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WBCPL Westpac Banking Corp

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  • 105.400
  • +0.450+0.43%
20min DelayMarket Closed Dec 27 15:30 AET
361.91BMarket Cap0.00P/E (Static)

Westpac Banking Corp Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Sep 30, 2024
(FY)Sep 30, 2023
(FY)Sep 30, 2022
(FY)Sep 30, 2021
(FY)Sep 30, 2020
(FY)Sep 30, 2019
(FY)Sep 30, 2018
(FY)Sep 30, 2017
(FY)Sep 30, 2016
(FY)Sep 30, 2015
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-83.10%-19.77B
-163.68%-10.8B
-66.37%16.95B
-14.05%50.41B
725.61%58.65B
-64.07%7.1B
596.86%19.77B
-91.39%2.84B
6,188.91%32.94B
-101.91%-541M
Net income from continuing operations
-2.93%6.99B
26.36%7.2B
4.32%5.7B
138.35%5.46B
-66.24%2.29B
-16.16%6.79B
1.28%8.1B
--8B
----
5.81%8.07B
Depreciation and amortization
23.04%1.52B
-21.76%1.24B
-48.23%1.58B
23.49%3.05B
129.19%2.47B
-5.68%1.08B
-9.85%1.14B
--1.27B
----
63.82%1.67B
Provision for loans, leases and other losses
-13.35%727M
60.11%839M
250.57%524M
-110.32%-348M
248.96%3.37B
8.66%966M
-12.93%889M
--1.02B
----
16.93%884M
Deferred tax
-137.89%-252M
55.74%665M
22.00%427M
131.47%350M
-105.55%-1.11B
-463.54%-541M
-182.35%-96M
---34M
----
-123.49%-78M
Other non cashItems
121.70%222M
-181.97%-1.02B
163.38%1.25B
-259.82%-1.97B
296.14%1.23B
-49.92%311M
410.50%621M
---200M
----
-414.60%-1.41B
Change in working capital
-46.97%-28.98B
-363.75%-19.72B
-82.96%7.48B
-12.97%43.86B
3,457.43%50.4B
-116.47%-1.5B
226.29%9.11B
-121.91%-7.22B
440.44%32.94B
-151.16%-9.68B
-Change in receivables
68.90%-227M
-34.19%-730M
-397.27%-544M
-23.43%183M
81.06%239M
259.04%132M
-10.67%-83M
91.63%-75M
-1.24%-896M
-122.88%-885M
-Change in payables and accrued expense
-66.58%802M
202.27%2.4B
287.71%794M
66.43%-423M
-269.50%-1.26B
-241.49%-341M
62.84%241M
302.74%148M
95.08%-73M
-115.86%-1.49B
-Change in loans
-28.65%-35.08B
24.97%-27.27B
-140.73%-36.35B
-182.63%-15.1B
536.29%18.27B
83.07%-4.19B
7.74%-24.74B
---26.82B
----
-10.73%-39.57B
-Change in other current assets
-237.22%-2.13B
203.26%1.55B
-583.60%-1.5B
-25.60%311M
148.60%418M
-187.84%-860M
-58.99%979M
448.47%2.39B
-215.71%-685M
139.68%592M
-Change in other current liabilities
89.03%-318M
-179.37%-2.9B
4,198.82%3.65B
107.78%85M
-208.98%-1.09B
451.58%1B
-143.38%-285M
110.58%657M
228.42%312M
124.87%95M
-Change in other working capital
10.36%7.98B
-82.54%7.23B
-29.56%41.42B
73.88%58.8B
1,127.96%33.82B
-91.65%2.75B
100.22%33B
-51.92%16.48B
8.57%34.28B
-24.00%31.58B
Cash from discontinued operating activities
Operating cash flow
-83.10%-19.77B
-163.68%-10.8B
-66.37%16.95B
-14.05%50.41B
725.61%58.65B
-64.07%7.1B
596.86%19.77B
-91.39%2.84B
6,188.91%32.94B
-101.91%-541M
