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WDS Woodside Energy

Watchlist
  • 15.770
  • +0.160+1.02%
Close Nov 4 16:00 ET
  • 15.770
  • 0.0000.00%
Post 17:20 ET
29.94BMarket Cap16.22P/E (TTM)

Woodside Energy Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-44.48%2.13B
-71.61%1.95B
-71.61%1.95B
-24.78%3.84B
105.26%6.87B
105.26%6.87B
--5.11B
520.59%3.35B
--3.35B
165.52%539M
-Cash and cash equivalents
-42.95%1.98B
-71.89%1.74B
-71.89%1.74B
-24.83%3.47B
104.60%6.19B
104.60%6.19B
--4.62B
724.25%3.03B
--3.03B
109.71%367M
-Short-term investments
-58.71%154M
-69.13%209M
-69.13%209M
-24.34%373M
111.56%677M
111.56%677M
--493M
86.05%320M
--320M
514.29%172M
Receivables
33.31%1.77B
-0.97%1.64B
-0.97%1.64B
-28.70%1.32B
348.64%1.65B
348.64%1.65B
--1.86B
21.45%368M
--368M
-11.66%303M
-Accounts receivable
19.30%1.46B
-9.75%963M
-9.75%963M
-31.25%1.22B
601.97%1.07B
601.97%1.07B
--1.78B
-7.32%152M
--152M
-21.15%164M
-Loans receivable
----
-3.95%73M
-3.95%73M
----
1.33%76M
1.33%76M
----
--75M
--75M
----
-Accrued interest receivable
----
-94.74%1M
-94.74%1M
----
--19M
--19M
----
--0
--0
----
-Taxes receivable
202.97%306M
61.64%118M
61.64%118M
29.49%101M
--73M
--73M
--78M
--0
--0
----
-Other receivables
----
15.38%480M
15.38%480M
----
195.04%416M
195.04%416M
----
1.44%141M
--141M
2.96%139M
Inventory
2.71%719M
-9.14%616M
-9.14%616M
27.27%700M
235.64%678M
235.64%678M
--550M
61.60%202M
--202M
-28.98%125M
Restricted cash
----
--0
--0
----
--12M
--12M
----
--0
--0
-16.64%3.24B
Other current assets
-38.04%57M
10.84%92M
10.84%92M
41.54%92M
-23.85%83M
-23.85%83M
--65M
127.08%109M
--109M
14.29%48M
Total current assets
1.58%6.05B
-44.91%5.12B
-44.91%5.12B
-21.42%5.96B
117.16%9.29B
117.16%9.29B
--7.58B
0.61%4.28B
--4.28B
-8.50%4.25B
Non current assets
Net PPE
-1.71%42.03B
1.66%42.69B
1.66%42.69B
3.93%42.76B
106.41%41.99B
106.41%41.99B
--41.14B
9.99%20.34B
--20.34B
-20.39%18.5B
-Gross PPE
6.08%73.57B
9.07%73.32B
9.07%73.32B
7.08%69.35B
55.11%67.22B
55.11%67.22B
--64.76B
6.53%43.34B
--43.34B
1.90%40.68B
-Accumulated depreciation
-18.62%-31.54B
-21.39%-30.63B
-21.39%-30.63B
-12.56%-26.59B
-9.73%-25.23B
-9.73%-25.23B
---23.62B
-3.65%-22.99B
---22.99B
-32.93%-22.18B
Goodwill and other intangible assets
-20.82%3.7B
-13.42%4B
-13.42%4B
17.46%4.67B
--4.61B
--4.61B
--3.98B
--0
--0
----
-Goodwill
-20.82%3.7B
-13.42%4B
-13.42%4B
17.46%4.67B
--4.61B
--4.61B
--3.98B
--0
--0
----
Investments and advances
-9.69%354M
-4.16%369M
-4.16%369M
18.79%392M
253.21%385M
253.21%385M
--330M
101.85%109M
--109M
54.29%54M
Long-term notes receivables
----
6.49%771M
6.49%771M
----
15.47%724M
15.47%724M
----
--627M
--627M
----
Non current accounts receivable
-1.50%790M
-43.80%68M
-43.80%68M
-11.87%802M
365.38%121M
365.38%121M
--910M
-93.85%26M
--26M
72.65%423M
