AU Stock MarketDetailed Quotes

ALL Aristocrat Leisure Ltd

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  • 46.440
  • -0.550-1.17%
20min DelayMarket Closed May 22 16:00 AET
29.42BMarket Cap20.98P/E (Static)

Aristocrat Leisure Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Sep 30, 2023
(Q4)Sep 30, 2023
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
(FY)Sep 30, 2021
(Q4)Sep 30, 2021
(FY)Sep 30, 2020
(Q4)Sep 30, 2020
(FY)Sep 30, 2019
(Q4)Sep 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
4.67%3.19B
4.67%3.19B
24.85%3.04B
24.85%3.04B
44.95%2.44B
44.95%2.44B
192.59%1.68B
192.59%1.68B
32.09%575M
32.09%575M
-Cash and cash equivalents
4.29%3.15B
4.29%3.15B
24.25%3.02B
24.25%3.02B
45.11%2.43B
45.11%2.43B
194.71%1.68B
194.71%1.68B
32.82%568.6M
32.82%568.6M
-Accounts receivable
18.20%904.8M
18.20%904.8M
20.00%765.5M
20.00%765.5M
7.44%637.9M
7.44%637.9M
-27.14%593.7M
-27.14%593.7M
32.81%814.9M
32.81%814.9M
-Notes receivable
633.33%2.2M
633.33%2.2M
-86.96%300K
-86.96%300K
21.05%2.3M
21.05%2.3M
11.76%1.9M
11.76%1.9M
30.77%1.7M
30.77%1.7M
-Other receivables
0.86%677.4M
0.86%677.4M
-2.36%671.6M
-2.36%671.6M
30.88%687.8M
30.88%687.8M
-1.07%525.5M
-1.07%525.5M
17.26%531.2M
17.26%531.2M
Current deferred assets
28.86%56.7M
28.86%56.7M
201.37%44M
201.37%44M
-66.97%14.6M
-66.97%14.6M
-17.84%44.2M
-17.84%44.2M
46.59%53.8M
46.59%53.8M
Total current assets
8.77%4.55B
8.77%4.55B
26.73%4.18B
26.73%4.18B
31.33%3.3B
31.33%3.3B
44.92%2.51B
44.92%2.51B
28.19%1.73B
28.19%1.73B
Non current assets
-Accumulated depreciation
-5.87%-1.17B
-5.87%-1.17B
-25.27%-1.11B
-25.27%-1.11B
-13.28%-882.3M
-13.28%-882.3M
-20.78%-778.9M
-20.78%-778.9M
-27.40%-644.9M
-27.40%-644.9M
-Long term equity investment
-4.22%2.52B
-4.22%2.52B
-24.18%2.63B
-24.18%2.63B
-0.03%3.47B
-0.03%3.47B
24.21%3.47B
24.21%3.47B
-3.07%2.79B
-3.07%2.79B
-Including:Held to maturity investments
----
----
----
----
----
----
300.00%400K
300.00%400K
-50.00%100K
-50.00%100K
Non current note receivables
16.03%1.52B
16.03%1.52B
10.89%1.31B
10.89%1.31B
7.16%1.18B
7.16%1.18B
1,983.33%1.1B
1,983.33%1.1B
-26.97%52.8M
-26.97%52.8M
-Goodwill
2.81%4B
2.81%4B
10.30%3.89B
10.30%3.89B
-2.65%3.53B
-2.65%3.53B
-9.59%3.62B
-9.59%3.62B
2.81%4.01B
2.81%4.01B
Regulatory assets
18.12%994.8M
18.12%994.8M
22.72%842.2M
22.72%842.2M
9.88%686.3M
9.88%686.3M
-33.64%624.6M
-33.64%624.6M
30.74%941.3M
30.74%941.3M
Non current deferred assets
-12.67%143.4M
-12.67%143.4M
-3.98%164.2M
-3.98%164.2M
67.81%171M
67.81%171M
-2.95%101.9M
-2.95%101.9M
-6.33%105M
-6.33%105M
Liabilities
Current liabilities
Current debt and capital lease obligation
4.94%163.6M
4.94%163.6M
