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SEK Seek Ltd

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  • 20.720
  • +0.660+3.29%
20min DelayNot Open Jul 12 16:00 AET
7.39BMarket Cap7.22P/E (Static)

Seek Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-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
20.08%533.5M
20.08%533.5M
-Cash and cash equivalents
-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
5.86%382.9M
5.86%382.9M
-Accounts receivable
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
10.43%94.2M
10.43%94.2M
-Notes receivable
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
10.28%11.8M
10.28%11.8M
-Other receivables
-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 deferred assets
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
--3.6M
--3.6M
Holding assets for sale
----
----
23.41%1.31B
23.41%1.31B
--1.06B
--1.06B
----
----
----
----
Total current assets
-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
11.00%693.2M
11.00%693.2M
Non current assets
Investment properties
----
----
729.13%85.4M
729.13%85.4M
-94.76%10.3M
-94.76%10.3M
23.88%196.6M
23.88%196.6M
53.04%158.7M
53.04%158.7M
-Long term equity investment
-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
20.34%1.47B
20.34%1.47B
-Including:Held to maturity investments
-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
-21.70%8.3M
-21.70%8.3M
Non current note receivables
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
56.46%46M
56.46%46M
-Goodwill
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
6.54%2.72B
6.54%2.72B
Regulatory assets
-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
-8.71%116.4M
-8.71%116.4M
Non current deferred assets
----
----
----
----
----
----
-24.16%114.9M
-24.16%114.9M
51.05%151.5M
51.05%151.5M
Liabilities
Current liabilities
Current debt and capital lease obligation
-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
65.34%133.1M
65.34%133.1M
-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
65.34%133.1M
65.34%133.1M
-Current capital lease obligation
5.79%20.1M
5.79%20.1M
11.11%19M
11.11%19M
-38.93%17.1M
-38.93%17.1M
--28M
--28M
----
----
-accounts payable
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
2,163.48%260.3M
2,163.48%260.3M
-Total tax payable
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
19.23%1.65B
19.23%1.65B
Current provisions
-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
168.00%46.9M
168.00%46.9M
Current deferred liabilities
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
9.34%432.1M
9.34%432.1M
Current liabilities
-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
18.47%904.6M
18.47%904.6M
Non current liabilities
-Long term debt
-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
----
----
Non current accrued expenses
-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
8.86%43M
8.86%43M
Derivative product liabilities
----
----
----
----
----
----
----
----
2.13%19.2M
2.13%19.2M
Long term provisions
-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
20.34%1.47B
20.34%1.47B
Employee benefits
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
10.28%11.8M
10.28%11.8M
Regulatory liabilities
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
25.00%-4.2M
25.00%-4.2M
Trust preferred 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
53.04%158.7M
53.04%158.7M
Preferred securities outside stock equity
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
22.38%25.7M
22.38%25.7M
Total non current liabilities
-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
18.96%2.56B
18.96%2.56B
Shareholders'equity
Share capital
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
0.00%269.2M
0.00%269.2M
-common stock
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
0.00%269.2M
0.00%269.2M
Gains losses not affecting retained earnings
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
93.75%-3.3M
93.75%-3.3M
Noncontrolling interests
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
81.21%237.2M
81.21%237.2M
Total equity
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
12.27%4.25B
12.27%4.25B
(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(FY)Jun 30, 2019(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -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%656.7M20.08%533.5M20.08%533.5M
