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BLD Boral Ltd

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  • 5.830
  • 0.0000.00%
20min DelayTrading Jun 6 16:00 AET
6.30BMarket Cap43.51P/E (Static)

Boral Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-42.00%661.1M
-42.00%661.1M
24.52%1.14B
24.52%1.14B
0.69%915.4M
0.69%915.4M
330.85%909.1M
330.85%909.1M
146.78%211M
146.78%211M
-Cash and cash equivalents
-40.56%658.1M
-40.56%658.1M
22.49%1.11B
22.49%1.11B
-0.07%903.8M
-0.07%903.8M
336.49%904.4M
336.49%904.4M
178.87%207.2M
178.87%207.2M
-Accounts receivable
13.58%545.4M
13.58%545.4M
6.38%480.2M
6.38%480.2M
-40.39%451.4M
-40.39%451.4M
-11.58%757.2M
-11.58%757.2M
-2.22%856.4M
-2.22%856.4M
-Notes receivable
-1.39%7.1M
-1.39%7.1M
-28.71%7.2M
-28.71%7.2M
-76.73%10.1M
-76.73%10.1M
-5.86%43.4M
-5.86%43.4M
13.55%46.1M
13.55%46.1M
Current deferred assets
-36.63%25.6M
-36.63%25.6M
201.49%40.4M
201.49%40.4M
7.20%13.4M
7.20%13.4M
--12.5M
--12.5M
----
----
Holding assets for sale
----
----
----
----
4,206.53%3.63B
4,206.53%3.63B
--84.2M
--84.2M
----
----
Total current assets
-21.99%1.51B
-21.99%1.51B
-63.18%1.94B
-63.18%1.94B
121.86%5.27B
121.86%5.27B
31.10%2.38B
31.10%2.38B
4.23%1.81B
4.23%1.81B
Non current assets
-Accumulated depreciation
-2.98%-2.99B
-2.98%-2.99B
-7.35%-2.9B
-7.35%-2.9B
20.83%-2.7B
20.83%-2.7B
-6.79%-3.42B
-6.79%-3.42B
-8.10%-3.2B
-8.10%-3.2B
-Long term equity investment
3.10%973.1M
3.10%973.1M
-46.67%943.8M
-46.67%943.8M
-47.61%1.77B
-47.61%1.77B
63.92%3.38B
63.92%3.38B
-17.82%2.06B
-17.82%2.06B
Non current note receivables
-35.35%107.7M
-35.35%107.7M
25.17%166.6M
25.17%166.6M
-8.52%133.1M
-8.52%133.1M
84.88%145.5M
84.88%145.5M
13.07%78.7M
13.07%78.7M
-Goodwill
-0.42%71.2M
-0.42%71.2M
-1.24%71.5M
-1.24%71.5M
-96.74%72.4M
-96.74%72.4M
-34.08%2.22B
-34.08%2.22B
-0.66%3.37B
-0.66%3.37B
Regulatory assets
9.58%549.3M
9.58%549.3M
6.05%501.3M
6.05%501.3M
-40.79%472.7M
-40.79%472.7M
-9.02%798.3M
-9.02%798.3M
-0.26%877.4M
-0.26%877.4M
Non current deferred assets
-43.98%20M
-43.98%20M
47.52%35.7M
47.52%35.7M
-2.81%24.2M
-2.81%24.2M
-10.43%24.9M
-10.43%24.9M
-20.80%27.8M
-20.80%27.8M
Liabilities
Current liabilities
Current debt and capital lease obligation
-96.37%23.2M
-96.37%23.2M
1,826.81%639.7M
1,826.81%639.7M
-68.68%33.2M
-68.68%33.2M
-68.80%106M
-68.80%106M
1,669.27%339.7M
1,669.27%339.7M
-Current debt
----
----
34,016.67%614.1M
34,016.67%614.1M
-87.41%1.8M
-87.41%1.8M
-95.75%14.3M
-95.75%14.3M
2,489.23%336.6M
2,489.23%336.6M
-Current capital lease obligation
-9.38%23.2M
-9.38%23.2M
-18.47%25.6M
-18.47%25.6M
-65.76%31.4M
-65.76%31.4M
2,858.06%91.7M
2,858.06%91.7M
