AU Stock MarketDetailed Quotes

CSL CSL Ltd

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  • 279.180
  • +2.130+0.77%
20min DelayMarket Closed May 10 16:00 AET
134.91BMarket Cap41.06P/E (Static)

CSL Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(FY)Jun 30, 2020
(Q4)Jun 30, 2020
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-85.17%1.55B
-85.17%1.55B
476.98%10.44B
476.98%10.44B
51.44%1.81B
51.44%1.81B
81.57%1.19B
81.57%1.19B
-19.26%657.8M
-19.26%657.8M
-Cash and cash equivalents
-85.17%1.55B
-85.17%1.55B
476.98%10.44B
476.98%10.44B
51.44%1.81B
51.44%1.81B
81.57%1.19B
81.57%1.19B
-19.26%657.8M
-19.26%657.8M
-Accounts receivable
47.44%1.42B
47.44%1.42B
-3.13%965.8M
-3.13%965.8M
-11.07%997M
-11.07%997M
-12.03%1.12B
-12.03%1.12B
14.31%1.27B
14.31%1.27B
-Notes receivable
39.68%264M
39.68%264M
-43.46%189M
-43.46%189M
-14.11%334.3M
-14.11%334.3M
13.50%389.2M
13.50%389.2M
31.38%342.9M
31.38%342.9M
-Other receivables
24.43%2.13B
24.43%2.13B
12.71%1.71B
12.71%1.71B
42.13%1.52B
42.13%1.52B
8.32%1.07B
8.32%1.07B
17.36%985.1M
17.36%985.1M
Current deferred assets
3.68%31M
3.68%31M
-64.53%29.9M
-64.53%29.9M
140.17%84.3M
140.17%84.3M
64.02%35.1M
64.02%35.1M
224.24%21.4M
224.24%21.4M
Total current assets
-43.75%9.26B
-43.75%9.26B
122.75%16.46B
122.75%16.46B
14.64%7.39B
14.64%7.39B
16.36%6.45B
16.36%6.45B
10.94%5.54B
10.94%5.54B
Non current assets
-Accumulated depreciation
-10.03%-3.47B
-10.03%-3.47B
-11.28%-3.15B
-11.28%-3.15B
-14.27%-2.83B
-14.27%-2.83B
-29.18%-2.48B
-29.18%-2.48B
-8.72%-1.92B
-8.72%-1.92B
-Long term equity investment
116.35%11.17B
116.35%11.17B
-3.17%5.16B
-3.17%5.16B
-7.90%5.33B
-7.90%5.33B
36.50%5.79B
36.50%5.79B
1.96%4.24B
1.96%4.24B
Non current note receivables
74.30%902M
74.30%902M
-2.27%517.5M
-2.27%517.5M
-2.49%529.5M
-2.49%529.5M
43.39%543M
43.39%543M
-5.63%378.7M
-5.63%378.7M
-Goodwill
523.40%16.45B
523.40%16.45B
-1.18%2.64B
-1.18%2.64B
24.74%2.67B
24.74%2.67B
13.94%2.14B
13.94%2.14B
4.21%1.88B
4.21%1.88B
Defined pension benefit
11.11%6M
11.11%6M
38.46%5.4M
38.46%5.4M
178.57%3.9M
178.57%3.9M
-6.67%1.4M
-6.67%1.4M
-63.41%1.5M
-63.41%1.5M
Regulatory assets
28.44%1.91B
28.44%1.91B
-5.15%1.48B
-5.15%1.48B
0.35%1.56B
0.35%1.56B
-8.60%1.56B
-8.60%1.56B
24.86%1.7B
24.86%1.7B
Non current deferred assets
650.00%96M
650.00%96M
93.94%12.8M
93.94%12.8M
-53.85%6.6M
-53.85%6.6M
-33.80%14.3M
-33.80%14.3M
41.18%21.6M
41.18%21.6M
Liabilities
Current liabilities
Current debt and capital lease obligation
-76.52%1.06B
-76.52%1.06B
848.50%4.49B
848.50%4.49B
134.21%473.8M
134.21%473.8M
-51.90%202.3M
-51.90%202.3M
86.35%420.6M
86.35%420.6M
-Current debt
-78.19%964M
-78.19%964M
