AU Stock MarketDetailed Quotes

WES Wesfarmers Ltd

Watchlist
  • 70.100
  • -0.280-0.40%
20min DelayMarket Closed Sep 13 16:00 AET
79.55BMarket Cap31.06P/E (Static)

Wesfarmers 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
24.07%835M
24.07%835M
-4.54%673M
-4.54%673M
-76.68%705M
-76.68%705M
3.78%3.02B
3.78%3.02B
266.42%2.91B
266.42%2.91B
-Cash and cash equivalents
24.07%835M
24.07%835M
-4.54%673M
-4.54%673M
-76.68%705M
-76.68%705M
3.78%3.02B
3.78%3.02B
266.42%2.91B
266.42%2.91B
-Accounts receivable
8.62%2.06B
8.62%2.06B
-2.37%1.89B
-2.37%1.89B
81.12%1.94B
81.12%1.94B
20.22%1.07B
20.22%1.07B
-6.12%890M
-6.12%890M
-Notes receivable
-6.93%94M
-6.93%94M
-8.18%101M
-8.18%101M
4.76%110M
4.76%110M
8.25%105M
8.25%105M
15.48%97M
15.48%97M
Current deferred assets
----
----
616.67%43M
616.67%43M
--6M
--6M
----
----
----
----
Total current assets
2.84%9.41B
2.84%9.41B
-4.70%9.15B
-4.70%9.15B
5.60%9.61B
5.60%9.61B
12.80%9.1B
12.80%9.1B
26.99%8.06B
26.99%8.06B
Non current assets
-Accumulated depreciation
-15.82%-11.37B
-15.82%-11.37B
-16.44%-9.82B
-16.44%-9.82B
-16.74%-8.43B
-16.74%-8.43B
-15.13%-7.22B
-15.13%-7.22B
-36.73%-6.27B
-36.73%-6.27B
-Long term equity investment
0.79%10.11B
0.79%10.11B
0.41%10.03B
0.41%10.03B
21.75%9.99B
21.75%9.99B
-2.01%8.21B
-2.01%8.21B
213.36%8.38B
213.36%8.38B
-Including:Held to maturity investments
-83.62%19M
-83.62%19M
-74.34%116M
-74.34%116M
197.37%452M
197.37%452M
270.73%152M
270.73%152M
-59.41%41M
-59.41%41M
Financial assets
-18.52%22M
-18.52%22M
237.50%27M
237.50%27M
-97.16%8M
-97.16%8M
-26.94%282M
-26.94%282M
-1.78%386M
-1.78%386M
Non current note receivables
2.72%641M
2.72%641M
9.09%624M
9.09%624M
-6.69%572M
-6.69%572M
-8.51%613M
-8.51%613M
245.36%670M
245.36%670M
-Goodwill
7.65%5.05B
7.65%5.05B
0.88%4.69B
0.88%4.69B
19.16%4.65B
19.16%4.65B
-15.65%3.9B
-15.65%3.9B
13.52%4.63B
13.52%4.63B
Regulatory assets
8.02%2.21B
8.02%2.21B
-2.29%2.05B
-2.29%2.05B
67.92%2.09B
67.92%2.09B
20.25%1.25B
20.25%1.25B
0.97%1.04B
0.97%1.04B
Liabilities
Current liabilities
Current debt and capital lease obligation
2.64%1.17B
2.64%1.17B
-45.64%1.14B
-45.64%1.14B
8.81%2.09B
8.81%2.09B
26.08%1.92B
26.08%1.92B
327.53%1.52B
327.53%1.52B
-Current debt
----
----
----
----
4.00%988M
4.00%988M
88.87%950M
88.87%950M
41.29%503M
41.29%503M
-Current capital lease obligation
2.64%1.17B
2.64%1.17B
3.18%1.14B
3.18%1.14B
13.52%1.1B
13.52%1.1B
-4.91%969M
-4.91%969M
--1.02B
--1.02B
-accounts payable
2.07%5.38B
2.07%5.38B
-1.75%5.27B
-1.75%5.27B