-50.00%3.1M
-50.00%3.1M
-accounts payable
-0.02%497.1M
-0.02%497.1M
2.71%497.2M
2.71%497.2M
-33.58%484.1M
-33.58%484.1M
-12.47%728.8M
-12.47%728.8M
10.72%832.6M
10.72%832.6M
-Total tax payable
1.88%1.22B
1.88%1.22B
-38.36%1.2B
-38.36%1.2B
-46.42%1.94B
-46.42%1.94B
57.94%3.62B
57.94%3.62B
-17.66%2.29B
-17.66%2.29B
-Other payable
31.30%49.5M
31.30%49.5M
25.67%37.7M
25.67%37.7M
-40.94%30M
-40.94%30M
31.61%50.8M
31.61%50.8M
-16.09%38.6M
-16.09%38.6M
Current provisions
-14.00%55.9M
-14.00%55.9M
100.00%65M
100.00%65M
-48.49%32.5M
-48.49%32.5M
30.37%63.1M
30.37%63.1M
-12.16%48.4M
-12.16%48.4M
Current deferred liabilities
0.00%600K
0.00%600K
-88.00%600K
-88.00%600K
13.64%5M
13.64%5M
-84.83%4.4M
-84.83%4.4M
45.00%29M
45.00%29M
Current liabilities
-46.88%694.5M
-46.88%694.5M
2.12%1.31B
2.12%1.31B
22.41%1.28B
22.41%1.28B
-24.87%1.05B
-24.87%1.05B
39.89%1.39B
39.89%1.39B
Non current liabilities
-Long term debt
5.42%99.2M
5.42%99.2M
-3.49%94.1M
-3.49%94.1M
-66.54%97.5M
-66.54%97.5M
9,613.33%291.4M
9,613.33%291.4M
-71.70%3M
-71.70%3M
Non current accrued expenses
0.03%2.12B
0.03%2.12B
4.24%2.12B
4.24%2.12B
-34.82%2.03B
-34.82%2.03B
8.21%3.12B
8.21%3.12B
3.53%2.88B
3.53%2.88B
Long term provisions
2.85%873.9M
2.85%873.9M
-49.19%849.7M
-49.19%849.7M
-45.82%1.67B
-45.82%1.67B
50.00%3.09B
50.00%3.09B
-17.59%2.06B
-17.59%2.06B
Employee benefits
-1.39%7.1M
-1.39%7.1M
-28.71%7.2M
-28.71%7.2M
-76.73%10.1M
-76.73%10.1M
-5.86%43.4M
-5.86%43.4M
13.55%46.1M
13.55%46.1M
Regulatory liabilities
-42.25%-10.1M
-42.25%-10.1M
-294.44%-7.1M
-294.44%-7.1M
86.15%-1.8M
86.15%-1.8M
-10.17%-13M
-10.17%-13M
18.62%-11.8M
18.62%-11.8M
Preferred securities outside stock equity
3.67%107.4M
3.67%107.4M
11.16%103.6M
11.16%103.6M
-22.14%93.2M
-22.14%93.2M
0.84%119.7M
0.84%119.7M
-8.41%118.7M
-8.41%118.7M
Total non current liabilities
-23.59%1.91B
-23.59%1.91B
-22.26%2.5B
-22.26%2.5B
-30.99%3.22B
-30.99%3.22B
26.65%4.67B
26.65%4.67B
-2.51%3.68B
-2.51%3.68B
Shareholders'equity
Share capital
0.00%593.7M
0.00%593.7M
-84.54%593.7M
-84.54%593.7M
-12.27%3.84B
-12.27%3.84B
2.61%4.38B
2.61%4.38B
0.00%4.27B
0.00%4.27B
-common stock
0.00%593.7M
0.00%593.7M
-84.54%593.7M
-84.54%593.7M
-12.27%3.84B
-12.27%3.84B
2.61%4.38B
2.61%4.38B
0.00%4.27B
0.00%4.27B
Gains losses not affecting retained earnings
-41.34%28.1M
-41.34%28.1M
-60.99%47.9M
-60.99%47.9M
-65.59%122.8M
-65.59%122.8M
8.15%356.9M
8.15%356.9M
111.81%330M
111.81%330M
Other equity interest
-44.08%20.3M
-44.08%20.3M
26.92%36.3M
26.92%36.3M
-39.41%28.6M
-39.41%28.6M
19.19%47.2M
19.19%47.2M
3.94%39.6M
3.94%39.6M
Noncontrolling interests
15.71%36.1M
15.71%36.1M
108.00%31.2M
108.00%31.2M
