AU Stock MarketDetailed Quotes

WOW Woolworths Group Ltd

Watchlist
  • 33.430
  • +0.080+0.24%
20min DelayMarket Closed Sep 27 16:00 AET
40.84BMarket Cap375.62P/E (Static)

Woolworths 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
14.36%1.3B
14.36%1.3B
9.98%1.14B
9.98%1.14B
2.28%1.03B
2.28%1.03B
-51.21%1.01B
-51.21%1.01B
94.00%2.07B
94.00%2.07B
-Cash and cash equivalents
14.36%1.3B
14.36%1.3B
9.98%1.14B
9.98%1.14B
2.28%1.03B
2.28%1.03B
-51.21%1.01B
-51.21%1.01B
94.00%2.07B
94.00%2.07B
-Accounts receivable
18.23%467M
18.23%467M
42.09%395M
42.09%395M
102.92%278M
102.92%278M
-0.72%137M
-0.72%137M
4.55%138M
4.55%138M
-Notes receivable
9.23%142M
9.23%142M
7.44%130M
7.44%130M
12.04%121M
12.04%121M
-2.70%108M
-2.70%108M
-27.92%111M
-27.92%111M
-Other receivables
-2.75%1.95B
-2.75%1.95B
12.09%2B
12.09%2B
9.24%1.79B
9.24%1.79B
-1.80%1.64B
-1.80%1.64B
14.28%1.67B
14.28%1.67B
Holding assets for sale
-11.11%200M
-11.11%200M
-21.60%225M
-21.60%225M
-97.38%287M
-97.38%287M
3,190.99%10.96B
3,190.99%10.96B
48.00%333M
48.00%333M
Total current assets
9.66%6.99B
9.66%6.99B
4.34%6.38B
4.34%6.38B
-61.29%6.11B
-61.29%6.11B
94.29%15.79B
94.29%15.79B
29.01%8.13B
29.01%8.13B
Non current assets
-Accumulated depreciation
-9.68%-20.9B
-9.68%-20.9B
-9.66%-19.05B
-9.66%-19.05B
-9.04%-17.38B
-9.04%-17.38B
5.70%-15.94B
5.70%-15.94B
-126.41%-16.9B
-126.41%-16.9B
Investment properties
--378M
--378M
----
----
----
----
----
----
-7.69%84M
-7.69%84M
-Long term equity investment
5.71%14.41B
5.71%14.41B
-8.12%13.63B
-8.12%13.63B
11.77%14.84B
11.77%14.84B
-11.93%13.27B
-11.93%13.27B
427.92%15.07B
427.92%15.07B
-Including:Held to maturity investments
-54.90%23M
-54.90%23M
-51.89%51M
-51.89%51M
457.89%106M
457.89%106M
-96.44%19M
-96.44%19M
1,086.67%534M
1,086.67%534M
Financial assets
-40.32%37M
-40.32%37M
264.71%62M
264.71%62M
142.86%17M
142.86%17M
-50.00%7M
-50.00%7M
-97.21%14M
-97.21%14M
Non current note receivables
11.43%1.65B
11.43%1.65B
10.55%1.48B
10.55%1.48B
-2.48%1.34B
-2.48%1.34B
3.32%1.37B
3.32%1.37B
326.69%1.33B
326.69%1.33B
-Goodwill
-14.40%4.87B
-14.40%4.87B
7.86%5.69B
7.86%5.69B
13.00%5.28B
13.00%5.28B
-39.47%4.67B
-39.47%4.67B
18.25%7.72B
18.25%7.72B
Regulatory assets
8.86%1.11B
8.86%1.11B
18.69%1.02B
18.69%1.02B
78.33%856M
78.33%856M
-12.41%480M
-12.41%480M
16.60%548M
16.60%548M
Non current deferred assets
219.72%454M
219.72%454M
-10.69%142M
-10.69%142M
16.91%159M
16.91%159M
-19.53%136M
-19.53%136M
16.55%169M
16.55%169M
Liabilities
Current liabilities
Current debt and capital lease obligation
9.89%2.31B
9.89%2.31B
9.19%2.1B
9.19%2.1B
19.33%1.93B
19.33%1.93B
-55.00%1.61B
-55.00%1.61B
1,209.12%3.59B
1,209.12%3.59B
-Current debt
52.79%712M
52.79%712M
31.64%466M
31.64%466M
197.48%354M
197.48%354M
-94.13%119M
-94.13%119M
639.78%2.03B
639.78%2.03B
-Current capital lease obligation
