.46M5,683.40%217.46M
Noncontrolling interests 2.11%24.53M2.11%24.53M160.12%24.03M160.12%24.03M1.15%9.24M1.15%9.24M7.27%9.13M7.27%9.13M12.43%8.51M12.43%8.51M
Total equity 9.92%1.19B9.92%1.19B10.61%1.08B10.61%1.08B9.90%976.83M9.90%976.83M34.21%888.86M34.21%888.86M-13.59%662.28M-13.59%662.28M

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
AU
Overall
Symbol
Latest Price
% Chg

No Data