Non current deferred assets
17.20%1.97B
-12.35%1.72B
-12.35%1.72B
86.87%1.68B
94.54%1.96B
94.54%1.96B
--899M
-22.78%1.01B
--1.01B
11.17%1.3B
Defined pension benefit
----
----
----
----
----
----
----
--33M
--33M
----
Other non current assets
57.41%754M
166.39%634M
166.39%634M
312.93%479M
366.67%238M
366.67%238M
--116M
-46.32%51M
--51M
352.38%95M
Total non current assets
-2.34%49.59B
0.42%50.24B
0.42%50.24B
7.20%50.78B
125.41%50.03B
125.41%50.03B
--47.37B
8.96%22.2B
--22.2B
-17.55%20.37B
Total assets
-1.93%55.64B
-6.68%55.36B
-6.68%55.36B
3.25%56.74B
124.07%59.32B
124.07%59.32B
--54.95B
7.52%26.47B
--26.47B
-16.11%24.62B
Liabilities
Current liabilities
Payables
-24.29%2.01B
-28.84%2.76B
-28.84%2.76B
-8.91%2.66B
290.64%3.88B
290.64%3.88B
--2.92B
96.83%994M
--994M
-13.08%505M
-accounts payable
-17.43%1.6B
-18.43%1.66B
-18.43%1.66B
-2.96%1.93B
962.30%2.03B
962.30%2.03B
--1.99B
91.00%191M
--191M
-55.36%100M
-Total tax payable
-42.62%416M
-40.24%1.11B
-40.24%1.11B
-21.71%725M
348.91%1.85B
348.91%1.85B
--926M
--413M
--413M
----
-Other payable
----
----
----
----
----
----
----
-3.70%390M
--390M
13.45%405M
Current accrued expenses
----
6.15%69M
6.15%69M
----
12.07%65M
12.07%65M
----
--58M
--58M
----
Current provisions
-13.93%921M
30.07%1.16B
30.07%1.16B
39.14%1.07B
46.78%888M
46.78%888M
--769M
165.35%605M
--605M
117.14%228M
Current debt and capital lease obligation
117.45%1.21B
-48.97%298M
-48.97%298M
1.09%556M
24.79%584M
24.79%584M
--550M
-48.40%468M
--468M
474.05%907M
-Current debt
337.00%992M
----
----
-18.05%227M
32.65%260M
32.65%260M
--277M
-75.89%196M
--196M
813.48%813M
-Current capital lease obligation
-34.04%217M
-8.02%298M
-8.02%298M
20.51%329M
69.63%324M
69.63%324M
--273M
103.19%191M
--191M
36.23%94M
Current deferred liabilities
----
----
----
----
----
----
----
----
----
-46.51%46M
Other current liabilities
12.95%436M
-59.63%346M
-59.63%346M
-73.58%386M
72.43%857M
72.43%857M
--1.46B
265.44%497M
--497M
300.00%136M
Current liabilities
-1.29%4.88B
-24.61%4.98B
-24.61%4.98B
-16.90%4.95B
152.02%6.61B
152.02%6.61B
--5.95B
25.21%2.62B
--2.62B
85.15%2.09B
Non current liabilities
Long term provisions
12.66%6.27B
8.76%6.28B
8.76%6.28B
-2.86%5.56B
160.21%5.77B
160.21%5.77B
--5.73B
-6.92%2.22B
--2.22B
29.99%2.38B
Long term debt and capital lease obligation
0.57%6.16B
0.19%6.2B
0.19%6.2B
-5.04%6.12B
-2.23%6.19B
-2.23%6.19B
--6.45B
-4.91%6.33B
--6.33B
-0.92%6.66B
-Long term debt
-1.07%4.83B
0.10%4.88B
0.10%4.88B
-4.33%4.88B
-5.34%4.88B
-5.34%4.88B
--5.1B
-5.83%5.15B
--5.15B
-2.58%5.47B
-Long term capital lease obligation
7.01%1.33B
0.53%1.32B
0.53%1.32B
-7.73%1.24B
11.39%1.31B
11.39%1.31B
--1.35B
-0.68%1.18B
--1.18B
7.54%1.18B
Non current deferred liabilities
-40.95%1.31B
-33.78%1.63B
-33.78%1.63B
25.89%2.22B
