AU Stock MarketDetailed Quotes

TLS Telstra Group Ltd

Watchlist
  • 3.890
  • +0.040+1.04%
20min DelayMarket Closed Nov 15 16:00 AET
44.95BMarket Cap27.79P/E (Static)

Telstra Group 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
12.23%1.05B
12.23%1.05B
-10.38%932M
-10.38%932M
-7.56%1.04B
-7.56%1.04B
125.45%1.13B
125.45%1.13B
-17.38%499M
-17.38%499M
-Cash and cash equivalents
12.23%1.05B
12.23%1.05B
-10.38%932M
-10.38%932M
-7.56%1.04B
-7.56%1.04B
125.45%1.13B
125.45%1.13B
-17.38%499M
-17.38%499M
Receivables
-9.20%3.83B
-9.20%3.83B
3.49%4.22B
3.49%4.22B
-10.99%4.07B
-10.99%4.07B
-10.62%4.58B
-10.62%4.58B
-5.03%5.12B
-5.03%5.12B
-Accounts receivable
1.41%2.73B
1.41%2.73B
-2.25%2.69B
-2.25%2.69B
-12.15%2.76B
-12.15%2.76B
-3.45%3.14B
-3.45%3.14B
3.08%3.25B
3.08%3.25B
-Other receivables
-27.97%1.1B
-27.97%1.1B
15.47%1.52B
15.47%1.52B
-8.47%1.32B
-8.47%1.32B
-23.06%1.44B
-23.06%1.44B
-16.42%1.87B
-16.42%1.87B
Inventory
-5.13%518M
-5.13%518M
14.71%546M
14.71%546M
23.64%476M
23.64%476M
-7.89%385M
-7.89%385M
-6.70%418M
-6.70%418M
Prepaid assets
-6.10%308M
-6.10%308M
39.57%328M
39.57%328M
-17.54%235M
-17.54%235M
7.55%285M
7.55%285M
-42.01%265M
-42.01%265M
Current deferred assets
-76.97%35M
-76.97%35M
794.12%152M
794.12%152M
240.00%17M
240.00%17M
150.00%5M
150.00%5M
-71.43%2M
-71.43%2M
Hedging assets-current
-47.87%232M
-47.87%232M
47.35%445M
47.35%445M
-51.60%302M
-51.60%302M
324.49%624M
324.49%624M
-17.88%147M
-17.88%147M
Other current assets
22.81%140M
22.81%140M
-1.72%114M
-1.72%114M
2.65%116M
2.65%116M
37.80%113M
37.80%113M
-13.68%82M
-13.68%82M
Total current assets
-9.30%6.11B
-9.30%6.11B
7.56%6.73B
7.56%6.73B
-12.00%6.26B
-12.00%6.26B
8.88%7.11B
8.88%7.11B
-10.53%6.53B
-10.53%6.53B
Non current assets
Net PPE
-1.10%23.53B
-1.10%23.53B
1.64%23.79B
1.64%23.79B
-1.28%23.41B
-1.28%23.41B
-3.32%23.72B
-3.32%23.72B
9.84%24.53B
9.84%24.53B
-Gross PPE
-2.27%67.92B
-2.27%67.92B
0.17%69.5B
0.17%69.5B
0.95%69.38B
0.95%69.38B
0.86%68.73B
0.86%68.73B
5.66%68.14B
5.66%68.14B
-Accumulated depreciation
2.88%-44.39B
2.88%-44.39B
0.57%-45.7B
0.57%-45.7B
-2.13%-45.97B
-2.13%-45.97B
-3.22%-45.01B
-3.22%-45.01B
-3.45%-43.61B
-3.45%-43.61B
Investments and advances
-5.51%669M
-5.51%669M
-14.60%708M
-14.60%708M
-19.75%829M
-19.75%829M
12.53%1.03B
12.53%1.03B
-30.61%918M
-30.61%918M
-Long term equity investment
-7.29%636M
-7.29%636M
-15.72%686M
-15.72%686M
-20.04%814M
-20.04%814M
13.49%1.02B
13.49%1.02B
-30.89%897M
-30.89%897M
-Other investment
50.00%33M
50.00%33M
46.67%22M
46.67%22M
0.00%15M
0.00%15M
-28.57%15M
-28.57%15M
31.25%21M
31.25%21M
Financial assets
-36.64%211M
-36.64%211M
-34.96%333M
-34.96%333M
-34.86%512M
-34.86%512M
