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SUNCORP GROUP LIMITED SPON ADS EACH REP 1 ORD SHS (R/S) (SNMCY)

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  • 12.170
  • +0.160+1.33%
15min DelayClose Apr 17 15:38 ET
13.18BMarket Cap21.50P/E (TTM)

SUNCORP GROUP LIMITED SPON ADS EACH REP 1 ORD SHS (R/S) (SNMCY) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2025
(Q4)Jun 30, 2025
(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
Assets
Total investments
15.43%21.04B
15.43%21.04B
-80.39%18.23B
-80.39%18.23B
7.76%92.98B
7.76%92.98B
7.20%86.28B
7.20%86.28B
0.89%80.48B
0.89%80.48B
-Net loan
----
----
----
----
8.48%67.1B
8.48%67.1B
7.91%61.86B
7.91%61.86B
-0.69%57.32B
-0.69%57.32B
-Derivative assets
45.68%118M
45.68%118M
-86.63%81M
-86.63%81M
-18.22%606M
-18.22%606M
111.11%741M
111.11%741M
-57.76%351M
-57.76%351M
-Short term investments
20.96%20.92B
20.96%20.92B
679.89%17.3B
679.89%17.3B
-18.52%2.22B
-18.52%2.22B
72.39%2.72B
72.39%2.72B
8.15%1.58B
8.15%1.58B
-Other invested assets
----
----
----
----
10.91%17.82B
10.91%17.82B
-1.98%16.06B
-1.98%16.06B
9.69%16.39B
9.69%16.39B
Cash and cash equivalents
85.42%1.36B
85.42%1.36B
-81.22%734M
-81.22%734M
175.60%3.91B
175.60%3.91B
18.17%1.42B
18.17%1.42B
14.72%1.2B
14.72%1.2B
Reinsurance recoverable
10.79%1.28B
10.79%1.28B
-56.40%1.16B
-56.40%1.16B
-17.31%2.66B
-17.31%2.66B
60.84%3.21B
60.84%3.21B
-19.08%2B
-19.08%2B
Receivables
----
----
----
----
-28.19%1.79B
-28.19%1.79B
66.56%2.49B
66.56%2.49B
163.67%1.5B
163.67%1.5B
Net PPE
-15.70%408M
-15.70%408M
-19.87%484M
-19.87%484M
-15.17%604M
-15.17%604M
41.27%712M
41.27%712M
-12.50%504M
-12.50%504M
Goodwill and other intangible assets
-2.80%4.87B
-2.80%4.87B
-5.65%5.01B
-5.65%5.01B
0.45%5.31B
0.45%5.31B
0.51%5.28B
0.51%5.28B
-0.38%5.26B
-0.38%5.26B
-Goodwill
-1.39%4.4B
-1.39%4.4B
-5.55%4.46B
-5.55%4.46B
0.04%4.72B
0.04%4.72B
-0.11%4.72B
-0.11%4.72B
0.00%4.72B
0.00%4.72B
-Other intangible assets
-14.26%469M
-14.26%469M
-6.50%547M
-6.50%547M
3.91%585M
3.91%585M
6.03%563M
6.03%563M
-3.63%531M
-3.63%531M
Other assets
-98.97%887M
-98.97%887M
1,083.41%85.89B
1,083.41%85.89B
13.48%7.26B
13.48%7.26B
13.53%6.4B
13.53%6.4B
-2.07%5.63B
-2.07%5.63B
Total assets
-73.00%30.16B
-73.00%30.16B
-2.85%111.71B
-2.85%111.71B
8.09%114.98B
8.09%114.98B
9.83%106.38B
9.83%106.38B
1.16%96.86B
1.16%96.86B
Liabilities
Policy holders liabilities reserve
3.35%12.98B
3.35%12.98B
-31.80%12.56B
-31.80%12.56B
3.99%18.42B
3.99%18.42B
8.31%17.72B
8.31%17.72B
3.41%16.36B
3.41%16.36B
Payables
-12.57%2.22B
-12.57%2.22B
-13.20%2.54B