-2.32%1.6B
-2.32%1.6B
4.13%1.64B
4.13%1.64B
5.15%1.57B
5.15%1.57B
-4.17%1.5B
-4.17%1.5B
--1.56B
--1.56B
-accounts payable
3.45%5.82B
3.45%5.82B
7.76%5.62B
7.76%5.62B
7.95%5.22B
7.95%5.22B
-17.30%4.83B
-17.30%4.83B
11.96%5.84B
11.96%5.84B
-Total tax payable
2.30%15.55B
2.30%15.55B
-7.44%15.2B
-7.44%15.2B
14.18%16.42B
14.18%16.42B
-11.50%14.38B
-11.50%14.38B
286.70%16.25B
286.70%16.25B
-Other payable
-96.85%11M
-96.85%11M
-7.43%349M
-7.43%349M
242.73%377M
242.73%377M
-37.85%110M
-37.85%110M
--177M
--177M
Current provisions
86.42%975M
86.42%975M
52.03%523M
52.03%523M
-24.40%344M
-24.40%344M
6.06%455M
6.06%455M
-16.05%429M
-16.05%429M
Current deferred liabilities
31.74%303M
31.74%303M
1,816.67%230M
1,816.67%230M
-95.24%12M
-95.24%12M
92.37%252M
92.37%252M
55.95%131M
55.95%131M
Current liabilities
7.85%12.82B
7.85%12.82B
10.57%11.89B
10.57%11.89B
-53.50%10.75B
-53.50%10.75B
75.25%23.12B
75.25%23.12B
53.03%13.19B
53.03%13.19B
Non current liabilities
-Long term debt
1.95%10.55B
1.95%10.55B
-5.10%10.34B
-5.10%10.34B
3.59%10.9B
3.59%10.9B
-20.10%10.52B
-20.10%10.52B
--13.17B
--13.17B
Non current accrued expenses
5.09%19.28B
5.09%19.28B
0.67%18.35B
0.67%18.35B
7.02%18.23B
7.02%18.23B
-18.14%17.03B
-18.14%17.03B
118.55%20.8B
118.55%20.8B
Derivative product liabilities
-81.17%126M
-81.17%126M
-3.04%669M
-3.04%669M
174.90%690M
174.90%690M
8,266.67%251M
8,266.67%251M
-87.50%3M
-87.50%3M
Long term provisions
17.54%3.87B
17.54%3.87B
-16.48%3.29B
-16.48%3.29B
43.04%3.94B
43.04%3.94B
44.59%2.75B
44.59%2.75B
-33.31%1.9B
-33.31%1.9B
Employee benefits
9.23%142M
9.23%142M
7.44%130M
7.44%130M
12.04%121M
12.04%121M
-2.70%108M
-2.70%108M
-27.92%111M
-27.92%111M
Regulatory liabilities
-50.00%-6M
-50.00%-6M
20.00%-4M
20.00%-4M
16.67%-5M
16.67%-5M
40.00%-6M
40.00%-6M
47.37%-10M
47.37%-10M
Trust preferred securities
--378M
--378M
----
----
----
----
----
----
-7.69%84M
-7.69%84M
Preferred securities outside stock equity
2.45%1.42B
2.45%1.42B
-4.08%1.39B
-4.08%1.39B
17.67%1.45B
17.67%1.45B
-19.90%1.23B
-19.90%1.23B
42.60%1.53B
42.60%1.53B
Total non current liabilities
4.74%28.37B
4.74%28.37B
-0.32%27.08B
-0.32%27.08B
-27.54%27.17B
-27.54%27.17B
27.37%37.5B
27.37%37.5B
129.61%29.44B
129.61%29.44B
Shareholders'equity
Share capital
3.66%5.6B
3.66%5.6B
3.82%5.41B
3.82%5.41B
-0.88%5.21B
-0.88%5.21B
-12.77%5.25B
-12.77%5.25B
3.33%6.02B
3.33%6.02B
-common stock
3.66%5.6B
3.66%5.6B
3.82%5.41B
3.82%5.41B
-0.88%5.21B
-0.88%5.21B
-12.77%5.25B
-12.77%5.25B
3.33%6.02B
3.33%6.02B
Gains losses not affecting retained earnings
-0.56%-7.61B
-0.56%-7.61B
-2.26%-7.57B
-2.26%-7.57B
-5.88%-7.4B
-5.88%-7.4B
-1,887.47%-6.99B
-1,887.47%-6.99B
-20.20%391M
-20.20%391M
Other equity interest
-91.60%21M
-91.60%21M
420.83%250M
420.83%250M
166.67%48M
166.67%48M
12.50%18M
12.50%18M
--16M
--16M
Noncontrolling interests
