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SPK Spark New Zealand Ltd

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  • 2.620
  • -0.030-1.13%
20min DelayNot Open Dec 2 16:00 AET
4.83BMarket Cap16.58P/E (Static)

Spark New Zealand 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
-41.00%59M
-41.00%59M
40.85%100M
40.85%100M
-1.39%71M
-1.39%71M
35.85%72M
35.85%72M
-1.85%53M
-1.85%53M
-Cash and cash equivalents
-41.00%59M
-41.00%59M
40.85%100M
40.85%100M
-1.39%71M
-1.39%71M
35.85%72M
35.85%72M
-1.85%53M
-1.85%53M
Receivables
22.82%915M
22.82%915M
7.81%745M
7.81%745M
9.51%691M
9.51%691M
-0.94%631M
-0.94%631M
-3.78%637M
-3.78%637M
-Accounts receivable
5.12%431M
5.12%431M
10.51%410M
10.51%410M
18.15%371M
18.15%371M
8.65%314M
8.65%314M
-13.73%289M
-13.73%289M
-Other receivables
44.48%484M
44.48%484M
4.69%335M
4.69%335M
0.95%320M
0.95%320M
-8.91%317M
-8.91%317M
6.42%348M
6.42%348M
Inventory
12.66%89M
12.66%89M
-26.17%79M
-26.17%79M
67.19%107M
67.19%107M
-33.33%64M
-33.33%64M
-4.00%96M
-4.00%96M
Prepaid assets
----
----
4.05%154M
4.05%154M
8.03%148M
8.03%148M
-2.14%137M
-2.14%137M
50.54%140M
50.54%140M
Current deferred assets
--6M
--6M
----
----
--1M
--1M
----
----
--1M
--1M
Hedging assets-current
0.00%1M
0.00%1M
-80.00%1M
-80.00%1M
-58.33%5M
-58.33%5M
1,100.00%12M
1,100.00%12M
-50.00%1M
-50.00%1M
Holding assets for sale
----
----
----
----
--198M
--198M
----
----
----
----
Total current assets
-0.83%1.07B
-0.83%1.07B
-11.63%1.08B
-11.63%1.08B
33.30%1.22B
33.30%1.22B
-1.29%916M
-1.29%916M
1.87%928M
1.87%928M
Non current assets
Net PPE
6.67%1.95B
6.67%1.95B
7.15%1.83B
7.15%1.83B
-5.38%1.71B
-5.38%1.71B
0.28%1.8B
0.28%1.8B
6.32%1.8B
6.32%1.8B
-Gross PPE
-0.12%5.65B
-0.12%5.65B
5.43%5.65B
5.43%5.65B
-12.95%5.36B
-12.95%5.36B
3.88%6.16B
3.88%6.16B
-9.48%5.93B
-9.48%5.93B
-Accumulated depreciation
3.37%-3.7B
3.37%-3.7B
-4.62%-3.83B
-4.62%-3.83B
16.09%-3.66B
16.09%-3.66B
-5.45%-4.36B
-5.45%-4.36B
14.98%-4.13B
14.98%-4.13B
Investments and advances
-18.90%206M
-18.90%206M
19.81%254M
19.81%254M
-6.61%212M
-6.61%212M
-26.30%227M
-26.30%227M
69.23%308M
69.23%308M
-Long term equity investment
-13.90%161M
-13.90%161M
85.15%187M
85.15%187M
71.19%101M
71.19%101M
9.26%59M
9.26%59M
157.14%54M
157.14%54M
-Financial asset investment
-32.79%41M
-32.79%41M
-41.90%61M
-41.90%61M
-34.38%105M
-34.38%105M
-35.22%160M
-35.22%160M
58.33%247M
58.33%247M
-Including:Trading securities
-32.79%41M
-32.79%41M
-41.90%61M
-41.90%61M
-34.38%105M
-34.38%105M
-35.22%160M
-35.22%160M
58.33%247M
58.33%247M
-Other investment
-33.33%4M
-33.33%4M
0.00%6M
0.00%6M
-25.00%6M
-25.00%6M
14.29%8M
14.29%8M
40.00%7M
40.00%7M
Financial assets
-7.41%25M
-7.41%25M
107.69%27M
