AU Stock MarketDetailed Quotes

RWC Reliance Worldwide Corp Ltd

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  • 5.280
  • +0.050+0.96%
20min DelayTrading Aug 28 14:32 AET
4.15BMarket Cap25.14P/E (Static)

Reliance Worldwide Corp 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
19.85%19.92M
19.85%19.92M
-39.97%16.62M
-39.97%16.62M
29.59%27.68M
29.59%27.68M
-62.17%21.36M
-62.17%21.36M
16.36%56.46M
16.36%56.46M
-Cash and cash equivalents
19.85%19.92M
19.85%19.92M
-39.97%16.62M
-39.97%16.62M
29.59%27.68M
29.59%27.68M
-62.17%21.36M
-62.17%21.36M
16.36%56.46M
16.36%56.46M
-Accounts receivable
-4.11%230.16M
-4.11%230.16M
-0.25%240.02M
-0.25%240.02M
20.58%240.62M
20.58%240.62M
26.31%199.56M
26.31%199.56M
1.44%157.99M
1.44%157.99M
-Notes receivable
1.42%4.57M
1.42%4.57M
-7.44%4.5M
-7.44%4.5M
-4.52%4.87M
-4.52%4.87M
10.80%5.1M
10.80%5.1M
21.74%4.6M
21.74%4.6M
-Other receivables
-1.94%95.06M
-1.94%95.06M
5.70%96.94M
5.70%96.94M
-4.15%91.72M
-4.15%91.72M
50.21%95.69M
50.21%95.69M
32.23%63.71M
32.23%63.71M
Current deferred assets
-19.81%20.29M
-19.81%20.29M
165.69%25.3M
165.69%25.3M
48.29%9.52M
48.29%9.52M
-3.36%6.42M
-3.36%6.42M
--6.65M
--6.65M
Holding assets for sale
----
----
----
----
--9.92M
--9.92M
----
----
----
----
Total current assets
-1.23%581.88M
-1.23%581.88M
-8.72%589.14M
-8.72%589.14M
41.67%645.45M
41.67%645.45M
13.04%455.6M
13.04%455.6M
6.02%403.04M
6.02%403.04M
Non current assets
-Accumulated depreciation
-4.86%-302.96M
-4.86%-302.96M
-625.92%-288.92M
-625.92%-288.92M
75.57%-39.8M
75.57%-39.8M
-24.28%-162.92M
-24.28%-162.92M
-22.34%-131.09M
-22.34%-131.09M
-Long term equity investment
-0.28%540.04M
-0.28%540.04M
-20.29%541.56M
-20.29%541.56M
346.90%679.38M
346.90%679.38M
-53.71%152.02M
-53.71%152.02M
-5.44%328.39M
-5.44%328.39M
Non current note receivables
82.41%57.82M
82.41%57.82M
23.22%31.7M
23.22%31.7M
-0.29%25.72M
-0.29%25.72M
1.54%25.8M
1.54%25.8M
135.89%25.4M
135.89%25.4M
-Goodwill
3.88%1.15B
3.88%1.15B
2.47%1.11B
2.47%1.11B
16.47%1.08B
16.47%1.08B
10.45%928.16M
10.45%928.16M
-2.34%840.35M
-2.34%840.35M
Regulatory assets
-2.94%238.81M
-2.94%238.81M
-7.58%246.04M
-7.58%246.04M
20.84%266.22M
20.84%266.22M
21.82%220.31M
21.82%220.31M
11.19%180.85M
11.19%180.85M
Liabilities
Current liabilities
Current debt and capital lease obligation
34.35%20.77M
34.35%20.77M
-3.78%15.46M
-3.78%15.46M
-38.56%16.07M
-38.56%16.07M
148.18%26.15M
148.18%26.15M
--10.54M
--10.54M
-Current capital lease obligation
34.35%20.77M
34.35%20.77M
-3.78%15.46M
-3.78%15.46M