26.64%5.36B
26.64%5.36B
5.64%4.23B
5.64%4.23B
10.72%4.01B
10.72%4.01B
-Total tax payable
0.85%10.5B
0.85%10.5B
0.11%10.41B
0.11%10.41B
21.12%10.4B
21.12%10.4B
-2.58%8.58B
-2.58%8.58B
180.07%8.81B
180.07%8.81B
-Other payable
86.00%93M
86.00%93M
28.21%50M
28.21%50M
56.00%39M
56.00%39M
150.00%25M
150.00%25M
-79.59%10M
-79.59%10M
Current provisions
0.39%259M
0.39%259M
0.78%258M
0.78%258M
-16.34%256M
-16.34%256M
-29.82%306M
-29.82%306M
72.33%436M
72.33%436M
Current deferred liabilities
--124M
--124M
----
----
----
----
-10.97%349M
-10.97%349M
76.58%392M
76.58%392M
Current liabilities
4.72%8.23B
4.72%8.23B
-11.65%7.86B
-11.65%7.86B
12.36%8.89B
12.36%8.89B
8.87%7.92B
8.87%7.92B
39.38%7.27B
39.38%7.27B
Non current liabilities
-Long term debt
-4.41%5.36B
-4.41%5.36B
-6.96%5.6B
-6.96%5.6B
-1.84%6.02B
-1.84%6.02B
-1.40%6.14B
-1.40%6.14B
--6.22B
--6.22B
Non current accrued expenses
0.99%11.15B
0.99%11.15B
2.37%11.04B
2.37%11.04B
3.74%10.79B
3.74%10.79B
5.70%10.4B
5.70%10.4B
153.61%9.84B
153.61%9.84B
Derivative product liabilities
----
----
----
----
1,400.00%30M
1,400.00%30M
-50.00%2M
-50.00%2M
300.00%4M
300.00%4M
Long term provisions
7.36%4.76B
7.36%4.76B
11.59%4.43B
11.59%4.43B
91.60%3.97B
91.60%3.97B
-3.76%2.07B
-3.76%2.07B
-19.45%2.15B
-19.45%2.15B
Employee benefits
-6.93%94M
-6.93%94M
-8.18%101M
-8.18%101M
4.76%110M
4.76%110M
8.25%105M
8.25%105M
15.48%97M
15.48%97M
Regulatory liabilities
4.76%-60M
4.76%-60M
-14.55%-63M
-14.55%-63M
-66.67%-55M
-66.67%-55M
-43.48%-33M
-43.48%-33M
51.06%-23M
51.06%-23M
Preferred securities outside stock equity
8.17%940M
8.17%940M
-3.44%869M
-3.44%869M
1.24%900M
1.24%900M
22.96%889M
22.96%889M
19.50%723M
19.50%723M
Total non current liabilities
2.51%18.72B
2.51%18.72B
-5.31%18.27B
-5.31%18.27B
16.92%19.29B
16.92%19.29B
2.60%16.5B
2.60%16.5B
92.31%16.08B
92.31%16.08B
Shareholders'equity
Share capital
0.00%13.57B
0.00%13.57B
0.00%13.57B
0.00%13.57B
-14.23%13.57B
-14.23%13.57B
0.05%15.83B
0.05%15.83B
0.57%15.82B
0.57%15.82B
-common stock
0.00%13.57B
0.00%13.57B
0.00%13.57B
0.00%13.57B
-14.23%13.57B
-14.23%13.57B
0.05%15.83B
0.05%15.83B
0.57%15.82B
0.57%15.82B
Gains losses not affecting retained earnings
-0.83%-6.16B
-0.83%-6.16B
-0.54%-6.11B
-0.54%-6.11B
1.51%-6.08B
1.51%-6.08B
0.93%-6.17B
0.93%-6.17B
-12.25%-6.23B
-12.25%-6.23B
Other equity interest
4.64%248M
4.64%248M
-10.23%237M
-10.23%237M
53.49%264M
53.49%264M
-24.89%172M
-24.89%172M
26.52%229M
26.52%229M
Noncontrolling interests
-0.53%938M
-0.53%938M