-13.20%2.54B
66.14%2.92B
66.14%2.92B
10.00%1.76B
10.00%1.76B
-12.47%1.6B
-12.47%1.6B
-Other payable
-12.57%2.22B
-12.57%2.22B
-13.20%2.54B
-13.20%2.54B
66.14%2.92B
66.14%2.92B
10.00%1.76B
10.00%1.76B
-12.47%1.6B
-12.47%1.6B
Short term debt and capital lease obligation
----
----
----
----
42.60%13.66B
42.60%13.66B
30.78%9.58B
30.78%9.58B
97.31%7.32B
97.31%7.32B
-Current debt
----
----
----
----
42.60%13.66B
42.60%13.66B
30.78%9.58B
30.78%9.58B
97.31%7.32B
97.31%7.32B
Current deferred liabilities
----
----
----
----
13.39%144M
13.39%144M
-32.80%127M
-32.80%127M
15.24%189M
15.24%189M
Long term provisions
--458M
--458M
----
----
----
----
----
----
----
----
Long term debt and capital lease obligation
0.12%2.53B
0.12%2.53B
-80.61%2.53B
-80.61%2.53B
-7.80%13.02B
-7.80%13.02B
1.57%14.12B
1.57%14.12B
43.64%13.9B
43.64%13.9B
-Long term debt
0.12%2.53B
0.12%2.53B
-80.61%2.53B
-80.61%2.53B
-7.80%13.02B
-7.80%13.02B
1.57%14.12B
1.57%14.12B
43.64%13.9B
43.64%13.9B
Non current deferred liabilities
130.61%113M
130.61%113M
--49M
--49M
----
----
----
----
5.22%121M
5.22%121M
Total deposits
----
----
----
----
6.70%50.81B
6.70%50.81B
16.34%47.63B
16.34%47.63B
-11.05%40.94B
-11.05%40.94B
Employee benefits
-25.26%361M
-25.26%361M
5.23%483M
5.23%483M
-11.39%459M
-11.39%459M
-13.23%518M
-13.23%518M
-2.13%597M
-2.13%597M
Derivative product liabilities
----
----
-89.00%75M
-89.00%75M
-12.90%682M
-12.90%682M
135.84%783M
135.84%783M
-42.16%332M
-42.16%332M
Other liabilities
-98.90%874M
-98.90%874M
5,146.74%79.59B
5,146.74%79.59B
10.81%1.52B
10.81%1.52B
-33.35%1.37B
-33.35%1.37B
-53.77%2.05B
-53.77%2.05B
Total liabilities
-80.03%19.54B
-80.03%19.54B
-3.75%97.83B
-3.75%97.83B
8.59%101.64B
8.59%101.64B
12.21%93.6B
12.21%93.6B
0.54%83.41B
0.54%83.41B
Shareholders'equity
Share capital
-30.72%8.64B
-30.72%8.64B
0.69%12.47B
0.69%12.47B
0.48%12.38B
0.48%12.38B
-1.86%12.33B
-1.86%12.33B
0.39%12.56B
0.39%12.56B
-common stock
-30.72%8.64B
-30.72%8.64B
0.69%12.47B
0.69%12.47B
0.48%12.38B
0.48%12.38B
-1.86%12.33B
-1.86%12.33B
0.39%12.56B
0.39%12.56B
Retained earnings
38.89%1.93B
38.89%1.93B
42.59%1.39B
42.59%1.39B
113.16%972M
113.16%972M
-31.12%456M
-31.12%456M
707.32%662M
707.32%662M
Gains losses not affecting retained earnings
209.09%12M
209.09%12M
73.81%-11M
73.81%-11M
-50.00%-42M
-50.00%-42M
-113.73%-28M
-113.73%-28M
18.60%204M
18.60%204M
Total stockholders'equity
-23.61%10.58B
-23.61%10.58B
3.98%13.84B
3.98%13.84B
4.40%13.31B
4.40%13.31B
-5.00%12.75B
-5.00%12.75B
5.18%13.42B
5.18%13.42B
Noncontrolling interests
27.50%51M
27.50%51M