-98.76%15M
-98.76%15M
-6.37%1.21B
-6.37%1.21B
-8.45%1.29B
-8.45%1.29B
Total equity
-10.50%3.94B
-10.50%3.94B
-41.97%4.4B
-41.97%4.4B
-17.58%7.58B
-17.58%7.58B
-3.58%9.2B
-3.58%9.2B
0.35%9.54B
0.35%9.54B
(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(FY)Jun 30, 2019(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -42.00%661.1M-42.00%661.1M24.52%1.14B24.52%1.14B0.69%915.4M0.69%915.4M330.85%909.1M330.85%909.1M146.78%211M146.78%211M
-Cash and cash equivalents -40.56%658.1M-40.56%658.1M22.49%1.11B22.49%1.11B-0.07%903.8M-0.07%903.8M336.49%904.4M336.49%904.4M178.87%207.2M178.87%207.2M
-Accounts receivable 13.58%545.4M13.58%545.4M6.38%480.2M6.38%480.2M-40.39%451.4M-40.39%451.4M-11.58%757.2M-11.58%757.2M-2.22%856.4M-2.22%856.4M
-Notes receivable -1.39%7.1M-1.39%7.1M-28.71%7.2M-28.71%7.2M-76.73%10.1M-76.73%10.1M-5.86%43.4M-5.86%43.4M13.55%46.1M13.55%46.1M
Current deferred assets -36.63%25.6M-36.63%25.6M201.49%40.4M201.49%40.4M7.20%13.4M7.20%13.4M--12.5M--12.5M--------
Holding assets for sale ----------------4,206.53%3.63B4,206.53%3.63B--84.2M--84.2M--------
Total current assets -21.99%1.51B-21.99%1.51B-63.18%1.94B-63.18%1.94B121.86%5.27B121.86%5.27B31.10%2.38B31.10%2.38B4.23%1.81B4.23%1.81B
Non current assets
-Accumulated depreciation -2.98%-2.99B-2.98%-2.99B-7.35%-2.9B-7.35%-2.9B20.83%-2.7B20.83%-2.7B-6.79%-3.42B-6.79%-3.42B-8.10%-3.2B-8.10%-3.2B
-Long term equity investment 3.10%973.1M3.10%973.1M-46.67%943.8M-46.67%943.8M-47.61%1.77B-47.61%1.77B63.92%3.38B63.92%3.38B-17.82%2.06B-17.82%2.06B
Non current note receivables -35.35%107.7M-35.35%107.7M25.17%166.6M25.17%166.6M-8.52%133.1M-8.52%133.1M84.88%145.5M84.88%145.5M13.07%78.7M13.07%78.7M
-Goodwill -0.42%71.2M-0.42%71.2M-1.24%71.5M-1.24%71.5M-96.74%72.4M-96.74%72.4M-34.08%2.22B-34.08%2.22B-0.66%3.37B-0.66%3.37B
Regulatory assets 9.58%549.3M9.58%549.3M6.05%501.3M6.05%501.3M-40.79%472.7M-40.79%472.7M-9.02%798.3M-9.02%798.3M-0.26%877.4M-0.26%877.4M
Non current deferred assets -43.98%20M-43.98%20M47.52%35.7M47.52%35.7M-2.81%24.2M-2.81%24.2M-10.43%24.9M-10.43%24.9M-20.80%27.8M-20.80%27.8M
Liabilities
Current liabilities
Current debt and capital lease obligation -96.37%23.2M-96.37%23.2M1,826.81%639.7M1,826.81%639.7M-68.68%33.2M-68.68%33.2M-68.80%106M-68.80%106M1,669.27%339.7M1,669.27%339.7M
-Current debt --------34,016.67%614.1M34,016.67%614.1M-87.41%1.8M-87.41%1.8M-95.75%14.3M-95.75%14.3M2,489.23%336.6M2,489.23%336.6M
-Current capital lease obligation -9.38%23.2M-9.38%23.2M-18.47%25.6M-18.47%25.6M-65.76%31.4M-65.76%31.4M2,858.06%91.7M2,858.06%91.7M-50.00%3.1M-50.00%3.1M