Investing cash flow
Cash flow from continuing investing activities
-1,628.45%-26.17B
-39.01%1.71B
-50.08%2.81B
128.87%5.62B
-80.86%-19.48B
-564.75%-10.77B
4.59%-1.62B
-1.7B
-28.35%-18.72B
Net PPE purchase and sale
-13.86%-189M
-17.73%-166M
18.02%-141M
5.49%-172M
-47.97%-182M
43.84%-123M
-10.05%-219M
---199M
----
-31.12%-653M
Net intangibles purchas and sale
31.46%-782M
-3.82%-1.14B
-48.51%-1.1B
28.50%-740M
-14.24%-1.04B
-2.72%-906M
-15.14%-882M
---766M
----
5.12%-630M
Net business purchase and sale
-110.24%-30M
-86.05%293M
65.17%2.1B
--1.27B
--0
-111.11%-1M
--9M
--0
----
108.37%648M
Net investment purchase and sale
-1,023.18%-25.17B
40.08%2.73B
-63.02%1.95B
128.82%5.26B
-87.49%-18.26B
-1,744.51%-9.74B
27.97%-528M
---733M
----
-218.59%-18.08B
Cash from discontinued investing activities
Investing cash flow
-1,628.45%-26.17B
-39.01%1.71B
-50.08%2.81B
128.87%5.62B
-80.86%-19.48B
-564.75%-10.77B
4.59%-1.62B
---1.7B
----
-28.35%-18.72B
Financing cash flow
Cash flow from continuing financing activities
73.86%9.83B
-57.29%5.66B
187.68%13.24B
47.57%-15.1B
-692.82%-28.8B
67.25%-3.63B
-2,109.42%-11.09B
552M
670.70%5.51B
Net issuance payments of debt
66.66%17.1B
-51.53%10.26B
264.08%21.17B
55.48%-12.9B
-2,106.51%-28.97B
127.31%1.44B
-196.16%-5.29B
--5.5B
----
79.21%9.07B
Net commonstock issuance
-3,874.47%-1.87B
98.68%-47M
-8,160.47%-3.55B
-101.58%-43M
4,485.48%2.72B
-933.33%-62M
92.31%-6M
---78M
----
6.10%-154M
Cash dividends paid
-25.49%-5.65B
-3.85%-4.5B
-52.39%-4.34B
-13.03%-2.85B
49.41%-2.52B
13.73%-4.98B
-19.22%-5.77B
---4.84B
----
25.65%-4.34B
Proceeds from stock option exercised by employees
-75.00%-56M
3.03%-32M
-17.86%-33M
3.45%-28M
12.12%-29M
-37.50%-33M
-50.00%-24M
---16M
----
-150.00%-11M
Net other financing activities
1,576.19%310M
-320.00%-21M
-100.70%-5M
71,800.00%717M
80.00%-1M
16.67%-5M
53.85%-6M
---13M
----
2,075.00%948M
Cash from discontinued financing activities
Financing cash flow
73.86%9.83B
-57.29%5.66B
187.68%13.24B
47.57%-15.1B
-692.82%-28.8B
67.25%-3.63B
-2,109.42%-11.09B
--552M
----
670.70%5.51B
Net cash flow
Beginning cash position
-2.60%102.52B
47.52%105.26B
136.82%71.35B
50.20%30.13B
-25.12%20.06B
42.60%26.79B
7.98%18.79B
--17.4B
----
120.19%25.76B
Current changes in cash
-952.84%-36.1B
-110.39%-3.43B
-19.38%33B
294.69%40.93B
242.11%10.37B
-203.40%-7.3B
317.39%7.06B
-94.87%1.69B
339.69%32.94B
-207.17%-13.74B
Effect of exchange rate changes
-208.50%-753M
-22.63%694M
201.01%897M
199.00%298M
-152.90%-301M
-39.72%569M
412.58%944M
---302M
----
122.55%2.75B
Cash adjustments other than cash changes
--0
--0
200.00%7M
---7M
--0
--0
----
----
----
----
End cash position
-35.95%65.67B
-2.60%102.52B
47.52%105.26B
136.82%71.35B
50.20%30.13B
