AU Stock MarketDetailed Quotes

APE Eagers Automotive Ltd

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  • 10.410
  • -0.030-0.29%
20min DelayTrading Jul 2 10:52 AET
2.69BMarket Cap9.42P/E (Static)

Eagers Automotive Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(Q4)Dec 30, 2023
(FY)Dec 30, 2022
(Q4)Dec 30, 2022
(FY)Dec 30, 2021
(Q4)Dec 30, 2021
(FY)Dec 30, 2020
(Q4)Dec 30, 2020
(FY)Dec 30, 2019
(Q4)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
16.69%222.21M
16.69%222.21M
-3.64%190.43M
-3.64%190.43M
-5.49%197.62M
-5.49%197.62M
122.03%209.09M
122.03%209.09M
399.11%94.17M
399.11%94.17M
-Cash and cash equivalents
16.69%222.21M
16.69%222.21M
-3.64%190.43M
-3.64%190.43M
-5.49%197.62M
-5.49%197.62M
122.03%209.09M
122.03%209.09M
399.11%94.17M
399.11%94.17M
-Accounts receivable
26.05%352.9M
26.05%352.9M
20.14%279.96M
20.14%279.96M
-15.11%233.02M
-15.11%233.02M
-12.69%274.5M
-12.69%274.5M
97.80%314.41M
97.80%314.41M
-Notes receivable
5.29%8.99M
5.29%8.99M
-0.88%8.54M
-0.88%8.54M
0.45%8.61M
0.45%8.61M
37.54%8.57M
37.54%8.57M
23.40%6.23M
23.40%6.23M
-Other receivables
2.35%238.64M
2.35%238.64M
-5.83%233.17M
-5.83%233.17M
-15.03%247.6M
-15.03%247.6M
42.36%291.38M
42.36%291.38M
158.88%204.69M
158.88%204.69M
Current deferred assets
----
----
----
----
--574K
--574K
----
----
----
----
Holding assets for sale
--6.55M
--6.55M
----
----
--18.67M
--18.67M
----
----
--507.16M
--507.16M
Total current assets
41.42%2.24B
41.42%2.24B
15.47%1.59B
15.47%1.59B
-12.13%1.37B
-12.13%1.37B
-34.81%1.56B
-34.81%1.56B
173.07%2.4B
173.07%2.4B
Non current assets
-Accumulated depreciation
-64.75%-32.86M
-64.75%-32.86M
-94.99%-19.94M
-94.99%-19.94M
81.37%-10.23M
81.37%-10.23M
80.85%-54.91M
80.85%-54.91M
-361.25%-286.78M
-361.25%-286.78M
Investment properties
435.02%63.9M
435.02%63.9M
--11.94M
--11.94M
----
----
----
----
----
----
-Long term equity investment
-3.05%1.19B
-3.05%1.19B
-3.03%1.23B
-3.03%1.23B
-9.02%1.27B
-9.02%1.27B
-0.49%1.4B
-0.49%1.4B
348.72%1.4B
348.72%1.4B
Non current note receivables
-3.12%137.69M
-3.12%137.69M
-6.50%142.12M
-6.50%142.12M
-6.18%152M
-6.18%152M
-3.30%162.01M
-3.30%162.01M
838.86%167.53M
838.86%167.53M
-Goodwill
0.53%859.57M
0.53%859.57M
10.28%855.02M
10.28%855.02M
-1.31%775.3M
-1.31%775.3M
3.54%785.57M
3.54%785.57M
142.16%758.74M
142.16%758.74M
Regulatory assets
26.22%347.49M
26.22%347.49M
20.24%275.3M
20.24%275.3M
-14.84%228.96M
-14.84%228.96M
-13.31%268.86M
-13.31%268.86M
98.45%310.16M
98.45%310.16M
Non current deferred assets
10.79%57.07M
10.79%57.07M
44.26%51.52M
44.26%51.52M
37.36%35.71M
37.36%35.71M
-15.84%26M
-15.84%26M
272.07%30.89M
272.07%30.89M
Liabilities
Current liabilities
Current debt and capital lease obligation
33.67%1.48B
33.67%1.48B
28.25%1.11B
28.25%1.11B
-18.36%863.47M
-18.36%863.47M
-28.62%1.06B
-28.62%1.06B
159.24%1.48B
159.24%1.48B
-Current debt
41.55%1.33B
41.55%1.33B
34.90%939.32M
34.90%939.32M
-20.71%696.29M
