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IFL Insignia Financial Ltd

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  • 3.290
  • +0.150+4.78%
20min DelayMarket Closed Nov 15 16:00 AET
2.20BMarket Cap-11792P/E (Static)

Insignia Financial 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
-17.95%486.5M
-17.95%486.5M
-62.42%592.9M
-62.42%592.9M
-11.84%1.58B
-11.84%1.58B
37.66%1.79B
37.66%1.79B
-30.14%1.3B
-30.14%1.3B
-Cash and cash equivalents
-16.59%421.7M
-16.59%421.7M
-2.39%505.6M
-2.39%505.6M
-22.77%518M
-22.77%518M
78.98%670.7M
78.98%670.7M
284.57%374.73M
284.57%374.73M
-Short term investments
-25.77%64.8M
-25.77%64.8M
-91.76%87.3M
-91.76%87.3M
-5.28%1.06B
-5.28%1.06B
20.93%1.12B
20.93%1.12B
-47.53%925.26M
-47.53%925.26M
Receivables
0.72%267.5M
0.72%267.5M
-60.99%265.6M
-60.99%265.6M
-6.73%680.9M
-6.73%680.9M
28.83%730M
28.83%730M
176.65%566.66M
176.65%566.66M
-Accounts receivable
----
----
----
----
----
----
90.83%150.4M
90.83%150.4M
63.39%78.81M
63.39%78.81M
-Loans receivable
----
----
----
----
----
----
30.25%66.7M
30.25%66.7M
49.74%51.21M
49.74%51.21M
-Other receivables
0.72%267.5M
0.72%267.5M
-60.99%265.6M
-60.99%265.6M
32.75%680.9M
32.75%680.9M
17.47%512.9M
17.47%512.9M
256.75%436.63M
256.75%436.63M
Prepaid assets
--40.5M
--40.5M
----
----
----
----
22.96%20M
22.96%20M
6.26%16.27M
6.26%16.27M
Current deferred assets
-97.93%700K
-97.93%700K
-21.76%33.8M
-21.76%33.8M
2,300.00%43.2M
2,300.00%43.2M
--1.8M
--1.8M
----
----
Hedging assets-current
----
----
----
----
----
----
--400K
--400K
----
----
Holding assets for sale
-97.67%26.7M
-97.67%26.7M
1,398.69%1.15B
1,398.69%1.15B
--76.6M
--76.6M
----
----
----
----
Other current assets
----
----
30.71%36.6M
30.71%36.6M
--28M
--28M
----
----
----
----
Total current assets
-60.43%821.9M
-60.43%821.9M
-13.70%2.08B
-13.70%2.08B
-5.32%2.41B
-5.32%2.41B
34.99%2.54B
34.99%2.54B
-11.90%1.88B
-11.90%1.88B
Non current assets
Net PPE
-25.27%109.1M
-25.27%109.1M
-29.84%146M
-29.84%146M
42.73%208.1M
42.73%208.1M
8.45%145.8M
8.45%145.8M
273.35%134.44M
273.35%134.44M
-Gross PPE
-12.94%286.6M
-12.94%286.6M
-8.86%329.2M
-8.86%329.2M
38.60%361.2M
38.60%361.2M
93.84%260.6M
93.84%260.6M
273.35%134.44M
273.35%134.44M
-Accumulated depreciation
3.11%-177.5M
3.11%-177.5M
-19.66%-183.2M
-19.66%-183.2M
-33.36%-153.1M
-33.36%-153.1M
---114.8M
---114.8M
----
----
Investments and advances
-21.61%199.2M
-21.61%199.2M
-5.36%254.1M
-5.36%254.1M
15.09%268.5M
15.09%268.5M
52.23%233.3M
52.23%233.3M
140.30%153.25M
140.30%153.25M
-Long term equity investment