0.96%943M
0.96%943M
20.52%934M
20.52%934M
9.15%775M
9.15%775M
-79.07%710M
-79.07%710M
Total equity
2.87%27.31B
2.87%27.31B
-2.66%26.55B
-2.66%26.55B
4.03%27.27B
4.03%27.27B
3.10%26.21B
3.10%26.21B
38.68%25.43B
38.68%25.43B
(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 24.07%835M24.07%835M-4.54%673M-4.54%673M-76.68%705M-76.68%705M3.78%3.02B3.78%3.02B266.42%2.91B266.42%2.91B
-Cash and cash equivalents 24.07%835M24.07%835M-4.54%673M-4.54%673M-76.68%705M-76.68%705M3.78%3.02B3.78%3.02B266.42%2.91B266.42%2.91B
-Accounts receivable 8.62%2.06B8.62%2.06B-2.37%1.89B-2.37%1.89B81.12%1.94B81.12%1.94B20.22%1.07B20.22%1.07B-6.12%890M-6.12%890M
-Notes receivable -6.93%94M-6.93%94M-8.18%101M-8.18%101M4.76%110M4.76%110M8.25%105M8.25%105M15.48%97M15.48%97M
Current deferred assets --------616.67%43M616.67%43M--6M--6M----------------
Total current assets 2.84%9.41B2.84%9.41B-4.70%9.15B-4.70%9.15B5.60%9.61B5.60%9.61B12.80%9.1B12.80%9.1B26.99%8.06B26.99%8.06B
Non current assets
-Accumulated depreciation -15.82%-11.37B-15.82%-11.37B-16.44%-9.82B-16.44%-9.82B-16.74%-8.43B-16.74%-8.43B-15.13%-7.22B-15.13%-7.22B-36.73%-6.27B-36.73%-6.27B
-Long term equity investment 0.79%10.11B0.79%10.11B0.41%10.03B0.41%10.03B21.75%9.99B21.75%9.99B-2.01%8.21B-2.01%8.21B213.36%8.38B213.36%8.38B
-Including:Held to maturity investments -83.62%19M-83.62%19M-74.34%116M-74.34%116M197.37%452M197.37%452M270.73%152M270.73%152M-59.41%41M-59.41%41M
Financial assets -18.52%22M-18.52%22M237.50%27M237.50%27M-97.16%8M-97.16%8M-26.94%282M-26.94%282M-1.78%386M-1.78%386M
Non current note receivables 2.72%641M2.72%641M9.09%624M9.09%624M-6.69%572M-6.69%572M-8.51%613M-8.51%613M245.36%670M245.36%670M
-Goodwill 7.65%5.05B7.65%5.05B0.88%4.69B0.88%4.69B19.16%4.65B19.16%4.65B-15.65%3.9B-15.65%3.9B13.52%4.63B13.52%4.63B
Regulatory assets 8.02%2.21B8.02%2.21B-2.29%2.05B-2.29%2.05B67.92%2.09B67.92%2.09B20.25%1.25B20.25%1.25B0.97%1.04B0.97%1.04B
Liabilities
Current liabilities
Current debt and capital lease obligation 2.64%1.17B2.64%1.17B-45.64%1.14B-45.64%1.14B8.81%2.09B8.81%2.09B26.08%1.92B26.08%1.92B327.53%1.52B327.53%1.52B
-Current debt ----------------4.00%988M4.00%988M88.87%950M88.87%950M41.29%503M41.29%503M
-Current capital lease obligation 2.64%1.17B2.64%1.17B3.18%1.14B3.18%1.14B13.52%1.1B13.52%1.1B-4.91%969M-4.91%969M--1.02B--1.02B
-accounts payable 2.07%5.38B2.07%5.38B-1.75%5.27B-1.75%5.27B26.64%5.36B26.64%5.36B5.64%4.23B5.64%4.23B10.72%4.01B10.72%4.01B
