AU Stock MarketDetailed Quotes

OML oOh media Ltd

Watchlist
  • 1.347
  • +0.012+0.90%
20min DelayTrading Jul 4 12:26 AET
725.74MMarket Cap21.38P/E (Static)

oOh media 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
-20.98%31.65M
-20.98%31.65M
-33.31%40.05M
-33.31%40.05M
-24.98%60.05M
-24.98%60.05M
30.77%80.04M
30.77%80.04M
85.33%61.21M
85.33%61.21M
-Cash and cash equivalents
-20.98%31.65M
-20.98%31.65M
-33.31%40.05M
-33.31%40.05M
-24.98%60.05M
-24.98%60.05M
30.77%80.04M
30.77%80.04M
85.33%61.21M
85.33%61.21M
-Accounts receivable
3.27%117.93M
3.27%117.93M
14.42%114.19M
14.42%114.19M
16.62%99.8M
16.62%99.8M
-35.04%85.58M
-35.04%85.58M
6.84%131.74M
6.84%131.74M
-Notes receivable
6.17%2.27M
6.17%2.27M
-16.81%2.14M
-16.81%2.14M
0.08%2.57M
0.08%2.57M
-34.67%2.57M
-34.67%2.57M
10.61%3.93M
10.61%3.93M
-Other receivables
28.36%61.41M
28.36%61.41M
8.48%47.84M
8.48%47.84M
12.25%44.1M
12.25%44.1M
-24.99%39.29M
-24.99%39.29M
-40.18%52.38M
-40.18%52.38M
Current deferred assets
----
----
----
----
----
----
----
----
--2.78M
--2.78M
Total current assets
-4.88%165.02M
-4.88%165.02M
-9.53%173.48M
-9.53%173.48M
-0.23%191.76M
-0.23%191.76M
-17.85%192.19M
-17.85%192.19M
20.81%233.95M
20.81%233.95M
Non current assets
-Accumulated depreciation
-4.50%-260.03M
-4.50%-260.03M
33.45%-248.84M
33.45%-248.84M
-7.78%-373.9M
-7.78%-373.9M
-10.57%-346.91M
-10.57%-346.91M
-177.02%-313.74M
-177.02%-313.74M
-Long term equity investment
-0.17%681.48M
-0.17%681.48M
-11.71%682.64M
-11.71%682.64M
-7.56%773.17M
-7.56%773.17M
-23.79%836.4M
-23.79%836.4M
170.63%1.1B
170.63%1.1B
Financial assets
-36.19%3.49M
-36.19%3.49M
--5.47M
--5.47M
----
----
----
----
----
----
Non current note receivables
--13.23M
--13.23M
----
----
----
----
----
----
----
----
-Goodwill
-2.92%723.63M
-2.92%723.63M
-2.85%745.41M
-2.85%745.41M
-1.01%767.31M
-1.01%767.31M
-2.12%775.16M
-2.12%775.16M
-7.09%791.96M
-7.09%791.96M
Regulatory assets
3.69%117.22M
3.69%117.22M
13.24%113.04M
13.24%113.04M
16.78%99.83M
16.78%99.83M
-35.98%85.48M
-35.98%85.48M
6.97%133.52M
6.97%133.52M
Liabilities
Current liabilities
Current debt and capital lease obligation
-13.70%125.36M
-13.70%125.36M
-18.66%145.26M
-18.66%145.26M
12.01%178.57M
12.01%178.57M
-6.23%159.42M
-6.23%159.42M
288,077.97%170.03M
288,077.97%170.03M
-Current capital lease obligation
-13.70%125.36M
-13.70%125.36M
-18.66%145.26M
-18.66%145.26M
12.01%178.57M
12.01%178.57M
-6.23%159.42M
-6.23%159.42M
288,077.97%170.03M
288,077.97%170.03M
-accounts payable
-94.13%123K
-94.13%123K
-65.29%2.1M
-65.29%2.1M
82.56%6.04M
82.56%6.04M
-87.78%3.31M
-87.78%3.31M
