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SEK Seek Ltd

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  • 25.600
  • +0.190+0.75%
20min DelayMarket Closed Nov 15 16:00 AET
9.13BMarket Cap-90459P/E (Static)

Seek 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
-20.67%199.6M
-20.67%199.6M
-22.63%251.6M
-22.63%251.6M
-33.89%325.2M
-33.89%325.2M
-25.10%491.9M
-25.10%491.9M
23.09%656.7M
23.09%656.7M
-Cash and cash equivalents
-20.68%199.4M
-20.68%199.4M
-22.67%251.4M
-22.67%251.4M
-33.90%325.1M
-33.90%325.1M
-18.68%491.8M
-18.68%491.8M
57.95%604.8M
57.95%604.8M
-Short term investments
0.00%200K
0.00%200K
100.00%200K
100.00%200K
0.00%100K
0.00%100K
-99.81%100K
-99.81%100K
-65.54%51.9M
-65.54%51.9M
Receivables
-20.72%114.8M
-20.72%114.8M
-74.59%144.8M
-74.59%144.8M
-24.04%569.8M
-24.04%569.8M
529.28%750.1M
529.28%750.1M
2.41%119.2M
2.41%119.2M
-Accounts receivable
-5.41%103.1M
-5.41%103.1M
6.76%109M
6.76%109M
33.46%102.1M
33.46%102.1M
46.55%76.5M
46.55%76.5M
-44.59%52.2M
-44.59%52.2M
-Other receivables
-63.02%14.2M
-63.02%14.2M
-91.91%38.4M
-91.91%38.4M
-30.03%474.4M
-30.03%474.4M
833.88%678M
833.88%678M
175.00%72.6M
175.00%72.6M
-Recievables adjustments allowances
3.85%-2.5M
3.85%-2.5M
61.19%-2.6M
61.19%-2.6M
-52.27%-6.7M
-52.27%-6.7M
21.43%-4.4M
21.43%-4.4M
-33.33%-5.6M
-33.33%-5.6M
Prepaid assets
8.26%26.2M
8.26%26.2M
-8.68%24.2M
-8.68%24.2M
26.19%26.5M
26.19%26.5M
-35.19%21M
-35.19%21M
3.18%32.4M
3.18%32.4M
Current deferred assets
-82.19%4.4M
-82.19%4.4M
394.00%24.7M
394.00%24.7M
-20.63%5M
-20.63%5M
96.88%6.3M
96.88%6.3M
-11.11%3.2M
-11.11%3.2M
Hedging assets-current
-15.71%26.3M
-15.71%26.3M
-31.43%31.2M
-31.43%31.2M
983.33%45.5M
983.33%45.5M
-26.32%4.2M
-26.32%4.2M
-31.33%5.7M
-31.33%5.7M
Holding assets for sale
----
----
----
----
23.41%1.31B
23.41%1.31B
--1.06B
--1.06B
----
----
Other current assets
--30M
--30M
----
----
----
----
----
----
----
----
Total current assets
-15.78%401.3M
-15.78%401.3M
-79.15%476.5M
-79.15%476.5M
-2.24%2.29B
-2.24%2.29B
186.10%2.34B
186.10%2.34B
17.89%817.2M
17.89%817.2M
Non current assets
Net PPE
-10.60%204.1M
-10.60%204.1M
-5.50%228.3M
-5.50%228.3M
-7.15%241.6M
-7.15%241.6M
185.93%260.2M
185.93%260.2M
111.63%91M
111.63%91M
-Gross PPE
-10.60%204.1M
-10.60%204.1M
-5.50%228.3M
-5.50%228.3M
-7.15%241.6M
-7.15%241.6M
185.93%260.2M
185.93%260.2M
111.63%91M
111.63%91M
Investments and advances
-11.64%2.54B
-11.64%2.54B
320.34%2.87B
320.34%2.87B
19.14%683.4M
19.14%683.4M
-18.60%573.6M
-18.60%573.6M
18.04%704.7M
18.04%704.7M
-Long term equity investment
-10.82%2.26B
-10.82%2.26B
327.28%2.54B
327.28%2.54B