-Cash and cash equivalents -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%604.8M5.86%382.9M5.86%382.9M
-Accounts receivable 6.76%109M6.76%109M33.46%102.1M33.46%102.1M46.55%76.5M46.55%76.5M-44.59%52.2M-44.59%52.2M10.43%94.2M10.43%94.2M
-Notes receivable 45.97%18.1M45.97%18.1M15.89%12.4M15.89%12.4M-32.70%10.7M-32.70%10.7M34.75%15.9M34.75%15.9M10.28%11.8M10.28%11.8M
-Other receivables -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 deferred assets 394.00%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--3.6M--3.6M
Holding assets for sale --------23.41%1.31B23.41%1.31B--1.06B--1.06B----------------
Total current assets -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%817.2M11.00%693.2M11.00%693.2M
Non current assets
Investment properties --------729.13%85.4M729.13%85.4M-94.76%10.3M-94.76%10.3M23.88%196.6M23.88%196.6M53.04%158.7M53.04%158.7M
-Long term equity investment -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%1.83B20.34%1.47B20.34%1.47B
-Including:Held to maturity investments -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-21.70%8.3M-21.70%8.3M
Non current note receivables 5.77%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%58.7M56.46%46M56.46%46M
-Goodwill 10.09%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%2.55B6.54%2.72B6.54%2.72B
Regulatory assets -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-8.71%116.4M-8.71%116.4M
Non current deferred assets -------------------------24.16%114.9M-24.16%114.9M51.05%151.5M51.05%151.5M
Liabilities
Current liabilities
Current debt and capital lease obligation -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%171.4M65.34%133.1M65.34%133.1M
-Current debt ---------88.49%8.9M-88.49%8.9M-46.09%77.3M-46.09%77.3M7.74%143.4M7.74%143.4M65.34%133.1M65.34%133.1M
-Current capital lease obligation 5.79%20.1M5.79%20.1M11.11%19M11.11%19M-38.93%17.1M-38.93%17.1M--28M--28M--------
-accounts payable 12.77%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%16.4M2,163.48%260.3M2,163.48%260.3M
-Total tax payable 22.32%2.03B22.32%2.03B18.99%1.66B18.99%1.66B-29.82%1.4B-29.82%1.4B20.62%1.99B20.62%1.99B19.23%1.65B19.23%1.65B
Current provisions -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%77.8M168.00%46.9M168.00%46.9M
Current deferred liabilities 0.69%217.5M0.69%217.5M8.32%216M8.32%216M-46.98%199.4M-46.98%199.4M-12.96%376.1M-12.96%376.1M9.34%432.1M9.34%432.1M
Current liabilities -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%961.3M18.47%904.6M18.47%904.6M
Non current liabilities
-Long term debt -1.98%173.3M-1.98%173.3M-6.01%176.8M-6.01%176.8M422.50%188.1M422.50%188.1M--36M--36M--------
Non current accrued expenses -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%91M8.86%43M8.86%43M
Derivative product liabilities --------------------------------2.13%19.2M2.13%19.2M
Long term provisions -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%1.8B20.34%1.47B20.34%1.47B
Employee benefits 45.97%18.1M45.97%18.1M15.89%12.4M15.89%12.4M-32.70%10.7M-32.70%10.7M34.75%15.9M34.75%15.9M10.28%11.8M10.28%11.8M
Regulatory liabilities 61.19%-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%-5.6M25.00%-4.2M25.00%-4.2M
Trust preferred securities --------729.13%85.4M729.13%85.4M-94.76%10.3M-94.76%10.3M23.88%196.6M23.88%196.6M53.04%158.7M53.04%158.7M
Preferred securities outside stock equity 20.86%39.4M20.86%39.4M23.02%32.6M23.02%32.6M-2.21%26.5M-2.21%26.5M5.45%27.1M5.45%27.1M22.38%25.7M22.38%25.7M
Total non current liabilities -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%2.95B18.96%2.56B18.96%2.56B
Shareholders'equity
Share capital 0.00%269.2M0.00%269.2M0.00%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 0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M0.00%269.2M
Gains losses not affecting retained earnings 187.50%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%-81.1M93.75%-3.3M93.75%-3.3M
Noncontrolling interests 327.28%2.54B327.28%2.54B5.51%593.4M5.51%593.4M109.62%562.4M109.62%562.4M13.11%268.3M13.11%268.3M81.21%237.2M81.21%237.2M
Total equity 10.98%5.23B10.98%5.23B2.45%4.71B2.45%4.71B6.09%4.6B6.09%4.6B2.03%4.34B2.03%4.34B12.27%4.25B12.27%4.25B

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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