391.66%27.07M
391.66%27.07M
-Total tax payable
0.09%696.84M
0.09%696.84M
-13.26%696.21M
-13.26%696.21M
-9.86%802.64M
-9.86%802.64M
-23.28%890.48M
-23.28%890.48M
160.36%1.16B
160.36%1.16B
-Other payable
28.52%4.98M
28.52%4.98M
249.01%3.87M
249.01%3.87M
--1.11M
--1.11M
----
----
-90.92%1.99M
-90.92%1.99M
Current provisions
32.78%4.54M
32.78%4.54M
175.81%3.42M
175.81%3.42M
49.76%1.24M
49.76%1.24M
25.26%828K
25.26%828K
-93.33%661K
-93.33%661K
Current deferred liabilities
-11.27%20.31M
-11.27%20.31M
148.01%22.88M
148.01%22.88M
465.38%9.23M
465.38%9.23M
--1.63M
--1.63M
----
----
Current liabilities
-4.14%221.29M
-4.14%221.29M
-6.61%230.85M
-6.61%230.85M
16.69%247.18M
16.69%247.18M
-17.68%211.83M
-17.68%211.83M
113.22%257.31M
113.22%257.31M
Non current liabilities
-Long term debt
-7.16%566.07M
-7.16%566.07M
-6.14%609.74M
-6.14%609.74M
0.69%649.6M
0.69%649.6M
-5.37%645.13M
-5.37%645.13M
661,791.26%681.75M
661,791.26%681.75M
Non current accrued expenses
-6.79%749.11M
-6.79%749.11M
-9.93%803.67M
-9.93%803.67M
-5.22%892.29M
-5.22%892.29M
-10.84%941.45M
-10.84%941.45M
488.52%1.06B
488.52%1.06B
Derivative product liabilities
----
----
----
----
-72.17%5.1M
-72.17%5.1M
40.03%18.34M
40.03%18.34M
237.30%13.09M
237.30%13.09M
Long term provisions
58.32%115.42M
58.32%115.42M
-41.01%72.9M
-41.01%72.9M
-35.40%123.57M
-35.40%123.57M
-53.99%191.28M
-53.99%191.28M
2.54%415.7M
2.54%415.7M
Employee benefits
6.17%2.27M
6.17%2.27M
-16.81%2.14M
-16.81%2.14M
0.08%2.57M
0.08%2.57M
-34.67%2.57M
-34.67%2.57M
10.61%3.93M
10.61%3.93M
Regulatory liabilities
38.02%-709K
38.02%-709K
0.09%-1.14M
0.09%-1.14M
-11.71%-1.15M
-11.71%-1.15M
29.26%-1.03M
29.26%-1.03M
-30.66%-1.45M
-30.66%-1.45M
Preferred securities outside stock equity
2.22%9.56M
2.22%9.56M
16.83%9.35M
16.83%9.35M
8.94%8.01M
8.94%8.01M
2.44%7.35M
2.44%7.35M
5.53%7.17M
5.53%7.17M
Total non current liabilities
-0.96%918.13M
-0.96%918.13M
-11.69%927.05M
-11.69%927.05M
-4.76%1.05B
-4.76%1.05B
-22.26%1.1B
-22.26%1.1B
150.32%1.42B
150.32%1.42B
Shareholders'equity
Share capital
-7.49%799.37M
-7.49%799.37M
-2.52%864.1M
-2.52%864.1M
1.16%886.47M
1.16%886.47M
26.10%876.29M
26.10%876.29M
2.89%694.91M
2.89%694.91M
-common stock
-7.49%799.37M
-7.49%799.37M
-2.52%864.1M
-2.52%864.1M
1.16%886.47M
1.16%886.47M
26.10%876.29M
26.10%876.29M
2.89%694.91M
2.89%694.91M
Gains losses not affecting retained earnings
-19.51%26.95M
-19.51%26.95M
31.23%33.49M
31.23%33.49M
-11.38%25.52M
-11.38%25.52M
66.37%28.79M
66.37%28.79M
-35.15%17.31M
-35.15%17.31M
Other equity interest
-77.11%2.23M
-77.11%2.23M
-49.93%9.76M
-49.93%9.76M
21.73%19.49M
21.73%19.49M