-accounts payable -0.02%497.1M-0.02%497.1M2.71%497.2M2.71%497.2M-33.58%484.1M-33.58%484.1M-12.47%728.8M-12.47%728.8M10.72%832.6M10.72%832.6M
-Total tax payable 1.88%1.22B1.88%1.22B-38.36%1.2B-38.36%1.2B-46.42%1.94B-46.42%1.94B57.94%3.62B57.94%3.62B-17.66%2.29B-17.66%2.29B
-Other payable 31.30%49.5M31.30%49.5M25.67%37.7M25.67%37.7M-40.94%30M-40.94%30M31.61%50.8M31.61%50.8M-16.09%38.6M-16.09%38.6M
Current provisions -14.00%55.9M-14.00%55.9M100.00%65M100.00%65M-48.49%32.5M-48.49%32.5M30.37%63.1M30.37%63.1M-12.16%48.4M-12.16%48.4M
Current deferred liabilities 0.00%600K0.00%600K-88.00%600K-88.00%600K13.64%5M13.64%5M-84.83%4.4M-84.83%4.4M45.00%29M45.00%29M
Current liabilities -46.88%694.5M-46.88%694.5M2.12%1.31B2.12%1.31B22.41%1.28B22.41%1.28B-24.87%1.05B-24.87%1.05B39.89%1.39B39.89%1.39B
Non current liabilities
-Long term debt 5.42%99.2M5.42%99.2M-3.49%94.1M-3.49%94.1M-66.54%97.5M-66.54%97.5M9,613.33%291.4M9,613.33%291.4M-71.70%3M-71.70%3M
Non current accrued expenses 0.03%2.12B0.03%2.12B4.24%2.12B4.24%2.12B-34.82%2.03B-34.82%2.03B8.21%3.12B8.21%3.12B3.53%2.88B3.53%2.88B
Long term provisions 2.85%873.9M2.85%873.9M-49.19%849.7M-49.19%849.7M-45.82%1.67B-45.82%1.67B50.00%3.09B50.00%3.09B-17.59%2.06B-17.59%2.06B
Employee benefits -1.39%7.1M-1.39%7.1M-28.71%7.2M-28.71%7.2M-76.73%10.1M-76.73%10.1M-5.86%43.4M-5.86%43.4M13.55%46.1M13.55%46.1M
Regulatory liabilities -42.25%-10.1M-42.25%-10.1M-294.44%-7.1M-294.44%-7.1M86.15%-1.8M86.15%-1.8M-10.17%-13M-10.17%-13M18.62%-11.8M18.62%-11.8M
Preferred securities outside stock equity 3.67%107.4M3.67%107.4M11.16%103.6M11.16%103.6M-22.14%93.2M-22.14%93.2M0.84%119.7M0.84%119.7M-8.41%118.7M-8.41%118.7M
Total non current liabilities -23.59%1.91B-23.59%1.91B-22.26%2.5B-22.26%2.5B-30.99%3.22B-30.99%3.22B26.65%4.67B26.65%4.67B-2.51%3.68B-2.51%3.68B
Shareholders'equity
Share capital 0.00%593.7M0.00%593.7M-84.54%593.7M-84.54%593.7M-12.27%3.84B-12.27%3.84B2.61%4.38B2.61%4.38B0.00%4.27B0.00%4.27B
-common stock 0.00%593.7M0.00%593.7M-84.54%593.7M-84.54%593.7M-12.27%3.84B-12.27%3.84B2.61%4.38B2.61%4.38B0.00%4.27B0.00%4.27B
Gains losses not affecting retained earnings -41.34%28.1M-41.34%28.1M-60.99%47.9M-60.99%47.9M-65.59%122.8M-65.59%122.8M8.15%356.9M8.15%356.9M111.81%330M111.81%330M
Other equity interest -44.08%20.3M-44.08%20.3M26.92%36.3M26.92%36.3M-39.41%28.6M-39.41%28.6M19.19%47.2M19.19%47.2M3.94%39.6M3.94%39.6M
Noncontrolling interests 15.71%36.1M15.71%36.1M108.00%31.2M108.00%31.2M-98.76%15M-98.76%15M-6.37%1.21B-6.37%1.21B-8.45%1.29B-8.45%1.29B
Total equity -10.50%3.94B-10.50%3.94B-41.97%4.4B-41.97%4.4B-17.58%7.58B-17.58%7.58B-3.58%9.2B-3.58%9.2B0.35%9.54B0.35%9.54B

Analysis

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