AU Stock MarketDetailed Quotes

ARF Arena REIT

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  • 3.980
  • +0.070+1.79%
20min DelayMarket Closed Aug 30 16:00 AET
1.57BMarket Cap24.57P/E (Static)

Arena REIT 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
-22.83%12.43M
-22.83%12.43M
-27.42%16.11M
-27.42%16.11M
58.37%22.2M
58.37%22.2M
-81.64%14.02M
-81.64%14.02M
838.41%76.33M
838.41%76.33M
-Cash and cash equivalents
-22.83%12.43M
-22.83%12.43M
-27.42%16.11M
-27.42%16.11M
58.37%22.2M
58.37%22.2M
-81.64%14.02M
-81.64%14.02M
838.41%76.33M
838.41%76.33M
-Accounts receivable
-77.06%209K
-77.06%209K
-7.89%911K
-7.89%911K
-1.40%989K
-1.40%989K
-41.24%1M
-41.24%1M
561.63%1.71M
561.63%1.71M
-Other receivables
21.05%15.23M
21.05%15.23M
9.86%12.58M
9.86%12.58M
-10.55%11.45M
-10.55%11.45M
19.49%12.8M
19.49%12.8M
28.08%10.71M
28.08%10.71M
Total current assets
-19.51%22.82M
-19.51%22.82M
9.93%28.36M
9.93%28.36M
-0.42%25.8M
-0.42%25.8M
-69.88%25.91M
-69.88%25.91M
442.87%86.02M
442.87%86.02M
Non current assets
Investments and advances
4.17%1.58B
4.17%1.58B
3.70%1.52B
3.70%1.52B
31.41%1.46B
31.41%1.46B
21.71%1.11B
21.71%1.11B
14.49%914.01M
14.49%914.01M
-Long term equity investment
10.74%377.13M
10.74%377.13M
5.44%340.56M
5.44%340.56M
34.66%323M
34.66%323M
12.17%239.85M
12.17%239.85M
14.00%213.83M
14.00%213.83M
-Including:Held to maturity investments
-20.26%5.53M
-20.26%5.53M
--6.94M
--6.94M
----
----
----
----
----
----
Financial assets
-27.90%9.05M
-27.90%9.05M
-33.80%12.56M
-33.80%12.56M
--18.97M
--18.97M
----
----
----
----
-Goodwill
0.00%10.82M
0.00%10.82M
0.00%10.82M
0.00%10.82M
0.00%10.82M
0.00%10.82M
0.00%10.82M
0.00%10.82M
0.00%10.82M
0.00%10.82M
Regulatory assets
-11.75%3.7M
-11.75%3.7M
55.51%4.19M
55.51%4.19M
-68.75%2.7M
-68.75%2.7M
-3.69%8.63M
-3.69%8.63M
33.03%8.96M
33.03%8.96M
Non current deferred assets
----
----
----
----
-77.11%314K
-77.11%314K
-10.39%1.37M
-10.39%1.37M
153.90%1.53M
153.90%1.53M
Liabilities
Current liabilities
Current debt and capital lease obligation
-14.41%196K
-14.41%196K
6.51%229K
6.51%229K
0.00%215K
0.00%215K
72.00%215K
72.00%215K
--125K
--125K
-Current debt
----
----
----
----
----
----
----
----
--125K
--125K
-Current capital lease obligation
-14.41%196K
-14.41%196K
6.51%229K
6.51%229K
0.00%215K
0.00%215K
--215K
--215K
----
----
-Total tax payable
10.72%377.2M
10.72%377.2M
5.44%340.69M
5.44%340.69M
31.15%323.1M
31.15%323.1M
8.45%246.36M
8.45%246.36M
15.30%227.18M
15.30%227.18M
-Dividends payable
5.21%15.5M
5.21%15.5M
4.91%14.73M
4.91%14.73M
9.68%14.04M
9.68%14.04M
-42.90%12.8M
-42.90%12.8M
128.02%22.42M
128.02%22.42M
Current provisions
21.15%928K
21.15%928K
-3.28%766K
-3.28%766K
91.77%792K