-60.91%786M
-60.91%786M
-3.46%2.01B
-3.46%2.01B
Non current accounts receivable
31.96%1.34B
31.96%1.34B
18.12%1.02B
18.12%1.02B
-26.28%861M
-26.28%861M
-18.21%1.17B
-18.21%1.17B
83.08%1.43B
83.08%1.43B
Goodwill and other intangible assets
13.03%12.42B
13.03%12.42B
34.75%10.99B
34.75%10.99B
14.36%8.16B
14.36%8.16B
-3.79%7.13B
-3.79%7.13B
2.80%7.41B
2.80%7.41B
-Goodwill
5.05%3.64B
5.05%3.64B
95.82%3.46B
95.82%3.46B
68.16%1.77B
68.16%1.77B
-3.04%1.05B
-3.04%1.05B
0.84%1.09B
0.84%1.09B
-Other intangible assets
16.70%8.78B
16.70%8.78B
17.84%7.53B
17.84%7.53B
5.05%6.39B
5.05%6.39B
-3.92%6.08B
-3.92%6.08B
3.15%6.33B
3.15%6.33B
Defined pension benefit
-16.84%237M
-16.84%237M
4.01%285M
4.01%285M
76.77%274M
76.77%274M
26.02%155M
26.02%155M
-46.98%123M
-46.98%123M
Non current deferred assets
60.87%74M
60.87%74M
-23.33%46M
-23.33%46M
0.00%60M
0.00%60M
-9.09%60M
-9.09%60M
11.86%66M
11.86%66M
Other non current assets
-14.95%956M
-14.95%956M
-11.22%1.12B
-11.22%1.12B
-7.12%1.27B
-7.12%1.27B
-1.37%1.36B
-1.37%1.36B
9.08%1.38B
9.08%1.38B
Total non current assets
3.00%39.44B
3.00%39.44B
8.28%38.3B
8.28%38.3B
-0.12%35.37B
-0.12%35.37B
-6.49%35.41B
-6.49%35.41B
7.32%37.87B
7.32%37.87B
Total assets
1.16%45.55B
1.16%45.55B
8.17%45.03B
8.17%45.03B
-2.11%41.63B
-2.11%41.63B
-4.23%42.53B
-4.23%42.53B
4.26%44.4B
4.26%44.4B
Liabilities
Current liabilities
Current debt and capital lease obligation
35.95%4.23B
35.95%4.23B
-2.20%3.11B
-2.20%3.11B
-23.08%3.18B
-23.08%3.18B
22.53%4.13B
22.53%4.13B
51.85%3.37B
51.85%3.37B
-Current debt
38.92%3.7B
38.92%3.7B
-1.04%2.66B
-1.04%2.66B
-25.92%2.69B
-25.92%2.69B
31.42%3.63B
31.42%3.63B
28.87%2.76B
28.87%2.76B
-Current capital lease obligation
18.30%530M
18.30%530M
-8.57%448M
-8.57%448M
-2.58%490M
-2.58%490M
-17.68%503M
-17.68%503M
683.33%611M
683.33%611M
Payables
5.98%4.63B
5.98%4.63B
4.20%4.37B
4.20%4.37B
11.23%4.19B
11.23%4.19B
-5.38%3.77B
-5.38%3.77B
-12.10%3.98B
-12.10%3.98B
-accounts payable
-7.23%1.48B
-7.23%1.48B
22.67%1.59B
22.67%1.59B
7.72%1.3B
7.72%1.3B
21.86%1.2B
21.86%1.2B
16.37%988M
16.37%988M
-Other payable
13.55%3.15B
13.55%3.15B
-4.08%2.77B
-4.08%2.77B
12.88%2.89B
12.88%2.89B
-14.37%2.56B
-14.37%2.56B
-18.67%2.99B
-18.67%2.99B
Current provisions
11.50%446M
11.50%446M
150.00%400M
150.00%400M
41.59%160M
41.59%160M
-36.52%113M
-36.52%113M
11.25%178M
11.25%178M
Pension and other retirement benefit plans
5.41%721M
5.41%721M
2.55%684M
2.55%684M
-2.20%667M
-2.20%667M
-6.19%682M
-6.19%682M
-9.58%727M
-9.58%727M
Current deferred liabilities
-26.32%28M
-26.32%28M
-9.52%38M
-9.52%38M
-66.13%42M
-66.13%42M
-44.64%124M
-44.64%124M
-31.91%224M
-31.91%224M
Other current liabilities
-1.20%1.48B