5.51%593.4M
5.51%593.4M
109.62%562.4M
109.62%562.4M
13.11%268.3M
13.11%268.3M
-Financial asset investment
----
----
----
----
729.13%85.4M
729.13%85.4M
-94.76%10.3M
-94.76%10.3M
23.88%196.6M
23.88%196.6M
-Including:Trading securities
----
----
----
----
729.13%85.4M
729.13%85.4M
-94.76%10.3M
-94.76%10.3M
23.88%196.6M
23.88%196.6M
-Other investment
-17.77%277.2M
-17.77%277.2M
7,228.26%337.1M
7,228.26%337.1M
411.11%4.6M
411.11%4.6M
-99.62%900K
-99.62%900K
19.24%239.8M
19.24%239.8M
Non current accounts receivable
----
----
----
----
----
----
----
----
-24.16%114.9M
-24.16%114.9M
Goodwill and other intangible assets
-1.62%1.61B
-1.62%1.61B
10.09%1.64B
10.09%1.64B
7.75%1.49B
7.75%1.49B
-45.88%1.38B
-45.88%1.38B
-6.23%2.55B
-6.23%2.55B
-Goodwill
-3.18%1.05B
-3.18%1.05B
3.31%1.09B
3.31%1.09B
3.39%1.05B
3.39%1.05B
-48.09%1.02B
-48.09%1.02B
-7.57%1.96B
-7.57%1.96B
-Other intangible assets
1.47%558.2M
1.47%558.2M
26.52%550.1M
26.52%550.1M
19.98%434.8M
19.98%434.8M
-38.55%362.4M
-38.55%362.4M
-1.49%589.7M
-1.49%589.7M
Non current deferred assets
-96.97%500K
-96.97%500K
5.77%16.5M
5.77%16.5M
-68.03%15.6M
-68.03%15.6M
-16.87%48.8M
-16.87%48.8M
27.61%58.7M
27.61%58.7M
Total non current assets
-8.43%4.35B
-8.43%4.35B
95.86%4.75B
95.86%4.75B
7.29%2.43B
7.29%2.43B
-35.71%2.26B
-35.71%2.26B
-1.06%3.52B
-1.06%3.52B
Total assets
-9.10%4.75B
-9.10%4.75B
10.98%5.23B
10.98%5.23B
2.45%4.71B
2.45%4.71B
6.09%4.6B
6.09%4.6B
2.03%4.34B
2.03%4.34B
Liabilities
Current liabilities
Current debt and capital lease obligation
-0.50%20M
-0.50%20M
-27.96%20.1M
-27.96%20.1M
-70.44%27.9M
-70.44%27.9M
-44.92%94.4M
-44.92%94.4M
28.78%171.4M
28.78%171.4M
-Current debt
----
----
----
----
-88.49%8.9M
-88.49%8.9M
-46.09%77.3M
-46.09%77.3M
7.74%143.4M
7.74%143.4M
-Current capital lease obligation
-0.50%20M
-0.50%20M
5.79%20.1M
5.79%20.1M
11.11%19M
11.11%19M
-38.93%17.1M
-38.93%17.1M
--28M
--28M
Payables
-29.46%152.8M
-29.46%152.8M
-49.10%216.6M
-49.10%216.6M
-48.80%425.5M
-48.80%425.5M
170.45%831.1M
170.45%831.1M
18.06%307.3M
18.06%307.3M
-accounts payable
-70.75%6.2M
-70.75%6.2M
12.77%21.2M
12.77%21.2M
118.60%18.8M
118.60%18.8M
-47.56%8.6M
-47.56%8.6M
-93.70%16.4M
-93.70%16.4M
-Other payable
-24.97%146.6M
-24.97%146.6M
-51.95%195.4M
-51.95%195.4M
-50.55%406.7M
-50.55%406.7M
182.74%822.5M
182.74%822.5M
--290.9M
--290.9M
Current provisions
-46.40%13.4M
-46.40%13.4M
-25.82%25M
-25.82%25M
-42.49%33.7M
-42.49%33.7M
-24.68%58.6M
-24.68%58.6M
65.88%77.8M
65.88%77.8M
Pension and other retirement benefit plans
-15.23%33.4M
-15.23%33.4M
20.86%39.4M
20.86%39.4M
23.02%32.6M
23.02%32.6M
-2.21%26.5M