-40.56%16.01M
-40.56%16.01M
89.55%26.94M
89.55%26.94M
Total equity
-4.18%1.66B
-4.18%1.66B
-6.51%1.73B
-6.51%1.73B
-2.95%1.85B
-2.95%1.85B
-8.40%1.91B
-8.40%1.91B
67.06%2.08B
67.06%2.08B
(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 -20.98%31.65M-20.98%31.65M-33.31%40.05M-33.31%40.05M-24.98%60.05M-24.98%60.05M30.77%80.04M30.77%80.04M85.33%61.21M85.33%61.21M
-Cash and cash equivalents -20.98%31.65M-20.98%31.65M-33.31%40.05M-33.31%40.05M-24.98%60.05M-24.98%60.05M30.77%80.04M30.77%80.04M85.33%61.21M85.33%61.21M
-Accounts receivable 3.27%117.93M3.27%117.93M14.42%114.19M14.42%114.19M16.62%99.8M16.62%99.8M-35.04%85.58M-35.04%85.58M6.84%131.74M6.84%131.74M
-Notes receivable 6.17%2.27M6.17%2.27M-16.81%2.14M-16.81%2.14M0.08%2.57M0.08%2.57M-34.67%2.57M-34.67%2.57M10.61%3.93M10.61%3.93M
-Other receivables 28.36%61.41M28.36%61.41M8.48%47.84M8.48%47.84M12.25%44.1M12.25%44.1M-24.99%39.29M-24.99%39.29M-40.18%52.38M-40.18%52.38M
Current deferred assets ----------------------------------2.78M--2.78M
Total current assets -4.88%165.02M-4.88%165.02M-9.53%173.48M-9.53%173.48M-0.23%191.76M-0.23%191.76M-17.85%192.19M-17.85%192.19M20.81%233.95M20.81%233.95M
Non current assets
-Accumulated depreciation -4.50%-260.03M-4.50%-260.03M33.45%-248.84M33.45%-248.84M-7.78%-373.9M-7.78%-373.9M-10.57%-346.91M-10.57%-346.91M-177.02%-313.74M-177.02%-313.74M
-Long term equity investment -0.17%681.48M-0.17%681.48M-11.71%682.64M-11.71%682.64M-7.56%773.17M-7.56%773.17M-23.79%836.4M-23.79%836.4M170.63%1.1B170.63%1.1B
Financial assets -36.19%3.49M-36.19%3.49M--5.47M--5.47M------------------------
Non current note receivables --13.23M--13.23M--------------------------------
-Goodwill -2.92%723.63M-2.92%723.63M-2.85%745.41M-2.85%745.41M-1.01%767.31M-1.01%767.31M-2.12%775.16M-2.12%775.16M-7.09%791.96M-7.09%791.96M
Regulatory assets 3.69%117.22M3.69%117.22M13.24%113.04M13.24%113.04M16.78%99.83M16.78%99.83M-35.98%85.48M-35.98%85.48M6.97%133.52M6.97%133.52M
Liabilities
Current liabilities
Current debt and capital lease obligation -13.70%125.36M-13.70%125.36M-18.66%145.26M-18.66%145.26M12.01%178.57M12.01%178.57M-6.23%159.42M-6.23%159.42M288,077.97%170.03M288,077.97%170.03M
-Current capital lease obligation -13.70%125.36M-13.70%125.36M-18.66%145.26M-18.66%145.26M12.01%178.57M12.01%178.57M-6.23%159.42M-6.23%159.42M288,077.97%170.03M288,077.97%170.03M
-accounts payable -94.13%123K-94.13%123K-65.29%2.1M-65.29%2.1M82.56%6.04M82.56%6.04M-87.78%3.31M-87.78%3.31M391.66%27.07M391.66%27.07M
-Total tax payable 0.09%696.84M0.09%696.84M-13.26%696.21M-13.26%696.21M-9.86%802.64M-9.86%802.64M-23.28%890.48M-23.28%890.48M160.36%1.16B160.36%1.16B