-1.20%1.48B
-7.83%1.5B
-7.83%1.5B
1.06%1.62B
1.06%1.62B
-0.37%1.61B
-0.37%1.61B
6.69%1.61B
6.69%1.61B
Current liabilities
14.21%11.53B
14.21%11.53B
2.35%10.09B
2.35%10.09B
-5.41%9.86B
-5.41%9.86B
3.27%10.42B
3.27%10.42B
5.66%10.09B
5.66%10.09B
Non current liabilities
Long term debt and capital lease obligation
-0.13%12.74B
-0.13%12.74B
15.03%12.76B
15.03%12.76B
-16.67%11.09B
-16.67%11.09B
-15.53%13.31B
-15.53%13.31B
4.80%15.75B
4.80%15.75B
-Long term debt
1.49%10.16B
1.49%10.16B
20.75%10.01B
20.75%10.01B
-21.07%8.29B
-21.07%8.29B
-19.60%10.51B
-19.60%10.51B
-11.82%13.07B
-11.82%13.07B
-Long term capital lease obligation
-6.02%2.58B
-6.02%2.58B
-1.93%2.74B
-1.93%2.74B
-0.18%2.8B
-0.18%2.8B
4.28%2.8B
4.28%2.8B
1,161.50%2.69B
1,161.50%2.69B
Long term accounts payable and other payables
-95.19%10M
-95.19%10M
-10.73%208M
-10.73%208M
2,488.89%233M
2,488.89%233M
125.00%9M
125.00%9M
-94.12%4M
-94.12%4M
Derivative product liabilities
-6.88%176M
-6.88%176M
-38.03%189M
-38.03%189M
-7.85%305M
-7.85%305M
3.44%331M
3.44%331M
13.07%320M
13.07%320M
Long term provisions
5.38%196M
5.38%196M
56.30%186M
56.30%186M
-5.56%119M
-5.56%119M
-11.89%126M
-11.89%126M
-9.49%143M
-9.49%143M
Employee benefits
15.20%144M
15.20%144M
-5.30%125M
-5.30%125M
-12.00%132M
-12.00%132M
11.11%150M
11.11%150M
-18.67%135M
-18.67%135M
Non current deferred liabilities
-15.58%1.78B
-15.58%1.78B
27.61%2.11B
27.61%2.11B
4.75%1.66B
4.75%1.66B
-1.56%1.58B
-1.56%1.58B
-10.54%1.61B
-10.54%1.61B
Other non current liabilities
5.05%1.62B
5.05%1.62B
10.52%1.55B
10.52%1.55B
5.67%1.4B
5.67%1.4B
10.07%1.32B
10.07%1.32B
19.48%1.2B
19.48%1.2B
Total non current liabilities
-2.62%16.67B
-2.62%16.67B
14.67%17.12B
14.67%17.12B
-11.26%14.93B
-11.26%14.93B
-12.19%16.83B
-12.19%16.83B
3.54%19.16B
3.54%19.16B
Total liabilities
3.62%28.2B
3.62%28.2B
9.77%27.21B
9.77%27.21B
-9.02%24.79B
-9.02%24.79B
-6.86%27.25B
-6.86%27.25B
4.27%29.26B
4.27%29.26B
Shareholders'equity
Share capital
0.00%3.1B
0.00%3.1B
-0.10%3.1B
-0.10%3.1B
-30.16%3.1B
-30.16%3.1B
-0.34%4.44B
-0.34%4.44B
0.09%4.45B
0.09%4.45B
-common stock
0.00%3.1B
0.00%3.1B
-0.10%3.1B
-0.10%3.1B
-30.16%3.1B
-30.16%3.1B
-0.34%4.44B
-0.34%4.44B
0.09%4.45B
0.09%4.45B
Retained earnings
-4.19%9.69B
-4.19%9.69B
2.00%10.12B
2.00%10.12B
-0.96%9.92B
-0.96%9.92B
-0.03%10.01B
-0.03%10.01B
-1.41%10.02B
-1.41%10.02B
Gains losses not affecting retained earnings
-2.78%2.14B
-2.78%2.14B
-5.87%2.2B
-5.87%2.2B
1,590.58%2.33B
1,590.58%2.33B
2,660.00%138M
2,660.00%138M
108.62%5M
108.62%5M
Total stockholders'equity
-3.15%14.92B
-3.15%14.92B
0.38%15.41B
0.38%15.41B
5.22%15.35B
5.22%15.35B
0.79%14.59B
0.79%14.59B
-0.52%14.47B
-0.52%14.47B
Noncontrolling interests