21.21%40M
21.21%40M
10.00%33M
10.00%33M
25.00%30M
25.00%30M
14.29%24M
14.29%24M
Total equity
-23.46%10.63B
-23.46%10.63B
4.02%13.88B
4.02%13.88B
4.41%13.35B
4.41%13.35B
-4.94%12.78B
-4.94%12.78B
5.19%13.45B
5.19%13.45B
Currency Unit
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
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, 2025(Q4)Jun 30, 2025(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
Assets
Total investments 15.43%21.04B15.43%21.04B-80.39%18.23B-80.39%18.23B7.76%92.98B7.76%92.98B7.20%86.28B7.20%86.28B0.89%80.48B0.89%80.48B
-Net loan ----------------8.48%67.1B8.48%67.1B7.91%61.86B7.91%61.86B-0.69%57.32B-0.69%57.32B
-Derivative assets 45.68%118M45.68%118M-86.63%81M-86.63%81M-18.22%606M-18.22%606M111.11%741M111.11%741M-57.76%351M-57.76%351M
-Short term investments 20.96%20.92B20.96%20.92B679.89%17.3B679.89%17.3B-18.52%2.22B-18.52%2.22B72.39%2.72B72.39%2.72B8.15%1.58B8.15%1.58B
-Other invested assets ----------------10.91%17.82B10.91%17.82B-1.98%16.06B-1.98%16.06B9.69%16.39B9.69%16.39B
Cash and cash equivalents 85.42%1.36B85.42%1.36B-81.22%734M-81.22%734M175.60%3.91B175.60%3.91B18.17%1.42B18.17%1.42B14.72%1.2B14.72%1.2B
Reinsurance recoverable 10.79%1.28B10.79%1.28B-56.40%1.16B-56.40%1.16B-17.31%2.66B-17.31%2.66B60.84%3.21B60.84%3.21B-19.08%2B-19.08%2B
Receivables -----------------28.19%1.79B-28.19%1.79B66.56%2.49B66.56%2.49B163.67%1.5B163.67%1.5B
Net PPE -15.70%408M-15.70%408M-19.87%484M-19.87%484M-15.17%604M-15.17%604M41.27%712M41.27%712M-12.50%504M-12.50%504M
Goodwill and other intangible assets -2.80%4.87B-2.80%4.87B-5.65%5.01B-5.65%5.01B0.45%5.31B0.45%5.31B0.51%5.28B0.51%5.28B-0.38%5.26B-0.38%5.26B
-Goodwill -1.39%4.4B-1.39%4.4B-5.55%4.46B-5.55%4.46B0.04%4.72B0.04%4.72B-0.11%4.72B-0.11%4.72B0.00%4.72B0.00%4.72B
-Other intangible assets -14.26%469M-14.26%469M-6.50%547M-6.50%547M3.91%585M3.91%585M6.03%563M6.03%563M-3.63%531M-3.63%531M
Other assets -98.97%887M-98.97%887M1,083.41%85.89B1,083.41%85.89B13.48%7.26B13.48%7.26B13.53%6.4B13.53%6.4B-2.07%5.63B-2.07%5.63B
Total assets -73.00%30.16B-73.00%30.16B-2.85%111.71B-2.85%111.71B8.09%114.98B8.09%114.98B9.83%106.38B9.83%106.38B1.16%96.86B1.16%96.86B
Liabilities
Policy holders liabilities reserve 3.35%12.98B3.35%12.98B-31.80%12.56B-31.80%12.56B3.99%18.42B3.99%18.42B8.31%17.72B8.31%17.72B3.41%16.36B3.41%16.36B
Payables -12.57%2.22B-12.57%2.22B-13.20%2.54B-13.20%2.54B66.14%2.92B66.14%2.92B10.00%1.76B10.00%1.76B-12.47%1.6B-12.47%1.6B
-Other payable -12.57%2.22B-12.57%2.22B-13.20%2.54B-13.20%2.54B66.14%2.92B66.14%2.92B10.00%1.76B10.00%1.76B-12.47%1.6B-12.47%1.6B