173.03%155.9M
173.03%155.9M
13.52%57.1M
13.52%57.1M
--50.3M
--50.3M
----
----
-Current debt
-0.30%99.6M
-0.30%99.6M
1,327.14%99.9M
1,327.14%99.9M
0.00%7M
0.00%7M
--7M
--7M
----
----
-Current capital lease obligation
14.29%64M
14.29%64M
11.78%56M
11.78%56M
15.70%50.1M
15.70%50.1M
--43.3M
--43.3M
----
----
-accounts payable
54.86%304.6M
54.86%304.6M
30.52%196.7M
30.52%196.7M
24.34%150.7M
24.34%150.7M
-35.81%121.2M
-35.81%121.2M
-12.67%188.8M
-12.67%188.8M
-Total tax payable
-4.03%2.67B
-4.03%2.67B
-22.61%2.78B
-22.61%2.78B
-1.58%3.59B
-1.58%3.59B
15.84%3.65B
15.84%3.65B
1.78%3.15B
1.78%3.15B
Current provisions
39.81%29.5M
39.81%29.5M
-25.96%21.1M
-25.96%21.1M
-15.43%28.5M
-15.43%28.5M
-14.25%33.7M
-14.25%33.7M
4.24%39.3M
4.24%39.3M
Current deferred liabilities
33.02%328.3M
33.02%328.3M
-2.68%246.8M
-2.68%246.8M
-13.36%253.6M
-13.36%253.6M
13.27%292.7M
13.27%292.7M
-11.02%258.4M
-11.02%258.4M
Current liabilities
15.99%1.53B
15.99%1.53B
9.78%1.32B
9.78%1.32B
14.71%1.2B
14.71%1.2B
0.39%1.05B
0.39%1.05B
2.35%1.04B
2.35%1.04B
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
95.00%7.8M
95.00%7.8M
--4M
--4M
----
----
-Long term debt
1.55%276M
1.55%276M
13.82%271.8M
13.82%271.8M
2.62%238.8M
2.62%238.8M
58,075.00%232.7M
58,075.00%232.7M
-55.56%400K
-55.56%400K
Non current accrued expenses
24.17%682.8M
24.17%682.8M
13.48%549.9M
13.48%549.9M
-8.82%484.6M
-8.82%484.6M
23.26%531.5M
23.26%531.5M
10.76%431.2M
10.76%431.2M
Derivative product liabilities
----
----
----
----
-48.78%31.6M
-48.78%31.6M
27.48%61.7M
27.48%61.7M
--48.4M
--48.4M
Long term provisions
-4.88%2.24B
-4.88%2.24B
-27.00%2.36B
-27.00%2.36B
-0.22%3.23B
-0.22%3.23B
15.90%3.24B
15.90%3.24B
-3.05%2.79B
-3.05%2.79B
Employee benefits
633.33%2.2M
633.33%2.2M
-86.96%300K
-86.96%300K
21.05%2.3M
21.05%2.3M
11.76%1.9M
11.76%1.9M
30.77%1.7M
30.77%1.7M
Regulatory liabilities
3.80%-60.7M
3.80%-60.7M
0.16%-63.1M
0.16%-63.1M
0.94%-63.2M
0.94%-63.2M
-422.95%-63.8M
-422.95%-63.8M
15.86%-12.2M
15.86%-12.2M
Preferred securities outside stock equity
-3.27%23.7M
-3.27%23.7M
13.43%24.5M
13.43%24.5M
-2.26%21.6M
-2.26%21.6M
-6.75%22.1M
-6.75%22.1M
17.33%23.7M
17.33%23.7M
Total non current liabilities
2.40%4.2B
2.40%4.2B
-14.51%4.1B
-14.51%4.1B
2.05%4.79B
2.05%4.79B
12.01%4.7B
12.01%4.7B
1.92%4.19B
1.92%4.19B
Shareholders'equity
Share capital
-25.12%1.24B
-25.12%1.24B
131.00%1.65B
131.00%1.65B
0.00%715.1M
0.00%715.1M
0.00%715.1M
0.00%715.1M
0.00%715.1M
0.00%715.1M
-common stock
-25.12%1.24B
-25.12%1.24B
131.00%1.65B
131.00%1.65B
0.00%715.1M
0.00%715.1M
0.00%715.1M
0.00%715.1M
0.00%715.1M
0.00%715.1M
Gains losses not affecting retained earnings
5.77%579.4M
