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SGR The Star Entertainment Group Ltd

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  • 0.110
  • -0.020-15.38%
20min DelayMarket Closed Feb 28 16:00 AET
315.55MMarket Cap-0.16P/E (Static)

The Star Entertainment Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
237.77%299.6M
--299.6M
8.17%88.7M
20.77%82M
2.72%67.9M
-42.17%66.1M
3.63%114.3M
-2.99%110.3M
-28.49%113.7M
-19.13%159M
-Cash and cash equivalents
237.77%299.6M
--299.6M
8.17%88.7M
20.77%82M
2.72%67.9M
-42.17%66.1M
3.63%114.3M
-2.99%110.3M
-28.49%113.7M
-19.13%159M
Receivables
51.44%31.5M
--31.5M
15.56%20.8M
-22.75%18M
-76.58%23.3M
-57.75%99.5M
6.32%235.5M
14.95%221.5M
47.89%192.7M
17.92%130.3M
-Accounts receivable
231.91%15.6M
--31.5M
-89.51%4.7M
1.59%44.8M
-71.96%44.1M
-28.14%157.3M
5.04%218.9M
18.01%208.4M
43.34%176.6M
14.50%123.2M
-Other receivables
-1.24%15.9M
----
57.84%16.1M
-41.04%10.2M
-62.23%17.3M
64.16%45.8M
-4.12%27.9M
-3.32%29.1M
51.26%30.1M
61.79%19.9M
-Recievables adjustments allowances
----
----
----
2.89%-37M
63.22%-38.1M
-816.81%-103.6M
29.38%-11.3M
-14.29%-16M
-9.38%-14M
-36.17%-12.8M
Inventory
-8.72%13.6M
--13.6M
-8.02%14.9M
6.58%16.2M
-7.32%15.2M
-6.29%16.4M
12.90%17.5M
30.25%15.5M
32.22%11.9M
23.29%9M
Prepaid assets
-10.47%38.5M
----
19.78%43M
69.34%35.9M
-62.94%21.2M
15.79%57.2M
19.32%49.4M
-26.98%41.4M
66.76%56.7M
57.41%34M
Current deferred assets
81.82%56M
--56M
600.00%30.8M
--4.4M
----
--7.5M
----
----
----
----
Hedging assets-current
----
----
85.71%2.6M
-51.72%1.4M
-95.59%2.9M
732.91%65.8M
102.56%7.9M
-91.94%3.9M
233.79%48.4M
19.83%14.5M
Holding assets for sale
----
----
----
----
-17.74%30.6M
--37.2M
----
----
----
----
Other current assets
-3.55%48.9M
--87.4M
16.28%50.7M
1,576.92%43.6M
-3.70%2.6M
3.85%2.7M
-23.53%2.6M
-19.05%3.4M
-6.67%4.2M
-2.17%4.5M
Total current assets
94.08%488.1M
--488.1M
24.81%251.5M
23.09%201.5M
-53.55%163.7M
-17.51%352.4M
7.88%427.2M
-7.39%396M
21.72%427.6M
-0.40%351.3M
Non current assets
Net PPE
-33.95%1.16B
--1.16B
-33.51%1.75B
-2.22%2.64B
-4.99%2.7B
2.06%2.84B
4.56%2.78B
12.63%2.66B
11.30%2.36B
7.43%2.12B
-Gross PPE
-0.20%4.39B
--1.16B
1.31%4.4B
1.55%4.34B
-0.53%4.28B
4.52%4.3B
6.91%4.12B
12.64%3.85B
10.99%3.42B
9.00%3.08B
-Accumulated depreciation
-22.12%-3.24B
----
-54.99%-2.65B
-7.98%-1.71B
-8.10%-1.58B
-9.65%-1.46B
-12.15%-1.34B
-12.68%-1.19B
-10.33%-1.06B
-12.66%-957.8M
Investments and advances
-75.84%161.7M
--161.7M
-0.06%669.2M
6.00%669.6M
20.30%631.7M
36.39%525.1M
33.26%385M
36.02%288.9M
624.91%212.4M
--29.3M
-Long term equity investment
-75.84%161.7M
--161.7M
-0.06%669.2M
6.00%669.6M
20.30%631.7M
36.39%525.1M
33.26%385M
36.02%288.9M
624.91%212.4M
--29.3M
Financial assets
----
----
-40.54%37.4M
352.52%62.9M
-79.53%13.9M
-17.90%67.9M
44.08%82.7M
-62.01%57.4M
-37.56%151.1M
16.68%242M