-25.12%20.06B
42.60%26.79B
--18.79B
----
-42.66%14.77B
Free cash from
-70.71%-20.78B
-177.60%-12.18B
-68.26%15.69B
-13.84%49.44B
869.52%57.38B
-68.15%5.92B
928.11%18.58B
-94.51%1.81B
1,882.52%32.94B
-106.80%-1.85B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
(FY)Sep 30, 2024(FY)Sep 30, 2023(FY)Sep 30, 2022(FY)Sep 30, 2021(FY)Sep 30, 2020(FY)Sep 30, 2019(FY)Sep 30, 2018(FY)Sep 30, 2017(FY)Sep 30, 2016(FY)Sep 30, 2015
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -83.10%-19.77B-163.68%-10.8B-66.37%16.95B-14.05%50.41B725.61%58.65B-64.07%7.1B596.86%19.77B-91.39%2.84B6,188.91%32.94B-101.91%-541M
Net income from continuing operations -2.93%6.99B26.36%7.2B4.32%5.7B138.35%5.46B-66.24%2.29B-16.16%6.79B1.28%8.1B--8B----5.81%8.07B
Depreciation and amortization 23.04%1.52B-21.76%1.24B-48.23%1.58B23.49%3.05B129.19%2.47B-5.68%1.08B-9.85%1.14B--1.27B----63.82%1.67B
Provision for loans, leases and other losses -13.35%727M60.11%839M250.57%524M-110.32%-348M248.96%3.37B8.66%966M-12.93%889M--1.02B----16.93%884M
Deferred tax -137.89%-252M55.74%665M22.00%427M131.47%350M-105.55%-1.11B-463.54%-541M-182.35%-96M---34M-----123.49%-78M
Other non cashItems 121.70%222M-181.97%-1.02B163.38%1.25B-259.82%-1.97B296.14%1.23B-49.92%311M410.50%621M---200M-----414.60%-1.41B
Change in working capital -46.97%-28.98B-363.75%-19.72B-82.96%7.48B-12.97%43.86B3,457.43%50.4B-116.47%-1.5B226.29%9.11B-121.91%-7.22B440.44%32.94B-151.16%-9.68B
-Change in receivables 68.90%-227M-34.19%-730M-397.27%-544M-23.43%183M81.06%239M259.04%132M-10.67%-83M91.63%-75M-1.24%-896M-122.88%-885M
-Change in payables and accrued expense -66.58%802M202.27%2.4B287.71%794M66.43%-423M-269.50%-1.26B-241.49%-341M62.84%241M302.74%148M95.08%-73M-115.86%-1.49B
-Change in loans -28.65%-35.08B24.97%-27.27B-140.73%-36.35B-182.63%-15.1B536.29%18.27B83.07%-4.19B7.74%-24.74B---26.82B-----10.73%-39.57B
-Change in other current assets -237.22%-2.13B203.26%1.55B-583.60%-1.5B-25.60%311M148.60%418M-187.84%-860M-58.99%979M448.47%2.39B-215.71%-685M139.68%592M
-Change in other current liabilities 89.03%-318M-179.37%-2.9B4,198.82%3.65B107.78%85M-208.98%-1.09B451.58%1B-143.38%-285M110.58%657M228.42%312M124.87%95M
-Change in other working capital 10.36%7.98B-82.54%7.23B-29.56%41.42B73.88%58.8B1,127.96%33.82B-91.65%2.75B100.22%33B-51.92%16.48B8.57%34.28B-24.00%31.58B
Cash from discontinued operating activities
Operating cash flow -83.10%-19.77B-163.68%-10.8B-66.37%16.95B-14.05%50.41B725.61%58.65B-64.07%7.1B596.86%19.77B-91.39%2.84B6,188.91%32.94B-101.91%-541M
Investing cash flow
Cash flow from continuing investing activities -1,628.45%-26.17B-39.01%1.71B-50.08%2.81B128.87%5.62B-80.86%-19.48B-564.75%-10.77B4.59%-1.62B-1.7B-28.35%-18.72B