107.69%27M
-45.83%13M
-45.83%13M
-60.00%24M
-60.00%24M
87.50%60M
87.50%60M
Non current accounts receivable
19.21%515M
19.21%515M
119.29%432M
119.29%432M
-27.31%197M
-27.31%197M
-4.58%271M
-4.58%271M
-2.41%284M
-2.41%284M
Goodwill and other intangible assets
5.58%851M
5.58%851M
-3.93%806M
-3.93%806M
-3.67%839M
-3.67%839M
-10.02%871M
-10.02%871M
-1.93%968M
-1.93%968M
-Goodwill
4.27%244M
4.27%244M
0.00%234M
0.00%234M
5.41%234M
5.41%234M
0.00%222M
0.00%222M
4.23%222M
4.23%222M
-Other intangible assets
6.12%607M
6.12%607M
-5.45%572M
-5.45%572M
-6.78%605M
-6.78%605M
-13.00%649M
-13.00%649M
-3.62%746M
-3.62%746M
Non current deferred assets
-69.09%17M
-69.09%17M
--55M
--55M
----
----
----
----
----
----
Total non current assets
4.76%3.57B
4.76%3.57B
14.66%3.4B
14.66%3.4B
-7.16%2.97B
-7.16%2.97B
-6.49%3.2B
-6.49%3.2B
7.38%3.42B
7.38%3.42B
Total assets
3.41%4.64B
3.41%4.64B
6.99%4.48B
6.99%4.48B
1.85%4.19B
1.85%4.19B
-5.38%4.11B
-5.38%4.11B
6.15%4.35B
6.15%4.35B
Liabilities
Current liabilities
Current debt and capital lease obligation
62.42%510M
62.42%510M
-8.99%314M
-8.99%314M
-20.32%345M
-20.32%345M
60.97%433M
60.97%433M
-42.03%269M
-42.03%269M
-Current debt
75.42%414M
75.42%414M
-19.45%236M
-19.45%236M
-21.45%293M
-21.45%293M
63.60%373M
63.60%373M
-47.34%228M
-47.34%228M
-Current capital lease obligation
23.08%96M
23.08%96M
50.00%78M
50.00%78M
-13.33%52M
-13.33%52M
46.34%60M
46.34%60M
32.26%41M
32.26%41M
Payables
8.48%550M
8.48%550M
10.22%507M
10.22%507M
-3.97%460M
-3.97%460M
3.46%479M
3.46%479M
3.58%463M
3.58%463M
-accounts payable
3.10%299M
3.10%299M
11.54%290M
11.54%290M
-3.70%260M
-3.70%260M
13.92%270M
13.92%270M
-8.14%237M
-8.14%237M
-Other payable
15.67%251M
15.67%251M
8.50%217M
8.50%217M
-4.31%200M
-4.31%200M
-7.52%209M
-7.52%209M
19.58%226M
19.58%226M
Current provisions
----
----
300.00%4M
300.00%4M
-75.00%1M
-75.00%1M
-20.00%4M
-20.00%4M
-64.29%5M
-64.29%5M
Current deferred liabilities
----
----
-37.50%25M
-37.50%25M
73.91%40M
73.91%40M
-47.73%23M
-47.73%23M
131.58%44M
131.58%44M
Other current liabilities
----
----
----
----
--94M
--94M
----
----
----
----
Current liabilities
24.71%1.06B
24.71%1.06B
-9.57%850M
-9.57%850M
0.11%940M
0.11%940M
20.23%939M
20.23%939M
-17.27%781M
-17.27%781M
Non current liabilities
Long term debt and capital lease obligation
22.10%1.85B
22.10%1.85B
-0.59%1.52B
-0.59%1.52B
6.20%1.53B
6.20%1.53B
-19.10%1.44B
-19.10%1.44B
24.91%1.78B
24.91%1.78B
-Long term debt
47.67%1.21B
47.67%1.21B
-33.82%816M
-33.82%816M
19.71%1.23B
19.71%1.23B
-17.20%1.03B
-17.20%1.03B
29.31%1.24B
29.31%1.24B
-Long term capital lease obligation
-7.71%646M
-7.71%646M
139.73%700M
139.73%700M
-28.08%292M
-28.08%292M
-23.54%406M