179.84%2.46B
179.84%2.46B
--1.77B
59.93%878M
--878M
-74.97%549M
Employee benefits
0.00%189M
-8.06%171M
-8.06%171M
-18.18%189M
--186M
--186M
--231M
----
----
4.55%23M
Other non current liabilities
-0.72%969M
-5.71%891M
-5.71%891M
-29.02%976M
379.70%945M
379.70%945M
--1.38B
369.05%197M
--197M
-8.70%42M
Total non current liabilities
-1.17%14.93B
-2.42%15.21B
-2.42%15.21B
-3.00%15.11B
61.97%15.59B
61.97%15.59B
--15.58B
-0.32%9.62B
--9.62B
-10.72%9.65B
Total liabilities
-1.20%19.81B
-9.02%20.19B
-9.02%20.19B
-6.85%20.05B
81.25%22.19B
81.25%22.19B
--21.53B
4.23%12.25B
--12.25B
-1.64%11.75B
Shareholders'equity
Share capital
0.00%29B
0.00%29B
0.00%29B
0.00%29B
208.23%29B
208.23%29B
--29B
1.20%9.41B
--9.41B
3.19%9.3B
-common stock
0.00%29B
0.00%29B
0.00%29B
0.00%29B
208.23%29B
208.23%29B
--29B
1.20%9.41B
--9.41B
3.19%9.3B
Retained earnings
268.59%1.41B
-94.43%186M
-94.43%186M
-80.69%382M
-1.15%3.34B
-1.15%3.34B
--1.98B
141.85%3.38B
--3.38B
-78.99%1.4B
Gains losses not affecting retained earnings
-28.13%4.73B
32.45%4.97B
32.45%4.97B
287.51%6.58B
732.15%3.75B
732.15%3.75B
--1.7B
-67.32%451M
--451M
44.81%1.38B
Other equity interest
-30.00%-65M
0.42%241M
0.42%241M
-19.05%-50M
18.81%240M
18.81%240M
---42M
--202M
--202M
----
Total stockholders'equity
-2.34%35.07B
-5.33%34.4B
-5.33%34.4B
10.04%35.91B
170.30%36.34B
170.30%36.34B
--32.63B
11.33%13.44B
--13.44B
-27.33%12.08B
Noncontrolling interests
-2.06%759M
-2.53%771M
-2.53%771M
-1.90%775M
0.64%791M
0.64%791M
--790M
-1.75%786M
--786M
1.01%800M
Total equity
-2.33%35.83B
-5.27%35.17B
-5.27%35.17B
9.75%36.68B
160.92%37.13B
160.92%37.13B
--33.42B
10.52%14.23B
--14.23B
-26.04%12.88B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
--
--
--
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -44.48%2.13B-71.61%1.95B-71.61%1.95B-24.78%3.84B105.26%6.87B105.26%6.87B--5.11B520.59%3.35B--3.35B165.52%539M
-Cash and cash equivalents -42.95%1.98B-71.89%1.74B-71.89%1.74B-24.83%3.47B104.60%6.19B104.60%6.19B--4.62B724.25%3.03B--3.03B109.71%367M
-Short-term investments -58.71%154M-69.13%209M-69.13%209M-24.34%373M111.56%677M111.56%677M--493M86.05%320M--320M514.29%172M
Receivables 33.31%1.77B-0.97%1.64B-0.97%1.64B-28.70%1.32B348.64%1.65B348.64%1.65B--1.86B21.45%368M--368M-11.66%303M
-Accounts receivable 19.30%1.46B-9.75%963M-9.75%963M-31.25%1.22B601.97%1.07B601.97%1.07B--1.78B-7.32%152M--152M-21.15%164M
-Loans receivable -----3.95%73M-3.95%73M----1.33%76M1.33%76M------75M--75M----
-Accrued interest receivable -----94.74%1M-94.74%1M------19M--19M------0--0----
-Taxes receivable 202.97%306M61.64%118M61.64%118M29.49%101M--73M--73M--78M--0--0----
-Other receivables ----15.38%480M15.38%480M----195.04%416M195.04%416M----1.44%141M--141M2.96%139M
Inventory 2.71%719M-9.14%616M-9.14%616M27.27%700M235.64%678M235.64%678M--550M61.60%202M--202M-28.98%125M
