AU Stock MarketDetailed Quotes

SUNPI Suncorp Group Ltd

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  • 103.750
  • +0.350+0.34%
20min DelayMarket Closed Nov 1 15:12 AET
132.00BMarket Cap0.00P/E (Static)

Suncorp Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)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
(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
8.97%20.52B
6.77%18.83B
-2.19%17.64B
4.25%18.04B
3.65%17.3B
17.39%16.69B
-13.94%14.22B
2.83%16.52B
-1.62%16.07B
-8.08%16.33B
Cash received from insurance business
12.38%22.72B
21.82%20.22B
3.11%16.6B
-1.60%16.1B
-0.02%16.36B
-5.69%16.36B
-0.29%17.35B
-1.07%17.4B
2.16%17.59B
-0.31%17.22B
Other cash income from operating activities
-58.74%-2.2B
-232.57%-1.38B
-46.16%1.04B
106.06%1.94B
186.02%941M
110.51%329M
-256.20%-3.13B
42.25%-879M
-71.98%-1.52B
-277.71%-885M
Cash paid
0.36%-18.03B
-19.38%-18.09B
-10.69%-15.16B
8.70%-13.69B
-1.00%-15B
7.75%-14.85B
1.40%-16.1B
13.16%-16.32B
-12.08%-18.8B
-4.30%-16.77B
Cash paid for insurance business
8.74%-14.83B
-14.22%-16.25B
-12.58%-14.23B
7.22%-12.64B
-4.85%-13.62B
8.38%-12.99B
1.51%-14.18B
12.73%-14.4B
-53.67%-16.5B
-4.40%-10.73B
Cash paid on behalf of employees
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----
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-1.48%-3.56B
All taxes paid
-8.11%-360M
43.46%-333M
-30.60%-589M
-40.50%-451M
13.94%-321M
24.95%-373M
-2.05%-497M
26.55%-487M
-6.94%-663M
-228.04%-620M
Other cash payments from operating activities
-88.07%-2.84B
-345.13%-1.51B
43.78%-339M
42.84%-603M
28.96%-1.06B
-4.50%-1.49B
1.39%-1.42B
12.08%-1.44B
11.55%-1.64B
11.59%-1.85B
Operating cash flow
236.52%2.5B
-70.14%742M
-42.79%2.49B
88.62%4.34B
25.03%2.3B
198.03%1.84B
-1,063.59%-1.88B
107.14%195M
-519.50%-2.73B
-126.14%-441M
Investing cash flow
Cash flow from continuing investing activities
-315.92%-4.65B
50.04%-1.12B
-59.97%-2.24B
-3,353.49%-1.4B
169.35%43M
74.17%-62M
-159.11%-240M
-88.28%406M
216.26%3.46B
54,650.00%1.1B
Net PPE purchase and sale
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----
----
----
----
----
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7,029.41%1.21B
Net business purchase and sale
----
----
--139M
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----
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Net investment purchase and sale
-338.81%-4.27B
54.40%-974M
-35.96%-2.14B
-1,705.75%-1.57B
-134.52%-87M
148.37%252M
-189.83%-521M
-77.68%580M
--2.6B
----
Net other investing changes
-161.11%-376M
40.25%-144M
-240.12%-241M
32.31%172M
141.40%130M
-211.74%-314M
261.49%281M
-120.12%-174M
839.32%865M
-457.14%-117M
Cash from discontinued investing activities
Investing cash flow
-315.92%-4.65B
50.04%-1.12B
-59.97%-2.24B
-3,353.49%-1.4B
169.35%43M
74.17%-62M
-159.11%-240M
-88.28%406M
216.26%3.46B
54,650.00%1.1B