Goodwill and other intangible assets
-78.19%72.6M
--72.6M
-79.98%332.8M
-9.25%1.66B
-1.17%1.83B
-0.45%1.85B
0.15%1.86B
0.37%1.86B
0.82%1.85B
-0.18%1.84B
-Goodwill
----
----
-89.94%128.8M
-11.27%1.28B
0.00%1.44B
0.00%1.44B
0.00%1.44B
0.00%1.44B
0.00%1.44B
0.00%1.44B
-Other intangible assets
-64.41%72.6M
--72.6M
-46.64%204M
-1.77%382.3M
-5.28%389.2M
-1.98%410.9M
0.65%419.2M
1.68%416.5M
3.83%409.6M
-0.83%394.5M
Non current deferred assets
----
----
--190.4M
----
----
----
----
----
----
----
Other non current assets
-32.58%18M
--18M
-33.08%26.7M
7.26%39.9M
-7.92%37.2M
-15.13%40.4M
325.00%47.6M
-5.88%11.2M
-21.71%11.9M
-11.11%15.2M
Total non current assets
-53.15%1.41B
--1.41B
-40.65%3.01B
-2.68%5.07B
-2.14%5.21B
3.24%5.32B
5.78%5.16B
6.26%4.87B
8.10%4.59B
5.09%4.24B
Total assets
-41.79%1.9B
--1.9B
-38.15%3.26B
-1.90%5.27B
-5.33%5.37B
1.65%5.68B
5.94%5.58B
5.09%5.27B
9.14%5.02B
4.65%4.6B
Liabilities
Current liabilities
Current debt and capital lease obligation
1.67%6.1M
--6.1M
-1.64%6M
-10.29%6.1M
-95.83%6.8M
-17.06%162.9M
46.79%196.4M
2.92%133.8M
--130M
----
-Current debt
----
--6.1M
--6M
----
----
-20.62%155.9M
46.79%196.4M
2.92%133.8M
--130M
----
-Current capital lease obligation
--6.1M
----
----
-10.29%6.1M
-2.86%6.8M
--7M
----
----
----
----
Payables
-2.43%180.4M
--180.4M
-10.42%184.9M
13.53%206.4M
-43.89%181.8M
-4.96%324M
-6.81%340.9M
12.73%365.8M
23.90%324.5M
11.97%261.9M
-accounts payable
-4.76%176.1M
--180.4M
-8.87%184.9M
13.16%202.9M
-19.34%179.3M
-34.29%222.3M
-6.88%338.3M
12.69%363.3M
24.05%322.4M
12.07%259.9M
-Other payable
--4.3M
----
----
40.00%3.5M
-97.54%2.5M
3,811.54%101.7M
4.00%2.6M
19.05%2.5M
5.00%2.1M
0.00%2M
Current provisions
-7.80%399.5M
--399.5M
1,647.18%433.3M
108.40%24.8M
54.55%11.9M
-79.74%7.7M
804.76%38M
-82.86%4.2M
-7.89%24.5M
59.28%26.6M
Pension and other retirement benefit plans
19.03%90.7M
--90.7M
-20.71%76.2M
32.92%96.1M
1.97%72.3M
5.04%70.9M
4.65%67.5M
6.79%64.5M
22.02%60.4M
-10.33%49.5M
Current deferred liabilities
----
----
-19.48%18.6M
-5.71%23.1M
13.95%24.5M
-30.65%21.5M
50.49%31M
-58.72%20.6M
19.66%49.9M
-31.64%41.7M
Other current liabilities
--75.2M
--75.2M
----
----
----
----
----
----
----
----
Current liabilities
4.58%751.9M
--751.9M
101.68%719M
19.91%356.5M
-49.35%297.3M
-12.88%587M
14.42%673.8M
-0.07%588.9M
55.20%589.3M
3.52%379.7M
Non current liabilities
Long term debt and capital lease obligation
-60.64%295.7M
--295.7M
-43.37%751.2M
3.15%1.33B
-12.05%1.29B
51.37%1.46B
40.76%965.9M
-25.01%686.2M
12.48%915M
9.31%813.5M
-Long term debt
-64.11%269.6M
--269.6M
-41.75%751.2M
3.79%1.29B
-12.00%1.24B
46.17%1.41B
40.76%965.9M
-25.01%686.2M
12.48%915M
9.31%813.5M
-Long term capital lease obligation
--26.1M
--26.1M
----
-15.21%36.8M
-13.55%43.4M
--50.2M
----
----
----
----
Derivative product liabilities
----
----
----
----
14.29%8M