91.77%792K
54.10%413K
54.10%413K
60.48%268K
60.48%268K
Current liabilities
12.52%31.85M
12.52%31.85M
6.82%28.3M
6.82%28.3M
1.02%26.5M
1.02%26.5M
-21.76%26.23M
-21.76%26.23M
82.57%33.53M
82.57%33.53M
Non current liabilities
-Long term debt
285.59%856K
285.59%856K
-50.78%222K
-50.78%222K
-34.73%451K
-34.73%451K
--691K
--691K
----
----
Non current accrued expenses
99.54%1.31M
99.54%1.31M
-16.48%654K
-16.48%654K
-20.67%783K
-20.67%783K
372.25%987K
372.25%987K
50.36%209K
50.36%209K
Derivative product liabilities
----
----
----
----
----
----
-52.91%6.17M
-52.91%6.17M
42.81%13.11M
42.81%13.11M
Long term provisions
10.56%376.27M
10.56%376.27M
5.52%340.34M
5.52%340.34M
34.86%322.55M
34.86%322.55M
11.85%239.16M
11.85%239.16M
14.00%213.83M
14.00%213.83M
Regulatory liabilities
0.00%-154K
0.00%-154K
0.00%-154K
0.00%-154K
0.00%-154K
0.00%-154K
51.11%-154K
51.11%-154K
---315K
---315K
Total non current liabilities
10.86%409.05M
10.86%409.05M
5.55%368.99M
5.55%368.99M
28.25%349.59M
28.25%349.59M
4.56%272.59M
4.56%272.59M
21.04%260.7M
21.04%260.7M
Shareholders'equity
Share capital
2.89%436.64M
2.89%436.64M
2.15%424.36M
2.15%424.36M
2.13%415.41M
2.13%415.41M
-21.16%406.74M
-21.16%406.74M
27.02%515.92M
27.02%515.92M
-common stock
2.89%436.64M
2.89%436.64M
2.15%424.36M
2.15%424.36M
2.13%415.41M
2.13%415.41M
-21.16%406.74M
-21.16%406.74M
27.02%515.92M
27.02%515.92M
Total equity
3.49%1.62B
3.49%1.62B
3.27%1.57B
3.27%1.57B
31.88%1.52B
31.88%1.52B
13.72%1.15B
13.72%1.15B
22.63%1.01B
22.63%1.01B
(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 -22.83%12.43M-22.83%12.43M-27.42%16.11M-27.42%16.11M58.37%22.2M58.37%22.2M-81.64%14.02M-81.64%14.02M838.41%76.33M838.41%76.33M
-Cash and cash equivalents -22.83%12.43M-22.83%12.43M-27.42%16.11M-27.42%16.11M58.37%22.2M58.37%22.2M-81.64%14.02M-81.64%14.02M838.41%76.33M838.41%76.33M
-Accounts receivable -77.06%209K-77.06%209K-7.89%911K-7.89%911K-1.40%989K-1.40%989K-41.24%1M-41.24%1M561.63%1.71M561.63%1.71M
-Other receivables 21.05%15.23M21.05%15.23M9.86%12.58M9.86%12.58M-10.55%11.45M-10.55%11.45M19.49%12.8M19.49%12.8M28.08%10.71M28.08%10.71M
Total current assets -19.51%22.82M-19.51%22.82M9.93%28.36M9.93%28.36M-0.42%25.8M-0.42%25.8M-69.88%25.91M-69.88%25.91M442.87%86.02M442.87%86.02M
Non current assets
Investments and advances 4.17%1.58B4.17%1.58B3.70%1.52B3.70%1.52B31.41%1.46B31.41%1.46B21.71%1.11B21.71%1.11B14.49%914.01M14.49%914.01M
-Long term equity investment 10.74%377.13M10.74%377.13M5.44%340.56M5.44%340.56M34.66%323M34.66%323M12.17%239.85M12.17%239.85M14.00%213.83M14.00%213.83M
-Including:Held to maturity investments -20.26%5.53M-20.26%5.53M--6.94M--6.94M------------------------