Short term debt and capital lease obligation ----------------42.60%13.66B42.60%13.66B30.78%9.58B30.78%9.58B97.31%7.32B97.31%7.32B
-Current debt ----------------42.60%13.66B42.60%13.66B30.78%9.58B30.78%9.58B97.31%7.32B97.31%7.32B
Current deferred liabilities ----------------13.39%144M13.39%144M-32.80%127M-32.80%127M15.24%189M15.24%189M
Long term provisions --458M--458M--------------------------------
Long term debt and capital lease obligation 0.12%2.53B0.12%2.53B-80.61%2.53B-80.61%2.53B-7.80%13.02B-7.80%13.02B1.57%14.12B1.57%14.12B43.64%13.9B43.64%13.9B
-Long term debt 0.12%2.53B0.12%2.53B-80.61%2.53B-80.61%2.53B-7.80%13.02B-7.80%13.02B1.57%14.12B1.57%14.12B43.64%13.9B43.64%13.9B
Non current deferred liabilities 130.61%113M130.61%113M--49M--49M----------------5.22%121M5.22%121M
Total deposits ----------------6.70%50.81B6.70%50.81B16.34%47.63B16.34%47.63B-11.05%40.94B-11.05%40.94B
Employee benefits -25.26%361M-25.26%361M5.23%483M5.23%483M-11.39%459M-11.39%459M-13.23%518M-13.23%518M-2.13%597M-2.13%597M
Derivative product liabilities ---------89.00%75M-89.00%75M-12.90%682M-12.90%682M135.84%783M135.84%783M-42.16%332M-42.16%332M
Other liabilities -98.90%874M-98.90%874M5,146.74%79.59B5,146.74%79.59B10.81%1.52B10.81%1.52B-33.35%1.37B-33.35%1.37B-53.77%2.05B-53.77%2.05B
Total liabilities -80.03%19.54B-80.03%19.54B-3.75%97.83B-3.75%97.83B8.59%101.64B8.59%101.64B12.21%93.6B12.21%93.6B0.54%83.41B0.54%83.41B
Shareholders'equity
Share capital -30.72%8.64B-30.72%8.64B0.69%12.47B0.69%12.47B0.48%12.38B0.48%12.38B-1.86%12.33B-1.86%12.33B0.39%12.56B0.39%12.56B
-common stock -30.72%8.64B-30.72%8.64B0.69%12.47B0.69%12.47B0.48%12.38B0.48%12.38B-1.86%12.33B-1.86%12.33B0.39%12.56B0.39%12.56B
Retained earnings 38.89%1.93B38.89%1.93B42.59%1.39B42.59%1.39B113.16%972M113.16%972M-31.12%456M-31.12%456M707.32%662M707.32%662M
Gains losses not affecting retained earnings 209.09%12M209.09%12M73.81%-11M73.81%-11M-50.00%-42M-50.00%-42M-113.73%-28M-113.73%-28M18.60%204M18.60%204M
Total stockholders'equity -23.61%10.58B-23.61%10.58B3.98%13.84B3.98%13.84B4.40%13.31B4.40%13.31B-5.00%12.75B-5.00%12.75B5.18%13.42B5.18%13.42B
Noncontrolling interests 27.50%51M27.50%51M21.21%40M21.21%40M10.00%33M10.00%33M25.00%30M25.00%30M14.29%24M14.29%24M
Total equity -23.46%10.63B-23.46%10.63B4.02%13.88B4.02%13.88B4.41%13.35B4.41%13.35B-4.94%12.78B-4.94%12.78B5.19%13.45B5.19%13.45B
Currency Unit AUDAUDAUDAUDAUDAUDAUDAUDAUDAUD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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