-27.08%7M
-62.20%9.6M
-31.90%25.4M
-35.69%37.3M
4.50%58M
Long term provisions
0.00%1.4M
--1.4M
0.00%1.4M
0.00%1.4M
7.69%1.4M
-84.34%1.3M
66.00%8.3M
194.12%5M
-50.00%1.7M
-10.53%3.4M
Employee benefits
1.52%6.7M
--6.7M
-4.35%6.6M
-19.77%6.9M
-6.52%8.6M
6.98%9.2M
8.86%8.6M
-3.66%7.9M
-26.79%8.2M
2.75%11.2M
Non current deferred liabilities
----
----
----
1.88%140.9M
-0.07%138.3M
-18.92%138.4M
-2.96%170.7M
-6.54%175.9M
3.46%188.2M
4.06%181.9M
Other non current liabilities
-20.72%8.8M
--8.8M
23.33%11.1M
-8.16%9M
66.10%9.8M
0.00%5.9M
--5.9M
----
----
----
Total non current liabilities
-59.42%312.6M
--312.6M
-48.11%770.3M
2.25%1.48B
-10.59%1.45B
38.91%1.62B
29.83%1.17B
-21.73%900.4M
7.72%1.15B
7.97%1.07B
Total liabilities
-28.52%1.06B
--1.06B
-19.11%1.49B
5.25%1.84B
-20.88%1.75B
19.98%2.21B
23.74%1.84B
-14.39%1.49B
20.17%1.74B
6.76%1.45B
Shareholders'equity
Share capital
18.71%4.7B
--4.7B
24.74%3.96B
0.37%3.17B
3.56%3.16B
-0.40%3.05B
-0.23%3.06B
18.98%3.07B
0.00%2.58B
0.00%2.58B
-common stock
18.71%4.7B
--4.7B
24.74%3.96B
0.37%3.17B
3.56%3.16B
-0.40%3.05B
-0.23%3.06B
18.98%3.07B
0.00%2.58B
0.00%2.58B
Retained earnings
-77.01%-3.87B
---3.87B
-982.73%-2.19B
-46.07%247.8M
11.85%459.5M
-40.76%410.8M
-3.45%693.5M
2.28%718.3M
25.01%702.3M
21.52%561.8M
Gains losses not affecting retained earnings
242.86%9.6M
--9.6M
-75.65%2.8M
121.15%11.5M
52.94%5.2M
121.79%3.4M
-122.86%-15.6M
2.78%-7M
-233.33%-7.2M
172.97%5.4M
Total stockholders'equity
-52.95%833.3M
--833.3M
-48.37%1.77B
-5.34%3.43B
4.59%3.62B
-7.38%3.47B
-1.07%3.74B
15.44%3.78B
4.06%3.28B
3.70%3.15B
Total equity
-52.95%833.3M
--833.3M
-48.37%1.77B
-5.34%3.43B
4.59%3.62B
-7.38%3.47B
-1.07%3.74B
15.44%3.78B
4.06%3.28B
3.70%3.15B
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(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
Assets
Current assets
Cash, cash equivalents and short term investments 237.77%299.6M--299.6M8.17%88.7M20.77%82M2.72%67.9M-42.17%66.1M3.63%114.3M-2.99%110.3M-28.49%113.7M-19.13%159M
-Cash and cash equivalents 237.77%299.6M--299.6M8.17%88.7M20.77%82M2.72%67.9M-42.17%66.1M3.63%114.3M-2.99%110.3M-28.49%113.7M-19.13%159M
Receivables 51.44%31.5M--31.5M15.56%20.8M-22.75%18M-76.58%23.3M-57.75%99.5M6.32%235.5M14.95%221.5M47.89%192.7M17.92%130.3M
-Accounts receivable 231.91%15.6M--31.5M-89.51%4.7M1.59%44.8M-71.96%44.1M-28.14%157.3M5.04%218.9M18.01%208.4M43.34%176.6M14.50%123.2M
-Other receivables -1.24%15.9M----57.84%16.1M-41.04%10.2M-62.23%17.3M64.16%45.8M-4.12%27.9M-3.32%29.1M51.26%30.1M61.79%19.9M
-Recievables adjustments allowances ------------2.89%-37M63.22%-38.1M-816.81%-103.6M29.38%-11.3M-14.29%-16M-9.38%-14M-36.17%-12.8M
Inventory -8.72%13.6M--13.6M-8.02%14.9M6.58%16.2M-7.32%15.2M-6.29%16.4M12.90%17.5M30.25%15.5M32.22%11.9M23.29%9M
Prepaid assets -10.47%38.5M----19.78%43M69.34%35.9M-62.94%21.2M15.79%57.2M19.32%49.4M-26.98%41.4M66.76%56.7M57.41%34M