Restricted cash ------0--0------12M--12M------0--0-16.64%3.24B
Other current assets -38.04%57M10.84%92M10.84%92M41.54%92M-23.85%83M-23.85%83M--65M127.08%109M--109M14.29%48M
Total current assets 1.58%6.05B-44.91%5.12B-44.91%5.12B-21.42%5.96B117.16%9.29B117.16%9.29B--7.58B0.61%4.28B--4.28B-8.50%4.25B
Non current assets
Net PPE -1.71%42.03B1.66%42.69B1.66%42.69B3.93%42.76B106.41%41.99B106.41%41.99B--41.14B9.99%20.34B--20.34B-20.39%18.5B
-Gross PPE 6.08%73.57B9.07%73.32B9.07%73.32B7.08%69.35B55.11%67.22B55.11%67.22B--64.76B6.53%43.34B--43.34B1.90%40.68B
-Accumulated depreciation -18.62%-31.54B-21.39%-30.63B-21.39%-30.63B-12.56%-26.59B-9.73%-25.23B-9.73%-25.23B---23.62B-3.65%-22.99B---22.99B-32.93%-22.18B
Goodwill and other intangible assets -20.82%3.7B-13.42%4B-13.42%4B17.46%4.67B--4.61B--4.61B--3.98B--0--0----
-Goodwill -20.82%3.7B-13.42%4B-13.42%4B17.46%4.67B--4.61B--4.61B--3.98B--0--0----
Investments and advances -9.69%354M-4.16%369M-4.16%369M18.79%392M253.21%385M253.21%385M--330M101.85%109M--109M54.29%54M
Long-term notes receivables ----6.49%771M6.49%771M----15.47%724M15.47%724M------627M--627M----
Non current accounts receivable -1.50%790M-43.80%68M-43.80%68M-11.87%802M365.38%121M365.38%121M--910M-93.85%26M--26M72.65%423M
Non current deferred assets 17.20%1.97B-12.35%1.72B-12.35%1.72B86.87%1.68B94.54%1.96B94.54%1.96B--899M-22.78%1.01B--1.01B11.17%1.3B
Defined pension benefit ------------------------------33M--33M----
Other non current assets 57.41%754M166.39%634M166.39%634M312.93%479M366.67%238M366.67%238M--116M-46.32%51M--51M352.38%95M
Total non current assets -2.34%49.59B0.42%50.24B0.42%50.24B7.20%50.78B125.41%50.03B125.41%50.03B--47.37B8.96%22.2B--22.2B-17.55%20.37B
Total assets -1.93%55.64B-6.68%55.36B-6.68%55.36B3.25%56.74B124.07%59.32B124.07%59.32B--54.95B7.52%26.47B--26.47B-16.11%24.62B
Liabilities
Current liabilities
Payables -24.29%2.01B-28.84%2.76B-28.84%2.76B-8.91%2.66B290.64%3.88B290.64%3.88B--2.92B96.83%994M--994M-13.08%505M
-accounts payable -17.43%1.6B-18.43%1.66B-18.43%1.66B-2.96%1.93B962.30%2.03B962.30%2.03B--1.99B91.00%191M--191M-55.36%100M
-Total tax payable -42.62%416M-40.24%1.11B-40.24%1.11B-21.71%725M348.91%1.85B348.91%1.85B--926M--413M--413M----
-Other payable -----------------------------3.70%390M--390M13.45%405M
Current accrued expenses ----6.15%69M6.15%69M----12.07%65M12.07%65M------58M--58M----
Current provisions -13.93%921M30.07%1.16B30.07%1.16B39.14%1.07B46.78%888M46.78%888M--769M165.35%605M--605M117.14%228M
Current debt and capital lease obligation 117.45%1.21B-48.97%298M-48.97%298M1.09%556M24.79%584M24.79%584M--550M-48.40%468M--468M474.05%907M
-Current debt 337.00%992M---------18.05%227M32.65%260M32.65%260M--277M-75.89%196M--196M813.48%813M
