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FOXA Fox Corp-A

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  • 33.050
  • -0.260-0.78%
Trading May 15 14:52 ET
15.43BMarket Cap10.43P/E (TTM)

Fox Corp-A Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
(Q1)Sep 30, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-8.56%3.79B
1.58%4.12B
-22.65%3.83B
-17.85%4.27B
-17.85%4.27B
-10.53%4.15B
-4.63%4.06B
-8.52%4.95B
-11.65%5.2B
-11.65%5.2B
-Cash and cash equivalents
-8.56%3.79B
1.58%4.12B
-22.65%3.83B
-17.85%4.27B
-17.85%4.27B
-10.53%4.15B
-4.63%4.06B
-8.52%4.95B
-11.65%5.2B
-11.65%5.2B
Receivables
-9.49%2.48B
-0.10%3B
6.70%2.42B
2.30%2.18B
2.30%2.18B
17.24%2.74B
1.76%3B
3.47%2.27B
4.88%2.13B
4.88%2.13B
-Accounts receivable
-9.49%2.48B
-0.10%3B
6.70%2.42B
2.30%2.18B
2.30%2.18B
17.24%2.74B
1.76%3B
3.47%2.27B
4.88%2.13B
4.88%2.13B
Inventory
35.52%660M
-20.15%1.04B
-26.37%751M
-31.35%543M
-31.35%543M
-38.04%487M
13.24%1.3B
-10.13%1.02B
8.50%791M
8.50%791M
Other current assets
-29.51%246M
62.68%340M
-7.00%239M
63.58%265M
63.58%265M
120.89%349M
31.45%209M
87.59%257M
54.29%162M
54.29%162M
Total current assets
-7.06%7.18B
-0.82%8.5B
-14.79%7.24B
-12.37%7.26B
-12.37%7.26B
-2.44%7.72B
0.67%8.57B
-4.28%8.5B
-5.35%8.28B
-5.35%8.28B
Non current assets
Net PPE
-2.77%2.57B
-2.23%2.59B
22.49%2.61B
22.97%2.66B
22.97%2.66B
25.71%2.64B
24.60%2.65B
-0.28%2.13B
-0.83%2.16B
-0.83%2.16B
-Gross PPE
-2.77%2.57B
-2.23%2.59B
22.49%2.61B
18.85%4.62B
18.85%4.62B
25.71%2.64B
24.60%2.65B
-0.28%2.13B
-0.54%3.89B
-0.54%3.89B
-Accumulated depreciation
----
----
----
-13.71%-1.97B
-13.71%-1.97B
----
----
----
0.17%-1.73B
0.17%-1.73B
Goodwill and other intangible assets
-0.93%6.59B
-0.75%6.62B
-0.84%6.63B
-1.01%6.64B
-1.01%6.64B
-1.22%6.65B
-1.38%6.67B
-0.03%6.69B
1.85%6.71B
1.85%6.71B
-Goodwill
-0.37%3.54B
0.08%3.56B
0.20%3.56B
0.14%3.56B
0.14%3.56B
-0.08%3.56B
-0.25%3.56B
0.51%3.55B
3.46%3.55B
3.46%3.55B
-Other intangible assets
-1.58%3.05B
-1.70%3.06B
-2.01%3.07B
-2.31%3.08B
-2.31%3.08B
-2.49%3.1B
-2.63%3.11B
-0.63%3.14B
0.10%3.16B
0.10%3.16B
Investments and advances
31.03%1.25B
8.55%838M
35.13%877M
78.89%1.03B
78.89%1.03B
47.22%954M
-7.10%772M
-34.97%649M
-35.71%578M
-35.71%578M
Non current deferred assets
-8.07%2.94B
-6.64%3.07B
-8.76%3.04B
-10.17%3.09B
-10.17%3.09B
-11.61%3.2B
-10.67%3.28B
-8.73%3.33B
-9.99%3.44B
-9.99%3.44B
Other non current assets
-3.02%1.19B
4.32%1.23B
10.74%1.25B
16.83%1.19B
16.83%1.19B
22.97%1.23B
21.88%1.18B
39.48%1.13B
47.25%1.02B
47.25%1.02B
Total non current assets
-0.91%14.54B
-1.44%14.35B
3.45%14.41B
5.07%14.61B
5.07%14.61B
4.06%14.67B
1.33%14.56B
-2.50%13.93B
-1.93%13.9B
-1.93%13.9B
Total assets
-3.03%21.72B
-1.21%22.85B
-3.46%21.65B
-1.44%21.87B
-1.44%21.87B
1.73%22.4B
1.08%23.13B
-3.18%22.42B
-3.23%22.19B
-3.23%22.19B
Liabilities
Current liabilities
Payables
-9.81%754M
2.29%984M
16.78%849M
14.43%785M
14.43%785M
9.14%836M
24.77%962M
5.98%727M
4.10%686M
4.10%686M
-Other payable
-9.81%754M
2.29%984M
