AU Stock MarketDetailed Quotes

AMP AMP Ltd

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  • 1.057
  • -0.018-1.67%
20min DelayTrading Jun 11 15:11 AET
2.82BMarket Cap11.62P/E (Static)

AMP 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
-8.12%6.49B
-8.12%6.49B
12.64%7.06B
12.64%7.06B
158.07%6.27B
158.07%6.27B
-46.51%2.43B
-46.51%2.43B
15.44%4.54B
15.44%4.54B
-Cash and cash equivalents
-20.70%1.44B
-20.70%1.44B
-37.72%1.82B
-37.72%1.82B
20.10%2.92B
20.10%2.92B
-46.51%2.43B
-46.51%2.43B
15.44%4.54B
15.44%4.54B
-Accounts receivable
48.08%231M
48.08%231M
-66.88%156M
-66.88%156M
-27.65%471M
-27.65%471M
-74.77%651M
-74.77%651M
-0.88%2.58B
-0.88%2.58B
-Notes receivable
-50.00%32M
-50.00%32M
-24.71%64M
-24.71%64M
-13.27%85M
-13.27%85M
-2.97%98M
-2.97%98M
31.17%101M
31.17%101M
-Other receivables
-30.30%69M
-30.30%69M
-44.07%99M
-44.07%99M
--177M
--177M
----
----
----
----
Current deferred assets
9.21%83M
9.21%83M
-65.61%76M
-65.61%76M
38.13%221M
38.13%221M
-65.59%160M
-65.59%160M
--465M
--465M
Holding assets for sale
----
----
29.74%746M
29.74%746M
--575M
--575M
----
----
----
----
Total current assets
-18.45%7.23B
-18.45%7.23B
11.19%8.86B
11.19%8.86B
140.58%7.97B
140.58%7.97B
-56.76%3.31B
-56.76%3.31B
11.83%7.66B
11.83%7.66B
Non current assets
-Accumulated depreciation
----
----
----
----
----
----
----
----
---50M
---50M
Investments and advances
----
----
----
----
----
----
----
----
11.03%161M
11.03%161M
-Long term equity investment
-2.08%28.92B
-2.08%28.92B
12.49%29.53B
12.49%29.53B
512.51%26.25B
512.51%26.25B
-38.55%4.29B
-38.55%4.29B
-8.55%6.98B
-8.55%6.98B
-Including:Held to maturity investments
-41.49%323M
-41.49%323M
65.27%552M
65.27%552M
--334M
--334M
----
----
----
----
Financial assets
----
----
----
----
----
----
-78.28%369M
-78.28%369M
60.43%1.7B
60.43%1.7B
Non current note receivables
15.11%640M
15.11%640M
-15.11%556M
-15.11%556M
-20.89%655M
-20.89%655M
-34.34%828M
-34.34%828M
43.95%1.26B
43.95%1.26B
-Goodwill
5.56%209M
5.56%209M
-40.00%198M
-40.00%198M
-48.44%330M
-48.44%330M
-27.02%640M
-27.02%640M
-72.66%877M
-72.66%877M
Defined pension benefit
----
----
300.00%12M
300.00%12M
--3M
--3M
----
----
----
----
Regulatory assets
-21.96%334M
-21.96%334M
-25.17%428M
-25.17%428M
-12.14%572M
-12.14%572M
-74.77%651M
-74.77%651M
-0.88%2.58B
-0.88%2.58B
Non current deferred assets
2.25%24.62B
2.25%24.62B
9.22%24.08B
9.22%24.08B
7.14%22.05B
7.14%22.05B
-0.44%20.58B
-0.44%20.58B
2.81%20.67B
2.81%20.67B
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
----
----
----
----
441.04%20.84B
441.04%20.84B
18.71%3.85B
18.71%3.85B
-Current debt
----
----
----
----
----
----
475.29%20.63B
475.29%20.63B
10.51%3.59B
10.51%3.59B
-Current capital lease obligation
----
----
----
----
----
----
-20.68%211M
-20.68%211M
--266M
--266M
-accounts payable
-14.07%116M
-14.07%116M
-21.51%135M
-21.51%135M
-40.28%172M
-40.28%172M
-87.65%288M
-87.65%288M
22.22%2.33B
22.22%2.33B
-Total tax payable
-2.14%28.97B
-2.14%28.97B
11.81%29.6B
11.81%29.6B
455.34%26.47B
455.34%26.47B
-96.08%4.77B
-96.08%4.77B
1.43%121.69B
1.43%121.69B
-Other payable
23.08%48M
23.08%48M
-49.35%39M
-49.35%39M
-25.96%77M
-25.96%77M
--104M
--104M
----
----
Current provisions
46.82%624M
46.82%624M
-45.02%425M
-45.02%425M
-46.02%773M
-46.02%773M
-22.84%1.43B
-22.84%1.43B
-8.66%1.86B
-8.66%1.86B
Current deferred liabilities
-59.65%23M