-2.21%26.5M
5.45%27.1M
5.45%27.1M
Current deferred liabilities
-8.60%198.8M
-8.60%198.8M
0.69%217.5M
0.69%217.5M
8.32%216M
8.32%216M
-46.98%199.4M
-46.98%199.4M
-12.96%376.1M
-12.96%376.1M
Other current liabilities
3,013.33%46.7M
3,013.33%46.7M
-99.64%1.5M
-99.64%1.5M
466.67%419.9M
466.67%419.9M
4,531.25%74.1M
4,531.25%74.1M
-75.38%1.6M
-75.38%1.6M
Current liabilities
-10.57%465.1M
-10.57%465.1M
-54.99%520.1M
-54.99%520.1M
-10.01%1.16B
-10.01%1.16B
33.58%1.28B
33.58%1.28B
6.27%961.3M
6.27%961.3M
Non current liabilities
Long term debt and capital lease obligation
-6.34%1.39B
-6.34%1.39B
-3.63%1.48B
-3.63%1.48B
26.35%1.54B
26.35%1.54B
-33.57%1.22B
-33.57%1.22B
25.02%1.83B
25.02%1.83B
-Long term debt
-6.28%1.23B
-6.28%1.23B
-3.84%1.31B
-3.84%1.31B
32.26%1.36B
32.26%1.36B
-42.71%1.03B
-42.71%1.03B
22.57%1.8B
22.57%1.8B
-Long term capital lease obligation
-6.87%161.4M
-6.87%161.4M
-1.98%173.3M
-1.98%173.3M
-6.01%176.8M
-6.01%176.8M
422.50%188.1M
422.50%188.1M
--36M
--36M
Long term provisions
-61.19%5.2M
-61.19%5.2M
30.10%13.4M
30.10%13.4M
0.98%10.3M
0.98%10.3M
-12.07%10.2M
-12.07%10.2M
13.73%11.6M
13.73%11.6M
Employee benefits
-39.78%10.9M
-39.78%10.9M
45.97%18.1M
45.97%18.1M
15.89%12.4M
15.89%12.4M
-32.70%10.7M
-32.70%10.7M
34.75%15.9M
34.75%15.9M
Non current deferred liabilities
-52.70%174M
-52.70%174M
268.64%367.9M
268.64%367.9M
-36.84%99.8M
-36.84%99.8M
23.92%158M
23.92%158M
-8.01%127.5M
-8.01%127.5M
Other non current liabilities
-15.54%128.3M
-15.54%128.3M
8,338.89%151.9M
8,338.89%151.9M
100.00%1.8M
100.00%1.8M
-70.97%900K
-70.97%900K
-35.42%3.1M
-35.42%3.1M
Total non current liabilities
-16.07%1.71B
-16.07%1.71B
22.32%2.03B
22.32%2.03B
18.99%1.66B
18.99%1.66B
-29.82%1.4B
-29.82%1.4B
20.62%1.99B
20.62%1.99B
Total liabilities
-14.95%2.17B
-14.95%2.17B
-9.38%2.55B
-9.38%2.55B
5.10%2.82B
5.10%2.82B
-9.18%2.68B
-9.18%2.68B
15.54%2.95B
15.54%2.95B
Shareholders'equity
Share capital
2.79%276.7M
2.79%276.7M
0.00%269.2M
0.00%269.2M
0.00%269.2M
0.00%269.2M
0.00%269.2M
0.00%269.2M
0.00%269.2M
0.00%269.2M
-common stock
2.79%276.7M
2.79%276.7M
0.00%269.2M
0.00%269.2M
0.00%269.2M
0.00%269.2M
0.00%269.2M
0.00%269.2M
0.00%269.2M
0.00%269.2M
Retained earnings
-6.89%2.22B
-6.89%2.22B
52.24%2.38B
52.24%2.38B
1.20%1.57B
1.20%1.57B
72.92%1.55B
72.92%1.55B
-21.08%894.4M
-21.08%894.4M
Gains losses not affecting retained earnings
265.13%86.9M
265.13%86.9M
187.50%23.8M
187.50%23.8M
-247.03%-27.2M
-247.03%-27.2M
122.81%18.5M
122.81%18.5M
-2,357.58%-81.1M
-2,357.58%-81.1M
Total stockholders'equity
-3.49%2.58B
-3.49%2.58B
48.07%2.68B
48.07%2.68B
-1.48%1.81B
-1.48%1.81B