16.78%849M
14.43%785M
14.43%785M
9.14%836M
24.77%962M
5.98%727M
4.10%686M
4.10%686M
Current accrued expenses
-47.47%873M
-1.49%925M
-1.46%812M
3.63%1.03B
3.63%1.03B
92.81%1.66B
10.47%939M
-2.14%824M
-7.89%992M
-7.89%992M
Current debt and capital lease obligation
-94.49%73M
1,110.09%1.32B
1,133.64%1.32B
1,134.58%1.32B
1,134.58%1.32B
1,139.25%1.33B
-87.25%109M
-87.34%107M
-87.28%107M
-87.28%107M
-Current debt
----
--1.25B
--1.25B
--1.25B
--1.25B
--1.25B
----
----
----
----
-Current capital lease obligation
-5.19%73M
-36.70%69M
-34.58%70M
-32.71%72M
-32.71%72M
-28.04%77M
3.81%109M
12.63%107M
16.30%107M
16.30%107M
Current deferred liabilities
-9.68%168M
12.84%167M
-9.93%254M
-23.44%160M
-23.44%160M
12.73%186M
-9.20%148M
33.02%282M
6.63%209M
6.63%209M
Other current liabilities
-10.97%349M
-18.96%312M
-16.11%354M
55.30%469M
55.30%469M
77.38%392M
66.67%385M
48.59%422M
31.88%302M
31.88%302M
Current liabilities
-49.64%2.22B
45.77%3.71B
51.95%3.59B
63.89%3.76B
63.89%3.76B
107.54%4.4B
-11.39%2.54B
-17.67%2.36B
-23.52%2.3B
-23.52%2.3B
Non current liabilities
Long term debt and capital lease obligation
17.05%8.07B
-0.21%8.09B
-9.55%6.87B
-9.53%6.89B
-9.53%6.89B
-9.17%6.89B
6.54%8.11B
-0.42%7.59B
0.00%7.61B
0.00%7.61B
-Long term debt
20.72%7.2B
-0.18%7.2B
-17.27%5.96B
-17.28%5.96B
-17.28%5.96B
-17.27%5.96B
0.06%7.21B
0.06%7.21B
0.06%7.21B
0.06%7.21B
-Long term capital lease obligation
-6.45%870M
-0.44%896M
134.37%907M
128.40%925M
128.40%925M
143.46%930M
121.67%900M
-8.51%387M
-0.98%405M
-0.98%405M
Employee benefits
-32.63%287M
-31.38%293M
-24.26%334M
-19.24%361M
-19.24%361M
-21.69%426M
-23.75%427M
-23.17%441M
-23.72%447M
-23.72%447M
Other non current liabilities
0.00%222M
6.25%187M
-28.51%178M
-26.12%198M
-26.12%198M
-40.16%222M
-53.19%176M
-30.83%249M
-21.41%268M
-21.41%268M
Total non current liabilities
13.74%8.58B
-1.61%8.57B
-10.90%7.38B
-10.58%7.45B
-10.58%7.45B
-11.33%7.54B
1.93%8.71B
-3.22%8.28B
-2.48%8.33B
-2.48%8.33B
Total liabilities
-9.62%10.79B
9.10%12.28B
3.04%10.97B
5.52%11.21B
5.52%11.21B
12.41%11.94B
-1.42%11.25B
-6.85%10.65B
-7.95%10.62B
-7.95%10.62B
Shareholders'equity
Share capital
0.00%5M
0.00%5M
0.00%5M
-16.67%5M
-16.67%5M
-16.67%5M
-16.67%5M
-16.67%5M
0.00%6M
0.00%6M
-common stock
0.00%5M
0.00%5M
0.00%5M
-16.67%5M
-16.67%5M
-16.67%5M
-16.67%5M
-16.67%5M
0.00%6M
0.00%6M
Retained earnings
44.00%2.93B
-15.78%2.51B
-9.16%2.54B
-7.80%2.27B
-7.80%2.27B
-11.65%2.03B
29.33%2.99B
16.02%2.8B
24.17%2.46B
24.17%2.46B
Paid-in capital
-7.09%7.77B
-10.83%7.88B
-10.71%7.99B
-9.29%8.25B
-9.29%8.25B
-9.07%8.36B
-4.63%8.84B
-4.05%8.95B
-3.76%9.1B
-3.76%9.1B
Gains losses not affecting retained earnings
31.92%-145M
33.33%-146M
33.77%-151M
34.07%-149M
34.07%-149M
29.24%-213M
27.96%-219M
26.92%-228M
28.93%-226M
28.93%-226M
Total stockholders'equity
3.62%10.55B
-11.67%10.25B
-9.87%10.38B
-8.48%10.38B
-8.48%10.38B
-9.06%10.19B
2.94%11.61B
0.80%11.52B
1.94%11.34B
1.94%11.34B
Noncontrolling interests
37.41%371M
19.25%316M
14.79%295M