Net PPE purchase and sale -13.86%-189M-17.73%-166M18.02%-141M5.49%-172M-47.97%-182M43.84%-123M-10.05%-219M---199M-----31.12%-653M
Net intangibles purchas and sale 31.46%-782M-3.82%-1.14B-48.51%-1.1B28.50%-740M-14.24%-1.04B-2.72%-906M-15.14%-882M---766M----5.12%-630M
Net business purchase and sale -110.24%-30M-86.05%293M65.17%2.1B--1.27B--0-111.11%-1M--9M--0----108.37%648M
Net investment purchase and sale -1,023.18%-25.17B40.08%2.73B-63.02%1.95B128.82%5.26B-87.49%-18.26B-1,744.51%-9.74B27.97%-528M---733M-----218.59%-18.08B
Cash from discontinued investing activities
Investing cash flow -1,628.45%-26.17B-39.01%1.71B-50.08%2.81B128.87%5.62B-80.86%-19.48B-564.75%-10.77B4.59%-1.62B---1.7B-----28.35%-18.72B
Financing cash flow
Cash flow from continuing financing activities 73.86%9.83B-57.29%5.66B187.68%13.24B47.57%-15.1B-692.82%-28.8B67.25%-3.63B-2,109.42%-11.09B552M670.70%5.51B
Net issuance payments of debt 66.66%17.1B-51.53%10.26B264.08%21.17B55.48%-12.9B-2,106.51%-28.97B127.31%1.44B-196.16%-5.29B--5.5B----79.21%9.07B
Net commonstock issuance -3,874.47%-1.87B98.68%-47M-8,160.47%-3.55B-101.58%-43M4,485.48%2.72B-933.33%-62M92.31%-6M---78M----6.10%-154M
Cash dividends paid -25.49%-5.65B-3.85%-4.5B-52.39%-4.34B-13.03%-2.85B49.41%-2.52B13.73%-4.98B-19.22%-5.77B---4.84B----25.65%-4.34B
Proceeds from stock option exercised by employees -75.00%-56M3.03%-32M-17.86%-33M3.45%-28M12.12%-29M-37.50%-33M-50.00%-24M---16M-----150.00%-11M
Net other financing activities 1,576.19%310M-320.00%-21M-100.70%-5M71,800.00%717M80.00%-1M16.67%-5M53.85%-6M---13M----2,075.00%948M
Cash from discontinued financing activities
Financing cash flow 73.86%9.83B-57.29%5.66B187.68%13.24B47.57%-15.1B-692.82%-28.8B67.25%-3.63B-2,109.42%-11.09B--552M----670.70%5.51B
Net cash flow
Beginning cash position -2.60%102.52B47.52%105.26B136.82%71.35B50.20%30.13B-25.12%20.06B42.60%26.79B7.98%18.79B--17.4B----120.19%25.76B
Current changes in cash -952.84%-36.1B-110.39%-3.43B-19.38%33B294.69%40.93B242.11%10.37B-203.40%-7.3B317.39%7.06B-94.87%1.69B339.69%32.94B-207.17%-13.74B
Effect of exchange rate changes -208.50%-753M-22.63%694M201.01%897M199.00%298M-152.90%-301M-39.72%569M412.58%944M---302M----122.55%2.75B
Cash adjustments other than cash changes --0--0200.00%7M---7M--0--0----------------
End cash position -35.95%65.67B-2.60%102.52B47.52%105.26B136.82%71.35B50.20%30.13B-25.12%20.06B42.60%26.79B--18.79B-----42.66%14.77B
Free cash from -70.71%-20.78B-177.60%-12.18B-68.26%15.69B-13.84%49.44B869.52%57.38B-68.15%5.92B928.11%18.58B-94.51%1.81B1,882.52%32.94B-106.80%-1.85B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified OpinionUnqualified Opinion
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