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VCX Vicinity Centres

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  • 2.200
  • +0.020+0.92%
20min DelayNot Open Nov 27 16:00 AET
10.02BMarket Cap18.33P/E (Static)

Vicinity Centres 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
-74.29%49.6M
-74.29%49.6M
246.94%192.9M
246.94%192.9M
53.59%55.6M
53.59%55.6M
-84.08%36.2M
-84.08%36.2M
551.58%227.4M
551.58%227.4M
-Cash and cash equivalents
-74.29%49.6M
-74.29%49.6M
246.94%192.9M
246.94%192.9M
53.59%55.6M
53.59%55.6M
-84.08%36.2M
-84.08%36.2M
551.58%227.4M
551.58%227.4M
Receivables
-32.20%73.9M
-32.20%73.9M
6.24%109M
6.24%109M
5.12%102.6M
5.12%102.6M
-17.85%97.6M
-17.85%97.6M
39.60%118.8M
39.60%118.8M
-Accounts receivable
-58.29%8.8M
-58.29%8.8M
-80.50%21.1M
-80.50%21.1M
-19.79%108.2M
-19.79%108.2M
-32.65%134.9M
-32.65%134.9M
1,000.55%200.3M
1,000.55%200.3M
-Other receivables
-25.26%71.3M
-25.26%71.3M
36.68%95.4M
36.68%95.4M
-23.30%69.8M
-23.30%69.8M
3.29%91M
3.29%91M
18.73%88.1M
18.73%88.1M
-Recievables adjustments allowances
17.33%-6.2M
17.33%-6.2M
90.05%-7.5M
90.05%-7.5M
41.23%-75.4M
41.23%-75.4M
24.35%-128.3M
24.35%-128.3M
-2,223.29%-169.6M
-2,223.29%-169.6M
Prepaid assets
32.26%20.5M
32.26%20.5M
6.90%15.5M
6.90%15.5M
163.64%14.5M
163.64%14.5M
-62.59%5.5M
-62.59%5.5M
-8.13%14.7M
-8.13%14.7M
Hedging assets-current
73.91%68M
73.91%68M
12,933.33%39.1M
12,933.33%39.1M
--300K
--300K
----
----
----
----
Holding assets for sale
--186.6M
--186.6M
----
----
----
----
--128M
--128M
----
----
Total current assets
11.81%398.6M
11.81%398.6M
106.07%356.5M
106.07%356.5M
-35.28%173M
-35.28%173M
-25.94%267.3M
-25.94%267.3M
156.50%360.9M
156.50%360.9M
Non current assets
Net PPE
4.29%29.2M
4.29%29.2M
-8.50%28M
-8.50%28M
--30.6M
--30.6M
----
----
244.23%35.8M
244.23%35.8M
-Gross PPE
4.29%29.2M
4.29%29.2M
-8.50%28M
-8.50%28M
--30.6M
--30.6M
----
----
244.23%35.8M
244.23%35.8M
Investment properties
3.38%14.77B
3.38%14.77B
-0.54%14.29B
-0.54%14.29B
9.92%14.37B
9.92%14.37B
-5.30%13.07B
-5.30%13.07B
-10.10%13.8B
-10.10%13.8B
Investments and advances
-79.02%91.8M
-79.02%91.8M
-14.85%437.5M
-14.85%437.5M
7.20%513.8M
7.20%513.8M
-9.15%479.3M
-9.15%479.3M
-21.27%527.6M
-21.27%527.6M
-Long term equity investment
-79.02%91.8M
-79.02%91.8M
-14.85%437.5M
-14.85%437.5M
7.20%513.8M
7.20%513.8M
-9.15%479.3M
-9.15%479.3M
-21.27%527.6M
-21.27%527.6M
Financial assets
-18.89%184.6M
-18.89%184.6M
-0.52%227.6M
-0.52%227.6M
107.25%228.8M
107.25%228.8M
-58.91%110.4M
-58.91%110.4M
93.87%268.7M
93.87%268.7M
Goodwill and other intangible assets
0.00%164.2M