-93.05%78M
-93.05%78M
-33.59%1.12B
-33.59%1.12B
5,536.67%1.69B
5,536.67%1.69B
--30M
--30M
----
----
Total equity
0.86%33.94B
0.86%33.94B
1.13%33.65B
1.13%33.65B
-15.20%33.27B
-15.20%33.27B
1.99%39.24B
1.99%39.24B
63.77%38.47B
63.77%38.47B
(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 14.36%1.3B14.36%1.3B9.98%1.14B9.98%1.14B2.28%1.03B2.28%1.03B-51.21%1.01B-51.21%1.01B94.00%2.07B94.00%2.07B
-Cash and cash equivalents 14.36%1.3B14.36%1.3B9.98%1.14B9.98%1.14B2.28%1.03B2.28%1.03B-51.21%1.01B-51.21%1.01B94.00%2.07B94.00%2.07B
-Accounts receivable 18.23%467M18.23%467M42.09%395M42.09%395M102.92%278M102.92%278M-0.72%137M-0.72%137M4.55%138M4.55%138M
-Notes receivable 9.23%142M9.23%142M7.44%130M7.44%130M12.04%121M12.04%121M-2.70%108M-2.70%108M-27.92%111M-27.92%111M
-Other receivables -2.75%1.95B-2.75%1.95B12.09%2B12.09%2B9.24%1.79B9.24%1.79B-1.80%1.64B-1.80%1.64B14.28%1.67B14.28%1.67B
Holding assets for sale -11.11%200M-11.11%200M-21.60%225M-21.60%225M-97.38%287M-97.38%287M3,190.99%10.96B3,190.99%10.96B48.00%333M48.00%333M
Total current assets 9.66%6.99B9.66%6.99B4.34%6.38B4.34%6.38B-61.29%6.11B-61.29%6.11B94.29%15.79B94.29%15.79B29.01%8.13B29.01%8.13B
Non current assets
-Accumulated depreciation -9.68%-20.9B-9.68%-20.9B-9.66%-19.05B-9.66%-19.05B-9.04%-17.38B-9.04%-17.38B5.70%-15.94B5.70%-15.94B-126.41%-16.9B-126.41%-16.9B
Investment properties --378M--378M-------------------------7.69%84M-7.69%84M
-Long term equity investment 5.71%14.41B5.71%14.41B-8.12%13.63B-8.12%13.63B11.77%14.84B11.77%14.84B-11.93%13.27B-11.93%13.27B427.92%15.07B427.92%15.07B
-Including:Held to maturity investments -54.90%23M-54.90%23M-51.89%51M-51.89%51M457.89%106M457.89%106M-96.44%19M-96.44%19M1,086.67%534M1,086.67%534M
Financial assets -40.32%37M-40.32%37M264.71%62M264.71%62M142.86%17M142.86%17M-50.00%7M-50.00%7M-97.21%14M-97.21%14M
Non current note receivables 11.43%1.65B11.43%1.65B10.55%1.48B10.55%1.48B-2.48%1.34B-2.48%1.34B3.32%1.37B3.32%1.37B326.69%1.33B326.69%1.33B
-Goodwill -14.40%4.87B-14.40%4.87B7.86%5.69B7.86%5.69B13.00%5.28B13.00%5.28B-39.47%4.67B-39.47%4.67B18.25%7.72B18.25%7.72B
Regulatory assets 8.86%1.11B8.86%1.11B18.69%1.02B18.69%1.02B78.33%856M78.33%856M-12.41%480M-12.41%480M16.60%548M16.60%548M
Non current deferred assets 219.72%454M219.72%454M-10.69%142M-10.69%142M16.91%159M16.91%159M-19.53%136M-19.53%136M16.55%169M16.55%169M
Liabilities
Current liabilities
Current debt and capital lease obligation 9.89%2.31B9.89%2.31B9.19%2.1B9.19%2.1B19.33%1.93B19.33%1.93B-55.00%1.61B-55.00%1.61B1,209.12%3.59B1,209.12%3.59B
-Current debt 52.79%712M52.79%712M31.64%466M31.64%466M197.48%354M197.48%354M-94.13%119M-94.13%119M639.78%2.03B639.78%2.03B
-Current capital lease obligation -2.32%1.6B-2.32%1.6B4.13%1.64B4.13%1.64B5.15%1.57B5.15%1.57B-4.17%1.5B-4.17%1.5B--1.56B--1.56B