1,016.29%4.42B
1,016.29%4.42B
219.35%396M
219.35%396M
-70.30%124M
-70.30%124M
87.47%417.5M
87.47%417.5M
-Current capital lease obligation
23.81%91M
23.81%91M
-5.53%73.5M
-5.53%73.5M
-0.64%77.8M
-0.64%77.8M
2,425.81%78.3M
2,425.81%78.3M
3.33%3.1M
3.33%3.1M
-accounts payable
38.56%820M
38.56%820M
13.15%591.8M
13.15%591.8M
14.12%523M
14.12%523M
8.45%458.3M
8.45%458.3M
1.25%422.6M
1.25%422.6M
-Total tax payable
107.20%13.8B
107.20%13.8B
-0.18%6.66B
-0.18%6.66B
-1.82%6.67B
-1.82%6.67B
39.40%6.8B
39.40%6.8B
1.99%4.87B
1.99%4.87B
-Other payable
----
----
----
----
----
----
---100K
---100K
----
----
Current provisions
-64.74%64M
-64.74%64M
1,056.05%181.5M
1,056.05%181.5M
1,862.50%15.7M
1,862.50%15.7M
-98.76%800K
-98.76%800K
0.16%64.5M
0.16%64.5M
Current deferred liabilities
125.10%296M
125.10%296M
-57.99%131.5M
-57.99%131.5M
23.37%313M
23.37%313M
56.41%253.7M
56.41%253.7M
-34.70%162.2M
-34.70%162.2M
Current liabilities
-35.17%4.61B
-35.17%4.61B
129.03%7.11B
129.03%7.11B
44.93%3.1B
44.93%3.1B
-2.13%2.14B
-2.13%2.14B
14.28%2.19B
14.28%2.19B
Non current liabilities
-Long term debt
23.57%1.61B
23.57%1.61B
17.81%1.3B
17.81%1.3B
15,457.75%1.1B
15,457.75%1.1B
-63.59%7.1M
-63.59%7.1M
-4.88%19.5M
-4.88%19.5M
Non current accrued expenses
12.56%9.35B
12.56%9.35B
10.25%8.31B
10.25%8.31B
19.52%7.54B
19.52%7.54B
40.61%6.31B
40.61%6.31B
26.27%4.48B
26.27%4.48B
Long term provisions
147.61%9.56B
147.61%9.56B
-8.66%3.86B
-8.66%3.86B
-26.89%4.23B
-26.89%4.23B
36.96%5.78B
36.96%5.78B
2.00%4.22B
2.00%4.22B
Employee benefits
39.68%264M
39.68%264M
-43.46%189M
-43.46%189M
-14.11%334.3M
-14.11%334.3M
13.50%389.2M
13.50%389.2M
31.38%342.9M
31.38%342.9M
Regulatory liabilities
28.99%-12M
28.99%-12M
28.09%-16.9M
28.09%-16.9M
7.11%-23.5M
7.11%-23.5M
-44.57%-25.3M
-44.57%-25.3M
18.60%-17.5M
18.60%-17.5M
Preferred securities outside stock equity
--246M
--246M
----
----
35.62%211.7M
35.62%211.7M
19.71%156.1M
19.71%156.1M
12.12%130.4M
12.12%130.4M
Total non current liabilities
33.70%18.41B
33.70%18.41B
40.85%13.77B
40.85%13.77B
9.38%9.78B
9.38%9.78B
26.53%8.94B
26.53%8.94B
5.50%7.06B
5.50%7.06B
Shareholders'equity
Share capital
6.86%517M
6.86%517M
110.74%483.8M
110.74%483.8M
1.24%-4.5B
1.24%-4.5B
0.91%-4.56B
0.91%-4.56B
0.68%-4.6B
0.68%-4.6B
-common stock
6.86%517M
6.86%517M
110.74%483.8M
110.74%483.8M
1.24%-4.5B
1.24%-4.5B
0.91%-4.56B
0.91%-4.56B
0.68%-4.6B
0.68%-4.6B
Gains losses not affecting retained earnings
9.77%648M
9.77%648M
-6.78%590.3M
-6.78%590.3M
88.28%633.2M
88.28%633.2M
38.97%336.3M
38.97%336.3M
7.94%242M
7.94%242M
Other equity interest
114.29%9M
114.29%9M
-12.50%4.2M
-12.50%4.2M
45.45%4.8M
45.45%4.8M
725.00%3.3M