5.77%579.4M
1,036.41%547.8M
1,036.41%547.8M
51.89%-58.5M
51.89%-58.5M
-4,776.92%-121.6M
-4,776.92%-121.6M
111.06%2.6M
111.06%2.6M
Total equity
7.92%10.92B
7.92%10.92B
16.70%10.12B
16.70%10.12B
10.09%8.67B
10.09%8.67B
24.30%7.88B
24.30%7.88B
8.38%6.34B
8.38%6.34B
(FY)Sep 30, 2023(Q4)Sep 30, 2023(FY)Sep 30, 2022(Q4)Sep 30, 2022(FY)Sep 30, 2021(Q4)Sep 30, 2021(FY)Sep 30, 2020(Q4)Sep 30, 2020(FY)Sep 30, 2019(Q4)Sep 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments 4.67%3.19B4.67%3.19B24.85%3.04B24.85%3.04B44.95%2.44B44.95%2.44B192.59%1.68B192.59%1.68B32.09%575M32.09%575M
-Cash and cash equivalents 4.29%3.15B4.29%3.15B24.25%3.02B24.25%3.02B45.11%2.43B45.11%2.43B194.71%1.68B194.71%1.68B32.82%568.6M32.82%568.6M
-Accounts receivable 18.20%904.8M18.20%904.8M20.00%765.5M20.00%765.5M7.44%637.9M7.44%637.9M-27.14%593.7M-27.14%593.7M32.81%814.9M32.81%814.9M
-Notes receivable 633.33%2.2M633.33%2.2M-86.96%300K-86.96%300K21.05%2.3M21.05%2.3M11.76%1.9M11.76%1.9M30.77%1.7M30.77%1.7M
-Other receivables 0.86%677.4M0.86%677.4M-2.36%671.6M-2.36%671.6M30.88%687.8M30.88%687.8M-1.07%525.5M-1.07%525.5M17.26%531.2M17.26%531.2M
Current deferred assets 28.86%56.7M28.86%56.7M201.37%44M201.37%44M-66.97%14.6M-66.97%14.6M-17.84%44.2M-17.84%44.2M46.59%53.8M46.59%53.8M
Total current assets 8.77%4.55B8.77%4.55B26.73%4.18B26.73%4.18B31.33%3.3B31.33%3.3B44.92%2.51B44.92%2.51B28.19%1.73B28.19%1.73B
Non current assets
-Accumulated depreciation -5.87%-1.17B-5.87%-1.17B-25.27%-1.11B-25.27%-1.11B-13.28%-882.3M-13.28%-882.3M-20.78%-778.9M-20.78%-778.9M-27.40%-644.9M-27.40%-644.9M
-Long term equity investment -4.22%2.52B-4.22%2.52B-24.18%2.63B-24.18%2.63B-0.03%3.47B-0.03%3.47B24.21%3.47B24.21%3.47B-3.07%2.79B-3.07%2.79B
-Including:Held to maturity investments ------------------------300.00%400K300.00%400K-50.00%100K-50.00%100K
Non current note receivables 16.03%1.52B16.03%1.52B10.89%1.31B10.89%1.31B7.16%1.18B7.16%1.18B1,983.33%1.1B1,983.33%1.1B-26.97%52.8M-26.97%52.8M
-Goodwill 2.81%4B2.81%4B10.30%3.89B10.30%3.89B-2.65%3.53B-2.65%3.53B-9.59%3.62B-9.59%3.62B2.81%4.01B2.81%4.01B
Regulatory assets 18.12%994.8M18.12%994.8M22.72%842.2M22.72%842.2M9.88%686.3M9.88%686.3M-33.64%624.6M-33.64%624.6M30.74%941.3M30.74%941.3M
Non current deferred assets -12.67%143.4M-12.67%143.4M-3.98%164.2M-3.98%164.2M67.81%171M67.81%171M-2.95%101.9M-2.95%101.9M-6.33%105M-6.33%105M
Liabilities
Current liabilities
Current debt and capital lease obligation 4.94%163.6M4.94%163.6M173.03%155.9M173.03%155.9M13.52%57.1M13.52%57.1M--50.3M--50.3M--------
-Current debt -0.30%99.6M-0.30%99.6M1,327.14%99.9M1,327.14%99.9M0.00%7M0.00%7M--7M--7M--------