0.00%164.2M
0.00%164.2M
0.00%164.2M
--164.2M
--164.2M
----
----
-72.23%164.2M
-72.23%164.2M
-Other intangible assets
0.00%164.2M
0.00%164.2M
0.00%164.2M
0.00%164.2M
--164.2M
--164.2M
----
----
0.00%164.2M
0.00%164.2M
Non current deferred assets
3.88%77.6M
3.88%77.6M
7.79%74.7M
7.79%74.7M
--69.3M
--69.3M
----
----
-13.88%72.6M
-13.88%72.6M
Other non current assets
9.09%8.4M
9.09%8.4M
18.46%7.7M
18.46%7.7M
-98.43%6.5M
-98.43%6.5M
4,958.54%414.8M
4,958.54%414.8M
26.15%8.2M
26.15%8.2M
Total non current assets
0.65%15.33B
0.65%15.33B
-0.99%15.23B
-0.99%15.23B
9.27%15.38B
9.27%15.38B
-5.40%14.07B
-5.40%14.07B
-11.72%14.88B
-11.72%14.88B
Total assets
0.91%15.73B
0.91%15.73B
0.21%15.58B
0.21%15.58B
8.44%15.55B
8.44%15.55B
-5.89%14.34B
-5.89%14.34B
-10.32%15.24B
-10.32%15.24B
Liabilities
Current liabilities
Current debt and capital lease obligation
50.27%493.5M
50.27%493.5M
385.08%328.4M
385.08%328.4M
193.07%67.7M
193.07%67.7M
-87.24%23.1M
-87.24%23.1M
-54.89%181.1M
-54.89%181.1M
-Current debt
50.93%487.5M
50.93%487.5M
707.50%323M
707.50%323M
--40M
--40M
----
----
-62.19%151.8M
-62.19%151.8M
-Current capital lease obligation
11.11%6M
11.11%6M
-80.51%5.4M
-80.51%5.4M
19.91%27.7M
19.91%27.7M
-21.16%23.1M
-21.16%23.1M
--29.3M
--29.3M
Payables
15.86%226.4M
15.86%226.4M
-0.76%195.4M
-0.76%195.4M
-57.46%196.9M
-57.46%196.9M
274.51%462.9M
274.51%462.9M
-72.61%123.6M
-72.61%123.6M
-accounts payable
15.65%127.1M
15.65%127.1M
-6.15%109.9M
-6.15%109.9M
41.08%117.1M
41.08%117.1M
13.85%83M
13.85%83M
6.58%72.9M
6.58%72.9M
-Dividends payable
----
----
----
----
----
----
--300.4M
--300.4M
----
----
-Other payable
16.14%99.3M
16.14%99.3M
7.14%85.5M
7.14%85.5M
0.38%79.8M
0.38%79.8M
56.80%79.5M
56.80%79.5M
-38.92%50.7M
-38.92%50.7M
Current provisions
-0.65%76.7M
-0.65%76.7M
238.60%77.2M
238.60%77.2M
-13.96%22.8M
-13.96%22.8M
0.76%26.5M
0.76%26.5M
0.38%26.3M
0.38%26.3M
Pension and other retirement benefit plans
0.67%60.1M
0.67%60.1M
0.67%59.7M
0.67%59.7M
--59.3M
--59.3M
----
----
-51.16%25.3M
-51.16%25.3M
Current liabilities
29.67%856.7M
29.67%856.7M
90.57%660.7M
90.57%660.7M
-32.35%346.7M
-32.35%346.7M
43.84%512.5M
43.84%512.5M
-61.72%356.3M
-61.72%356.3M
Non current liabilities
Long term debt and capital lease obligation
-0.10%4.13B
-0.10%4.13B
1.45%4.13B
1.45%4.13B
13.10%4.07B
13.10%4.07B
-11.42%3.6B
-11.42%3.6B
-4.14%4.07B
-4.14%4.07B
-Long term debt
-0.21%3.74B
-0.21%3.74B
1.02%3.75B
1.02%3.75B
13.12%3.71B
13.12%3.71B
-13.13%3.28B
-13.13%3.28B
-6.36%3.78B
-6.36%3.78B
-Long term capital lease obligation
0.97%386.2M
0.97%386.2M
5.84%382.5M