-38.56%16.07M
-38.56%16.07M
148.18%26.15M
148.18%26.15M
--10.54M
--10.54M
-accounts payable
20.74%84.04M
20.74%84.04M
-14.55%69.6M
-14.55%69.6M
-3.74%81.45M
-3.74%81.45M
62.66%84.62M
62.66%84.62M
17.57%52.02M
17.57%52.02M
-Total tax payable
5.94%670.37M
5.94%670.37M
-16.15%632.8M
-16.15%632.8M
191.96%754.64M
191.96%754.64M
-31.95%258.47M
-31.95%258.47M
3.06%379.84M
3.06%379.84M
-Dividends payable
----
----
----
----
----
----
----
----
--24.43M
--24.43M
-Other payable
21.87%4.11M
21.87%4.11M
--3.37M
--3.37M
----
----
-100.05%-751.3374
-100.05%-751.3374
--1.41M
--1.41M
Current deferred liabilities
-23.16%3.16M
-23.16%3.16M
-19.46%4.11M
-19.46%4.11M
-43.04%5.1M
-43.04%5.1M
148.07%8.96M
148.07%8.96M
24.35%3.61M
24.35%3.61M
Current liabilities
7.89%209.76M
7.89%209.76M
-3.15%194.43M
-3.15%194.43M
-10.57%200.75M
-10.57%200.75M
35.43%224.49M
35.43%224.49M
64.83%165.76M
64.83%165.76M
Non current liabilities
-Long term debt
11.28%101.71M
11.28%101.71M
-9.19%91.4M
-9.19%91.4M
--100.65M
--100.65M
----
----
--64.28M
--64.28M
Non current accrued expenses
7.13%350.01M
7.13%350.01M
-2.13%326.7M
-2.13%326.7M
24.10%333.81M
24.10%333.81M
7.27%268.99M
7.27%268.99M
23.68%250.75M
23.68%250.75M
Long term provisions
-2.63%438.33M
-2.63%438.33M
-22.22%450.17M
-22.22%450.17M
280.70%578.74M
280.70%578.74M
-42.44%152.02M
-42.44%152.02M
-23.95%264.11M
-23.95%264.11M
Employee benefits
1.42%4.57M
1.42%4.57M
-7.44%4.5M
-7.44%4.5M
-4.52%4.87M
-4.52%4.87M
10.80%5.1M
10.80%5.1M
21.74%4.6M
21.74%4.6M
Regulatory liabilities
-6.84%-3.92M
-6.84%-3.92M
-61.47%-3.67M
-61.47%-3.67M
-32.80%-2.27M
-32.80%-2.27M
-11.30%-1.71M
-11.30%-1.71M
-2,029.90%-1.54M
-2,029.90%-1.54M
Preferred securities outside stock equity
-19.00%6.74M
-19.00%6.74M
29.70%8.32M
29.70%8.32M
-29.28%6.41M
-29.28%6.41M
-20.80%9.07M
-20.80%9.07M
118.94%11.45M
118.94%11.45M
Total non current liabilities
6.40%880.13M
6.40%880.13M
-13.42%827.23M
-13.42%827.23M
97.82%955.39M
97.82%955.39M
-11.48%482.96M
-11.48%482.96M
16.30%545.6M
16.30%545.6M
Shareholders'equity
Share capital
-0.28%1.74B
-0.28%1.74B
0.19%1.74B
0.19%1.74B
-0.69%1.74B
-0.69%1.74B
9.34%1.75B
9.34%1.75B
-1.83%1.6B
-1.83%1.6B
-common stock
-0.28%1.74B
-0.28%1.74B
0.19%1.74B
0.19%1.74B
-0.69%1.74B
-0.69%1.74B
9.34%1.75B
9.34%1.75B
-1.83%1.6B
-1.83%1.6B
Gains losses not affecting retained earnings
-1.77%-884.03M
-1.77%-884.03M
3.73%-868.66M
3.73%-868.66M
-16.11%-902.29M
-16.11%-902.29M
-4.31%-777.13M
-4.31%-777.13M
1.60%-744.99M
1.60%-744.99M
Other equity interest
-14.38%10.08M
-14.38%10.08M