-Current capital lease obligation 14.29%64M14.29%64M11.78%56M11.78%56M15.70%50.1M15.70%50.1M--43.3M--43.3M--------
-accounts payable 54.86%304.6M54.86%304.6M30.52%196.7M30.52%196.7M24.34%150.7M24.34%150.7M-35.81%121.2M-35.81%121.2M-12.67%188.8M-12.67%188.8M
-Total tax payable -4.03%2.67B-4.03%2.67B-22.61%2.78B-22.61%2.78B-1.58%3.59B-1.58%3.59B15.84%3.65B15.84%3.65B1.78%3.15B1.78%3.15B
Current provisions 39.81%29.5M39.81%29.5M-25.96%21.1M-25.96%21.1M-15.43%28.5M-15.43%28.5M-14.25%33.7M-14.25%33.7M4.24%39.3M4.24%39.3M
Current deferred liabilities 33.02%328.3M33.02%328.3M-2.68%246.8M-2.68%246.8M-13.36%253.6M-13.36%253.6M13.27%292.7M13.27%292.7M-11.02%258.4M-11.02%258.4M
Current liabilities 15.99%1.53B15.99%1.53B9.78%1.32B9.78%1.32B14.71%1.2B14.71%1.2B0.39%1.05B0.39%1.05B2.35%1.04B2.35%1.04B
Non current liabilities
Long term debt and capital lease obligation ----------------95.00%7.8M95.00%7.8M--4M--4M--------
-Long term debt 1.55%276M1.55%276M13.82%271.8M13.82%271.8M2.62%238.8M2.62%238.8M58,075.00%232.7M58,075.00%232.7M-55.56%400K-55.56%400K
Non current accrued expenses 24.17%682.8M24.17%682.8M13.48%549.9M13.48%549.9M-8.82%484.6M-8.82%484.6M23.26%531.5M23.26%531.5M10.76%431.2M10.76%431.2M
Derivative product liabilities -----------------48.78%31.6M-48.78%31.6M27.48%61.7M27.48%61.7M--48.4M--48.4M
Long term provisions -4.88%2.24B-4.88%2.24B-27.00%2.36B-27.00%2.36B-0.22%3.23B-0.22%3.23B15.90%3.24B15.90%3.24B-3.05%2.79B-3.05%2.79B
Employee benefits 633.33%2.2M633.33%2.2M-86.96%300K-86.96%300K21.05%2.3M21.05%2.3M11.76%1.9M11.76%1.9M30.77%1.7M30.77%1.7M
Regulatory liabilities 3.80%-60.7M3.80%-60.7M0.16%-63.1M0.16%-63.1M0.94%-63.2M0.94%-63.2M-422.95%-63.8M-422.95%-63.8M15.86%-12.2M15.86%-12.2M
Preferred securities outside stock equity -3.27%23.7M-3.27%23.7M13.43%24.5M13.43%24.5M-2.26%21.6M-2.26%21.6M-6.75%22.1M-6.75%22.1M17.33%23.7M17.33%23.7M
Total non current liabilities 2.40%4.2B2.40%4.2B-14.51%4.1B-14.51%4.1B2.05%4.79B2.05%4.79B12.01%4.7B12.01%4.7B1.92%4.19B1.92%4.19B
Shareholders'equity
Share capital -25.12%1.24B-25.12%1.24B131.00%1.65B131.00%1.65B0.00%715.1M0.00%715.1M0.00%715.1M0.00%715.1M0.00%715.1M0.00%715.1M
-common stock -25.12%1.24B-25.12%1.24B131.00%1.65B131.00%1.65B0.00%715.1M0.00%715.1M0.00%715.1M0.00%715.1M0.00%715.1M0.00%715.1M
Gains losses not affecting retained earnings 5.77%579.4M5.77%579.4M1,036.41%547.8M1,036.41%547.8M51.89%-58.5M51.89%-58.5M-4,776.92%-121.6M-4,776.92%-121.6M111.06%2.6M111.06%2.6M
Total equity 7.92%10.92B7.92%10.92B16.70%10.12B16.70%10.12B10.09%8.67B10.09%8.67B24.30%7.88B24.30%7.88B8.38%6.34B8.38%6.34B

Analysis

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