0.87%2.43B
0.87%2.43B
61.90%2.41B
61.90%2.41B
116.59%1.49B
116.59%1.49B
1.93%687M
1.93%687M
3,647.37%674M
3,647.37%674M
Total equity
-2.60%17.35B
-2.60%17.35B
5.81%17.82B
5.81%17.82B
10.23%16.84B
10.23%16.84B
0.85%15.28B
0.85%15.28B
4.25%15.15B
4.25%15.15B
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(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 12.23%1.05B12.23%1.05B-10.38%932M-10.38%932M-7.56%1.04B-7.56%1.04B125.45%1.13B125.45%1.13B-17.38%499M-17.38%499M
-Cash and cash equivalents 12.23%1.05B12.23%1.05B-10.38%932M-10.38%932M-7.56%1.04B-7.56%1.04B125.45%1.13B125.45%1.13B-17.38%499M-17.38%499M
Receivables -9.20%3.83B-9.20%3.83B3.49%4.22B3.49%4.22B-10.99%4.07B-10.99%4.07B-10.62%4.58B-10.62%4.58B-5.03%5.12B-5.03%5.12B
-Accounts receivable 1.41%2.73B1.41%2.73B-2.25%2.69B-2.25%2.69B-12.15%2.76B-12.15%2.76B-3.45%3.14B-3.45%3.14B3.08%3.25B3.08%3.25B
-Other receivables -27.97%1.1B-27.97%1.1B15.47%1.52B15.47%1.52B-8.47%1.32B-8.47%1.32B-23.06%1.44B-23.06%1.44B-16.42%1.87B-16.42%1.87B
Inventory -5.13%518M-5.13%518M14.71%546M14.71%546M23.64%476M23.64%476M-7.89%385M-7.89%385M-6.70%418M-6.70%418M
Prepaid assets -6.10%308M-6.10%308M39.57%328M39.57%328M-17.54%235M-17.54%235M7.55%285M7.55%285M-42.01%265M-42.01%265M
Current deferred assets -76.97%35M-76.97%35M794.12%152M794.12%152M240.00%17M240.00%17M150.00%5M150.00%5M-71.43%2M-71.43%2M
Hedging assets-current -47.87%232M-47.87%232M47.35%445M47.35%445M-51.60%302M-51.60%302M324.49%624M324.49%624M-17.88%147M-17.88%147M
Other current assets 22.81%140M22.81%140M-1.72%114M-1.72%114M2.65%116M2.65%116M37.80%113M37.80%113M-13.68%82M-13.68%82M
Total current assets -9.30%6.11B-9.30%6.11B7.56%6.73B7.56%6.73B-12.00%6.26B-12.00%6.26B8.88%7.11B8.88%7.11B-10.53%6.53B-10.53%6.53B
Non current assets
Net PPE -1.10%23.53B-1.10%23.53B1.64%23.79B1.64%23.79B-1.28%23.41B-1.28%23.41B-3.32%23.72B-3.32%23.72B9.84%24.53B9.84%24.53B
-Gross PPE -2.27%67.92B-2.27%67.92B0.17%69.5B0.17%69.5B0.95%69.38B0.95%69.38B0.86%68.73B0.86%68.73B5.66%68.14B5.66%68.14B
-Accumulated depreciation 2.88%-44.39B2.88%-44.39B0.57%-45.7B0.57%-45.7B-2.13%-45.97B-2.13%-45.97B-3.22%-45.01B-3.22%-45.01B-3.45%-43.61B-3.45%-43.61B
Investments and advances -5.51%669M-5.51%669M-14.60%708M-14.60%708M-19.75%829M-19.75%829M12.53%1.03B12.53%1.03B-30.61%918M-30.61%918M
-Long term equity investment -7.29%636M-7.29%636M-15.72%686M-15.72%686M-20.04%814M-20.04%814M13.49%1.02B13.49%1.02B-30.89%897M-30.89%897M
-Other investment 50.00%33M50.00%33M46.67%22M46.67%22M0.00%15M0.00%15M-28.57%15M-28.57%15M31.25%21M31.25%21M
Financial assets -36.64%211M-36.64%211M-34.96%333M-34.96%333M-34.86%512M-34.86%512M-60.91%786M-60.91%786M-3.46%2.01B-3.46%2.01B