69.45%1.83B
69.45%1.83B
-22.63%1.08B
-22.63%1.08B
Noncontrolling interests
----
----
-99.20%700K
-99.20%700K
3.44%87.3M
3.44%87.3M
-71.96%84.4M
-71.96%84.4M
1.96%301M
1.96%301M
Total equity
-3.52%2.58B
-3.52%2.58B
41.28%2.68B
41.28%2.68B
-1.27%1.89B
-1.27%1.89B
38.68%1.92B
38.68%1.92B
-18.35%1.38B
-18.35%1.38B
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, 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 -20.67%199.6M-20.67%199.6M-22.63%251.6M-22.63%251.6M-33.89%325.2M-33.89%325.2M-25.10%491.9M-25.10%491.9M23.09%656.7M23.09%656.7M
-Cash and cash equivalents -20.68%199.4M-20.68%199.4M-22.67%251.4M-22.67%251.4M-33.90%325.1M-33.90%325.1M-18.68%491.8M-18.68%491.8M57.95%604.8M57.95%604.8M
-Short term investments 0.00%200K0.00%200K100.00%200K100.00%200K0.00%100K0.00%100K-99.81%100K-99.81%100K-65.54%51.9M-65.54%51.9M
Receivables -20.72%114.8M-20.72%114.8M-74.59%144.8M-74.59%144.8M-24.04%569.8M-24.04%569.8M529.28%750.1M529.28%750.1M2.41%119.2M2.41%119.2M
-Accounts receivable -5.41%103.1M-5.41%103.1M6.76%109M6.76%109M33.46%102.1M33.46%102.1M46.55%76.5M46.55%76.5M-44.59%52.2M-44.59%52.2M
-Other receivables -63.02%14.2M-63.02%14.2M-91.91%38.4M-91.91%38.4M-30.03%474.4M-30.03%474.4M833.88%678M833.88%678M175.00%72.6M175.00%72.6M
-Recievables adjustments allowances 3.85%-2.5M3.85%-2.5M61.19%-2.6M61.19%-2.6M-52.27%-6.7M-52.27%-6.7M21.43%-4.4M21.43%-4.4M-33.33%-5.6M-33.33%-5.6M
Prepaid assets 8.26%26.2M8.26%26.2M-8.68%24.2M-8.68%24.2M26.19%26.5M26.19%26.5M-35.19%21M-35.19%21M3.18%32.4M3.18%32.4M
Current deferred assets -82.19%4.4M-82.19%4.4M394.00%24.7M394.00%24.7M-20.63%5M-20.63%5M96.88%6.3M96.88%6.3M-11.11%3.2M-11.11%3.2M
Hedging assets-current -15.71%26.3M-15.71%26.3M-31.43%31.2M-31.43%31.2M983.33%45.5M983.33%45.5M-26.32%4.2M-26.32%4.2M-31.33%5.7M-31.33%5.7M
Holding assets for sale ----------------23.41%1.31B23.41%1.31B--1.06B--1.06B--------
Other current assets --30M--30M--------------------------------
Total current assets -15.78%401.3M-15.78%401.3M-79.15%476.5M-79.15%476.5M-2.24%2.29B-2.24%2.29B186.10%2.34B186.10%2.34B17.89%817.2M17.89%817.2M
Non current assets
Net PPE -10.60%204.1M-10.60%204.1M-5.50%228.3M-5.50%228.3M-7.15%241.6M-7.15%241.6M185.93%260.2M185.93%260.2M111.63%91M111.63%91M
-Gross PPE -10.60%204.1M-10.60%204.1M-5.50%228.3M-5.50%228.3M-7.15%241.6M-7.15%241.6M185.93%260.2M185.93%260.2M111.63%91M111.63%91M
Investments and advances -11.64%2.54B-11.64%2.54B320.34%2.87B320.34%2.87B19.14%683.4M19.14%683.4M-18.60%573.6M-18.60%573.6M18.04%704.7M18.04%704.7M
-Long term equity investment -10.82%2.26B-10.82%2.26B327.28%2.54B327.28%2.54B5.51%593.4M5.51%593.4M109.62%562.4M109.62%562.4M13.11%268.3M13.11%268.3M