0.68%59.5M
0.68%59.5M
-33.22%59.1M
-33.22%59.1M
135.37%88.5M
135.37%88.5M
190.44%37.6M
190.44%37.6M
-39.81%12.95M
-39.81%12.95M
-Financial asset investment
----
----
----
----
----
----
-93.26%9.4M
-93.26%9.4M
234.89%139.41M
234.89%139.41M
-Including:Trading securities
----
----
----
----
----
----
-93.26%9.4M
-93.26%9.4M
234.89%139.41M
234.89%139.41M
-Other investment
-28.36%139.7M
-28.36%139.7M
8.33%195M
8.33%195M
-3.38%180M
-3.38%180M
20,554.10%186.3M
20,554.10%186.3M
40.72%902K
40.72%902K
Financial assets
----
----
----
----
----
----
--9.9M
--9.9M
----
----
Non current accounts receivable
-41.94%1.8M
-41.94%1.8M
-29.55%3.1M
-29.55%3.1M
29.41%4.4M
29.41%4.4M
-96.51%3.4M
-96.51%3.4M
-41.14%97.33M
-41.14%97.33M
Goodwill and other intangible assets
-3.14%2.42B
-3.14%2.42B
-3.96%2.5B
-3.96%2.5B
-1.39%2.61B
-1.39%2.61B
36.26%2.64B
36.26%2.64B
49.05%1.94B
49.05%1.94B
-Goodwill
0.00%1.78B
0.00%1.78B
-1.37%1.78B
-1.37%1.78B
-15.59%1.8B
-15.59%1.8B
33.95%2.14B
33.95%2.14B
70.36%1.6B
70.36%1.6B
-Other intangible assets
-10.86%645M
-10.86%645M
-9.80%723.6M
-9.80%723.6M
58.69%802.2M
58.69%802.2M
46.97%505.5M
46.97%505.5M
-5.69%343.96M
-5.69%343.96M
Defined pension benefit
14.08%24.3M
14.08%24.3M
5.97%21.3M
5.97%21.3M
16.86%20.1M
16.86%20.1M
--17.2M
--17.2M
----
----
Non current deferred assets
--7.6M
--7.6M
----
----
----
----
129.60%114.2M
129.60%114.2M
--49.74M
--49.74M
Other non current assets
----
----
----
----
----
----
-19.52%800K
-19.52%800K
-15.91%994K
-15.91%994K
Total non current assets
-5.50%2.77B
-5.50%2.77B
-5.79%2.93B
-5.79%2.93B
-1.90%3.11B
-1.90%3.11B
33.35%3.17B
33.35%3.17B
51.52%2.38B
51.52%2.38B
Total assets
-28.29%3.59B
-28.29%3.59B
-9.24%5B
-9.24%5B
-3.42%5.51B
-3.42%5.51B
34.07%5.71B
34.07%5.71B
14.94%4.26B
14.94%4.26B
Liabilities
Current liabilities
Current debt and capital lease obligation
-3.88%29.7M
-3.88%29.7M
-2.83%30.9M
-2.83%30.9M
--31.8M
--31.8M
----
----
----
----
-Current capital lease obligation
-3.88%29.7M
-3.88%29.7M
-2.83%30.9M
-2.83%30.9M
--31.8M
--31.8M
----
----
----
----
Payables
-11.99%171.8M
-11.99%171.8M
-58.09%195.2M
-58.09%195.2M
96.13%465.8M
96.13%465.8M
97.20%237.5M
97.20%237.5M
33.47%120.44M
33.47%120.44M
-accounts payable
-11.99%171.8M
-11.99%171.8M
-58.09%195.2M
-58.09%195.2M
96.13%465.8M
96.13%465.8M
97.20%237.5M
97.20%237.5M
33.47%120.44M
33.47%120.44M
Current provisions
8.84%360.6M
8.84%360.6M
-25.77%331.3M
-25.77%331.3M
446,200.00%446.3M
446,200.00%446.3M
--100K
--100K
----
----
Other current liabilities
-98.63%15.2M
-98.63%15.2M
1.37%1.11B
