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BHP BHP Group Ltd

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  • 45.890
  • +1.000+2.23%
20min DelayTrading May 20 13:52 AET
232.73BMarket Cap12.00P/E (Static)

BHP Group Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q2)Dec 31, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q2)Dec 31, 2021
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(Q2)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
6.75%10.61B
-28.98%12.46B
-28.98%12.46B
-20.67%9.93B
15.02%17.54B
15.02%17.54B
34.62%12.52B
13.27%15.25B
13.27%15.25B
-35.29%9.3B
-Cash and cash equivalents
7.43%10.32B
-27.90%12.43B
-27.90%12.43B
-22.33%9.61B
13.05%17.24B
13.05%17.24B
33.10%12.37B
13.56%15.25B
13.56%15.25B
-35.12%9.29B
-Accounts receivable
18.46%5.35B
-15.33%4.59B
-15.33%4.59B
-7.76%4.52B
-10.45%5.43B
-10.45%5.43B
7.11%4.9B
80.11%6.06B
80.11%6.06B
27.20%4.57B
-Other receivables
----
----
----
----
-31.88%1.33B
-31.88%1.33B
----
--1.95B
--1.95B
----
Holding assets for sale
--1.57B
----
----
----
----
----
--17.27B
--324M
--324M
----
Total current assets
18.39%23.8B
-18.54%23.35B
-18.54%23.35B
-49.33%20.1B
7.38%28.66B
7.38%28.66B
108.70%39.67B
24.32%26.69B
24.32%26.69B
-14.55%19.01B
Non current assets
-Accumulated depreciation
----
-6.17%-63.53B
-6.17%-63.53B
----
22.84%-59.84B
22.84%-59.84B
----
-12.05%-77.55B
-12.05%-77.55B
----
Investment properties
-18.32%553M
13.54%738M
13.54%738M
63.92%677M
94.03%650M
94.03%650M
16.01%413M
-5.37%335M
-5.37%335M
-71.86%356M
-Long term equity investment
54.23%19.57B
9.89%15.17B
9.89%15.17B
-20.20%12.69B
-24.78%13.81B
-24.78%13.81B
-17.03%15.9B
-16.70%18.36B
-16.70%18.36B
-14.98%19.16B
-Including:Financial assets designated as fair value through profit or loss, Total
-51.50%242M
0.39%514M
0.39%514M
22.60%499M
68.42%512M
68.42%512M
26.79%407M
-5.59%304M
-5.59%304M
--321M
-Including:Available-for-sale securities
74.72%311M
62.32%224M
62.32%224M
2,866.67%178M
345.16%138M
345.16%138M
-82.86%6M
-3.13%31M
-3.13%31M
-97.23%35M
-Including:Held to maturity investments
119.86%321M
35.28%441M
35.28%441M
35.19%146M
43.61%326M
43.61%326M
-50.00%108M
372.92%227M
372.92%227M
--216M
Financial assets
157.51%497M
148.03%377M
148.03%377M
-75.94%193M
-88.08%152M
-88.08%152M
-58.08%802M
-41.19%1.28B
-41.19%1.28B
--1.91B
Non current note receivables
40.74%76M
0.00%56M
0.00%56M
-42.55%54M
-97.07%56M
-97.07%56M
-97.04%94M
-48.16%1.91B
-48.16%1.91B
-17.80%3.18B
-Goodwill
15.60%1.62B
17.60%1.61B
17.60%1.61B
4.88%1.4B
-4.73%1.37B
-4.73%1.37B
-11.67%1.33B
-8.70%1.44B
-8.70%1.44B
125.07%1.51B
-Other intangible assets
----
-1.72%171M
-1.72%171M
----
-35.07%174M
-35.07%174M
----
8.94%268M
8.94%268M
----
Regulatory assets
16.85%5.8B
-10.32%5.1B
-10.32%5.1B
-3.43%4.96B
-10.24%5.69B
-10.24%5.69B
5.55%5.14B
69.92%6.34B
69.92%6.34B
30.44%4.87B
Non current deferred assets
14.97%169M
-3.27%148M
-3.27%148M
-14.04%147M
-54.60%153M
-54.60%153M
-36.67%171M
26.22%337M
26.22%337M