-Current capital lease obligation -34.04%217M-8.02%298M-8.02%298M20.51%329M69.63%324M69.63%324M--273M103.19%191M--191M36.23%94M
Current deferred liabilities -------------------------------------46.51%46M
Other current liabilities 12.95%436M-59.63%346M-59.63%346M-73.58%386M72.43%857M72.43%857M--1.46B265.44%497M--497M300.00%136M
Current liabilities -1.29%4.88B-24.61%4.98B-24.61%4.98B-16.90%4.95B152.02%6.61B152.02%6.61B--5.95B25.21%2.62B--2.62B85.15%2.09B
Non current liabilities
Long term provisions 12.66%6.27B8.76%6.28B8.76%6.28B-2.86%5.56B160.21%5.77B160.21%5.77B--5.73B-6.92%2.22B--2.22B29.99%2.38B
Long term debt and capital lease obligation 0.57%6.16B0.19%6.2B0.19%6.2B-5.04%6.12B-2.23%6.19B-2.23%6.19B--6.45B-4.91%6.33B--6.33B-0.92%6.66B
-Long term debt -1.07%4.83B0.10%4.88B0.10%4.88B-4.33%4.88B-5.34%4.88B-5.34%4.88B--5.1B-5.83%5.15B--5.15B-2.58%5.47B
-Long term capital lease obligation 7.01%1.33B0.53%1.32B0.53%1.32B-7.73%1.24B11.39%1.31B11.39%1.31B--1.35B-0.68%1.18B--1.18B7.54%1.18B
Non current deferred liabilities -40.95%1.31B-33.78%1.63B-33.78%1.63B25.89%2.22B179.84%2.46B179.84%2.46B--1.77B59.93%878M--878M-74.97%549M
Employee benefits 0.00%189M-8.06%171M-8.06%171M-18.18%189M--186M--186M--231M--------4.55%23M
Other non current liabilities -0.72%969M-5.71%891M-5.71%891M-29.02%976M379.70%945M379.70%945M--1.38B369.05%197M--197M-8.70%42M
Total non current liabilities -1.17%14.93B-2.42%15.21B-2.42%15.21B-3.00%15.11B61.97%15.59B61.97%15.59B--15.58B-0.32%9.62B--9.62B-10.72%9.65B
Total liabilities -1.20%19.81B-9.02%20.19B-9.02%20.19B-6.85%20.05B81.25%22.19B81.25%22.19B--21.53B4.23%12.25B--12.25B-1.64%11.75B
Shareholders'equity
Share capital 0.00%29B0.00%29B0.00%29B0.00%29B208.23%29B208.23%29B--29B1.20%9.41B--9.41B3.19%9.3B
-common stock 0.00%29B0.00%29B0.00%29B0.00%29B208.23%29B208.23%29B--29B1.20%9.41B--9.41B3.19%9.3B
Retained earnings 268.59%1.41B-94.43%186M-94.43%186M-80.69%382M-1.15%3.34B-1.15%3.34B--1.98B141.85%3.38B--3.38B-78.99%1.4B
Gains losses not affecting retained earnings -28.13%4.73B32.45%4.97B32.45%4.97B287.51%6.58B732.15%3.75B732.15%3.75B--1.7B-67.32%451M--451M44.81%1.38B
Other equity interest -30.00%-65M0.42%241M0.42%241M-19.05%-50M18.81%240M18.81%240M---42M--202M--202M----
Total stockholders'equity -2.34%35.07B-5.33%34.4B-5.33%34.4B10.04%35.91B170.30%36.34B170.30%36.34B--32.63B11.33%13.44B--13.44B-27.33%12.08B
Noncontrolling interests -2.06%759M-2.53%771M-2.53%771M-1.90%775M0.64%791M0.64%791M--790M-1.75%786M--786M1.01%800M
Total equity -2.33%35.83B-5.27%35.17B-5.27%35.17B9.75%36.68B160.92%37.13B160.92%37.13B--33.42B10.52%14.23B--14.23B-26.04%12.88B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----Unqualified Opinion----------

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