-23.54%406M
15.69%531M
15.69%531M
Long term accounts payable and other payables
-31.71%56M
-31.71%56M
28.13%82M
28.13%82M
6.67%64M
6.67%64M
-21.05%60M
-21.05%60M
18.75%76M
18.75%76M
Derivative product liabilities
-17.02%78M
-17.02%78M
22.08%94M
22.08%94M
-15.38%77M
-15.38%77M
-41.67%91M
-41.67%91M
40.54%156M
40.54%156M
Long term provisions
----
----
----
----
----
----
----
----
25.00%5M
25.00%5M
Non current deferred liabilities
----
----
----
----
28.57%108M
28.57%108M
37.70%84M
37.70%84M
-29.07%61M
-29.07%61M
Total non current liabilities
17.32%1.99B
17.32%1.99B
-4.62%1.69B
-4.62%1.69B
6.16%1.77B
6.16%1.77B
-19.39%1.67B
-19.39%1.67B
22.95%2.07B
22.95%2.07B
Total liabilities
19.79%3.05B
19.79%3.05B
-6.34%2.54B
-6.34%2.54B
3.98%2.71B
3.98%2.71B
-8.55%2.61B
-8.55%2.61B
8.52%2.85B
8.52%2.85B
Shareholders'equity
Share capital
-16.06%810M
-16.06%810M
-12.67%965M
-12.67%965M
1.94%1.11B
1.94%1.11B
14.23%1.08B
14.23%1.08B
0.42%949M
0.42%949M
-common stock
-16.06%810M
-16.06%810M
-12.67%965M
-12.67%965M
1.94%1.11B
1.94%1.11B
14.23%1.08B
14.23%1.08B
0.42%949M
0.42%949M
Retained earnings
-12.91%1.19B
-12.91%1.19B
89.89%1.37B
89.89%1.37B
-8.61%722M
-8.61%722M
-11.93%790M
-11.93%790M
-3.44%897M
-3.44%897M
Gains losses not affecting retained earnings
-4.55%-414M
-4.55%-414M
-12.50%-396M
-12.50%-396M
5.12%-352M
5.12%-352M
-5.10%-371M
-5.10%-371M
13.69%-353M
13.69%-353M
Total stockholders'equity
-18.04%1.59B
-18.04%1.59B
31.53%1.94B
31.53%1.94B
-1.86%1.48B
-1.86%1.48B
0.67%1.5B
0.67%1.5B
1.91%1.49B
1.91%1.49B
Total equity
-18.04%1.59B
-18.04%1.59B
31.53%1.94B
31.53%1.94B
-1.86%1.48B
-1.86%1.48B
0.67%1.5B
0.67%1.5B
1.91%1.49B
1.91%1.49B
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 -41.00%59M-41.00%59M40.85%100M40.85%100M-1.39%71M-1.39%71M35.85%72M35.85%72M-1.85%53M-1.85%53M
-Cash and cash equivalents -41.00%59M-41.00%59M40.85%100M40.85%100M-1.39%71M-1.39%71M35.85%72M35.85%72M-1.85%53M-1.85%53M
Receivables 22.82%915M22.82%915M7.81%745M7.81%745M9.51%691M9.51%691M-0.94%631M-0.94%631M-3.78%637M-3.78%637M
-Accounts receivable 5.12%431M5.12%431M10.51%410M10.51%410M18.15%371M18.15%371M8.65%314M8.65%314M-13.73%289M-13.73%289M
-Other receivables 44.48%484M44.48%484M4.69%335M4.69%335M0.95%320M0.95%320M-8.91%317M-8.91%317M6.42%348M6.42%348M
Inventory 12.66%89M12.66%89M-26.17%79M-26.17%79M67.19%107M67.19%107M-33.33%64M-33.33%64M-4.00%96M-4.00%96M
Prepaid assets --------4.05%154M4.05%154M8.03%148M8.03%148M-2.14%137M-2.14%137M50.54%140M50.54%140M
Current deferred assets --6M--6M----------1M--1M----------1M--1M
Hedging assets-current 0.00%1M0.00%1M-80.00%1M-80.00%1M-58.33%5M-58.33%5M1,100.00%12M1,100.00%12M-50.00%1M-50.00%1M