6.30%270M
Total assets
0.45%446M
93.16%508M
93.16%508M
85.00%444M
-5.73%263M
-5.73%263M
-18.64%240M
-23.77%279M
-23.77%279M
115.33%295M
Liabilities
Current liabilities
Current debt and capital lease obligation
40.89%2.84B
173.57%7.17B
173.57%7.17B
-34.02%2.02B
-0.23%2.62B
-0.23%2.62B
-14.21%3.05B
-47.57%2.63B
-47.57%2.63B
-16.69%3.56B
-Current debt
40.89%2.84B
-21.34%1.34B
-21.34%1.34B
-34.02%2.02B
31.03%1.71B
31.03%1.71B
-14.21%3.05B
-61.95%1.3B
-61.95%1.3B
-16.69%3.56B
-Bank in debtedness
----
1,237.53%5.31B
1,237.53%5.31B
----
-9.15%397M
-9.15%397M
----
-40.71%437M
-40.71%437M
----
-Current capital lease obligation
----
0.39%521M
0.39%521M
----
-41.62%519M
-41.62%519M
----
4.22%889M
4.22%889M
----
-accounts payable
24.78%6.09B
17.46%6.3B
17.46%6.3B
6.83%4.88B
5.53%5.36B
5.53%5.36B
-19.30%4.57B
-11.93%5.08B
-11.93%5.08B
-2.33%5.66B
-Total tax payable
33.49%39.22B
14.39%33.72B
14.39%33.72B
-2.65%29.38B
-20.15%29.48B
-20.15%29.48B
-17.19%30.18B
-4.69%36.92B
-4.69%36.92B
0.94%36.45B
-Other payable
10.55%1.67B
12.15%1.58B
12.15%1.58B
14.34%1.51B
1.74%1.41B
1.74%1.41B
10.48%1.32B
9.41%1.38B
9.41%1.38B
3.20%1.19B
Current provisions
7.33%4.41B
13.85%4.51B
13.85%4.51B
23.58%4.1B
7.28%3.97B
7.28%3.97B
26.23%3.32B
31.53%3.7B
31.53%3.7B
24.93%2.63B
Current deferred liabilities
97.67%85M
38.24%47M
38.24%47M
59.26%43M
-67.62%34M
-67.62%34M
-68.60%27M
8.25%105M
8.25%105M
-27.12%86M
Current liabilities
27.64%15.18B
12.55%19.04B
12.55%19.04B
-42.34%11.89B
3.15%16.92B
3.15%16.92B
54.32%20.62B
10.65%16.4B
10.65%16.4B
-2.91%13.36B
Non current liabilities
-Long term debt
----
21.44%2.5B
21.44%2.5B
----
-31.59%2.06B
-31.59%2.06B
----
16.10%3.01B
16.10%3.01B
----
Non current accrued expenses
12.57%69.99B
17.17%71.82B
17.17%71.82B
2.89%62.18B
-16.96%61.3B
-16.96%61.3B
-18.01%60.43B
2.01%73.81B
2.01%73.81B
5.01%73.71B
Derivative product liabilities
-39.94%1.24B
12.89%1.69B
12.89%1.69B
153.44%2.06B
155.46%1.5B
155.46%1.5B
26.99%814M
-58.56%586M
-58.56%586M
--641M
Long term provisions
54.23%19.57B
7.87%12.67B
7.87%12.67B
-20.20%12.69B
-23.45%11.75B
-23.45%11.75B
-17.03%15.9B
-21.07%15.35B
-21.07%15.35B
-14.98%19.16B
Total non current liabilities
31.80%54.4B
13.72%52.77B
13.72%52.77B
-18.76%41.27B
-12.98%46.4B
-12.98%46.4B
1.99%50.8B
-0.44%53.32B
-0.44%53.32B
-0.12%49.81B
Shareholders'equity
Share capital
1.73%4.82B
2.13%4.74B
2.13%4.74B
102.44%4.74B
113.93%4.64B
113.93%4.64B
7.93%2.34B
0.00%2.17B
0.00%2.17B
0.00%2.17B
-common stock
1.73%4.82B
2.13%4.74B
2.13%4.74B
102.44%4.74B
113.93%4.64B
113.93%4.64B
7.93%2.34B
0.00%2.17B
0.00%2.17B
0.00%2.17B
Additional paid-in capital
----
--0
--0
----
--0
--0
----
0.00%695M
0.00%695M
----
Gains losses not affecting retained earnings
7.14%-26M
0.25%-1.6B
0.25%-1.6B
-101.15%-28M
-1,641.35%-1.6B
-1,641.35%-1.6B
3.90%2.43B
26.83%104M
26.83%104M
3.27%2.34B
Other equity interest
29.53%193M
-25.14%131M
-25.14%131M
25.21%149M
35.66%175M
35.66%175M
5.31%119M
-0.77%129M
-0.77%129M
-43.50%113M
Noncontrolling interests