Financing cash flow
Cash flow from continuing financing activities
-115.07%-333M
144.74%2.21B
154.01%903M
25.92%-1.67B
-10.47%-2.26B
-262.53%-2.04B
579.77%1.26B
-11.97%-262M
73.38%-234M
66.10%-879M
Net issuance payments of debt
-86.85%366M
35.23%2.78B
279.74%2.06B
-64.51%-1.15B
27.20%-696M
-144.40%-956M
253.53%2.15B
-29.51%609M
64.26%864M
128.51%526M
Net common stock issuance
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----
---506M
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----
Cash dividends paid
-18.49%-692M
35.47%-584M
-111.45%-905M
52.29%-428M
15.54%-897M
-22.77%-1.06B
-4.09%-865M
18.93%-831M
26.05%-1.03B
-27.39%-1.39B
Net other financing charges
91.46%-7M
67.20%-82M
-152.53%-250M
37.34%-99M
-532.00%-158M
19.35%-25M
22.50%-31M
45.21%-40M
-284.21%-73M
36.67%-19M
Cash from discontinued financing activities
Financing cash flow
-115.07%-333M
144.74%2.21B
154.01%903M
25.92%-1.67B
-10.47%-2.26B
-262.53%-2.04B
579.77%1.26B
-11.97%-262M
73.38%-234M
66.10%-879M
Net cash flow
Beginning cash position
48.94%5.58B
44.41%3.74B
96.36%2.59B
7.14%1.32B
-17.37%1.23B
-36.74%1.49B
16.80%2.36B
33.29%2.02B
-13.04%1.51B
-34.08%1.74B
Current changes in cash
-235.55%-2.49B
59.48%1.83B
-9.66%1.15B
1,330.34%1.27B
133.84%89M
69.49%-263M
-354.28%-862M
-31.79%339M
320.89%497M
75.11%-225M
Effect of exchange rate changes
500.00%8M
-300.00%-2M
200.00%1M
0.00%-1M
-125.00%-1M
200.00%4M
---4M
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450.00%7M
-150.00%-2M
End cash Position
-44.45%3.1B
48.94%5.58B
44.41%3.74B
96.36%2.59B
7.14%1.32B
-17.37%1.23B
-36.74%1.49B
16.80%2.36B
33.29%2.02B
-13.04%1.51B
Free cash flow
236.52%2.5B
-70.14%742M
-42.79%2.49B
88.62%4.34B
25.03%2.3B
198.03%1.84B
-1,063.59%-1.88B
107.14%195M
-519.50%-2.73B
-126.14%-441M
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(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(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities 8.97%20.52B6.77%18.83B-2.19%17.64B4.25%18.04B3.65%17.3B17.39%16.69B-13.94%14.22B2.83%16.52B-1.62%16.07B-8.08%16.33B
Cash received from insurance business 12.38%22.72B21.82%20.22B3.11%16.6B-1.60%16.1B-0.02%16.36B-5.69%16.36B-0.29%17.35B-1.07%17.4B2.16%17.59B-0.31%17.22B
Other cash income from operating activities -58.74%-2.2B-232.57%-1.38B-46.16%1.04B106.06%1.94B186.02%941M110.51%329M-256.20%-3.13B42.25%-879M-71.98%-1.52B-277.71%-885M
Cash paid 0.36%-18.03B-19.38%-18.09B-10.69%-15.16B8.70%-13.69B-1.00%-15B7.75%-14.85B1.40%-16.1B13.16%-16.32B-12.08%-18.8B-4.30%-16.77B
Cash paid for insurance business 8.74%-14.83B-14.22%-16.25B-12.58%-14.23B7.22%-12.64B-4.85%-13.62B8.38%-12.99B1.51%-14.18B12.73%-14.4B-53.67%-16.5B-4.40%-10.73B
Cash paid on behalf of employees -------------------------------------1.48%-3.56B
All taxes paid -8.11%-360M43.46%-333M-30.60%-589M-40.50%-451M13.94%-321M24.95%-373M-2.05%-497M26.55%-487M-6.94%-663M-228.04%-620M