-28.90%11.78M
-28.90%11.78M
39.52%16.56M
39.52%16.56M
7.53%11.87M
7.53%11.87M
29.37%11.04M
29.37%11.04M
Total equity
4.17%2.14B
4.17%2.14B
-1.31%2.06B
-1.31%2.06B
24.27%2.09B
24.27%2.09B
10.36%1.68B
10.36%1.68B
4.59%1.52B
4.59%1.52B
(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 19.85%19.92M19.85%19.92M-39.97%16.62M-39.97%16.62M29.59%27.68M29.59%27.68M-62.17%21.36M-62.17%21.36M16.36%56.46M16.36%56.46M
-Cash and cash equivalents 19.85%19.92M19.85%19.92M-39.97%16.62M-39.97%16.62M29.59%27.68M29.59%27.68M-62.17%21.36M-62.17%21.36M16.36%56.46M16.36%56.46M
-Accounts receivable -4.11%230.16M-4.11%230.16M-0.25%240.02M-0.25%240.02M20.58%240.62M20.58%240.62M26.31%199.56M26.31%199.56M1.44%157.99M1.44%157.99M
-Notes receivable 1.42%4.57M1.42%4.57M-7.44%4.5M-7.44%4.5M-4.52%4.87M-4.52%4.87M10.80%5.1M10.80%5.1M21.74%4.6M21.74%4.6M
-Other receivables -1.94%95.06M-1.94%95.06M5.70%96.94M5.70%96.94M-4.15%91.72M-4.15%91.72M50.21%95.69M50.21%95.69M32.23%63.71M32.23%63.71M
Current deferred assets -19.81%20.29M-19.81%20.29M165.69%25.3M165.69%25.3M48.29%9.52M48.29%9.52M-3.36%6.42M-3.36%6.42M--6.65M--6.65M
Holding assets for sale ------------------9.92M--9.92M----------------
Total current assets -1.23%581.88M-1.23%581.88M-8.72%589.14M-8.72%589.14M41.67%645.45M41.67%645.45M13.04%455.6M13.04%455.6M6.02%403.04M6.02%403.04M
Non current assets
-Accumulated depreciation -4.86%-302.96M-4.86%-302.96M-625.92%-288.92M-625.92%-288.92M75.57%-39.8M75.57%-39.8M-24.28%-162.92M-24.28%-162.92M-22.34%-131.09M-22.34%-131.09M
-Long term equity investment -0.28%540.04M-0.28%540.04M-20.29%541.56M-20.29%541.56M346.90%679.38M346.90%679.38M-53.71%152.02M-53.71%152.02M-5.44%328.39M-5.44%328.39M
Non current note receivables 82.41%57.82M82.41%57.82M23.22%31.7M23.22%31.7M-0.29%25.72M-0.29%25.72M1.54%25.8M1.54%25.8M135.89%25.4M135.89%25.4M
-Goodwill 3.88%1.15B3.88%1.15B2.47%1.11B2.47%1.11B16.47%1.08B16.47%1.08B10.45%928.16M10.45%928.16M-2.34%840.35M-2.34%840.35M
Regulatory assets -2.94%238.81M-2.94%238.81M-7.58%246.04M-7.58%246.04M20.84%266.22M20.84%266.22M21.82%220.31M21.82%220.31M11.19%180.85M11.19%180.85M
Liabilities
Current liabilities
Current debt and capital lease obligation 34.35%20.77M34.35%20.77M-3.78%15.46M-3.78%15.46M-38.56%16.07M-38.56%16.07M148.18%26.15M148.18%26.15M--10.54M--10.54M
-Current capital lease obligation 34.35%20.77M34.35%20.77M-3.78%15.46M-3.78%15.46M-38.56%16.07M-38.56%16.07M148.18%26.15M148.18%26.15M--10.54M--10.54M