5.84%382.5M
12.90%361.4M
12.90%361.4M
10.99%320.1M
10.99%320.1M
39.12%288.4M
39.12%288.4M
Derivative product liabilities
-34.72%97.2M
-34.72%97.2M
-38.70%148.9M
-38.70%148.9M
13.61%242.9M
13.61%242.9M
-15.23%213.8M
-15.23%213.8M
12.79%252.2M
12.79%252.2M
Long term provisions
----
----
----
----
--300K
--300K
----
----
-79.07%900K
-79.07%900K
Employee benefits
5.13%4.1M
5.13%4.1M
5.41%3.9M
5.41%3.9M
--3.7M
--3.7M
----
----
2.56%4M
2.56%4M
Total non current liabilities
-1.30%4.23B
-1.30%4.23B
-0.81%4.29B
-0.81%4.29B
13.23%4.32B
13.23%4.32B
-11.74%3.82B
-11.74%3.82B
-3.36%4.32B
-3.36%4.32B
Total liabilities
2.84%5.09B
2.84%5.09B
5.98%4.95B
5.98%4.95B
7.84%4.67B
7.84%4.67B
-7.51%4.33B
-7.51%4.33B
-13.41%4.68B
-13.41%4.68B
Shareholders'equity
Share capital
0.00%9.1B
0.00%9.1B
0.00%9.1B
0.00%9.1B
6.32%9.1B
6.32%9.1B
-5.61%8.56B
-5.61%8.56B
13.28%9.07B
13.28%9.07B
-common stock
0.00%9.1B
0.00%9.1B
0.00%9.1B
0.00%9.1B
6.32%9.1B
6.32%9.1B
-5.61%8.56B
-5.61%8.56B
13.28%9.07B
13.28%9.07B
Retained earnings
-0.24%1.52B
-0.24%1.52B
-14.06%1.53B
-14.06%1.53B
22.30%1.78B
22.30%1.78B
-2.41%1.45B
-2.41%1.45B
-58.40%1.49B
-58.40%1.49B
Gains losses not affecting retained earnings
51.14%13.3M
51.14%13.3M
46.67%8.8M
46.67%8.8M
--6M
--6M
----
----
-70.97%900K
-70.97%900K
Total stockholders'equity
0.01%10.64B
0.01%10.64B
-2.27%10.64B
-2.27%10.64B
8.70%10.89B
8.70%10.89B
-5.17%10.01B
-5.17%10.01B
-8.88%10.56B
-8.88%10.56B
Total equity
0.01%10.64B
0.01%10.64B
-2.27%10.64B
-2.27%10.64B
8.70%10.89B
8.70%10.89B
-5.17%10.01B
-5.17%10.01B
-8.88%10.56B
-8.88%10.56B
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 -74.29%49.6M-74.29%49.6M246.94%192.9M246.94%192.9M53.59%55.6M53.59%55.6M-84.08%36.2M-84.08%36.2M551.58%227.4M551.58%227.4M
-Cash and cash equivalents -74.29%49.6M-74.29%49.6M246.94%192.9M246.94%192.9M53.59%55.6M53.59%55.6M-84.08%36.2M-84.08%36.2M551.58%227.4M551.58%227.4M
Receivables -32.20%73.9M-32.20%73.9M6.24%109M6.24%109M5.12%102.6M5.12%102.6M-17.85%97.6M-17.85%97.6M39.60%118.8M39.60%118.8M
-Accounts receivable -58.29%8.8M-58.29%8.8M-80.50%21.1M-80.50%21.1M-19.79%108.2M-19.79%108.2M-32.65%134.9M-32.65%134.9M1,000.55%200.3M1,000.55%200.3M
-Other receivables -25.26%71.3M-25.26%71.3M36.68%95.4M36.68%95.4M-23.30%69.8M-23.30%69.8M3.29%91M3.29%91M18.73%88.1M18.73%88.1M
-Recievables adjustments allowances 17.33%-6.2M17.33%-6.2M90.05%-7.5M90.05%-7.5M41.23%-75.4M41.23%-75.4M24.35%-128.3M24.35%-128.3M-2,223.29%-169.6M-2,223.29%-169.6M
Prepaid assets 32.26%20.5M32.26%20.5M6.90%15.5M6.90%15.5M163.64%14.5M163.64%14.5M-62.59%5.5M-62.59%5.5M-8.13%14.7M-8.13%14.7M