725.00%3.3M
-75.00%400K
-75.00%400K
Total equity
27.83%36.23B
27.83%36.23B
56.12%28.35B
56.12%28.35B
17.41%18.16B
17.41%18.16B
25.58%15.46B
25.58%15.46B
14.29%12.31B
14.29%12.31B
(FY)Jun 30, 2023(Q4)Jun 30, 2023(FY)Jun 30, 2022(Q4)Jun 30, 2022(FY)Jun 30, 2021(Q4)Jun 30, 2021(FY)Jun 30, 2020(Q4)Jun 30, 2020(FY)Jun 30, 2019(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -85.17%1.55B-85.17%1.55B476.98%10.44B476.98%10.44B51.44%1.81B51.44%1.81B81.57%1.19B81.57%1.19B-19.26%657.8M-19.26%657.8M
-Cash and cash equivalents -85.17%1.55B-85.17%1.55B476.98%10.44B476.98%10.44B51.44%1.81B51.44%1.81B81.57%1.19B81.57%1.19B-19.26%657.8M-19.26%657.8M
-Accounts receivable 47.44%1.42B47.44%1.42B-3.13%965.8M-3.13%965.8M-11.07%997M-11.07%997M-12.03%1.12B-12.03%1.12B14.31%1.27B14.31%1.27B
-Notes receivable 39.68%264M39.68%264M-43.46%189M-43.46%189M-14.11%334.3M-14.11%334.3M13.50%389.2M13.50%389.2M31.38%342.9M31.38%342.9M
-Other receivables 24.43%2.13B24.43%2.13B12.71%1.71B12.71%1.71B42.13%1.52B42.13%1.52B8.32%1.07B8.32%1.07B17.36%985.1M17.36%985.1M
Current deferred assets 3.68%31M3.68%31M-64.53%29.9M-64.53%29.9M140.17%84.3M140.17%84.3M64.02%35.1M64.02%35.1M224.24%21.4M224.24%21.4M
Total current assets -43.75%9.26B-43.75%9.26B122.75%16.46B122.75%16.46B14.64%7.39B14.64%7.39B16.36%6.45B16.36%6.45B10.94%5.54B10.94%5.54B
Non current assets
-Accumulated depreciation -10.03%-3.47B-10.03%-3.47B-11.28%-3.15B-11.28%-3.15B-14.27%-2.83B-14.27%-2.83B-29.18%-2.48B-29.18%-2.48B-8.72%-1.92B-8.72%-1.92B
-Long term equity investment 116.35%11.17B116.35%11.17B-3.17%5.16B-3.17%5.16B-7.90%5.33B-7.90%5.33B36.50%5.79B36.50%5.79B1.96%4.24B1.96%4.24B
Non current note receivables 74.30%902M74.30%902M-2.27%517.5M-2.27%517.5M-2.49%529.5M-2.49%529.5M43.39%543M43.39%543M-5.63%378.7M-5.63%378.7M
-Goodwill 523.40%16.45B523.40%16.45B-1.18%2.64B-1.18%2.64B24.74%2.67B24.74%2.67B13.94%2.14B13.94%2.14B4.21%1.88B4.21%1.88B
Defined pension benefit 11.11%6M11.11%6M38.46%5.4M38.46%5.4M178.57%3.9M178.57%3.9M-6.67%1.4M-6.67%1.4M-63.41%1.5M-63.41%1.5M
Regulatory assets 28.44%1.91B28.44%1.91B-5.15%1.48B-5.15%1.48B0.35%1.56B0.35%1.56B-8.60%1.56B-8.60%1.56B24.86%1.7B24.86%1.7B
Non current deferred assets 650.00%96M650.00%96M93.94%12.8M93.94%12.8M-53.85%6.6M-53.85%6.6M-33.80%14.3M-33.80%14.3M41.18%21.6M41.18%21.6M
Liabilities
Current liabilities
Current debt and capital lease obligation -76.52%1.06B-76.52%1.06B848.50%4.49B848.50%4.49B134.21%473.8M134.21%473.8M-51.90%202.3M-51.90%202.3M86.35%420.6M86.35%420.6M
-Current debt -78.19%964M-78.19%964M1,016.29%4.42B1,016.29%4.42B219.35%396M219.35%396M-70.30%124M-70.30%124M87.47%417.5M87.47%417.5M