-accounts payable 20.74%84.04M20.74%84.04M-14.55%69.6M-14.55%69.6M-3.74%81.45M-3.74%81.45M62.66%84.62M62.66%84.62M17.57%52.02M17.57%52.02M
-Total tax payable 5.94%670.37M5.94%670.37M-16.15%632.8M-16.15%632.8M191.96%754.64M191.96%754.64M-31.95%258.47M-31.95%258.47M3.06%379.84M3.06%379.84M
-Dividends payable ----------------------------------24.43M--24.43M
-Other payable 21.87%4.11M21.87%4.11M--3.37M--3.37M---------100.05%-751.3374-100.05%-751.3374--1.41M--1.41M
Current deferred liabilities -23.16%3.16M-23.16%3.16M-19.46%4.11M-19.46%4.11M-43.04%5.1M-43.04%5.1M148.07%8.96M148.07%8.96M24.35%3.61M24.35%3.61M
Current liabilities 7.89%209.76M7.89%209.76M-3.15%194.43M-3.15%194.43M-10.57%200.75M-10.57%200.75M35.43%224.49M35.43%224.49M64.83%165.76M64.83%165.76M
Non current liabilities
-Long term debt 11.28%101.71M11.28%101.71M-9.19%91.4M-9.19%91.4M--100.65M--100.65M----------64.28M--64.28M
Non current accrued expenses 7.13%350.01M7.13%350.01M-2.13%326.7M-2.13%326.7M24.10%333.81M24.10%333.81M7.27%268.99M7.27%268.99M23.68%250.75M23.68%250.75M
Long term provisions -2.63%438.33M-2.63%438.33M-22.22%450.17M-22.22%450.17M280.70%578.74M280.70%578.74M-42.44%152.02M-42.44%152.02M-23.95%264.11M-23.95%264.11M
Employee benefits 1.42%4.57M1.42%4.57M-7.44%4.5M-7.44%4.5M-4.52%4.87M-4.52%4.87M10.80%5.1M10.80%5.1M21.74%4.6M21.74%4.6M
Regulatory liabilities -6.84%-3.92M-6.84%-3.92M-61.47%-3.67M-61.47%-3.67M-32.80%-2.27M-32.80%-2.27M-11.30%-1.71M-11.30%-1.71M-2,029.90%-1.54M-2,029.90%-1.54M
Preferred securities outside stock equity -19.00%6.74M-19.00%6.74M29.70%8.32M29.70%8.32M-29.28%6.41M-29.28%6.41M-20.80%9.07M-20.80%9.07M118.94%11.45M118.94%11.45M
Total non current liabilities 6.40%880.13M6.40%880.13M-13.42%827.23M-13.42%827.23M97.82%955.39M97.82%955.39M-11.48%482.96M-11.48%482.96M16.30%545.6M16.30%545.6M
Shareholders'equity
Share capital -0.28%1.74B-0.28%1.74B0.19%1.74B0.19%1.74B-0.69%1.74B-0.69%1.74B9.34%1.75B9.34%1.75B-1.83%1.6B-1.83%1.6B
-common stock -0.28%1.74B-0.28%1.74B0.19%1.74B0.19%1.74B-0.69%1.74B-0.69%1.74B9.34%1.75B9.34%1.75B-1.83%1.6B-1.83%1.6B
Gains losses not affecting retained earnings -1.77%-884.03M-1.77%-884.03M3.73%-868.66M3.73%-868.66M-16.11%-902.29M-16.11%-902.29M-4.31%-777.13M-4.31%-777.13M1.60%-744.99M1.60%-744.99M
Other equity interest -14.38%10.08M-14.38%10.08M-28.90%11.78M-28.90%11.78M39.52%16.56M39.52%16.56M7.53%11.87M7.53%11.87M29.37%11.04M29.37%11.04M
Total equity 4.17%2.14B4.17%2.14B-1.31%2.06B-1.31%2.06B24.27%2.09B24.27%2.09B10.36%1.68B10.36%1.68B4.59%1.52B4.59%1.52B

Analysis

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