AU Stock MarketDetailed Quotes

WES Wesfarmers Ltd

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  • 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
(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
1.07%48.77B
18.98%48.25B
8.43%40.56B
9.38%37.4B
-29.88%34.2B
-35.28%48.77B
1.84%75.35B
4.03%74B
5.41%71.13B
-0.19%67.48B
Revenue from customers
1.07%48.77B
18.98%48.25B
8.43%40.56B
9.38%37.4B
-29.88%34.2B
-35.28%48.77B
1.77%75.35B
4.05%74.04B
5.44%71.16B
-0.18%67.48B
Other cash income from operating activities
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----
-62.07%-47M
-262.50%-29M
---8M
Cash paid
-0.83%-43.04B
-16.13%-42.68B
-12.15%-36.75B
-14.09%-32.77B
36.01%-28.73B
35.72%-44.89B
-1.63%-69.84B
-3.06%-68.71B
-6.90%-66.67B
1.03%-62.37B
Payments to suppliers for goods and services
-0.83%-43.04B
-16.13%-42.68B
-12.15%-36.75B
-14.09%-32.77B
36.01%-28.73B
35.72%-44.89B
-1.63%-69.84B
-3.06%-68.71B
-6.90%-66.67B
1.03%-62.37B
Direct dividend received
10.96%81M
-28.43%73M
12.09%102M
-42.77%91M
144.62%159M
30.00%65M
8.70%50M
-37.84%46M
76.19%74M
-16.00%42M
Direct interest paid
-8.08%-388M
-16.18%-359M
7.76%-309M
8.72%-335M
-115.88%-367M
12.82%-170M
16.67%-195M
18.75%-234M
-1.77%-288M
17.73%-283M
Direct interest received
75.00%28M
220.00%16M
-58.33%5M
33.33%12M
-66.67%9M
80.00%27M
-81.93%15M
-36.64%83M
385.19%131M
-75.45%27M
Direct tax refund paid
23.57%-856M
13.85%-1.12B
-28.08%-1.3B
-39.61%-1.02B
32.81%-727M
17.28%-1.08B
-37.54%-1.31B
5.75%-951M
8.44%-1.01B
5.97%-1.1B
Operating cash flow
9.93%4.59B
81.62%4.18B
-31.98%2.3B
-25.58%3.38B
67.26%4.55B
-33.38%2.72B
-3.45%4.08B
25.59%4.23B
-11.24%3.37B
17.51%3.79B
Investing cash flow
Cash flow from continuing investing activities
-148.01%-1.37B
53.65%-552M
-85.51%-1.19B
-200.00%-642M
162.04%642M
137.23%245M
-1,141.51%-658M
97.51%-53M
-12.33%-2.13B
-299.37%-1.9B
Net PPE purchase and sale
11.75%-1.04B
-33.82%-1.18B
-39.87%-884M
-11.27%-632M
31.32%-568M
31.60%-827M
-17.61%-1.21B
23.05%-1.03B
13.92%-1.34B
-27.63%-1.55B
Net business purchase and sale
-2,609.09%-298M
98.58%-11M
-25,866.67%-773M
100.30%3M
-217.48%-988M
57.49%841M
-42.15%534M
223.56%923M
-247.44%-747M
-108.25%-215M
Net investment purchase and sale
-104.21%-27M
37.77%642M
3,684.62%466M
-100.59%-13M
851.52%2.2B
1,258.82%231M
-67.31%17M
206.12%52M
62.60%-49M
70.02%-131M
Cash from discontinued investing activities
Investing cash flow
-148.01%-1.37B
53.65%-552M
-85.51%-1.19B
-200.00%-642M
162.04%642M
137.23%245M
-1,141.51%-658M
97.51%-53M
-12.33%-2.13B
-299.37%-1.9B
Financing cash flow
Cash flow from continuing financing activities
16.29%-3.06B
-6.74%-3.66B
-30.29%-3.43B