Non current accounts receivable 31.96%1.34B31.96%1.34B18.12%1.02B18.12%1.02B-26.28%861M-26.28%861M-18.21%1.17B-18.21%1.17B83.08%1.43B83.08%1.43B
Goodwill and other intangible assets 13.03%12.42B13.03%12.42B34.75%10.99B34.75%10.99B14.36%8.16B14.36%8.16B-3.79%7.13B-3.79%7.13B2.80%7.41B2.80%7.41B
-Goodwill 5.05%3.64B5.05%3.64B95.82%3.46B95.82%3.46B68.16%1.77B68.16%1.77B-3.04%1.05B-3.04%1.05B0.84%1.09B0.84%1.09B
-Other intangible assets 16.70%8.78B16.70%8.78B17.84%7.53B17.84%7.53B5.05%6.39B5.05%6.39B-3.92%6.08B-3.92%6.08B3.15%6.33B3.15%6.33B
Defined pension benefit -16.84%237M-16.84%237M4.01%285M4.01%285M76.77%274M76.77%274M26.02%155M26.02%155M-46.98%123M-46.98%123M
Non current deferred assets 60.87%74M60.87%74M-23.33%46M-23.33%46M0.00%60M0.00%60M-9.09%60M-9.09%60M11.86%66M11.86%66M
Other non current assets -14.95%956M-14.95%956M-11.22%1.12B-11.22%1.12B-7.12%1.27B-7.12%1.27B-1.37%1.36B-1.37%1.36B9.08%1.38B9.08%1.38B
Total non current assets 3.00%39.44B3.00%39.44B8.28%38.3B8.28%38.3B-0.12%35.37B-0.12%35.37B-6.49%35.41B-6.49%35.41B7.32%37.87B7.32%37.87B
Total assets 1.16%45.55B1.16%45.55B8.17%45.03B8.17%45.03B-2.11%41.63B-2.11%41.63B-4.23%42.53B-4.23%42.53B4.26%44.4B4.26%44.4B
Liabilities
Current liabilities
Current debt and capital lease obligation 35.95%4.23B35.95%4.23B-2.20%3.11B-2.20%3.11B-23.08%3.18B-23.08%3.18B22.53%4.13B22.53%4.13B51.85%3.37B51.85%3.37B
-Current debt 38.92%3.7B38.92%3.7B-1.04%2.66B-1.04%2.66B-25.92%2.69B-25.92%2.69B31.42%3.63B31.42%3.63B28.87%2.76B28.87%2.76B
-Current capital lease obligation 18.30%530M18.30%530M-8.57%448M-8.57%448M-2.58%490M-2.58%490M-17.68%503M-17.68%503M683.33%611M683.33%611M
Payables 5.98%4.63B5.98%4.63B4.20%4.37B4.20%4.37B11.23%4.19B11.23%4.19B-5.38%3.77B-5.38%3.77B-12.10%3.98B-12.10%3.98B
-accounts payable -7.23%1.48B-7.23%1.48B22.67%1.59B22.67%1.59B7.72%1.3B7.72%1.3B21.86%1.2B21.86%1.2B16.37%988M16.37%988M
-Other payable 13.55%3.15B13.55%3.15B-4.08%2.77B-4.08%2.77B12.88%2.89B12.88%2.89B-14.37%2.56B-14.37%2.56B-18.67%2.99B-18.67%2.99B
Current provisions 11.50%446M11.50%446M150.00%400M150.00%400M41.59%160M41.59%160M-36.52%113M-36.52%113M11.25%178M11.25%178M
Pension and other retirement benefit plans 5.41%721M5.41%721M2.55%684M2.55%684M-2.20%667M-2.20%667M-6.19%682M-6.19%682M-9.58%727M-9.58%727M
Current deferred liabilities -26.32%28M-26.32%28M-9.52%38M-9.52%38M-66.13%42M-66.13%42M-44.64%124M-44.64%124M-31.91%224M-31.91%224M
Other current liabilities -1.20%1.48B-1.20%1.48B-7.83%1.5B-7.83%1.5B1.06%1.62B1.06%1.62B-0.37%1.61B-0.37%1.61B6.69%1.61B6.69%1.61B
Current liabilities 14.21%11.53B14.21%11.53B2.35%10.09B2.35%10.09B-5.41%9.86B-5.41%9.86B3.27%10.42B3.27%10.42B5.66%10.09B5.66%10.09B