Other cash payments from operating activities -88.07%-2.84B-345.13%-1.51B43.78%-339M42.84%-603M28.96%-1.06B-4.50%-1.49B1.39%-1.42B12.08%-1.44B11.55%-1.64B11.59%-1.85B
Operating cash flow 236.52%2.5B-70.14%742M-42.79%2.49B88.62%4.34B25.03%2.3B198.03%1.84B-1,063.59%-1.88B107.14%195M-519.50%-2.73B-126.14%-441M
Investing cash flow
Cash flow from continuing investing activities -315.92%-4.65B50.04%-1.12B-59.97%-2.24B-3,353.49%-1.4B169.35%43M74.17%-62M-159.11%-240M-88.28%406M216.26%3.46B54,650.00%1.1B
Net PPE purchase and sale ------------------------------------7,029.41%1.21B
Net business purchase and sale ----------139M----------------------------
Net investment purchase and sale -338.81%-4.27B54.40%-974M-35.96%-2.14B-1,705.75%-1.57B-134.52%-87M148.37%252M-189.83%-521M-77.68%580M--2.6B----
Net other investing changes -161.11%-376M40.25%-144M-240.12%-241M32.31%172M141.40%130M-211.74%-314M261.49%281M-120.12%-174M839.32%865M-457.14%-117M
Cash from discontinued investing activities
Investing cash flow -315.92%-4.65B50.04%-1.12B-59.97%-2.24B-3,353.49%-1.4B169.35%43M74.17%-62M-159.11%-240M-88.28%406M216.26%3.46B54,650.00%1.1B
Financing cash flow
Cash flow from continuing financing activities -115.07%-333M144.74%2.21B154.01%903M25.92%-1.67B-10.47%-2.26B-262.53%-2.04B579.77%1.26B-11.97%-262M73.38%-234M66.10%-879M
Net issuance payments of debt -86.85%366M35.23%2.78B279.74%2.06B-64.51%-1.15B27.20%-696M-144.40%-956M253.53%2.15B-29.51%609M64.26%864M128.51%526M
Net common stock issuance -------------------506M--------------------
Cash dividends paid -18.49%-692M35.47%-584M-111.45%-905M52.29%-428M15.54%-897M-22.77%-1.06B-4.09%-865M18.93%-831M26.05%-1.03B-27.39%-1.39B
Net other financing charges 91.46%-7M67.20%-82M-152.53%-250M37.34%-99M-532.00%-158M19.35%-25M22.50%-31M45.21%-40M-284.21%-73M36.67%-19M
Cash from discontinued financing activities
Financing cash flow -115.07%-333M144.74%2.21B154.01%903M25.92%-1.67B-10.47%-2.26B-262.53%-2.04B579.77%1.26B-11.97%-262M73.38%-234M66.10%-879M
Net cash flow
Beginning cash position 48.94%5.58B44.41%3.74B96.36%2.59B7.14%1.32B-17.37%1.23B-36.74%1.49B16.80%2.36B33.29%2.02B-13.04%1.51B-34.08%1.74B
Current changes in cash -235.55%-2.49B59.48%1.83B-9.66%1.15B1,330.34%1.27B133.84%89M69.49%-263M-354.28%-862M-31.79%339M320.89%497M75.11%-225M
Effect of exchange rate changes 500.00%8M-300.00%-2M200.00%1M0.00%-1M-125.00%-1M200.00%4M---4M----450.00%7M-150.00%-2M
End cash Position -44.45%3.1B48.94%5.58B44.41%3.74B96.36%2.59B7.14%1.32B-17.37%1.23B-36.74%1.49B16.80%2.36B33.29%2.02B-13.04%1.51B
Free cash flow 236.52%2.5B-70.14%742M-42.79%2.49B88.62%4.34B25.03%2.3B198.03%1.84B-1,063.59%-1.88B107.14%195M-519.50%-2.73B-126.14%-441M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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