Current deferred assets 81.82%56M--56M600.00%30.8M--4.4M------7.5M----------------
Hedging assets-current --------85.71%2.6M-51.72%1.4M-95.59%2.9M732.91%65.8M102.56%7.9M-91.94%3.9M233.79%48.4M19.83%14.5M
Holding assets for sale -----------------17.74%30.6M--37.2M----------------
Other current assets -3.55%48.9M--87.4M16.28%50.7M1,576.92%43.6M-3.70%2.6M3.85%2.7M-23.53%2.6M-19.05%3.4M-6.67%4.2M-2.17%4.5M
Total current assets 94.08%488.1M--488.1M24.81%251.5M23.09%201.5M-53.55%163.7M-17.51%352.4M7.88%427.2M-7.39%396M21.72%427.6M-0.40%351.3M
Non current assets
Net PPE -33.95%1.16B--1.16B-33.51%1.75B-2.22%2.64B-4.99%2.7B2.06%2.84B4.56%2.78B12.63%2.66B11.30%2.36B7.43%2.12B
-Gross PPE -0.20%4.39B--1.16B1.31%4.4B1.55%4.34B-0.53%4.28B4.52%4.3B6.91%4.12B12.64%3.85B10.99%3.42B9.00%3.08B
-Accumulated depreciation -22.12%-3.24B-----54.99%-2.65B-7.98%-1.71B-8.10%-1.58B-9.65%-1.46B-12.15%-1.34B-12.68%-1.19B-10.33%-1.06B-12.66%-957.8M
Investments and advances -75.84%161.7M--161.7M-0.06%669.2M6.00%669.6M20.30%631.7M36.39%525.1M33.26%385M36.02%288.9M624.91%212.4M--29.3M
-Long term equity investment -75.84%161.7M--161.7M-0.06%669.2M6.00%669.6M20.30%631.7M36.39%525.1M33.26%385M36.02%288.9M624.91%212.4M--29.3M
Financial assets ---------40.54%37.4M352.52%62.9M-79.53%13.9M-17.90%67.9M44.08%82.7M-62.01%57.4M-37.56%151.1M16.68%242M
Goodwill and other intangible assets -78.19%72.6M--72.6M-79.98%332.8M-9.25%1.66B-1.17%1.83B-0.45%1.85B0.15%1.86B0.37%1.86B0.82%1.85B-0.18%1.84B
-Goodwill ---------89.94%128.8M-11.27%1.28B0.00%1.44B0.00%1.44B0.00%1.44B0.00%1.44B0.00%1.44B0.00%1.44B
-Other intangible assets -64.41%72.6M--72.6M-46.64%204M-1.77%382.3M-5.28%389.2M-1.98%410.9M0.65%419.2M1.68%416.5M3.83%409.6M-0.83%394.5M
Non current deferred assets ----------190.4M----------------------------
Other non current assets -32.58%18M--18M-33.08%26.7M7.26%39.9M-7.92%37.2M-15.13%40.4M325.00%47.6M-5.88%11.2M-21.71%11.9M-11.11%15.2M
Total non current assets -53.15%1.41B--1.41B-40.65%3.01B-2.68%5.07B-2.14%5.21B3.24%5.32B5.78%5.16B6.26%4.87B8.10%4.59B5.09%4.24B
Total assets -41.79%1.9B--1.9B-38.15%3.26B-1.90%5.27B-5.33%5.37B1.65%5.68B5.94%5.58B5.09%5.27B9.14%5.02B4.65%4.6B
Liabilities
Current liabilities
Current debt and capital lease obligation 1.67%6.1M--6.1M-1.64%6M-10.29%6.1M-95.83%6.8M-17.06%162.9M46.79%196.4M2.92%133.8M--130M----
-Current debt ------6.1M--6M---------20.62%155.9M46.79%196.4M2.92%133.8M--130M----
-Current capital lease obligation --6.1M---------10.29%6.1M-2.86%6.8M--7M----------------
Payables -2.43%180.4M--180.4M-10.42%184.9M13.53%206.4M-43.89%181.8M-4.96%324M-6.81%340.9M12.73%365.8M23.90%324.5M11.97%261.9M
-accounts payable -4.76%176.1M--180.4M-8.87%184.9M13.16%202.9M-19.34%179.3M-34.29%222.3M-6.88%338.3M12.69%363.3M24.05%322.4M12.07%259.9M