14.30%-2.63B
-7.68%-3.07B
24.01%-2.85B
0.50%-3.75B
-182.90%-3.77B
58.97%-1.33B
5.66%-3.25B
Net issuance payments of debt
182.34%317M
-121.45%-385M
318.41%1.8B
212.60%429M
-145.57%-381M
168.69%836M
31.40%-1.22B
-289.53%-1.77B
350.00%936M
129.59%208M
Net common stock issuance
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----
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0.00%1M
100.12%1M
-48.02%-860M
Cash dividends paid
-3.19%-2.2B
-10.64%-2.13B
7.09%-1.93B
-19.61%-2.07B
52.21%-1.73B
-43.51%-3.63B
-26.53%-2.53B
11.98%-2B
12.59%-2.27B
-20.23%-2.6B
Net other financing activities
-3.33%-1.18B
65.35%-1.14B
-234.28%-3.3B
-3.25%-986M
-1,518.64%-955M
-742.86%-59M
---7M
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Cash from discontinued financing activities
Financing cash flow
16.29%-3.06B
-6.74%-3.66B
-30.29%-3.43B
14.30%-2.63B
-7.68%-3.07B
24.01%-2.85B
0.50%-3.75B
-182.90%-3.77B
58.97%-1.33B
5.66%-3.25B
Net cash flow
Beginning cash position
-4.54%673M
-76.68%705M
3.78%3.02B
266.42%2.91B
16.40%795M
-32.58%683M
65.79%1.01B
-14.06%611M
-65.60%711M
55.06%2.07B
Current changes in cash
606.25%162M
98.62%-32M
-2,207.27%-2.32B
-94.81%110M
1,791.07%2.12B
133.94%112M
-182.09%-330M
502.00%402M
92.63%-100M
-284.74%-1.36B
End cash Position
24.07%835M
-4.54%673M
-76.68%705M
3.78%3.02B
266.42%2.91B
16.40%795M
-32.58%683M
65.79%1.01B
-14.06%611M
-65.60%711M
Free cash from
21.69%3.52B
149.87%2.89B
-53.48%1.16B
-32.40%2.49B
170.12%3.68B
-39.87%1.36B
-11.00%2.27B
73.60%2.55B
-5.54%1.47B
56.29%1.55B
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 1.07%48.77B18.98%48.25B8.43%40.56B9.38%37.4B-29.88%34.2B-35.28%48.77B1.84%75.35B4.03%74B5.41%71.13B-0.19%67.48B
Revenue from customers 1.07%48.77B18.98%48.25B8.43%40.56B9.38%37.4B-29.88%34.2B-35.28%48.77B1.77%75.35B4.05%74.04B5.44%71.16B-0.18%67.48B
Other cash income from operating activities -----------------------------62.07%-47M-262.50%-29M---8M
Cash paid -0.83%-43.04B-16.13%-42.68B-12.15%-36.75B-14.09%-32.77B36.01%-28.73B35.72%-44.89B-1.63%-69.84B-3.06%-68.71B-6.90%-66.67B1.03%-62.37B
Payments to suppliers for goods and services -0.83%-43.04B-16.13%-42.68B-12.15%-36.75B-14.09%-32.77B36.01%-28.73B35.72%-44.89B-1.63%-69.84B-3.06%-68.71B-6.90%-66.67B1.03%-62.37B
Direct dividend received 10.96%81M-28.43%73M12.09%102M-42.77%91M144.62%159M30.00%65M8.70%50M-37.84%46M76.19%74M-16.00%42M
Direct interest paid -8.08%-388M-16.18%-359M7.76%-309M8.72%-335M-115.88%-367M12.82%-170M16.67%-195M18.75%-234M-1.77%-288M17.73%-283M
Direct interest received 75.00%28M220.00%16M-58.33%5M33.33%12M-66.67%9M80.00%27M-81.93%15M-36.64%83M385.19%131M-75.45%27M