-Other payable 28.52%4.98M28.52%4.98M249.01%3.87M249.01%3.87M--1.11M--1.11M---------90.92%1.99M-90.92%1.99M
Current provisions 32.78%4.54M32.78%4.54M175.81%3.42M175.81%3.42M49.76%1.24M49.76%1.24M25.26%828K25.26%828K-93.33%661K-93.33%661K
Current deferred liabilities -11.27%20.31M-11.27%20.31M148.01%22.88M148.01%22.88M465.38%9.23M465.38%9.23M--1.63M--1.63M--------
Current liabilities -4.14%221.29M-4.14%221.29M-6.61%230.85M-6.61%230.85M16.69%247.18M16.69%247.18M-17.68%211.83M-17.68%211.83M113.22%257.31M113.22%257.31M
Non current liabilities
-Long term debt -7.16%566.07M-7.16%566.07M-6.14%609.74M-6.14%609.74M0.69%649.6M0.69%649.6M-5.37%645.13M-5.37%645.13M661,791.26%681.75M661,791.26%681.75M
Non current accrued expenses -6.79%749.11M-6.79%749.11M-9.93%803.67M-9.93%803.67M-5.22%892.29M-5.22%892.29M-10.84%941.45M-10.84%941.45M488.52%1.06B488.52%1.06B
Derivative product liabilities -----------------72.17%5.1M-72.17%5.1M40.03%18.34M40.03%18.34M237.30%13.09M237.30%13.09M
Long term provisions 58.32%115.42M58.32%115.42M-41.01%72.9M-41.01%72.9M-35.40%123.57M-35.40%123.57M-53.99%191.28M-53.99%191.28M2.54%415.7M2.54%415.7M
Employee benefits 6.17%2.27M6.17%2.27M-16.81%2.14M-16.81%2.14M0.08%2.57M0.08%2.57M-34.67%2.57M-34.67%2.57M10.61%3.93M10.61%3.93M
Regulatory liabilities 38.02%-709K38.02%-709K0.09%-1.14M0.09%-1.14M-11.71%-1.15M-11.71%-1.15M29.26%-1.03M29.26%-1.03M-30.66%-1.45M-30.66%-1.45M
Preferred securities outside stock equity 2.22%9.56M2.22%9.56M16.83%9.35M16.83%9.35M8.94%8.01M8.94%8.01M2.44%7.35M2.44%7.35M5.53%7.17M5.53%7.17M
Total non current liabilities -0.96%918.13M-0.96%918.13M-11.69%927.05M-11.69%927.05M-4.76%1.05B-4.76%1.05B-22.26%1.1B-22.26%1.1B150.32%1.42B150.32%1.42B
Shareholders'equity
Share capital -7.49%799.37M-7.49%799.37M-2.52%864.1M-2.52%864.1M1.16%886.47M1.16%886.47M26.10%876.29M26.10%876.29M2.89%694.91M2.89%694.91M
-common stock -7.49%799.37M-7.49%799.37M-2.52%864.1M-2.52%864.1M1.16%886.47M1.16%886.47M26.10%876.29M26.10%876.29M2.89%694.91M2.89%694.91M
Gains losses not affecting retained earnings -19.51%26.95M-19.51%26.95M31.23%33.49M31.23%33.49M-11.38%25.52M-11.38%25.52M66.37%28.79M66.37%28.79M-35.15%17.31M-35.15%17.31M
Other equity interest -77.11%2.23M-77.11%2.23M-49.93%9.76M-49.93%9.76M21.73%19.49M21.73%19.49M-40.56%16.01M-40.56%16.01M89.55%26.94M89.55%26.94M
Total equity -4.18%1.66B-4.18%1.66B-6.51%1.73B-6.51%1.73B-2.95%1.85B-2.95%1.85B-8.40%1.91B-8.40%1.91B67.06%2.08B67.06%2.08B

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
AU
Overall
Symbol
Latest Price
%Chg