Holding assets for sale ------------------198M--198M----------------
Total current assets -0.83%1.07B-0.83%1.07B-11.63%1.08B-11.63%1.08B33.30%1.22B33.30%1.22B-1.29%916M-1.29%916M1.87%928M1.87%928M
Non current assets
Net PPE 6.67%1.95B6.67%1.95B7.15%1.83B7.15%1.83B-5.38%1.71B-5.38%1.71B0.28%1.8B0.28%1.8B6.32%1.8B6.32%1.8B
-Gross PPE -0.12%5.65B-0.12%5.65B5.43%5.65B5.43%5.65B-12.95%5.36B-12.95%5.36B3.88%6.16B3.88%6.16B-9.48%5.93B-9.48%5.93B
-Accumulated depreciation 3.37%-3.7B3.37%-3.7B-4.62%-3.83B-4.62%-3.83B16.09%-3.66B16.09%-3.66B-5.45%-4.36B-5.45%-4.36B14.98%-4.13B14.98%-4.13B
Investments and advances -18.90%206M-18.90%206M19.81%254M19.81%254M-6.61%212M-6.61%212M-26.30%227M-26.30%227M69.23%308M69.23%308M
-Long term equity investment -13.90%161M-13.90%161M85.15%187M85.15%187M71.19%101M71.19%101M9.26%59M9.26%59M157.14%54M157.14%54M
-Financial asset investment -32.79%41M-32.79%41M-41.90%61M-41.90%61M-34.38%105M-34.38%105M-35.22%160M-35.22%160M58.33%247M58.33%247M
-Including:Trading securities -32.79%41M-32.79%41M-41.90%61M-41.90%61M-34.38%105M-34.38%105M-35.22%160M-35.22%160M58.33%247M58.33%247M
-Other investment -33.33%4M-33.33%4M0.00%6M0.00%6M-25.00%6M-25.00%6M14.29%8M14.29%8M40.00%7M40.00%7M
Financial assets -7.41%25M-7.41%25M107.69%27M107.69%27M-45.83%13M-45.83%13M-60.00%24M-60.00%24M87.50%60M87.50%60M
Non current accounts receivable 19.21%515M19.21%515M119.29%432M119.29%432M-27.31%197M-27.31%197M-4.58%271M-4.58%271M-2.41%284M-2.41%284M
Goodwill and other intangible assets 5.58%851M5.58%851M-3.93%806M-3.93%806M-3.67%839M-3.67%839M-10.02%871M-10.02%871M-1.93%968M-1.93%968M
-Goodwill 4.27%244M4.27%244M0.00%234M0.00%234M5.41%234M5.41%234M0.00%222M0.00%222M4.23%222M4.23%222M
-Other intangible assets 6.12%607M6.12%607M-5.45%572M-5.45%572M-6.78%605M-6.78%605M-13.00%649M-13.00%649M-3.62%746M-3.62%746M
Non current deferred assets -69.09%17M-69.09%17M--55M--55M------------------------
Total non current assets 4.76%3.57B4.76%3.57B14.66%3.4B14.66%3.4B-7.16%2.97B-7.16%2.97B-6.49%3.2B-6.49%3.2B7.38%3.42B7.38%3.42B
Total assets 3.41%4.64B3.41%4.64B6.99%4.48B6.99%4.48B1.85%4.19B1.85%4.19B-5.38%4.11B-5.38%4.11B6.15%4.35B6.15%4.35B
Liabilities
Current liabilities
Current debt and capital lease obligation 62.42%510M62.42%510M-8.99%314M-8.99%314M-20.32%345M-20.32%345M60.97%433M60.97%433M-42.03%269M-42.03%269M
-Current debt 75.42%414M75.42%414M-19.45%236M-19.45%236M-21.45%293M-21.45%293M63.60%373M63.60%373M-47.34%228M-47.34%228M
-Current capital lease obligation 23.08%96M23.08%96M50.00%78M50.00%78M-13.33%52M-13.33%52M46.34%60M46.34%60M32.26%41M32.26%41M
Payables 8.48%550M8.48%550M10.22%507M10.22%507M-3.97%460M-3.97%460M3.46%479M3.46%479M3.58%463M3.58%463M