-20.71%696.29M
-32.97%878.15M
-32.97%878.15M
129.20%1.31B
129.20%1.31B
-Current capital lease obligation
-10.36%150.67M
-10.36%150.67M
0.54%168.09M
0.54%168.09M
-6.88%167.18M
-6.88%167.18M
4.57%179.52M
4.57%179.52M
--171.68M
--171.68M
-accounts payable
138.49%339.86M
138.49%339.86M
22.15%142.51M
22.15%142.51M
-19.53%116.67M
-19.53%116.67M
-13.06%144.99M
-13.06%144.99M
149.44%166.76M
149.44%166.76M
-Total tax payable
-2.96%1.22B
-2.96%1.22B
-2.98%1.26B
-2.98%1.26B
-9.89%1.3B
-9.89%1.3B
-3.56%1.44B
-3.56%1.44B
343.98%1.5B
343.98%1.5B
-Other payable
-51.99%100.26M
-51.99%100.26M
-15.27%208.81M
-15.27%208.81M
24.59%246.44M
24.59%246.44M
1,418.10%197.81M
1,418.10%197.81M
--13.03M
--13.03M
Current provisions
----
----
----
----
----
----
--17.12M
--17.12M
----
----
Current deferred liabilities
-13.46%25.32M
-13.46%25.32M
117.64%29.26M
117.64%29.26M
-17.94%13.44M
-17.94%13.44M
-35.06%16.38M
-35.06%16.38M
1,051.78%25.22M
1,051.78%25.22M
Current liabilities
35.50%2.19B
35.50%2.19B
20.40%1.62B
20.40%1.62B
-19.38%1.34B
-19.38%1.34B
-34.37%1.67B
-34.37%1.67B
227.87%2.54B
227.87%2.54B
Non current liabilities
-Long term debt
-14.88%727.48M
-14.88%727.48M
-10.87%854.68M
-10.87%854.68M
-12.13%958.97M
-12.13%958.97M
6.91%1.09B
6.91%1.09B
--1.02B
--1.02B
Non current accrued expenses
-0.44%1.26B
-0.44%1.26B
10.22%1.26B
10.22%1.26B
-11.57%1.15B
-11.57%1.15B
-12.97%1.3B
-12.97%1.3B
283.24%1.49B
283.24%1.49B
Long term provisions
23.77%466.51M
23.77%466.51M
21.17%376.91M
21.17%376.91M
2.15%311.06M
2.15%311.06M
-20.26%304.51M
-20.26%304.51M
22.16%381.89M
22.16%381.89M
Employee benefits
5.29%8.99M
5.29%8.99M
-0.88%8.54M
-0.88%8.54M
0.45%8.61M
0.45%8.61M
37.54%8.57M
37.54%8.57M
23.40%6.23M
23.40%6.23M
Regulatory liabilities
-16.16%-5.41M
-16.16%-5.41M
-14.69%-4.66M
-14.69%-4.66M
27.93%-4.06M
27.93%-4.06M
-32.50%-5.64M
-32.50%-5.64M
-59.76%-4.26M
-59.76%-4.26M
Trust preferred securities
435.02%63.9M
435.02%63.9M
--11.94M
--11.94M
----
----
----
----
----
----
Preferred securities outside stock equity
2.16%106.78M
2.16%106.78M
2.71%104.53M
2.71%104.53M
-10.93%101.77M
-10.93%101.77M
6.64%114.26M
6.64%114.26M
121.01%107.15M
121.01%107.15M
Total non current liabilities
18.65%3.42B
18.65%3.42B
8.89%2.88B
8.89%2.88B
-14.97%2.64B
-14.97%2.64B
-22.94%3.11B
-22.94%3.11B
263.09%4.03B
263.09%4.03B
Shareholders'equity
Share capital
1.65%1.17B
1.65%1.17B
-1.58%1.15B
-1.58%1.15B
0.00%1.17B
0.00%1.17B
0.00%1.17B
0.00%1.17B
215.85%1.17B
215.85%1.17B
-common stock
1.65%1.17B
1.65%1.17B
-1.58%1.15B
-1.58%1.15B
0.00%1.17B
0.00%1.17B
0.00%1.17B
0.00%1.17B
215.85%1.17B
215.85%1.17B
Gains losses not affecting retained earnings
-7.84%-653.65M
-7.84%-653.65M
1.92%-606.12M
1.92%-606.12M
-6.51%-617.98M
-6.51%-617.98M
-5.14%-580.2M
-5.14%-580.2M
-343.92%-551.81M
-343.92%-551.81M
Other equity interest
-65.46%13.51M
-65.46%13.51M
12.64%39.1M
12.64%39.1M
27.12%34.72M
27.12%34.72M
--27.31M
--27.31M
----
----