-Total tax payable 0.85%10.5B0.85%10.5B0.11%10.41B0.11%10.41B21.12%10.4B21.12%10.4B-2.58%8.58B-2.58%8.58B180.07%8.81B180.07%8.81B
-Other payable 86.00%93M86.00%93M28.21%50M28.21%50M56.00%39M56.00%39M150.00%25M150.00%25M-79.59%10M-79.59%10M
Current provisions 0.39%259M0.39%259M0.78%258M0.78%258M-16.34%256M-16.34%256M-29.82%306M-29.82%306M72.33%436M72.33%436M
Current deferred liabilities --124M--124M-----------------10.97%349M-10.97%349M76.58%392M76.58%392M
Current liabilities 4.72%8.23B4.72%8.23B-11.65%7.86B-11.65%7.86B12.36%8.89B12.36%8.89B8.87%7.92B8.87%7.92B39.38%7.27B39.38%7.27B
Non current liabilities
-Long term debt -4.41%5.36B-4.41%5.36B-6.96%5.6B-6.96%5.6B-1.84%6.02B-1.84%6.02B-1.40%6.14B-1.40%6.14B--6.22B--6.22B
Non current accrued expenses 0.99%11.15B0.99%11.15B2.37%11.04B2.37%11.04B3.74%10.79B3.74%10.79B5.70%10.4B5.70%10.4B153.61%9.84B153.61%9.84B
Derivative product liabilities ----------------1,400.00%30M1,400.00%30M-50.00%2M-50.00%2M300.00%4M300.00%4M
Long term provisions 7.36%4.76B7.36%4.76B11.59%4.43B11.59%4.43B91.60%3.97B91.60%3.97B-3.76%2.07B-3.76%2.07B-19.45%2.15B-19.45%2.15B
Employee benefits -6.93%94M-6.93%94M-8.18%101M-8.18%101M4.76%110M4.76%110M8.25%105M8.25%105M15.48%97M15.48%97M
Regulatory liabilities 4.76%-60M4.76%-60M-14.55%-63M-14.55%-63M-66.67%-55M-66.67%-55M-43.48%-33M-43.48%-33M51.06%-23M51.06%-23M
Preferred securities outside stock equity 8.17%940M8.17%940M-3.44%869M-3.44%869M1.24%900M1.24%900M22.96%889M22.96%889M19.50%723M19.50%723M
Total non current liabilities 2.51%18.72B2.51%18.72B-5.31%18.27B-5.31%18.27B16.92%19.29B16.92%19.29B2.60%16.5B2.60%16.5B92.31%16.08B92.31%16.08B
Shareholders'equity
Share capital 0.00%13.57B0.00%13.57B0.00%13.57B0.00%13.57B-14.23%13.57B-14.23%13.57B0.05%15.83B0.05%15.83B0.57%15.82B0.57%15.82B
-common stock 0.00%13.57B0.00%13.57B0.00%13.57B0.00%13.57B-14.23%13.57B-14.23%13.57B0.05%15.83B0.05%15.83B0.57%15.82B0.57%15.82B
Gains losses not affecting retained earnings -0.83%-6.16B-0.83%-6.16B-0.54%-6.11B-0.54%-6.11B1.51%-6.08B1.51%-6.08B0.93%-6.17B0.93%-6.17B-12.25%-6.23B-12.25%-6.23B
Other equity interest 4.64%248M4.64%248M-10.23%237M-10.23%237M53.49%264M53.49%264M-24.89%172M-24.89%172M26.52%229M26.52%229M
Noncontrolling interests -0.53%938M-0.53%938M0.96%943M0.96%943M20.52%934M20.52%934M9.15%775M9.15%775M-79.07%710M-79.07%710M
Total equity 2.87%27.31B2.87%27.31B-2.66%26.55B-2.66%26.55B4.03%27.27B4.03%27.27B3.10%26.21B3.10%26.21B38.68%25.43B38.68%25.43B

Analysis

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