Hedging assets-current 73.91%68M73.91%68M12,933.33%39.1M12,933.33%39.1M--300K--300K----------------
Holding assets for sale --186.6M--186.6M------------------128M--128M--------
Total current assets 11.81%398.6M11.81%398.6M106.07%356.5M106.07%356.5M-35.28%173M-35.28%173M-25.94%267.3M-25.94%267.3M156.50%360.9M156.50%360.9M
Non current assets
Net PPE 4.29%29.2M4.29%29.2M-8.50%28M-8.50%28M--30.6M--30.6M--------244.23%35.8M244.23%35.8M
-Gross PPE 4.29%29.2M4.29%29.2M-8.50%28M-8.50%28M--30.6M--30.6M--------244.23%35.8M244.23%35.8M
Investment properties 3.38%14.77B3.38%14.77B-0.54%14.29B-0.54%14.29B9.92%14.37B9.92%14.37B-5.30%13.07B-5.30%13.07B-10.10%13.8B-10.10%13.8B
Investments and advances -79.02%91.8M-79.02%91.8M-14.85%437.5M-14.85%437.5M7.20%513.8M7.20%513.8M-9.15%479.3M-9.15%479.3M-21.27%527.6M-21.27%527.6M
-Long term equity investment -79.02%91.8M-79.02%91.8M-14.85%437.5M-14.85%437.5M7.20%513.8M7.20%513.8M-9.15%479.3M-9.15%479.3M-21.27%527.6M-21.27%527.6M
Financial assets -18.89%184.6M-18.89%184.6M-0.52%227.6M-0.52%227.6M107.25%228.8M107.25%228.8M-58.91%110.4M-58.91%110.4M93.87%268.7M93.87%268.7M
Goodwill and other intangible assets 0.00%164.2M0.00%164.2M0.00%164.2M0.00%164.2M--164.2M--164.2M---------72.23%164.2M-72.23%164.2M
-Other intangible assets 0.00%164.2M0.00%164.2M0.00%164.2M0.00%164.2M--164.2M--164.2M--------0.00%164.2M0.00%164.2M
Non current deferred assets 3.88%77.6M3.88%77.6M7.79%74.7M7.79%74.7M--69.3M--69.3M---------13.88%72.6M-13.88%72.6M
Other non current assets 9.09%8.4M9.09%8.4M18.46%7.7M18.46%7.7M-98.43%6.5M-98.43%6.5M4,958.54%414.8M4,958.54%414.8M26.15%8.2M26.15%8.2M
Total non current assets 0.65%15.33B0.65%15.33B-0.99%15.23B-0.99%15.23B9.27%15.38B9.27%15.38B-5.40%14.07B-5.40%14.07B-11.72%14.88B-11.72%14.88B
Total assets 0.91%15.73B0.91%15.73B0.21%15.58B0.21%15.58B8.44%15.55B8.44%15.55B-5.89%14.34B-5.89%14.34B-10.32%15.24B-10.32%15.24B
Liabilities
Current liabilities
Current debt and capital lease obligation 50.27%493.5M50.27%493.5M385.08%328.4M385.08%328.4M193.07%67.7M193.07%67.7M-87.24%23.1M-87.24%23.1M-54.89%181.1M-54.89%181.1M
-Current debt 50.93%487.5M50.93%487.5M707.50%323M707.50%323M--40M--40M---------62.19%151.8M-62.19%151.8M
-Current capital lease obligation 11.11%6M11.11%6M-80.51%5.4M-80.51%5.4M19.91%27.7M19.91%27.7M-21.16%23.1M-21.16%23.1M--29.3M--29.3M
Payables 15.86%226.4M15.86%226.4M-0.76%195.4M-0.76%195.4M-57.46%196.9M-57.46%196.9M274.51%462.9M274.51%462.9M-72.61%123.6M-72.61%123.6M
-accounts payable 15.65%127.1M15.65%127.1M-6.15%109.9M-6.15%109.9M41.08%117.1M41.08%117.1M13.85%83M13.85%83M6.58%72.9M6.58%72.9M