Noncontrolling interests
3.90%2.42M
3.90%2.42M
12.39%2.33M
12.39%2.33M
32.86%2.07M
32.86%2.07M
-90.71%1.56M
-90.71%1.56M
39.16%16.81M
39.16%16.81M
Total equity
14.57%4.72B
14.57%4.72B
10.43%4.12B
10.43%4.12B
-7.50%3.73B
-7.50%3.73B
-17.26%4.03B
-17.26%4.03B
175.80%4.88B
175.80%4.88B
(FY)Dec 30, 2023(Q4)Dec 30, 2023(FY)Dec 30, 2022(Q4)Dec 30, 2022(FY)Dec 30, 2021(Q4)Dec 30, 2021(FY)Dec 30, 2020(Q4)Dec 30, 2020(FY)Dec 30, 2019(Q4)Dec 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments 16.69%222.21M16.69%222.21M-3.64%190.43M-3.64%190.43M-5.49%197.62M-5.49%197.62M122.03%209.09M122.03%209.09M399.11%94.17M399.11%94.17M
-Cash and cash equivalents 16.69%222.21M16.69%222.21M-3.64%190.43M-3.64%190.43M-5.49%197.62M-5.49%197.62M122.03%209.09M122.03%209.09M399.11%94.17M399.11%94.17M
-Accounts receivable 26.05%352.9M26.05%352.9M20.14%279.96M20.14%279.96M-15.11%233.02M-15.11%233.02M-12.69%274.5M-12.69%274.5M97.80%314.41M97.80%314.41M
-Notes receivable 5.29%8.99M5.29%8.99M-0.88%8.54M-0.88%8.54M0.45%8.61M0.45%8.61M37.54%8.57M37.54%8.57M23.40%6.23M23.40%6.23M
-Other receivables 2.35%238.64M2.35%238.64M-5.83%233.17M-5.83%233.17M-15.03%247.6M-15.03%247.6M42.36%291.38M42.36%291.38M158.88%204.69M158.88%204.69M
Current deferred assets ------------------574K--574K----------------
Holding assets for sale --6.55M--6.55M----------18.67M--18.67M----------507.16M--507.16M
Total current assets 41.42%2.24B41.42%2.24B15.47%1.59B15.47%1.59B-12.13%1.37B-12.13%1.37B-34.81%1.56B-34.81%1.56B173.07%2.4B173.07%2.4B
Non current assets
-Accumulated depreciation -64.75%-32.86M-64.75%-32.86M-94.99%-19.94M-94.99%-19.94M81.37%-10.23M81.37%-10.23M80.85%-54.91M80.85%-54.91M-361.25%-286.78M-361.25%-286.78M
Investment properties 435.02%63.9M435.02%63.9M--11.94M--11.94M------------------------
-Long term equity investment -3.05%1.19B-3.05%1.19B-3.03%1.23B-3.03%1.23B-9.02%1.27B-9.02%1.27B-0.49%1.4B-0.49%1.4B348.72%1.4B348.72%1.4B
Non current note receivables -3.12%137.69M-3.12%137.69M-6.50%142.12M-6.50%142.12M-6.18%152M-6.18%152M-3.30%162.01M-3.30%162.01M838.86%167.53M838.86%167.53M
-Goodwill 0.53%859.57M0.53%859.57M10.28%855.02M10.28%855.02M-1.31%775.3M-1.31%775.3M3.54%785.57M3.54%785.57M142.16%758.74M142.16%758.74M
Regulatory assets 26.22%347.49M26.22%347.49M20.24%275.3M20.24%275.3M-14.84%228.96M-14.84%228.96M-13.31%268.86M-13.31%268.86M98.45%310.16M98.45%310.16M
Non current deferred assets 10.79%57.07M10.79%57.07M44.26%51.52M44.26%51.52M37.36%35.71M37.36%35.71M-15.84%26M-15.84%26M272.07%30.89M272.07%30.89M
Liabilities
Current liabilities
Current debt and capital lease obligation 33.67%1.48B33.67%1.48B28.25%1.11B28.25%1.11B-18.36%863.47M-18.36%863.47M-28.62%1.06B-28.62%1.06B159.24%1.48B159.24%1.48B
-Current debt 41.55%1.33B41.55%1.33B34.90%939.32M34.90%939.32M-20.71%696.29M-20.71%696.29M-32.97%878.15M-32.97%878.15M129.20%1.31B129.20%1.31B