1.37%1.11B
-13.00%1.09B
-13.00%1.09B
19.79%1.25B
19.79%1.25B
-0.56%1.05B
-0.56%1.05B
Current liabilities
-65.30%577.3M
-65.30%577.3M
-18.26%1.66B
-18.26%1.66B
36.41%2.04B
36.41%2.04B
27.78%1.49B
27.78%1.49B
2.12%1.17B
2.12%1.17B
Non current liabilities
Long term debt and capital lease obligation
-2.06%887.8M
-2.06%887.8M
-2.41%906.5M
-2.41%906.5M
20.09%928.9M
20.09%928.9M
35.17%773.5M
35.17%773.5M
32.39%572.25M
32.39%572.25M
-Long term debt
0.41%778.8M
0.41%778.8M
0.56%775.6M
0.56%775.6M
18.92%771.3M
18.92%771.3M
41.66%648.6M
41.66%648.6M
7.35%457.86M
7.35%457.86M
-Long term capital lease obligation
-16.73%109M
-16.73%109M
-16.94%130.9M
-16.94%130.9M
26.18%157.6M
26.18%157.6M
9.18%124.9M
9.18%124.9M
1,888.77%114.39M
1,888.77%114.39M
Long term accounts payable and other payables
-83.33%100K
-83.33%100K
-57.14%600K
-57.14%600K
16.67%1.4M
16.67%1.4M
830.23%1.2M
830.23%1.2M
--129K
--129K
Derivative product liabilities
-39.38%11.7M
-39.38%11.7M
-26.05%19.3M
-26.05%19.3M
-35.87%26.1M
-35.87%26.1M
--40.7M
--40.7M
----
----
Long term provisions
98.82%67.4M
98.82%67.4M
-66.24%33.9M
-66.24%33.9M
-85.37%100.4M
-85.37%100.4M
-0.08%686.3M
-0.08%686.3M
141.40%686.82M
141.40%686.82M
Employee benefits
----
----
----
----
----
----
209.68%215.2M
209.68%215.2M
-58.83%69.49M
-58.83%69.49M
Non current deferred liabilities
----
----
138.79%51.1M
138.79%51.1M
2,277.78%21.4M
2,277.78%21.4M
-3.33%900K
-3.33%900K
-86.73%931K
-86.73%931K
Other non current liabilities
----
----
----
----
----
----
-56.50%7.9M
-56.50%7.9M
46.02%18.16M
46.02%18.16M
Total non current liabilities
-4.39%967M
-4.39%967M
-6.20%1.01B
-6.20%1.01B
-37.52%1.08B
-37.52%1.08B
28.04%1.73B
28.04%1.73B
48.92%1.35B
48.92%1.35B
Total liabilities
-42.27%1.54B
-42.27%1.54B
-14.08%2.68B
-14.08%2.68B
-3.24%3.11B
-3.24%3.11B
27.92%3.22B
27.92%3.22B
22.80%2.52B
22.80%2.52B
Shareholders'equity
Share capital
0.59%3.05B
0.59%3.05B
0.75%3.04B
0.75%3.04B
0.59%3.01B
0.59%3.01B
52.40%3B
52.40%3B
0.14%1.97B
0.14%1.97B
-common stock
0.59%3.05B
0.59%3.05B
0.75%3.04B
0.75%3.04B
0.59%3.01B
0.59%3.01B
52.40%3B
52.40%3B
0.14%1.97B
0.14%1.97B
Retained earnings
-42.93%-1.02B
-42.93%-1.02B
-15.04%-710.4M
-15.04%-710.4M
-21.67%-617.5M
-21.67%-617.5M
-61.83%-507.5M
-61.83%-507.5M
7.53%-313.6M
7.53%-313.6M
Gains losses not affecting retained earnings
36.96%6.3M
36.96%6.3M
-8.00%4.6M
-8.00%4.6M
31.58%5M
31.58%5M
-95.84%3.8M
-95.84%3.8M
261.83%91.27M
261.83%91.27M
Total stockholders'equity
-12.25%2.04B
-12.25%2.04B
-2.95%2.33B
-2.95%2.33B
-3.66%2.4B
-3.66%2.4B
42.95%2.49B
42.95%2.49B