-Financial asset investment ----------------729.13%85.4M729.13%85.4M-94.76%10.3M-94.76%10.3M23.88%196.6M23.88%196.6M
-Including:Trading securities ----------------729.13%85.4M729.13%85.4M-94.76%10.3M-94.76%10.3M23.88%196.6M23.88%196.6M
-Other investment -17.77%277.2M-17.77%277.2M7,228.26%337.1M7,228.26%337.1M411.11%4.6M411.11%4.6M-99.62%900K-99.62%900K19.24%239.8M19.24%239.8M
Non current accounts receivable ---------------------------------24.16%114.9M-24.16%114.9M
Goodwill and other intangible assets -1.62%1.61B-1.62%1.61B10.09%1.64B10.09%1.64B7.75%1.49B7.75%1.49B-45.88%1.38B-45.88%1.38B-6.23%2.55B-6.23%2.55B
-Goodwill -3.18%1.05B-3.18%1.05B3.31%1.09B3.31%1.09B3.39%1.05B3.39%1.05B-48.09%1.02B-48.09%1.02B-7.57%1.96B-7.57%1.96B
-Other intangible assets 1.47%558.2M1.47%558.2M26.52%550.1M26.52%550.1M19.98%434.8M19.98%434.8M-38.55%362.4M-38.55%362.4M-1.49%589.7M-1.49%589.7M
Non current deferred assets -96.97%500K-96.97%500K5.77%16.5M5.77%16.5M-68.03%15.6M-68.03%15.6M-16.87%48.8M-16.87%48.8M27.61%58.7M27.61%58.7M
Total non current assets -8.43%4.35B-8.43%4.35B95.86%4.75B95.86%4.75B7.29%2.43B7.29%2.43B-35.71%2.26B-35.71%2.26B-1.06%3.52B-1.06%3.52B
Total assets -9.10%4.75B-9.10%4.75B10.98%5.23B10.98%5.23B2.45%4.71B2.45%4.71B6.09%4.6B6.09%4.6B2.03%4.34B2.03%4.34B
Liabilities
Current liabilities
Current debt and capital lease obligation -0.50%20M-0.50%20M-27.96%20.1M-27.96%20.1M-70.44%27.9M-70.44%27.9M-44.92%94.4M-44.92%94.4M28.78%171.4M28.78%171.4M
-Current debt -----------------88.49%8.9M-88.49%8.9M-46.09%77.3M-46.09%77.3M7.74%143.4M7.74%143.4M
-Current capital lease obligation -0.50%20M-0.50%20M5.79%20.1M5.79%20.1M11.11%19M11.11%19M-38.93%17.1M-38.93%17.1M--28M--28M
Payables -29.46%152.8M-29.46%152.8M-49.10%216.6M-49.10%216.6M-48.80%425.5M-48.80%425.5M170.45%831.1M170.45%831.1M18.06%307.3M18.06%307.3M
-accounts payable -70.75%6.2M-70.75%6.2M12.77%21.2M12.77%21.2M118.60%18.8M118.60%18.8M-47.56%8.6M-47.56%8.6M-93.70%16.4M-93.70%16.4M
-Other payable -24.97%146.6M-24.97%146.6M-51.95%195.4M-51.95%195.4M-50.55%406.7M-50.55%406.7M182.74%822.5M182.74%822.5M--290.9M--290.9M
Current provisions -46.40%13.4M-46.40%13.4M-25.82%25M-25.82%25M-42.49%33.7M-42.49%33.7M-24.68%58.6M-24.68%58.6M65.88%77.8M65.88%77.8M
Pension and other retirement benefit plans -15.23%33.4M-15.23%33.4M20.86%39.4M20.86%39.4M23.02%32.6M23.02%32.6M-2.21%26.5M-2.21%26.5M5.45%27.1M5.45%27.1M
Current deferred liabilities -8.60%198.8M-8.60%198.8M0.69%217.5M0.69%217.5M8.32%216M8.32%216M-46.98%199.4M-46.98%199.4M-12.96%376.1M-12.96%376.1M