3.19%1.62B
14.08%1.62B
14.08%1.62B
5.31%1.57B
-18.48%1.42B
-18.48%1.42B
-28.89%1.49B
-32.61%1.74B
-32.61%1.74B
-20.59%2.09B
Total equity
13.85%99.99B
6.44%101.3B
6.44%101.3B
-16.93%87.82B
-12.63%95.17B
-12.63%95.17B
2.41%105.73B
3.02%108.93B
3.02%108.93B
0.92%103.23B
(Q2)Dec 31, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q2)Dec 31, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022(Q2)Dec 31, 2021(FY)Jun 30, 2021(Q4)Jun 30, 2021(Q2)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 6.75%10.61B-28.98%12.46B-28.98%12.46B-20.67%9.93B15.02%17.54B15.02%17.54B34.62%12.52B13.27%15.25B13.27%15.25B-35.29%9.3B
-Cash and cash equivalents 7.43%10.32B-27.90%12.43B-27.90%12.43B-22.33%9.61B13.05%17.24B13.05%17.24B33.10%12.37B13.56%15.25B13.56%15.25B-35.12%9.29B
-Accounts receivable 18.46%5.35B-15.33%4.59B-15.33%4.59B-7.76%4.52B-10.45%5.43B-10.45%5.43B7.11%4.9B80.11%6.06B80.11%6.06B27.20%4.57B
-Other receivables -----------------31.88%1.33B-31.88%1.33B------1.95B--1.95B----
Holding assets for sale --1.57B----------------------17.27B--324M--324M----
Total current assets 18.39%23.8B-18.54%23.35B-18.54%23.35B-49.33%20.1B7.38%28.66B7.38%28.66B108.70%39.67B24.32%26.69B24.32%26.69B-14.55%19.01B
Non current assets
-Accumulated depreciation -----6.17%-63.53B-6.17%-63.53B----22.84%-59.84B22.84%-59.84B-----12.05%-77.55B-12.05%-77.55B----
Investment properties -18.32%553M13.54%738M13.54%738M63.92%677M94.03%650M94.03%650M16.01%413M-5.37%335M-5.37%335M-71.86%356M
-Long term equity investment 54.23%19.57B9.89%15.17B9.89%15.17B-20.20%12.69B-24.78%13.81B-24.78%13.81B-17.03%15.9B-16.70%18.36B-16.70%18.36B-14.98%19.16B
-Including:Financial assets designated as fair value through profit or loss, Total -51.50%242M0.39%514M0.39%514M22.60%499M68.42%512M68.42%512M26.79%407M-5.59%304M-5.59%304M--321M
-Including:Available-for-sale securities 74.72%311M62.32%224M62.32%224M2,866.67%178M345.16%138M345.16%138M-82.86%6M-3.13%31M-3.13%31M-97.23%35M
-Including:Held to maturity investments 119.86%321M35.28%441M35.28%441M35.19%146M43.61%326M43.61%326M-50.00%108M372.92%227M372.92%227M--216M
Financial assets 157.51%497M148.03%377M148.03%377M-75.94%193M-88.08%152M-88.08%152M-58.08%802M-41.19%1.28B-41.19%1.28B--1.91B
Non current note receivables 40.74%76M0.00%56M0.00%56M-42.55%54M-97.07%56M-97.07%56M-97.04%94M-48.16%1.91B-48.16%1.91B-17.80%3.18B
-Goodwill 15.60%1.62B17.60%1.61B17.60%1.61B4.88%1.4B-4.73%1.37B-4.73%1.37B-11.67%1.33B-8.70%1.44B-8.70%1.44B125.07%1.51B
-Other intangible assets -----1.72%171M-1.72%171M-----35.07%174M-35.07%174M----8.94%268M8.94%268M----
Regulatory assets 16.85%5.8B-10.32%5.1B-10.32%5.1B-3.43%4.96B-10.24%5.69B-10.24%5.69B5.55%5.14B69.92%6.34B69.92%6.34B30.44%4.87B
Non current deferred assets 14.97%169M-3.27%148M-3.27%148M-14.04%147M-54.60%153M-54.60%153M-36.67%171M26.22%337M26.22%337M6.30%270M
Total assets 0.45%446M93.16%508M93.16%508M85.00%444M-5.73%263M-5.73%263M-18.64%240M-23.77%279M-23.77%279M115.33%295M