-Current capital lease obligation -10.36%150.67M-10.36%150.67M0.54%168.09M0.54%168.09M-6.88%167.18M-6.88%167.18M4.57%179.52M4.57%179.52M--171.68M--171.68M
-accounts payable 138.49%339.86M138.49%339.86M22.15%142.51M22.15%142.51M-19.53%116.67M-19.53%116.67M-13.06%144.99M-13.06%144.99M149.44%166.76M149.44%166.76M
-Total tax payable -2.96%1.22B-2.96%1.22B-2.98%1.26B-2.98%1.26B-9.89%1.3B-9.89%1.3B-3.56%1.44B-3.56%1.44B343.98%1.5B343.98%1.5B
-Other payable -51.99%100.26M-51.99%100.26M-15.27%208.81M-15.27%208.81M24.59%246.44M24.59%246.44M1,418.10%197.81M1,418.10%197.81M--13.03M--13.03M
Current provisions --------------------------17.12M--17.12M--------
Current deferred liabilities -13.46%25.32M-13.46%25.32M117.64%29.26M117.64%29.26M-17.94%13.44M-17.94%13.44M-35.06%16.38M-35.06%16.38M1,051.78%25.22M1,051.78%25.22M
Current liabilities 35.50%2.19B35.50%2.19B20.40%1.62B20.40%1.62B-19.38%1.34B-19.38%1.34B-34.37%1.67B-34.37%1.67B227.87%2.54B227.87%2.54B
Non current liabilities
-Long term debt -14.88%727.48M-14.88%727.48M-10.87%854.68M-10.87%854.68M-12.13%958.97M-12.13%958.97M6.91%1.09B6.91%1.09B--1.02B--1.02B
Non current accrued expenses -0.44%1.26B-0.44%1.26B10.22%1.26B10.22%1.26B-11.57%1.15B-11.57%1.15B-12.97%1.3B-12.97%1.3B283.24%1.49B283.24%1.49B
Long term provisions 23.77%466.51M23.77%466.51M21.17%376.91M21.17%376.91M2.15%311.06M2.15%311.06M-20.26%304.51M-20.26%304.51M22.16%381.89M22.16%381.89M
Employee benefits 5.29%8.99M5.29%8.99M-0.88%8.54M-0.88%8.54M0.45%8.61M0.45%8.61M37.54%8.57M37.54%8.57M23.40%6.23M23.40%6.23M
Regulatory liabilities -16.16%-5.41M-16.16%-5.41M-14.69%-4.66M-14.69%-4.66M27.93%-4.06M27.93%-4.06M-32.50%-5.64M-32.50%-5.64M-59.76%-4.26M-59.76%-4.26M
Trust preferred securities 435.02%63.9M435.02%63.9M--11.94M--11.94M------------------------
Preferred securities outside stock equity 2.16%106.78M2.16%106.78M2.71%104.53M2.71%104.53M-10.93%101.77M-10.93%101.77M6.64%114.26M6.64%114.26M121.01%107.15M121.01%107.15M
Total non current liabilities 18.65%3.42B18.65%3.42B8.89%2.88B8.89%2.88B-14.97%2.64B-14.97%2.64B-22.94%3.11B-22.94%3.11B263.09%4.03B263.09%4.03B
Shareholders'equity
Share capital 1.65%1.17B1.65%1.17B-1.58%1.15B-1.58%1.15B0.00%1.17B0.00%1.17B0.00%1.17B0.00%1.17B215.85%1.17B215.85%1.17B
-common stock 1.65%1.17B1.65%1.17B-1.58%1.15B-1.58%1.15B0.00%1.17B0.00%1.17B0.00%1.17B0.00%1.17B215.85%1.17B215.85%1.17B
Gains losses not affecting retained earnings -7.84%-653.65M-7.84%-653.65M1.92%-606.12M1.92%-606.12M-6.51%-617.98M-6.51%-617.98M-5.14%-580.2M-5.14%-580.2M-343.92%-551.81M-343.92%-551.81M
Other equity interest -65.46%13.51M-65.46%13.51M12.64%39.1M12.64%39.1M27.12%34.72M27.12%34.72M--27.31M--27.31M--------
Noncontrolling interests 3.90%2.42M3.90%2.42M12.39%2.33M12.39%2.33M32.86%2.07M32.86%2.07M-90.71%1.56M-90.71%1.56M39.16%16.81M39.16%16.81M
Total equity 14.57%4.72B14.57%4.72B10.43%4.12B10.43%4.12B-7.50%3.73B-7.50%3.73B-17.26%4.03B-17.26%4.03B175.80%4.88B175.80%4.88B

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