-accounts payable 3.10%299M3.10%299M11.54%290M11.54%290M-3.70%260M-3.70%260M13.92%270M13.92%270M-8.14%237M-8.14%237M
-Other payable 15.67%251M15.67%251M8.50%217M8.50%217M-4.31%200M-4.31%200M-7.52%209M-7.52%209M19.58%226M19.58%226M
Current provisions --------300.00%4M300.00%4M-75.00%1M-75.00%1M-20.00%4M-20.00%4M-64.29%5M-64.29%5M
Current deferred liabilities ---------37.50%25M-37.50%25M73.91%40M73.91%40M-47.73%23M-47.73%23M131.58%44M131.58%44M
Other current liabilities ------------------94M--94M----------------
Current liabilities 24.71%1.06B24.71%1.06B-9.57%850M-9.57%850M0.11%940M0.11%940M20.23%939M20.23%939M-17.27%781M-17.27%781M
Non current liabilities
Long term debt and capital lease obligation 22.10%1.85B22.10%1.85B-0.59%1.52B-0.59%1.52B6.20%1.53B6.20%1.53B-19.10%1.44B-19.10%1.44B24.91%1.78B24.91%1.78B
-Long term debt 47.67%1.21B47.67%1.21B-33.82%816M-33.82%816M19.71%1.23B19.71%1.23B-17.20%1.03B-17.20%1.03B29.31%1.24B29.31%1.24B
-Long term capital lease obligation -7.71%646M-7.71%646M139.73%700M139.73%700M-28.08%292M-28.08%292M-23.54%406M-23.54%406M15.69%531M15.69%531M
Long term accounts payable and other payables -31.71%56M-31.71%56M28.13%82M28.13%82M6.67%64M6.67%64M-21.05%60M-21.05%60M18.75%76M18.75%76M
Derivative product liabilities -17.02%78M-17.02%78M22.08%94M22.08%94M-15.38%77M-15.38%77M-41.67%91M-41.67%91M40.54%156M40.54%156M
Long term provisions --------------------------------25.00%5M25.00%5M
Non current deferred liabilities ----------------28.57%108M28.57%108M37.70%84M37.70%84M-29.07%61M-29.07%61M
Total non current liabilities 17.32%1.99B17.32%1.99B-4.62%1.69B-4.62%1.69B6.16%1.77B6.16%1.77B-19.39%1.67B-19.39%1.67B22.95%2.07B22.95%2.07B
Total liabilities 19.79%3.05B19.79%3.05B-6.34%2.54B-6.34%2.54B3.98%2.71B3.98%2.71B-8.55%2.61B-8.55%2.61B8.52%2.85B8.52%2.85B
Shareholders'equity
Share capital -16.06%810M-16.06%810M-12.67%965M-12.67%965M1.94%1.11B1.94%1.11B14.23%1.08B14.23%1.08B0.42%949M0.42%949M
-common stock -16.06%810M-16.06%810M-12.67%965M-12.67%965M1.94%1.11B1.94%1.11B14.23%1.08B14.23%1.08B0.42%949M0.42%949M
Retained earnings -12.91%1.19B-12.91%1.19B89.89%1.37B89.89%1.37B-8.61%722M-8.61%722M-11.93%790M-11.93%790M-3.44%897M-3.44%897M
Gains losses not affecting retained earnings -4.55%-414M-4.55%-414M-12.50%-396M-12.50%-396M5.12%-352M5.12%-352M-5.10%-371M-5.10%-371M13.69%-353M13.69%-353M
Total stockholders'equity -18.04%1.59B-18.04%1.59B31.53%1.94B31.53%1.94B-1.86%1.48B-1.86%1.48B0.67%1.5B0.67%1.5B1.91%1.49B1.91%1.49B
Total equity -18.04%1.59B-18.04%1.59B31.53%1.94B31.53%1.94B-1.86%1.48B-1.86%1.48B0.67%1.5B0.67%1.5B1.91%1.49B1.91%1.49B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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