Financial assets -27.90%9.05M-27.90%9.05M-33.80%12.56M-33.80%12.56M--18.97M--18.97M----------------
-Goodwill 0.00%10.82M0.00%10.82M0.00%10.82M0.00%10.82M0.00%10.82M0.00%10.82M0.00%10.82M0.00%10.82M0.00%10.82M0.00%10.82M
Regulatory assets -11.75%3.7M-11.75%3.7M55.51%4.19M55.51%4.19M-68.75%2.7M-68.75%2.7M-3.69%8.63M-3.69%8.63M33.03%8.96M33.03%8.96M
Non current deferred assets -----------------77.11%314K-77.11%314K-10.39%1.37M-10.39%1.37M153.90%1.53M153.90%1.53M
Liabilities
Current liabilities
Current debt and capital lease obligation -14.41%196K-14.41%196K6.51%229K6.51%229K0.00%215K0.00%215K72.00%215K72.00%215K--125K--125K
-Current debt ----------------------------------125K--125K
-Current capital lease obligation -14.41%196K-14.41%196K6.51%229K6.51%229K0.00%215K0.00%215K--215K--215K--------
-Total tax payable 10.72%377.2M10.72%377.2M5.44%340.69M5.44%340.69M31.15%323.1M31.15%323.1M8.45%246.36M8.45%246.36M15.30%227.18M15.30%227.18M
-Dividends payable 5.21%15.5M5.21%15.5M4.91%14.73M4.91%14.73M9.68%14.04M9.68%14.04M-42.90%12.8M-42.90%12.8M128.02%22.42M128.02%22.42M
Current provisions 21.15%928K21.15%928K-3.28%766K-3.28%766K91.77%792K91.77%792K54.10%413K54.10%413K60.48%268K60.48%268K
Current liabilities 12.52%31.85M12.52%31.85M6.82%28.3M6.82%28.3M1.02%26.5M1.02%26.5M-21.76%26.23M-21.76%26.23M82.57%33.53M82.57%33.53M
Non current liabilities
-Long term debt 285.59%856K285.59%856K-50.78%222K-50.78%222K-34.73%451K-34.73%451K--691K--691K--------
Non current accrued expenses 99.54%1.31M99.54%1.31M-16.48%654K-16.48%654K-20.67%783K-20.67%783K372.25%987K372.25%987K50.36%209K50.36%209K
Derivative product liabilities -------------------------52.91%6.17M-52.91%6.17M42.81%13.11M42.81%13.11M
Long term provisions 10.56%376.27M10.56%376.27M5.52%340.34M5.52%340.34M34.86%322.55M34.86%322.55M11.85%239.16M11.85%239.16M14.00%213.83M14.00%213.83M
Regulatory liabilities 0.00%-154K0.00%-154K0.00%-154K0.00%-154K0.00%-154K0.00%-154K51.11%-154K51.11%-154K---315K---315K
Total non current liabilities 10.86%409.05M10.86%409.05M5.55%368.99M5.55%368.99M28.25%349.59M28.25%349.59M4.56%272.59M4.56%272.59M21.04%260.7M21.04%260.7M
Shareholders'equity
Share capital 2.89%436.64M2.89%436.64M2.15%424.36M2.15%424.36M2.13%415.41M2.13%415.41M-21.16%406.74M-21.16%406.74M27.02%515.92M27.02%515.92M
-common stock 2.89%436.64M2.89%436.64M2.15%424.36M2.15%424.36M2.13%415.41M2.13%415.41M-21.16%406.74M-21.16%406.74M27.02%515.92M27.02%515.92M
Total equity 3.49%1.62B3.49%1.62B3.27%1.57B3.27%1.57B31.88%1.52B31.88%1.52B13.72%1.15B13.72%1.15B22.63%1.01B22.63%1.01B

Analysis

Analyst Rating

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Price Target

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