-Current capital lease obligation 23.81%91M23.81%91M-5.53%73.5M-5.53%73.5M-0.64%77.8M-0.64%77.8M2,425.81%78.3M2,425.81%78.3M3.33%3.1M3.33%3.1M
-accounts payable 38.56%820M38.56%820M13.15%591.8M13.15%591.8M14.12%523M14.12%523M8.45%458.3M8.45%458.3M1.25%422.6M1.25%422.6M
-Total tax payable 107.20%13.8B107.20%13.8B-0.18%6.66B-0.18%6.66B-1.82%6.67B-1.82%6.67B39.40%6.8B39.40%6.8B1.99%4.87B1.99%4.87B
-Other payable ---------------------------100K---100K--------
Current provisions -64.74%64M-64.74%64M1,056.05%181.5M1,056.05%181.5M1,862.50%15.7M1,862.50%15.7M-98.76%800K-98.76%800K0.16%64.5M0.16%64.5M
Current deferred liabilities 125.10%296M125.10%296M-57.99%131.5M-57.99%131.5M23.37%313M23.37%313M56.41%253.7M56.41%253.7M-34.70%162.2M-34.70%162.2M
Current liabilities -35.17%4.61B-35.17%4.61B129.03%7.11B129.03%7.11B44.93%3.1B44.93%3.1B-2.13%2.14B-2.13%2.14B14.28%2.19B14.28%2.19B
Non current liabilities
-Long term debt 23.57%1.61B23.57%1.61B17.81%1.3B17.81%1.3B15,457.75%1.1B15,457.75%1.1B-63.59%7.1M-63.59%7.1M-4.88%19.5M-4.88%19.5M
Non current accrued expenses 12.56%9.35B12.56%9.35B10.25%8.31B10.25%8.31B19.52%7.54B19.52%7.54B40.61%6.31B40.61%6.31B26.27%4.48B26.27%4.48B
Long term provisions 147.61%9.56B147.61%9.56B-8.66%3.86B-8.66%3.86B-26.89%4.23B-26.89%4.23B36.96%5.78B36.96%5.78B2.00%4.22B2.00%4.22B
Employee benefits 39.68%264M39.68%264M-43.46%189M-43.46%189M-14.11%334.3M-14.11%334.3M13.50%389.2M13.50%389.2M31.38%342.9M31.38%342.9M
Regulatory liabilities 28.99%-12M28.99%-12M28.09%-16.9M28.09%-16.9M7.11%-23.5M7.11%-23.5M-44.57%-25.3M-44.57%-25.3M18.60%-17.5M18.60%-17.5M
Preferred securities outside stock equity --246M--246M--------35.62%211.7M35.62%211.7M19.71%156.1M19.71%156.1M12.12%130.4M12.12%130.4M
Total non current liabilities 33.70%18.41B33.70%18.41B40.85%13.77B40.85%13.77B9.38%9.78B9.38%9.78B26.53%8.94B26.53%8.94B5.50%7.06B5.50%7.06B
Shareholders'equity
Share capital 6.86%517M6.86%517M110.74%483.8M110.74%483.8M1.24%-4.5B1.24%-4.5B0.91%-4.56B0.91%-4.56B0.68%-4.6B0.68%-4.6B
-common stock 6.86%517M6.86%517M110.74%483.8M110.74%483.8M1.24%-4.5B1.24%-4.5B0.91%-4.56B0.91%-4.56B0.68%-4.6B0.68%-4.6B
Gains losses not affecting retained earnings 9.77%648M9.77%648M-6.78%590.3M-6.78%590.3M88.28%633.2M88.28%633.2M38.97%336.3M38.97%336.3M7.94%242M7.94%242M
Other equity interest 114.29%9M114.29%9M-12.50%4.2M-12.50%4.2M45.45%4.8M45.45%4.8M725.00%3.3M725.00%3.3M-75.00%400K-75.00%400K
Total equity 27.83%36.23B27.83%36.23B56.12%28.35B56.12%28.35B17.41%18.16B17.41%18.16B25.58%15.46B25.58%15.46B14.29%12.31B14.29%12.31B

Analysis

Analyst Rating

No Data

Price Target

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