Other current liabilities 3,013.33%46.7M3,013.33%46.7M-99.64%1.5M-99.64%1.5M466.67%419.9M466.67%419.9M4,531.25%74.1M4,531.25%74.1M-75.38%1.6M-75.38%1.6M
Current liabilities -10.57%465.1M-10.57%465.1M-54.99%520.1M-54.99%520.1M-10.01%1.16B-10.01%1.16B33.58%1.28B33.58%1.28B6.27%961.3M6.27%961.3M
Non current liabilities
Long term debt and capital lease obligation -6.34%1.39B-6.34%1.39B-3.63%1.48B-3.63%1.48B26.35%1.54B26.35%1.54B-33.57%1.22B-33.57%1.22B25.02%1.83B25.02%1.83B
-Long term debt -6.28%1.23B-6.28%1.23B-3.84%1.31B-3.84%1.31B32.26%1.36B32.26%1.36B-42.71%1.03B-42.71%1.03B22.57%1.8B22.57%1.8B
-Long term capital lease obligation -6.87%161.4M-6.87%161.4M-1.98%173.3M-1.98%173.3M-6.01%176.8M-6.01%176.8M422.50%188.1M422.50%188.1M--36M--36M
Long term provisions -61.19%5.2M-61.19%5.2M30.10%13.4M30.10%13.4M0.98%10.3M0.98%10.3M-12.07%10.2M-12.07%10.2M13.73%11.6M13.73%11.6M
Employee benefits -39.78%10.9M-39.78%10.9M45.97%18.1M45.97%18.1M15.89%12.4M15.89%12.4M-32.70%10.7M-32.70%10.7M34.75%15.9M34.75%15.9M
Non current deferred liabilities -52.70%174M-52.70%174M268.64%367.9M268.64%367.9M-36.84%99.8M-36.84%99.8M23.92%158M23.92%158M-8.01%127.5M-8.01%127.5M
Other non current liabilities -15.54%128.3M-15.54%128.3M8,338.89%151.9M8,338.89%151.9M100.00%1.8M100.00%1.8M-70.97%900K-70.97%900K-35.42%3.1M-35.42%3.1M
Total non current liabilities -16.07%1.71B-16.07%1.71B22.32%2.03B22.32%2.03B18.99%1.66B18.99%1.66B-29.82%1.4B-29.82%1.4B20.62%1.99B20.62%1.99B
Total liabilities -14.95%2.17B-14.95%2.17B-9.38%2.55B-9.38%2.55B5.10%2.82B5.10%2.82B-9.18%2.68B-9.18%2.68B15.54%2.95B15.54%2.95B
Shareholders'equity
Share capital 2.79%276.7M2.79%276.7M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M
-common stock 2.79%276.7M2.79%276.7M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M
Retained earnings -6.89%2.22B-6.89%2.22B52.24%2.38B52.24%2.38B1.20%1.57B1.20%1.57B72.92%1.55B72.92%1.55B-21.08%894.4M-21.08%894.4M
Gains losses not affecting retained earnings 265.13%86.9M265.13%86.9M187.50%23.8M187.50%23.8M-247.03%-27.2M-247.03%-27.2M122.81%18.5M122.81%18.5M-2,357.58%-81.1M-2,357.58%-81.1M
Total stockholders'equity -3.49%2.58B-3.49%2.58B48.07%2.68B48.07%2.68B-1.48%1.81B-1.48%1.81B69.45%1.83B69.45%1.83B-22.63%1.08B-22.63%1.08B
Noncontrolling interests ---------99.20%700K-99.20%700K3.44%87.3M3.44%87.3M-71.96%84.4M-71.96%84.4M1.96%301M1.96%301M
Total equity -3.52%2.58B-3.52%2.58B41.28%2.68B41.28%2.68B-1.27%1.89B-1.27%1.89B38.68%1.92B38.68%1.92B-18.35%1.38B-18.35%1.38B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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