-accounts payable 3.45%5.82B3.45%5.82B7.76%5.62B7.76%5.62B7.95%5.22B7.95%5.22B-17.30%4.83B-17.30%4.83B11.96%5.84B11.96%5.84B
-Total tax payable 2.30%15.55B2.30%15.55B-7.44%15.2B-7.44%15.2B14.18%16.42B14.18%16.42B-11.50%14.38B-11.50%14.38B286.70%16.25B286.70%16.25B
-Other payable -96.85%11M-96.85%11M-7.43%349M-7.43%349M242.73%377M242.73%377M-37.85%110M-37.85%110M--177M--177M
Current provisions 86.42%975M86.42%975M52.03%523M52.03%523M-24.40%344M-24.40%344M6.06%455M6.06%455M-16.05%429M-16.05%429M
Current deferred liabilities 31.74%303M31.74%303M1,816.67%230M1,816.67%230M-95.24%12M-95.24%12M92.37%252M92.37%252M55.95%131M55.95%131M
Current liabilities 7.85%12.82B7.85%12.82B10.57%11.89B10.57%11.89B-53.50%10.75B-53.50%10.75B75.25%23.12B75.25%23.12B53.03%13.19B53.03%13.19B
Non current liabilities
-Long term debt 1.95%10.55B1.95%10.55B-5.10%10.34B-5.10%10.34B3.59%10.9B3.59%10.9B-20.10%10.52B-20.10%10.52B--13.17B--13.17B
Non current accrued expenses 5.09%19.28B5.09%19.28B0.67%18.35B0.67%18.35B7.02%18.23B7.02%18.23B-18.14%17.03B-18.14%17.03B118.55%20.8B118.55%20.8B
Derivative product liabilities -81.17%126M-81.17%126M-3.04%669M-3.04%669M174.90%690M174.90%690M8,266.67%251M8,266.67%251M-87.50%3M-87.50%3M
Long term provisions 17.54%3.87B17.54%3.87B-16.48%3.29B-16.48%3.29B43.04%3.94B43.04%3.94B44.59%2.75B44.59%2.75B-33.31%1.9B-33.31%1.9B
Employee benefits 9.23%142M9.23%142M7.44%130M7.44%130M12.04%121M12.04%121M-2.70%108M-2.70%108M-27.92%111M-27.92%111M
Regulatory liabilities -50.00%-6M-50.00%-6M20.00%-4M20.00%-4M16.67%-5M16.67%-5M40.00%-6M40.00%-6M47.37%-10M47.37%-10M
Trust preferred securities --378M--378M-------------------------7.69%84M-7.69%84M
Preferred securities outside stock equity 2.45%1.42B2.45%1.42B-4.08%1.39B-4.08%1.39B17.67%1.45B17.67%1.45B-19.90%1.23B-19.90%1.23B42.60%1.53B42.60%1.53B
Total non current liabilities 4.74%28.37B4.74%28.37B-0.32%27.08B-0.32%27.08B-27.54%27.17B-27.54%27.17B27.37%37.5B27.37%37.5B129.61%29.44B129.61%29.44B
Shareholders'equity
Share capital 3.66%5.6B3.66%5.6B3.82%5.41B3.82%5.41B-0.88%5.21B-0.88%5.21B-12.77%5.25B-12.77%5.25B3.33%6.02B3.33%6.02B
-common stock 3.66%5.6B3.66%5.6B3.82%5.41B3.82%5.41B-0.88%5.21B-0.88%5.21B-12.77%5.25B-12.77%5.25B3.33%6.02B3.33%6.02B
Gains losses not affecting retained earnings -0.56%-7.61B-0.56%-7.61B-2.26%-7.57B-2.26%-7.57B-5.88%-7.4B-5.88%-7.4B-1,887.47%-6.99B-1,887.47%-6.99B-20.20%391M-20.20%391M
Other equity interest -91.60%21M-91.60%21M420.83%250M420.83%250M166.67%48M166.67%48M12.50%18M12.50%18M--16M--16M
Noncontrolling interests -93.05%78M-93.05%78M-33.59%1.12B-33.59%1.12B5,536.67%1.69B5,536.67%1.69B--30M--30M--------
Total equity 0.86%33.94B0.86%33.94B1.13%33.65B1.13%33.65B-15.20%33.27B-15.20%33.27B1.99%39.24B1.99%39.24B63.77%38.47B63.77%38.47B

Analysis

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