-59.65%23M
-14.93%57M
-14.93%57M
-4.29%67M
-4.29%67M
-43.09%70M
-43.09%70M
68.49%123M
68.49%123M
Current liabilities
-11.31%1.04B
-11.31%1.04B
-38.02%1.17B
-38.02%1.17B
-91.85%1.88B
-91.85%1.88B
9.97%23.12B
9.97%23.12B
13.52%21.02B
13.52%21.02B
Non current liabilities
-Long term debt
-5.80%536M
-5.80%536M
321.48%569M
321.48%569M
--135M
--135M
----
----
----
----
Non current accrued expenses
-22.04%329M
-22.04%329M
149.70%422M
149.70%422M
-2.87%169M
-2.87%169M
-49.27%174M
-49.27%174M
261.05%343M
261.05%343M
Long term provisions
-2.00%28.38B
-2.00%28.38B
10.89%28.96B
10.89%28.96B
509.36%26.12B
509.36%26.12B
-38.55%4.29B
-38.55%4.29B
-8.55%6.98B
-8.55%6.98B
Employee benefits
-50.00%32M
-50.00%32M
-24.71%64M
-24.71%64M
-13.27%85M
-13.27%85M
-2.97%98M
-2.97%98M
31.17%101M
31.17%101M
Preferred securities outside stock equity
-21.35%140M
-21.35%140M
-56.80%178M
-56.80%178M
15.41%412M
15.41%412M
-9.62%357M
-9.62%357M
25.00%395M
25.00%395M
Total non current liabilities
-2.49%30B
-2.49%30B
8.50%30.77B
8.50%30.77B
1.70%28.36B
1.70%28.36B
-80.46%27.88B
-80.46%27.88B
3.05%142.71B
3.05%142.71B
Shareholders'equity
Share capital
-6.76%4.66B
-6.76%4.66B
-50.73%5B
-50.73%5B
-1.89%10.15B
-1.89%10.15B
0.49%10.35B
0.49%10.35B
8.39%10.3B
8.39%10.3B
-common stock
-6.76%4.66B
-6.76%4.66B
-50.73%5B
-50.73%5B
-1.89%10.15B
-1.89%10.15B
0.49%10.35B
0.49%10.35B
8.39%10.3B
8.39%10.3B
Gains losses not affecting retained earnings
-19.53%239M
-19.53%239M
112.76%297M
112.76%297M
3.20%-2.33B
3.20%-2.33B
-24.56%-2.4B
-24.56%-2.4B
0.05%-1.93B
0.05%-1.93B
Other equity interest
----
----
----
----
----
----
-2.67%73M
-2.67%73M
-76.11%75M
-76.11%75M
Noncontrolling interests
4.15%803M
4.15%803M
-29.27%771M
-29.27%771M
-24.41%1.09B
-24.41%1.09B
--1.44B
--1.44B
----
----
Total equity
-3.04%33.88B
-3.04%33.88B
8.04%34.94B
8.04%34.94B
0.54%32.34B
0.54%32.34B
-78.22%32.16B
-78.22%32.16B
1.66%147.68B
1.66%147.68B
(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 -8.12%6.49B-8.12%6.49B12.64%7.06B12.64%7.06B158.07%6.27B158.07%6.27B-46.51%2.43B-46.51%2.43B15.44%4.54B15.44%4.54B
-Cash and cash equivalents -20.70%1.44B-20.70%1.44B-37.72%1.82B-37.72%1.82B20.10%2.92B20.10%2.92B-46.51%2.43B-46.51%2.43B15.44%4.54B15.44%4.54B
-Accounts receivable 48.08%231M48.08%231M-66.88%156M-66.88%156M-27.65%471M-27.65%471M-74.77%651M-74.77%651M-0.88%2.58B-0.88%2.58B
-Notes receivable -50.00%32M-50.00%32M-24.71%64M-24.71%64M-13.27%85M-13.27%85M-2.97%98M-2.97%98M31.17%101M31.17%101M
-Other receivables -30.30%69M-30.30%69M-44.07%99M-44.07%99M--177M--177M----------------
Current deferred assets 9.21%83M9.21%83M-65.61%76M-65.61%76M38.13%221M38.13%221M-65.59%160M-65.59%160M--465M--465M
Holding assets for sale --------29.74%746M29.74%746M--575M--575M----------------
Total current assets -18.45%7.23B-18.45%7.23B11.19%8.86B11.19%8.86B140.58%7.97B140.58%7.97B-56.76%3.31B-56.76%3.31B11.83%7.66B11.83%7.66B
Non current assets
-Accumulated depreciation -----------------------------------50M---50M
Investments and advances --------------------------------11.03%161M11.03%161M
-Long term equity investment -2.08%28.92B-2.08%28.92B12.49%29.53B12.49%29.53B512.51%26.25B512.51%26.25B-38.55%4.29B-38.55%4.29B-8.55%6.98B-8.55%6.98B
-Including:Held to maturity investments -41.49%323M-41.49%323M65.27%552M65.27%552M--334M--334M----------------
Financial assets -------------------------78.28%369M-78.28%369M60.43%1.7B60.43%1.7B