5.72%1.74B
5.72%1.74B
Noncontrolling interests
0.00%-500K
0.00%-500K
-150.00%-500K
-150.00%-500K
0.00%-200K
0.00%-200K
12.66%-200K
12.66%-200K
-102.99%-229K
-102.99%-229K
Total equity
-12.25%2.04B
-12.25%2.04B
-2.96%2.33B
-2.96%2.33B
-3.66%2.4B
-3.66%2.4B
42.96%2.49B
42.96%2.49B
5.22%1.74B
5.22%1.74B
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(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 -17.95%486.5M-17.95%486.5M-62.42%592.9M-62.42%592.9M-11.84%1.58B-11.84%1.58B37.66%1.79B37.66%1.79B-30.14%1.3B-30.14%1.3B
-Cash and cash equivalents -16.59%421.7M-16.59%421.7M-2.39%505.6M-2.39%505.6M-22.77%518M-22.77%518M78.98%670.7M78.98%670.7M284.57%374.73M284.57%374.73M
-Short term investments -25.77%64.8M-25.77%64.8M-91.76%87.3M-91.76%87.3M-5.28%1.06B-5.28%1.06B20.93%1.12B20.93%1.12B-47.53%925.26M-47.53%925.26M
Receivables 0.72%267.5M0.72%267.5M-60.99%265.6M-60.99%265.6M-6.73%680.9M-6.73%680.9M28.83%730M28.83%730M176.65%566.66M176.65%566.66M
-Accounts receivable ------------------------90.83%150.4M90.83%150.4M63.39%78.81M63.39%78.81M
-Loans receivable ------------------------30.25%66.7M30.25%66.7M49.74%51.21M49.74%51.21M
-Other receivables 0.72%267.5M0.72%267.5M-60.99%265.6M-60.99%265.6M32.75%680.9M32.75%680.9M17.47%512.9M17.47%512.9M256.75%436.63M256.75%436.63M
Prepaid assets --40.5M--40.5M----------------22.96%20M22.96%20M6.26%16.27M6.26%16.27M
Current deferred assets -97.93%700K-97.93%700K-21.76%33.8M-21.76%33.8M2,300.00%43.2M2,300.00%43.2M--1.8M--1.8M--------
Hedging assets-current --------------------------400K--400K--------
Holding assets for sale -97.67%26.7M-97.67%26.7M1,398.69%1.15B1,398.69%1.15B--76.6M--76.6M----------------
Other current assets --------30.71%36.6M30.71%36.6M--28M--28M----------------
Total current assets -60.43%821.9M-60.43%821.9M-13.70%2.08B-13.70%2.08B-5.32%2.41B-5.32%2.41B34.99%2.54B34.99%2.54B-11.90%1.88B-11.90%1.88B
Non current assets
Net PPE -25.27%109.1M-25.27%109.1M-29.84%146M-29.84%146M42.73%208.1M42.73%208.1M8.45%145.8M8.45%145.8M273.35%134.44M273.35%134.44M
-Gross PPE -12.94%286.6M-12.94%286.6M-8.86%329.2M-8.86%329.2M38.60%361.2M38.60%361.2M93.84%260.6M93.84%260.6M273.35%134.44M273.35%134.44M
-Accumulated depreciation 3.11%-177.5M3.11%-177.5M-19.66%-183.2M-19.66%-183.2M-33.36%-153.1M-33.36%-153.1M---114.8M---114.8M--------
Investments and advances -21.61%199.2M-21.61%199.2M-5.36%254.1M-5.36%254.1M15.09%268.5M15.09%268.5M52.23%233.3M52.23%233.3M140.30%153.25M140.30%153.25M
-Long term equity investment 0.68%59.5M0.68%59.5M-33.22%59.1M-33.22%59.1M135.37%88.5M135.37%88.5M190.44%37.6M190.44%37.6M-39.81%12.95M-39.81%12.95M
-Financial asset investment -------------------------93.26%9.4M-93.26%9.4M234.89%139.41M234.89%139.41M
-Including:Trading securities -------------------------93.26%9.4M-93.26%9.4M234.89%139.41M234.89%139.41M
-Other investment -28.36%139.7M-28.36%139.7M8.33%195M8.33%195M-3.38%180M-3.38%180M20,554.10%186.3M20,554.10%186.3M40.72%902K40.72%902K
Financial assets --------------------------9.9M--9.9M--------
Non current accounts receivable -41.94%1.8M-41.94%1.8M-29.55%3.1M-29.55%3.1M29.41%4.4M29.41%4.4M-96.51%3.4M-96.51%3.4M-41.14%97.33M-41.14%97.33M
Goodwill and other intangible assets -3.14%2.42B-3.14%2.42B-3.96%2.5B-3.96%2.5B-1.39%2.61B-1.39%2.61B36.26%2.64B36.26%2.64B49.05%1.94B49.05%1.94B
-Goodwill 0.00%1.78B0.00%1.78B-1.37%1.78B-1.37%1.78B-15.59%1.8B-15.59%1.8B33.95%2.14B33.95%2.14B70.36%1.6B70.36%1.6B
-Other intangible assets -10.86%645M-10.86%645M-9.80%723.6M-9.80%723.6M58.69%802.2M58.69%802.2M46.97%505.5M46.97%505.5M-5.69%343.96M-5.69%343.96M
Defined pension benefit 14.08%24.3M14.08%24.3M5.97%21.3M5.97%21.3M16.86%20.1M16.86%20.1M--17.2M--17.2M--------
Non current deferred assets --7.6M--7.6M----------------129.60%114.2M129.60%114.2M--49.74M--49.74M
Other non current assets -------------------------19.52%800K-19.52%800K-15.91%994K-15.91%994K
Total non current assets -5.50%2.77B-5.50%2.77B-5.79%2.93B-5.79%2.93B-1.90%3.11B-1.90%3.11B33.35%3.17B33.35%3.17B51.52%2.38B51.52%2.38B
Total assets -28.29%3.59B-28.29%3.59B-9.24%5B-9.24%5B-3.42%5.51B-3.42%5.51B34.07%5.71B34.07%5.71B14.94%4.26B14.94%4.26B
Liabilities
Current liabilities
Current debt and capital lease obligation -3.88%29.7M-3.88%29.7M-2.83%30.9M-2.83%30.9M--31.8M--31.8M----------------
-Current capital lease obligation -3.88%29.7M-3.88%29.7M-2.83%30.9M-2.83%30.9M--31.8M--31.8M----------------
Payables -11.99%171.8M-11.99%171.8M-58.09%195.2M-58.09%195.2M96.13%465.8M96.13%465.8M97.20%237.5M97.20%237.5M33.47%120.44M33.47%120.44M
-accounts payable -11.99%171.8M-11.99%171.8M-58.09%195.2M-58.09%195.2M96.13%465.8M96.13%465.8M97.20%237.5M97.20%237.5M33.47%120.44M33.47%120.44M
Current provisions 8.84%360.6M8.84%360.6M-25.77%331.3M-25.77%331.3M446,200.00%446.3M446,200.00%446.3M--100K--100K--------
Other current liabilities -98.63%15.2M-98.63%15.2M1.37%1.11B1.37%1.11B-13.00%1.09B-13.00%1.09B19.79%1.25B19.79%1.25B-0.56%1.05B-0.56%1.05B
Current liabilities -65.30%577.3M-65.30%577.3M-18.26%1.66B-18.26%1.66B36.41%2.04B36.41%2.04B27.78%1.49B27.78%1.49B2.12%1.17B2.12%1.17B
Non current liabilities
Long term debt and capital lease obligation -2.06%887.8M-2.06%887.8M-2.41%906.5M-2.41%906.5M20.09%928.9M20.09%928.9M35.17%773.5M35.17%773.5M32.39%572.25M32.39%572.25M
-Long term debt 0.41%778.8M0.41%778.8M0.56%775.6M0.56%775.6M18.92%771.3M18.92%771.3M41.66%648.6M41.66%648.6M7.35%457.86M7.35%457.86M
-Long term capital lease obligation -16.73%109M-16.73%109M-16.94%130.9M-16.94%130.9M26.18%157.6M26.18%157.6M9.18%124.9M9.18%124.9M1,888.77%114.39M1,888.77%114.39M
Long term accounts payable and other payables -83.33%100K-83.33%100K-57.14%600K-57.14%600K16.67%1.4M16.67%1.4M830.23%1.2M830.23%1.2M--129K--129K
Derivative product liabilities -39.38%11.7M-39.38%11.7M-26.05%19.3M-26.05%19.3M-35.87%26.1M-35.87%26.1M--40.7M--40.7M--------
Long term provisions 98.82%67.4M98.82%67.4M-66.24%33.9M-66.24%33.9M-85.37%100.4M-85.37%100.4M-0.08%686.3M-0.08%686.3M141.40%686.82M141.40%686.82M
Employee benefits ------------------------209.68%215.2M209.68%215.2M-58.83%69.49M-58.83%69.49M
Non current deferred liabilities --------138.79%51.1M138.79%51.1M2,277.78%21.4M2,277.78%21.4M-3.33%900K-3.33%900K-86.73%931K-86.73%931K
Other non current liabilities -------------------------56.50%7.9M-56.50%7.9M46.02%18.16M46.02%18.16M
Total non current liabilities -4.39%967M-4.39%967M-6.20%1.01B-6.20%1.01B-37.52%1.08B-37.52%1.08B28.04%1.73B28.04%1.73B48.92%1.35B48.92%1.35B
Total liabilities -42.27%1.54B-42.27%1.54B-14.08%2.68B-14.08%2.68B-3.24%3.11B-3.24%3.11B27.92%3.22B27.92%3.22B22.80%2.52B22.80%2.52B
Shareholders'equity
Share capital 0.59%3.05B0.59%3.05B0.75%3.04B0.75%3.04B0.59%3.01B0.59%3.01B52.40%3B52.40%3B0.14%1.97B0.14%1.97B
-common stock 0.59%3.05B0.59%3.05B0.75%3.04B0.75%3.04B0.59%3.01B0.59%3.01B52.40%3B52.40%3B0.14%1.97B0.14%1.97B
Retained earnings -42.93%-1.02B-42.93%-1.02B-15.04%-710.4M-15.04%-710.4M-21.67%-617.5M-21.67%-617.5M-61.83%-507.5M-61.83%-507.5M7.53%-313.6M7.53%-313.6M
Gains losses not affecting retained earnings 36.96%6.3M36.96%6.3M-8.00%4.6M-8.00%4.6M31.58%5M31.58%5M-95.84%3.8M-95.84%3.8M261.83%91.27M261.83%91.27M
Total stockholders'equity -12.25%2.04B-12.25%2.04B-2.95%2.33B-2.95%2.33B-3.66%2.4B-3.66%2.4B42.95%2.49B42.95%2.49B5.72%1.74B5.72%1.74B
Noncontrolling interests 0.00%-500K0.00%-500K-150.00%-500K-150.00%-500K0.00%-200K0.00%-200K12.66%-200K12.66%-200K-102.99%-229K-102.99%-229K
Total equity -12.25%2.04B-12.25%2.04B-2.96%2.33B-2.96%2.33B-3.66%2.4B-3.66%2.4B42.96%2.49B42.96%2.49B5.22%1.74B5.22%1.74B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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