Direct tax refund paid 23.57%-856M13.85%-1.12B-28.08%-1.3B-39.61%-1.02B32.81%-727M17.28%-1.08B-37.54%-1.31B5.75%-951M8.44%-1.01B5.97%-1.1B
Operating cash flow 9.93%4.59B81.62%4.18B-31.98%2.3B-25.58%3.38B67.26%4.55B-33.38%2.72B-3.45%4.08B25.59%4.23B-11.24%3.37B17.51%3.79B
Investing cash flow
Cash flow from continuing investing activities -148.01%-1.37B53.65%-552M-85.51%-1.19B-200.00%-642M162.04%642M137.23%245M-1,141.51%-658M97.51%-53M-12.33%-2.13B-299.37%-1.9B
Net PPE purchase and sale 11.75%-1.04B-33.82%-1.18B-39.87%-884M-11.27%-632M31.32%-568M31.60%-827M-17.61%-1.21B23.05%-1.03B13.92%-1.34B-27.63%-1.55B
Net business purchase and sale -2,609.09%-298M98.58%-11M-25,866.67%-773M100.30%3M-217.48%-988M57.49%841M-42.15%534M223.56%923M-247.44%-747M-108.25%-215M
Net investment purchase and sale -104.21%-27M37.77%642M3,684.62%466M-100.59%-13M851.52%2.2B1,258.82%231M-67.31%17M206.12%52M62.60%-49M70.02%-131M
Cash from discontinued investing activities
Investing cash flow -148.01%-1.37B53.65%-552M-85.51%-1.19B-200.00%-642M162.04%642M137.23%245M-1,141.51%-658M97.51%-53M-12.33%-2.13B-299.37%-1.9B
Financing cash flow
Cash flow from continuing financing activities 16.29%-3.06B-6.74%-3.66B-30.29%-3.43B14.30%-2.63B-7.68%-3.07B24.01%-2.85B0.50%-3.75B-182.90%-3.77B58.97%-1.33B5.66%-3.25B
Net issuance payments of debt 182.34%317M-121.45%-385M318.41%1.8B212.60%429M-145.57%-381M168.69%836M31.40%-1.22B-289.53%-1.77B350.00%936M129.59%208M
Net common stock issuance ----------------------------0.00%1M100.12%1M-48.02%-860M
Cash dividends paid -3.19%-2.2B-10.64%-2.13B7.09%-1.93B-19.61%-2.07B52.21%-1.73B-43.51%-3.63B-26.53%-2.53B11.98%-2B12.59%-2.27B-20.23%-2.6B
Net other financing activities -3.33%-1.18B65.35%-1.14B-234.28%-3.3B-3.25%-986M-1,518.64%-955M-742.86%-59M---7M------------
Cash from discontinued financing activities
Financing cash flow 16.29%-3.06B-6.74%-3.66B-30.29%-3.43B14.30%-2.63B-7.68%-3.07B24.01%-2.85B0.50%-3.75B-182.90%-3.77B58.97%-1.33B5.66%-3.25B
Net cash flow
Beginning cash position -4.54%673M-76.68%705M3.78%3.02B266.42%2.91B16.40%795M-32.58%683M65.79%1.01B-14.06%611M-65.60%711M55.06%2.07B
Current changes in cash 606.25%162M98.62%-32M-2,207.27%-2.32B-94.81%110M1,791.07%2.12B133.94%112M-182.09%-330M502.00%402M92.63%-100M-284.74%-1.36B
End cash Position 24.07%835M-4.54%673M-76.68%705M3.78%3.02B266.42%2.91B16.40%795M-32.58%683M65.79%1.01B-14.06%611M-65.60%711M
Free cash from 21.69%3.52B149.87%2.89B-53.48%1.16B-32.40%2.49B170.12%3.68B-39.87%1.36B-11.00%2.27B73.60%2.55B-5.54%1.47B56.29%1.55B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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