-Other payable --4.3M--------40.00%3.5M-97.54%2.5M3,811.54%101.7M4.00%2.6M19.05%2.5M5.00%2.1M0.00%2M
Current provisions -7.80%399.5M--399.5M1,647.18%433.3M108.40%24.8M54.55%11.9M-79.74%7.7M804.76%38M-82.86%4.2M-7.89%24.5M59.28%26.6M
Pension and other retirement benefit plans 19.03%90.7M--90.7M-20.71%76.2M32.92%96.1M1.97%72.3M5.04%70.9M4.65%67.5M6.79%64.5M22.02%60.4M-10.33%49.5M
Current deferred liabilities ---------19.48%18.6M-5.71%23.1M13.95%24.5M-30.65%21.5M50.49%31M-58.72%20.6M19.66%49.9M-31.64%41.7M
Other current liabilities --75.2M--75.2M--------------------------------
Current liabilities 4.58%751.9M--751.9M101.68%719M19.91%356.5M-49.35%297.3M-12.88%587M14.42%673.8M-0.07%588.9M55.20%589.3M3.52%379.7M
Non current liabilities
Long term debt and capital lease obligation -60.64%295.7M--295.7M-43.37%751.2M3.15%1.33B-12.05%1.29B51.37%1.46B40.76%965.9M-25.01%686.2M12.48%915M9.31%813.5M
-Long term debt -64.11%269.6M--269.6M-41.75%751.2M3.79%1.29B-12.00%1.24B46.17%1.41B40.76%965.9M-25.01%686.2M12.48%915M9.31%813.5M
-Long term capital lease obligation --26.1M--26.1M-----15.21%36.8M-13.55%43.4M--50.2M----------------
Derivative product liabilities ----------------14.29%8M-27.08%7M-62.20%9.6M-31.90%25.4M-35.69%37.3M4.50%58M
Long term provisions 0.00%1.4M--1.4M0.00%1.4M0.00%1.4M7.69%1.4M-84.34%1.3M66.00%8.3M194.12%5M-50.00%1.7M-10.53%3.4M
Employee benefits 1.52%6.7M--6.7M-4.35%6.6M-19.77%6.9M-6.52%8.6M6.98%9.2M8.86%8.6M-3.66%7.9M-26.79%8.2M2.75%11.2M
Non current deferred liabilities ------------1.88%140.9M-0.07%138.3M-18.92%138.4M-2.96%170.7M-6.54%175.9M3.46%188.2M4.06%181.9M
Other non current liabilities -20.72%8.8M--8.8M23.33%11.1M-8.16%9M66.10%9.8M0.00%5.9M--5.9M------------
Total non current liabilities -59.42%312.6M--312.6M-48.11%770.3M2.25%1.48B-10.59%1.45B38.91%1.62B29.83%1.17B-21.73%900.4M7.72%1.15B7.97%1.07B
Total liabilities -28.52%1.06B--1.06B-19.11%1.49B5.25%1.84B-20.88%1.75B19.98%2.21B23.74%1.84B-14.39%1.49B20.17%1.74B6.76%1.45B
Shareholders'equity
Share capital 18.71%4.7B--4.7B24.74%3.96B0.37%3.17B3.56%3.16B-0.40%3.05B-0.23%3.06B18.98%3.07B0.00%2.58B0.00%2.58B
-common stock 18.71%4.7B--4.7B24.74%3.96B0.37%3.17B3.56%3.16B-0.40%3.05B-0.23%3.06B18.98%3.07B0.00%2.58B0.00%2.58B
Retained earnings -77.01%-3.87B---3.87B-982.73%-2.19B-46.07%247.8M11.85%459.5M-40.76%410.8M-3.45%693.5M2.28%718.3M25.01%702.3M21.52%561.8M
Gains losses not affecting retained earnings 242.86%9.6M--9.6M-75.65%2.8M121.15%11.5M52.94%5.2M121.79%3.4M-122.86%-15.6M2.78%-7M-233.33%-7.2M172.97%5.4M
Total stockholders'equity -52.95%833.3M--833.3M-48.37%1.77B-5.34%3.43B4.59%3.62B-7.38%3.47B-1.07%3.74B15.44%3.78B4.06%3.28B3.70%3.15B
Total equity -52.95%833.3M--833.3M-48.37%1.77B-5.34%3.43B4.59%3.62B-7.38%3.47B-1.07%3.74B15.44%3.78B4.06%3.28B3.70%3.15B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP