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NAPRF NASPERS

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  • 208.600
  • 0.0000.00%
15min DelayClose Jan 6 16:00 ET
36.72BMarket Cap11.58P/E (TTM)

NASPERS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Sep 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q2)Sep 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
(Q2)Sep 30, 2022
(FY)Mar 31, 2022
(Q4)Mar 31, 2022
(Q2)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-8.05%18.4B
-9.65%18.64B
-9.65%18.64B
24.51%20.01B
57.01%20.63B
57.01%20.63B
16.05%16.07B
114.88%13.14B
114.88%13.14B
34.31%13.85B
-Cash and cash equivalents
263.95%10.03B
-80.42%1.83B
-80.42%1.83B
-68.23%2.76B
1.11%9.32B
1.11%9.32B
36.54%8.68B
169.40%9.22B
169.40%9.22B
61.66%6.36B
-Short-term investments
-51.52%8.36B
48.67%16.82B
48.67%16.82B
133.38%17.25B
188.45%11.31B
188.45%11.31B
-1.33%7.39B
45.60%3.92B
45.60%3.92B
17.45%7.49B
-Accounts receivable
-40.12%306M
10.32%310M
10.32%310M
-1.54%511M
-31.80%281M
-31.80%281M
145.97%519M
122.70%412M
122.70%412M
40.67%211M
-Other receivables
93.84%1.76B
23.90%1.64B
23.90%1.64B
20.08%909M
61.02%1.32B
61.02%1.32B
7.99%757M
30.73%821M
30.73%821M
26.99%701M
Inventory
4.58%388M
-14.46%355M
-14.46%355M
-23.82%371M
-27.32%415M
-27.32%415M
2.10%487M
43.83%571M
43.83%571M
52.88%477M
Restricted cash
----
-20.83%418M
-20.83%418M
----
2.72%528M
2.72%528M
----
52.98%514M
52.98%514M
----
Total current assets
-4.17%21.77B
-6.50%22.28B
-6.50%22.28B
10.93%22.71B
53.51%23.83B
53.51%23.83B
34.32%20.48B
101.95%15.52B
101.95%15.52B
33.70%15.24B
Non current assets
Net PPE
10.70%828M
-2.80%764M
-2.80%764M
7.94%748M
6.79%786M
6.79%786M
16.28%693M
35.05%736M
35.05%736M
31.28%596M
-Gross PPE
----
-2.16%1.13B
-2.16%1.13B
----
4.62%1.16B
4.62%1.16B
----
38.52%1.1B
38.52%1.1B
----
-Accumulated depreciation
----
0.81%-366M
0.81%-366M
----
-0.27%-369M
-0.27%-369M
----
-46.03%-368M
-46.03%-368M
----
Goodwill and other intangible assets
-2.11%1.44B
-23.75%1.43B
-23.75%1.43B
-48.62%1.47B
-57.62%1.87B
-57.62%1.87B
-42.50%2.86B
46.86%4.42B
46.86%4.42B
64.93%4.98B
-Goodwill
-0.27%1.1B
-26.23%1.09B
-26.23%1.09B
-53.99%1.11B
-57.11%1.48B
-57.11%1.48B
-38.51%2.41B
58.19%3.46B
58.19%3.46B
78.76%3.91B
-Other intangible assets
-7.71%335M
-14.32%335M
-14.32%335M
-20.22%363M
-59.44%391M
-59.44%391M
-57.20%455M
16.85%964M
16.85%964M
28.38%1.06B
Financial assets
----
----
----
----
----
----
----
44.44%13M
44.44%13M
----
Total non current assets
26.86%47.95B
-4.02%39.99B
-4.02%39.99B
-9.72%37.79B
-25.32%41.67B
-25.32%41.67B
-24.67%41.86B
20.95%55.79B
20.95%55.79B
62.21%55.57B
Total assets
15.22%69.71B
-4.92%62.28B
-4.92%62.28B
-2.94%60.51B
-8.16%65.5B
-8.16%65.5B
-11.97%62.34B
32.52%71.32B
32.52%71.32B
55.09%70.81B
Liabilities
Current liabilities
Payables
14.37%557M
-0.32%1.58B
-0.32%1.58B
6.56%487M
0.76%1.58B
0.76%1.58B
-32.70%457M
29.06%1.57B
29.06%1.57B
10.05%679M
-accounts payable
6.05%403M
5.17%427M
5.17%427M
0.26%380M
-33.33%406M
-33.33%406M
-14.06%379M
54.18%609M
54.18%609M
7.82%441M
-Total tax payable
----
18.86%208M
18.86%208M
----
42.28%175M
42.28%175M
----
-2.38%123M
-2.38%123M
----
-Dividends payable
43.93%154M
0.00%2M
0.00%2M
37.18%107M
0.00%2M
0.00%2M
-67.23%78M
0.00%2M
0.00%2M
14.42%238M
-Other payable
----
-5.89%942M
-5.89%942M
----
19.45%1B
19.45%1B
----
20.58%838M
20.58%838M
----
Current provisions
3.17%65M
36.17%64M
36.17%64M
--63M
422.22%47M
422.22%47M
----
-47.06%9M
-47.06%9M
----
Current debt and capital lease obligation
87.76%813M
-0.78%511M
-0.78%511M
33.64%433M
51.47%515M
51.47%515M
107.69%324M
185.71%340M
185.71%340M
67.74%156M
-Current debt
87.76%813M
0.23%443M
0.23%443M
33.64%433M
65.54%442M
65.54%442M
107.69%324M
368.42%267M
368.42%267M
67.74%156M
-Current capital lease obligation
----
-6.85%68M
-6.85%68M
----
0.00%73M
0.00%73M
----
17.74%73M
17.74%73M
----
Other current liabilities
7.52%672M
-9.98%830M
-9.98%830M
-71.68%625M
-19.26%922M
-19.26%922M
96.53%2.21B
-23.41%1.14B
-23.41%1.14B
--1.12B
Current liabilities
19.83%5.35B
4.18%4.81B
4.18%4.81B
-24.15%4.46B
-0.58%4.61B
-0.58%4.61B
19.52%5.89B
7.66%4.64B
7.66%4.64B
74.18%4.92B
Non current liabilities
Long term provisions
----
0.00%5M
0.00%5M
----
-16.67%5M
-16.67%5M
----
0.00%6M
0.00%6M
----
Long term debt and capital lease obligation
2.24%16.13B
0.32%15.99B
0.32%15.99B
3.21%15.77B
0.04%15.94B
0.04%15.94B
42.42%15.28B
95.54%15.93B
95.54%15.93B
82.36%10.73B
-Long term debt
2.00%15.86B
0.28%15.75B
0.28%15.75B
3.27%15.55B
0.29%15.71B
0.29%15.71B
43.38%15.06B
98.04%15.66B
98.04%15.66B
85.53%10.5B
-Long term capital lease obligation
18.67%267M
3.02%239M
3.02%239M
-1.32%225M
-14.71%232M
-14.71%232M
-1.30%228M
13.33%272M
13.33%272M
2.67%231M
Derivative product liabilities
----
----
----
----
----
----
----
-93.75%2M
-93.75%2M
-23.08%10M
Other non current liabilities
180.00%70M
-54.07%62M
-54.07%62M
-85.12%25M
-15.63%135M
-15.63%135M
-40.00%168M
166.67%160M
166.67%160M
34.62%280M
Total non current liabilities
2.06%16.32B
-0.57%16.19B
-0.57%16.19B
1.87%15.99B
-1.63%16.28B
-1.63%16.28B
36.53%15.69B
91.40%16.55B
91.40%16.55B
81.92%11.49B
Total liabilities
5.94%21.67B
0.48%20.99B
0.48%20.99B
-5.23%20.45B
-1.40%20.89B
-1.40%20.89B
31.43%21.58B
63.55%21.19B
63.55%21.19B
79.53%16.42B
Shareholders'equity
Share capital
0.00%4.61B
0.00%4M
0.00%4M
0.00%4.61B
0.00%4M
0.00%4M
0.00%4.61B
0.00%4M
0.00%4M
38.55%4.61B
-common stock
0.00%4.61B
0.00%4M
0.00%4M
0.00%4.61B
0.00%4M
0.00%4M
0.00%4.61B
0.00%4M
0.00%4M
38.55%4.61B
Retained earnings
-5.58%43.08B
-15.65%41.3B
-15.65%41.3B
-0.17%45.62B
9.00%48.96B
9.00%48.96B
5.68%45.7B
40.31%44.92B
40.31%44.92B
50.79%43.24B
Paid-in capital
----
0.00%4.61B
0.00%4.61B
----
0.00%4.61B
0.00%4.61B
----
0.00%4.61B
0.00%4.61B
----
Less: Treasury stock
-69.14%1.51B
-98.80%564M
-98.80%564M
-89.01%4.89B
7.02%46.83B
7.02%46.83B
1.77%44.54B
1,089.26%43.75B
1,089.26%43.75B
--43.76B
Other equity interest
7.38%3.49B
8.16%3.41B
8.16%3.41B
8.08%3.25B
--3.15B
--3.15B
--3.01B
----
----
----
Total stockholders'equity
19.85%20.81B
-5.74%17.87B
-5.74%17.87B
2.53%17.37B
-7.88%18.96B
-7.88%18.96B
-22.54%16.94B
-29.50%20.58B
-29.50%20.58B
-17.32%21.87B
Noncontrolling interests
20.03%27.24B
-8.72%23.41B
-8.72%23.41B
-4.75%22.69B
-13.21%25.65B
-13.21%25.65B
-26.77%23.82B
153.25%29.55B
153.25%29.55B
223.01%32.53B
Total equity
19.95%48.05B
-7.45%41.28B
-7.45%41.28B
-1.72%40.06B
-11.02%44.61B
-11.02%44.61B
-25.07%40.76B
22.68%50.13B
22.68%50.13B
48.97%54.4B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q2)Sep 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q2)Sep 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023(Q2)Sep 30, 2022(FY)Mar 31, 2022(Q4)Mar 31, 2022(Q2)Sep 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -8.05%18.4B-9.65%18.64B-9.65%18.64B24.51%20.01B57.01%20.63B57.01%20.63B16.05%16.07B114.88%13.14B114.88%13.14B34.31%13.85B
-Cash and cash equivalents 263.95%10.03B-80.42%1.83B-80.42%1.83B-68.23%2.76B1.11%9.32B1.11%9.32B36.54%8.68B169.40%9.22B169.40%9.22B61.66%6.36B
-Short-term investments -51.52%8.36B48.67%16.82B48.67%16.82B133.38%17.25B188.45%11.31B188.45%11.31B-1.33%7.39B45.60%3.92B45.60%3.92B17.45%7.49B
-Accounts receivable -40.12%306M10.32%310M10.32%310M-1.54%511M-31.80%281M-31.80%281M145.97%519M122.70%412M122.70%412M40.67%211M
-Other receivables 93.84%1.76B23.90%1.64B23.90%1.64B20.08%909M61.02%1.32B61.02%1.32B7.99%757M30.73%821M30.73%821M26.99%701M
Inventory 4.58%388M-14.46%355M-14.46%355M-23.82%371M-27.32%415M-27.32%415M2.10%487M43.83%571M43.83%571M52.88%477M
Restricted cash -----20.83%418M-20.83%418M----2.72%528M2.72%528M----52.98%514M52.98%514M----
Total current assets -4.17%21.77B-6.50%22.28B-6.50%22.28B10.93%22.71B53.51%23.83B53.51%23.83B34.32%20.48B101.95%15.52B101.95%15.52B33.70%15.24B
Non current assets
Net PPE 10.70%828M-2.80%764M-2.80%764M7.94%748M6.79%786M6.79%786M16.28%693M35.05%736M35.05%736M31.28%596M
-Gross PPE -----2.16%1.13B-2.16%1.13B----4.62%1.16B4.62%1.16B----38.52%1.1B38.52%1.1B----
-Accumulated depreciation ----0.81%-366M0.81%-366M-----0.27%-369M-0.27%-369M-----46.03%-368M-46.03%-368M----
Goodwill and other intangible assets -2.11%1.44B-23.75%1.43B-23.75%1.43B-48.62%1.47B-57.62%1.87B-57.62%1.87B-42.50%2.86B46.86%4.42B46.86%4.42B64.93%4.98B
-Goodwill -0.27%1.1B-26.23%1.09B-26.23%1.09B-53.99%1.11B-57.11%1.48B-57.11%1.48B-38.51%2.41B58.19%3.46B58.19%3.46B78.76%3.91B
-Other intangible assets -7.71%335M-14.32%335M-14.32%335M-20.22%363M-59.44%391M-59.44%391M-57.20%455M16.85%964M16.85%964M28.38%1.06B
Financial assets ----------------------------44.44%13M44.44%13M----
Total non current assets 26.86%47.95B-4.02%39.99B-4.02%39.99B-9.72%37.79B-25.32%41.67B-25.32%41.67B-24.67%41.86B20.95%55.79B20.95%55.79B62.21%55.57B
Total assets 15.22%69.71B-4.92%62.28B-4.92%62.28B-2.94%60.51B-8.16%65.5B-8.16%65.5B-11.97%62.34B32.52%71.32B32.52%71.32B55.09%70.81B
Liabilities
Current liabilities
Payables 14.37%557M-0.32%1.58B-0.32%1.58B6.56%487M0.76%1.58B0.76%1.58B-32.70%457M29.06%1.57B29.06%1.57B10.05%679M
-accounts payable 6.05%403M5.17%427M5.17%427M0.26%380M-33.33%406M-33.33%406M-14.06%379M54.18%609M54.18%609M7.82%441M
-Total tax payable ----18.86%208M18.86%208M----42.28%175M42.28%175M-----2.38%123M-2.38%123M----
-Dividends payable 43.93%154M0.00%2M0.00%2M37.18%107M0.00%2M0.00%2M-67.23%78M0.00%2M0.00%2M14.42%238M
-Other payable -----5.89%942M-5.89%942M----19.45%1B19.45%1B----20.58%838M20.58%838M----
Current provisions 3.17%65M36.17%64M36.17%64M--63M422.22%47M422.22%47M-----47.06%9M-47.06%9M----
Current debt and capital lease obligation 87.76%813M-0.78%511M-0.78%511M33.64%433M51.47%515M51.47%515M107.69%324M185.71%340M185.71%340M67.74%156M
-Current debt 87.76%813M0.23%443M0.23%443M33.64%433M65.54%442M65.54%442M107.69%324M368.42%267M368.42%267M67.74%156M
-Current capital lease obligation -----6.85%68M-6.85%68M----0.00%73M0.00%73M----17.74%73M17.74%73M----
Other current liabilities 7.52%672M-9.98%830M-9.98%830M-71.68%625M-19.26%922M-19.26%922M96.53%2.21B-23.41%1.14B-23.41%1.14B--1.12B
Current liabilities 19.83%5.35B4.18%4.81B4.18%4.81B-24.15%4.46B-0.58%4.61B-0.58%4.61B19.52%5.89B7.66%4.64B7.66%4.64B74.18%4.92B
Non current liabilities
Long term provisions ----0.00%5M0.00%5M-----16.67%5M-16.67%5M----0.00%6M0.00%6M----
Long term debt and capital lease obligation 2.24%16.13B0.32%15.99B0.32%15.99B3.21%15.77B0.04%15.94B0.04%15.94B42.42%15.28B95.54%15.93B95.54%15.93B82.36%10.73B
-Long term debt 2.00%15.86B0.28%15.75B0.28%15.75B3.27%15.55B0.29%15.71B0.29%15.71B43.38%15.06B98.04%15.66B98.04%15.66B85.53%10.5B
-Long term capital lease obligation 18.67%267M3.02%239M3.02%239M-1.32%225M-14.71%232M-14.71%232M-1.30%228M13.33%272M13.33%272M2.67%231M
Derivative product liabilities -----------------------------93.75%2M-93.75%2M-23.08%10M
Other non current liabilities 180.00%70M-54.07%62M-54.07%62M-85.12%25M-15.63%135M-15.63%135M-40.00%168M166.67%160M166.67%160M34.62%280M
Total non current liabilities 2.06%16.32B-0.57%16.19B-0.57%16.19B1.87%15.99B-1.63%16.28B-1.63%16.28B36.53%15.69B91.40%16.55B91.40%16.55B81.92%11.49B
Total liabilities 5.94%21.67B0.48%20.99B0.48%20.99B-5.23%20.45B-1.40%20.89B-1.40%20.89B31.43%21.58B63.55%21.19B63.55%21.19B79.53%16.42B
Shareholders'equity
Share capital 0.00%4.61B0.00%4M0.00%4M0.00%4.61B0.00%4M0.00%4M0.00%4.61B0.00%4M0.00%4M38.55%4.61B
-common stock 0.00%4.61B0.00%4M0.00%4M0.00%4.61B0.00%4M0.00%4M0.00%4.61B0.00%4M0.00%4M38.55%4.61B
Retained earnings -5.58%43.08B-15.65%41.3B-15.65%41.3B-0.17%45.62B9.00%48.96B9.00%48.96B5.68%45.7B40.31%44.92B40.31%44.92B50.79%43.24B
Paid-in capital ----0.00%4.61B0.00%4.61B----0.00%4.61B0.00%4.61B----0.00%4.61B0.00%4.61B----
Less: Treasury stock -69.14%1.51B-98.80%564M-98.80%564M-89.01%4.89B7.02%46.83B7.02%46.83B1.77%44.54B1,089.26%43.75B1,089.26%43.75B--43.76B
Other equity interest 7.38%3.49B8.16%3.41B8.16%3.41B8.08%3.25B--3.15B--3.15B--3.01B------------
Total stockholders'equity 19.85%20.81B-5.74%17.87B-5.74%17.87B2.53%17.37B-7.88%18.96B-7.88%18.96B-22.54%16.94B-29.50%20.58B-29.50%20.58B-17.32%21.87B
Noncontrolling interests 20.03%27.24B-8.72%23.41B-8.72%23.41B-4.75%22.69B-13.21%25.65B-13.21%25.65B-26.77%23.82B153.25%29.55B153.25%29.55B223.01%32.53B
Total equity 19.95%48.05B-7.45%41.28B-7.45%41.28B-1.72%40.06B-11.02%44.61B-11.02%44.61B-25.07%40.76B22.68%50.13B22.68%50.13B48.97%54.4B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Heat List
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Symbol
Price
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