Non current note receivables 15.11%640M15.11%640M-15.11%556M-15.11%556M-20.89%655M-20.89%655M-34.34%828M-34.34%828M43.95%1.26B43.95%1.26B
-Goodwill 5.56%209M5.56%209M-40.00%198M-40.00%198M-48.44%330M-48.44%330M-27.02%640M-27.02%640M-72.66%877M-72.66%877M
Defined pension benefit --------300.00%12M300.00%12M--3M--3M----------------
Regulatory assets -21.96%334M-21.96%334M-25.17%428M-25.17%428M-12.14%572M-12.14%572M-74.77%651M-74.77%651M-0.88%2.58B-0.88%2.58B
Non current deferred assets 2.25%24.62B2.25%24.62B9.22%24.08B9.22%24.08B7.14%22.05B7.14%22.05B-0.44%20.58B-0.44%20.58B2.81%20.67B2.81%20.67B
Liabilities
Current liabilities
Current debt and capital lease obligation ------------------------441.04%20.84B441.04%20.84B18.71%3.85B18.71%3.85B
-Current debt ------------------------475.29%20.63B475.29%20.63B10.51%3.59B10.51%3.59B
-Current capital lease obligation -------------------------20.68%211M-20.68%211M--266M--266M
-accounts payable -14.07%116M-14.07%116M-21.51%135M-21.51%135M-40.28%172M-40.28%172M-87.65%288M-87.65%288M22.22%2.33B22.22%2.33B
-Total tax payable -2.14%28.97B-2.14%28.97B11.81%29.6B11.81%29.6B455.34%26.47B455.34%26.47B-96.08%4.77B-96.08%4.77B1.43%121.69B1.43%121.69B
-Other payable 23.08%48M23.08%48M-49.35%39M-49.35%39M-25.96%77M-25.96%77M--104M--104M--------
Current provisions 46.82%624M46.82%624M-45.02%425M-45.02%425M-46.02%773M-46.02%773M-22.84%1.43B-22.84%1.43B-8.66%1.86B-8.66%1.86B
Current deferred liabilities -59.65%23M-59.65%23M-14.93%57M-14.93%57M-4.29%67M-4.29%67M-43.09%70M-43.09%70M68.49%123M68.49%123M
Current liabilities -11.31%1.04B-11.31%1.04B-38.02%1.17B-38.02%1.17B-91.85%1.88B-91.85%1.88B9.97%23.12B9.97%23.12B13.52%21.02B13.52%21.02B
Non current liabilities
-Long term debt -5.80%536M-5.80%536M321.48%569M321.48%569M--135M--135M----------------
Non current accrued expenses -22.04%329M-22.04%329M149.70%422M149.70%422M-2.87%169M-2.87%169M-49.27%174M-49.27%174M261.05%343M261.05%343M
Long term provisions -2.00%28.38B-2.00%28.38B10.89%28.96B10.89%28.96B509.36%26.12B509.36%26.12B-38.55%4.29B-38.55%4.29B-8.55%6.98B-8.55%6.98B
Employee benefits -50.00%32M-50.00%32M-24.71%64M-24.71%64M-13.27%85M-13.27%85M-2.97%98M-2.97%98M31.17%101M31.17%101M
Preferred securities outside stock equity -21.35%140M-21.35%140M-56.80%178M-56.80%178M15.41%412M15.41%412M-9.62%357M-9.62%357M25.00%395M25.00%395M
Total non current liabilities -2.49%30B-2.49%30B8.50%30.77B8.50%30.77B1.70%28.36B1.70%28.36B-80.46%27.88B-80.46%27.88B3.05%142.71B3.05%142.71B
Shareholders'equity
Share capital -6.76%4.66B-6.76%4.66B-50.73%5B-50.73%5B-1.89%10.15B-1.89%10.15B0.49%10.35B0.49%10.35B8.39%10.3B8.39%10.3B
-common stock -6.76%4.66B-6.76%4.66B-50.73%5B-50.73%5B-1.89%10.15B-1.89%10.15B0.49%10.35B0.49%10.35B8.39%10.3B8.39%10.3B
Gains losses not affecting retained earnings -19.53%239M-19.53%239M112.76%297M112.76%297M3.20%-2.33B3.20%-2.33B-24.56%-2.4B-24.56%-2.4B0.05%-1.93B0.05%-1.93B
Other equity interest -------------------------2.67%73M-2.67%73M-76.11%75M-76.11%75M
Noncontrolling interests 4.15%803M4.15%803M-29.27%771M-29.27%771M-24.41%1.09B-24.41%1.09B--1.44B--1.44B--------
Total equity -3.04%33.88B-3.04%33.88B8.04%34.94B8.04%34.94B0.54%32.34B0.54%32.34B-78.22%32.16B-78.22%32.16B1.66%147.68B1.66%147.68B

Analysis

Analyst Rating

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