25.00%280M
25.00%280M
39.90%270M
41.71%265M
-14.90%257M
-14.83%224M
-14.83%224M
Total equity
4.50%10.93B
-10.98%10.57B
-9.33%10.68B
-7.83%10.66B
-7.83%10.66B
-8.23%10.46B
3.58%11.87B
0.39%11.78B
1.55%11.56B
1.55%11.56B
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
--
(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022(Q1)Sep 30, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -8.56%3.79B1.58%4.12B-22.65%3.83B-17.85%4.27B-17.85%4.27B-10.53%4.15B-4.63%4.06B-8.52%4.95B-11.65%5.2B-11.65%5.2B
-Cash and cash equivalents -8.56%3.79B1.58%4.12B-22.65%3.83B-17.85%4.27B-17.85%4.27B-10.53%4.15B-4.63%4.06B-8.52%4.95B-11.65%5.2B-11.65%5.2B
Receivables -9.49%2.48B-0.10%3B6.70%2.42B2.30%2.18B2.30%2.18B17.24%2.74B1.76%3B3.47%2.27B4.88%2.13B4.88%2.13B
-Accounts receivable -9.49%2.48B-0.10%3B6.70%2.42B2.30%2.18B2.30%2.18B17.24%2.74B1.76%3B3.47%2.27B4.88%2.13B4.88%2.13B
Inventory 35.52%660M-20.15%1.04B-26.37%751M-31.35%543M-31.35%543M-38.04%487M13.24%1.3B-10.13%1.02B8.50%791M8.50%791M
Other current assets -29.51%246M62.68%340M-7.00%239M63.58%265M63.58%265M120.89%349M31.45%209M87.59%257M54.29%162M54.29%162M
Total current assets -7.06%7.18B-0.82%8.5B-14.79%7.24B-12.37%7.26B-12.37%7.26B-2.44%7.72B0.67%8.57B-4.28%8.5B-5.35%8.28B-5.35%8.28B
Non current assets
Net PPE -2.77%2.57B-2.23%2.59B22.49%2.61B22.97%2.66B22.97%2.66B25.71%2.64B24.60%2.65B-0.28%2.13B-0.83%2.16B-0.83%2.16B
-Gross PPE -2.77%2.57B-2.23%2.59B22.49%2.61B18.85%4.62B18.85%4.62B25.71%2.64B24.60%2.65B-0.28%2.13B-0.54%3.89B-0.54%3.89B
-Accumulated depreciation -------------13.71%-1.97B-13.71%-1.97B------------0.17%-1.73B0.17%-1.73B
Goodwill and other intangible assets -0.93%6.59B-0.75%6.62B-0.84%6.63B-1.01%6.64B-1.01%6.64B-1.22%6.65B-1.38%6.67B-0.03%6.69B1.85%6.71B1.85%6.71B
-Goodwill -0.37%3.54B0.08%3.56B0.20%3.56B0.14%3.56B0.14%3.56B-0.08%3.56B-0.25%3.56B0.51%3.55B3.46%3.55B3.46%3.55B
-Other intangible assets -1.58%3.05B-1.70%3.06B-2.01%3.07B-2.31%3.08B-2.31%3.08B-2.49%3.1B-2.63%3.11B-0.63%3.14B0.10%3.16B0.10%3.16B
Investments and advances 31.03%1.25B8.55%838M35.13%877M78.89%1.03B78.89%1.03B47.22%954M-7.10%772M-34.97%649M-35.71%578M-35.71%578M
Non current deferred assets -8.07%2.94B-6.64%3.07B-8.76%3.04B-10.17%3.09B-10.17%3.09B-11.61%3.2B-10.67%3.28B-8.73%3.33B-9.99%3.44B-9.99%3.44B
Other non current assets -3.02%1.19B4.32%1.23B10.74%1.25B16.83%1.19B16.83%1.19B22.97%1.23B21.88%1.18B39.48%1.13B47.25%1.02B47.25%1.02B
Total non current assets -0.91%14.54B-1.44%14.35B3.45%14.41B5.07%14.61B5.07%14.61B4.06%14.67B1.33%14.56B-2.50%13.93B-1.93%13.9B-1.93%13.9B
Total assets -3.03%21.72B-1.21%22.85B-3.46%21.65B-1.44%21.87B-1.44%21.87B1.73%22.4B1.08%23.13B-3.18%22.42B-3.23%22.19B-3.23%22.19B
Liabilities
Current liabilities
Payables -9.81%754M2.29%984M16.78%849M14.43%785M14.43%785M9.14%836M24.77%962M5.98%727M4.10%686M4.10%686M
-Other payable -9.81%754M2.29%984M16.78%849M14.43%785M14.43%785M9.14%836M24.77%962M5.98%727M4.10%686M4.10%686M