-Dividends payable --------------------------300.4M--300.4M--------
-Other payable 16.14%99.3M16.14%99.3M7.14%85.5M7.14%85.5M0.38%79.8M0.38%79.8M56.80%79.5M56.80%79.5M-38.92%50.7M-38.92%50.7M
Current provisions -0.65%76.7M-0.65%76.7M238.60%77.2M238.60%77.2M-13.96%22.8M-13.96%22.8M0.76%26.5M0.76%26.5M0.38%26.3M0.38%26.3M
Pension and other retirement benefit plans 0.67%60.1M0.67%60.1M0.67%59.7M0.67%59.7M--59.3M--59.3M---------51.16%25.3M-51.16%25.3M
Current liabilities 29.67%856.7M29.67%856.7M90.57%660.7M90.57%660.7M-32.35%346.7M-32.35%346.7M43.84%512.5M43.84%512.5M-61.72%356.3M-61.72%356.3M
Non current liabilities
Long term debt and capital lease obligation -0.10%4.13B-0.10%4.13B1.45%4.13B1.45%4.13B13.10%4.07B13.10%4.07B-11.42%3.6B-11.42%3.6B-4.14%4.07B-4.14%4.07B
-Long term debt -0.21%3.74B-0.21%3.74B1.02%3.75B1.02%3.75B13.12%3.71B13.12%3.71B-13.13%3.28B-13.13%3.28B-6.36%3.78B-6.36%3.78B
-Long term capital lease obligation 0.97%386.2M0.97%386.2M5.84%382.5M5.84%382.5M12.90%361.4M12.90%361.4M10.99%320.1M10.99%320.1M39.12%288.4M39.12%288.4M
Derivative product liabilities -34.72%97.2M-34.72%97.2M-38.70%148.9M-38.70%148.9M13.61%242.9M13.61%242.9M-15.23%213.8M-15.23%213.8M12.79%252.2M12.79%252.2M
Long term provisions ------------------300K--300K---------79.07%900K-79.07%900K
Employee benefits 5.13%4.1M5.13%4.1M5.41%3.9M5.41%3.9M--3.7M--3.7M--------2.56%4M2.56%4M
Total non current liabilities -1.30%4.23B-1.30%4.23B-0.81%4.29B-0.81%4.29B13.23%4.32B13.23%4.32B-11.74%3.82B-11.74%3.82B-3.36%4.32B-3.36%4.32B
Total liabilities 2.84%5.09B2.84%5.09B5.98%4.95B5.98%4.95B7.84%4.67B7.84%4.67B-7.51%4.33B-7.51%4.33B-13.41%4.68B-13.41%4.68B
Shareholders'equity
Share capital 0.00%9.1B0.00%9.1B0.00%9.1B0.00%9.1B6.32%9.1B6.32%9.1B-5.61%8.56B-5.61%8.56B13.28%9.07B13.28%9.07B
-common stock 0.00%9.1B0.00%9.1B0.00%9.1B0.00%9.1B6.32%9.1B6.32%9.1B-5.61%8.56B-5.61%8.56B13.28%9.07B13.28%9.07B
Retained earnings -0.24%1.52B-0.24%1.52B-14.06%1.53B-14.06%1.53B22.30%1.78B22.30%1.78B-2.41%1.45B-2.41%1.45B-58.40%1.49B-58.40%1.49B
Gains losses not affecting retained earnings 51.14%13.3M51.14%13.3M46.67%8.8M46.67%8.8M--6M--6M---------70.97%900K-70.97%900K
Total stockholders'equity 0.01%10.64B0.01%10.64B-2.27%10.64B-2.27%10.64B8.70%10.89B8.70%10.89B-5.17%10.01B-5.17%10.01B-8.88%10.56B-8.88%10.56B
Total equity 0.01%10.64B0.01%10.64B-2.27%10.64B-2.27%10.64B8.70%10.89B8.70%10.89B-5.17%10.01B-5.17%10.01B-8.88%10.56B-8.88%10.56B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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