Liabilities
Current liabilities
Current debt and capital lease obligation 40.89%2.84B173.57%7.17B173.57%7.17B-34.02%2.02B-0.23%2.62B-0.23%2.62B-14.21%3.05B-47.57%2.63B-47.57%2.63B-16.69%3.56B
-Current debt 40.89%2.84B-21.34%1.34B-21.34%1.34B-34.02%2.02B31.03%1.71B31.03%1.71B-14.21%3.05B-61.95%1.3B-61.95%1.3B-16.69%3.56B
-Bank in debtedness ----1,237.53%5.31B1,237.53%5.31B-----9.15%397M-9.15%397M-----40.71%437M-40.71%437M----
-Current capital lease obligation ----0.39%521M0.39%521M-----41.62%519M-41.62%519M----4.22%889M4.22%889M----
-accounts payable 24.78%6.09B17.46%6.3B17.46%6.3B6.83%4.88B5.53%5.36B5.53%5.36B-19.30%4.57B-11.93%5.08B-11.93%5.08B-2.33%5.66B
-Total tax payable 33.49%39.22B14.39%33.72B14.39%33.72B-2.65%29.38B-20.15%29.48B-20.15%29.48B-17.19%30.18B-4.69%36.92B-4.69%36.92B0.94%36.45B
-Other payable 10.55%1.67B12.15%1.58B12.15%1.58B14.34%1.51B1.74%1.41B1.74%1.41B10.48%1.32B9.41%1.38B9.41%1.38B3.20%1.19B
Current provisions 7.33%4.41B13.85%4.51B13.85%4.51B23.58%4.1B7.28%3.97B7.28%3.97B26.23%3.32B31.53%3.7B31.53%3.7B24.93%2.63B
Current deferred liabilities 97.67%85M38.24%47M38.24%47M59.26%43M-67.62%34M-67.62%34M-68.60%27M8.25%105M8.25%105M-27.12%86M
Current liabilities 27.64%15.18B12.55%19.04B12.55%19.04B-42.34%11.89B3.15%16.92B3.15%16.92B54.32%20.62B10.65%16.4B10.65%16.4B-2.91%13.36B
Non current liabilities
-Long term debt ----21.44%2.5B21.44%2.5B-----31.59%2.06B-31.59%2.06B----16.10%3.01B16.10%3.01B----
Non current accrued expenses 12.57%69.99B17.17%71.82B17.17%71.82B2.89%62.18B-16.96%61.3B-16.96%61.3B-18.01%60.43B2.01%73.81B2.01%73.81B5.01%73.71B
Derivative product liabilities -39.94%1.24B12.89%1.69B12.89%1.69B153.44%2.06B155.46%1.5B155.46%1.5B26.99%814M-58.56%586M-58.56%586M--641M
Long term provisions 54.23%19.57B7.87%12.67B7.87%12.67B-20.20%12.69B-23.45%11.75B-23.45%11.75B-17.03%15.9B-21.07%15.35B-21.07%15.35B-14.98%19.16B
Total non current liabilities 31.80%54.4B13.72%52.77B13.72%52.77B-18.76%41.27B-12.98%46.4B-12.98%46.4B1.99%50.8B-0.44%53.32B-0.44%53.32B-0.12%49.81B
Shareholders'equity
Share capital 1.73%4.82B2.13%4.74B2.13%4.74B102.44%4.74B113.93%4.64B113.93%4.64B7.93%2.34B0.00%2.17B0.00%2.17B0.00%2.17B
-common stock 1.73%4.82B2.13%4.74B2.13%4.74B102.44%4.74B113.93%4.64B113.93%4.64B7.93%2.34B0.00%2.17B0.00%2.17B0.00%2.17B
Additional paid-in capital ------0--0------0--0----0.00%695M0.00%695M----
Gains losses not affecting retained earnings 7.14%-26M0.25%-1.6B0.25%-1.6B-101.15%-28M-1,641.35%-1.6B-1,641.35%-1.6B3.90%2.43B26.83%104M26.83%104M3.27%2.34B
Other equity interest 29.53%193M-25.14%131M-25.14%131M25.21%149M35.66%175M35.66%175M5.31%119M-0.77%129M-0.77%129M-43.50%113M
Noncontrolling interests 3.19%1.62B14.08%1.62B14.08%1.62B5.31%1.57B-18.48%1.42B-18.48%1.42B-28.89%1.49B-32.61%1.74B-32.61%1.74B-20.59%2.09B
Total equity 13.85%99.99B6.44%101.3B6.44%101.3B-16.93%87.82B-12.63%95.17B-12.63%95.17B2.41%105.73B3.02%108.93B3.02%108.93B0.92%103.23B

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