Current accrued expenses -47.47%873M-1.49%925M-1.46%812M3.63%1.03B3.63%1.03B92.81%1.66B10.47%939M-2.14%824M-7.89%992M-7.89%992M
Current debt and capital lease obligation -94.49%73M1,110.09%1.32B1,133.64%1.32B1,134.58%1.32B1,134.58%1.32B1,139.25%1.33B-87.25%109M-87.34%107M-87.28%107M-87.28%107M
-Current debt ------1.25B--1.25B--1.25B--1.25B--1.25B----------------
-Current capital lease obligation -5.19%73M-36.70%69M-34.58%70M-32.71%72M-32.71%72M-28.04%77M3.81%109M12.63%107M16.30%107M16.30%107M
Current deferred liabilities -9.68%168M12.84%167M-9.93%254M-23.44%160M-23.44%160M12.73%186M-9.20%148M33.02%282M6.63%209M6.63%209M
Other current liabilities -10.97%349M-18.96%312M-16.11%354M55.30%469M55.30%469M77.38%392M66.67%385M48.59%422M31.88%302M31.88%302M
Current liabilities -49.64%2.22B45.77%3.71B51.95%3.59B63.89%3.76B63.89%3.76B107.54%4.4B-11.39%2.54B-17.67%2.36B-23.52%2.3B-23.52%2.3B
Non current liabilities
Long term debt and capital lease obligation 17.05%8.07B-0.21%8.09B-9.55%6.87B-9.53%6.89B-9.53%6.89B-9.17%6.89B6.54%8.11B-0.42%7.59B0.00%7.61B0.00%7.61B
-Long term debt 20.72%7.2B-0.18%7.2B-17.27%5.96B-17.28%5.96B-17.28%5.96B-17.27%5.96B0.06%7.21B0.06%7.21B0.06%7.21B0.06%7.21B
-Long term capital lease obligation -6.45%870M-0.44%896M134.37%907M128.40%925M128.40%925M143.46%930M121.67%900M-8.51%387M-0.98%405M-0.98%405M
Employee benefits -32.63%287M-31.38%293M-24.26%334M-19.24%361M-19.24%361M-21.69%426M-23.75%427M-23.17%441M-23.72%447M-23.72%447M
Other non current liabilities 0.00%222M6.25%187M-28.51%178M-26.12%198M-26.12%198M-40.16%222M-53.19%176M-30.83%249M-21.41%268M-21.41%268M
Total non current liabilities 13.74%8.58B-1.61%8.57B-10.90%7.38B-10.58%7.45B-10.58%7.45B-11.33%7.54B1.93%8.71B-3.22%8.28B-2.48%8.33B-2.48%8.33B
Total liabilities -9.62%10.79B9.10%12.28B3.04%10.97B5.52%11.21B5.52%11.21B12.41%11.94B-1.42%11.25B-6.85%10.65B-7.95%10.62B-7.95%10.62B
Shareholders'equity
Share capital 0.00%5M0.00%5M0.00%5M-16.67%5M-16.67%5M-16.67%5M-16.67%5M-16.67%5M0.00%6M0.00%6M
-common stock 0.00%5M0.00%5M0.00%5M-16.67%5M-16.67%5M-16.67%5M-16.67%5M-16.67%5M0.00%6M0.00%6M
Retained earnings 44.00%2.93B-15.78%2.51B-9.16%2.54B-7.80%2.27B-7.80%2.27B-11.65%2.03B29.33%2.99B16.02%2.8B24.17%2.46B24.17%2.46B
Paid-in capital -7.09%7.77B-10.83%7.88B-10.71%7.99B-9.29%8.25B-9.29%8.25B-9.07%8.36B-4.63%8.84B-4.05%8.95B-3.76%9.1B-3.76%9.1B
Gains losses not affecting retained earnings 31.92%-145M33.33%-146M33.77%-151M34.07%-149M34.07%-149M29.24%-213M27.96%-219M26.92%-228M28.93%-226M28.93%-226M
Total stockholders'equity 3.62%10.55B-11.67%10.25B-9.87%10.38B-8.48%10.38B-8.48%10.38B-9.06%10.19B2.94%11.61B0.80%11.52B1.94%11.34B1.94%11.34B
Noncontrolling interests 37.41%371M19.25%316M14.79%295M25.00%280M25.00%280M39.90%270M41.71%265M-14.90%257M-14.83%224M-14.83%224M
Total equity 4.50%10.93B-10.98%10.57B-9.33%10.68B-7.83%10.66B-7.83%10.66B-8.23%10.46B3.58%11.87B0.39%11.78B1.55%11.56B1.55%11.56B
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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