Non current liabilities
Long term debt and capital lease obligation -0.13%12.74B-0.13%12.74B15.03%12.76B15.03%12.76B-16.67%11.09B-16.67%11.09B-15.53%13.31B-15.53%13.31B4.80%15.75B4.80%15.75B
-Long term debt 1.49%10.16B1.49%10.16B20.75%10.01B20.75%10.01B-21.07%8.29B-21.07%8.29B-19.60%10.51B-19.60%10.51B-11.82%13.07B-11.82%13.07B
-Long term capital lease obligation -6.02%2.58B-6.02%2.58B-1.93%2.74B-1.93%2.74B-0.18%2.8B-0.18%2.8B4.28%2.8B4.28%2.8B1,161.50%2.69B1,161.50%2.69B
Long term accounts payable and other payables -95.19%10M-95.19%10M-10.73%208M-10.73%208M2,488.89%233M2,488.89%233M125.00%9M125.00%9M-94.12%4M-94.12%4M
Derivative product liabilities -6.88%176M-6.88%176M-38.03%189M-38.03%189M-7.85%305M-7.85%305M3.44%331M3.44%331M13.07%320M13.07%320M
Long term provisions 5.38%196M5.38%196M56.30%186M56.30%186M-5.56%119M-5.56%119M-11.89%126M-11.89%126M-9.49%143M-9.49%143M
Employee benefits 15.20%144M15.20%144M-5.30%125M-5.30%125M-12.00%132M-12.00%132M11.11%150M11.11%150M-18.67%135M-18.67%135M
Non current deferred liabilities -15.58%1.78B-15.58%1.78B27.61%2.11B27.61%2.11B4.75%1.66B4.75%1.66B-1.56%1.58B-1.56%1.58B-10.54%1.61B-10.54%1.61B
Other non current liabilities 5.05%1.62B5.05%1.62B10.52%1.55B10.52%1.55B5.67%1.4B5.67%1.4B10.07%1.32B10.07%1.32B19.48%1.2B19.48%1.2B
Total non current liabilities -2.62%16.67B-2.62%16.67B14.67%17.12B14.67%17.12B-11.26%14.93B-11.26%14.93B-12.19%16.83B-12.19%16.83B3.54%19.16B3.54%19.16B
Total liabilities 3.62%28.2B3.62%28.2B9.77%27.21B9.77%27.21B-9.02%24.79B-9.02%24.79B-6.86%27.25B-6.86%27.25B4.27%29.26B4.27%29.26B
Shareholders'equity
Share capital 0.00%3.1B0.00%3.1B-0.10%3.1B-0.10%3.1B-30.16%3.1B-30.16%3.1B-0.34%4.44B-0.34%4.44B0.09%4.45B0.09%4.45B
-common stock 0.00%3.1B0.00%3.1B-0.10%3.1B-0.10%3.1B-30.16%3.1B-30.16%3.1B-0.34%4.44B-0.34%4.44B0.09%4.45B0.09%4.45B
Retained earnings -4.19%9.69B-4.19%9.69B2.00%10.12B2.00%10.12B-0.96%9.92B-0.96%9.92B-0.03%10.01B-0.03%10.01B-1.41%10.02B-1.41%10.02B
Gains losses not affecting retained earnings -2.78%2.14B-2.78%2.14B-5.87%2.2B-5.87%2.2B1,590.58%2.33B1,590.58%2.33B2,660.00%138M2,660.00%138M108.62%5M108.62%5M
Total stockholders'equity -3.15%14.92B-3.15%14.92B0.38%15.41B0.38%15.41B5.22%15.35B5.22%15.35B0.79%14.59B0.79%14.59B-0.52%14.47B-0.52%14.47B
Noncontrolling interests 0.87%2.43B0.87%2.43B61.90%2.41B61.90%2.41B116.59%1.49B116.59%1.49B1.93%687M1.93%687M3,647.37%674M3,647.37%674M
Total equity -2.60%17.35B-2.60%17.35B5.81%17.82B5.81%17.82B10.23%16.84B10.23%16.84B0.85%15.28B0.85%15.28B4.25%15.15B4.25%15.15B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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