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NEC Nine Entertainment Co. Holdings Ltd

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  • 1.430
  • -0.010-0.69%
20min DelayTrading May 29 13:45 AET
2.29BMarket Cap13.00P/E (Static)

Nine Entertainment Co. Holdings 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
-22.02%119.68M
-22.02%119.68M
-10.74%153.46M
-10.74%153.46M
-8.25%171.93M
-8.25%171.93M
-26.83%187.39M
-26.83%187.39M
604.11%256.12M
604.11%256.12M
-Cash and cash equivalents
-22.02%119.68M
-22.02%119.68M
-10.74%153.46M
-10.74%153.46M
-8.25%171.93M
-8.25%171.93M
-26.83%187.39M
-26.83%187.39M
604.11%256.12M
604.11%256.12M
-Accounts receivable
5.42%408.74M
5.42%408.74M
8.65%387.73M
8.65%387.73M
41.99%356.85M
41.99%356.85M
-34.62%251.33M
-34.62%251.33M
44.73%384.39M
44.73%384.39M
-Notes receivable
8.26%15.41M
8.26%15.41M
14.32%14.24M
14.32%14.24M
15.32%12.46M
15.32%12.46M
-65.61%10.8M
-65.61%10.8M
22.32%31.4M
22.32%31.4M
-Other receivables
-38.35%162.61M
-38.35%162.61M
17.57%263.75M
17.57%263.75M
20.08%224.34M
20.08%224.34M
-8.70%186.82M
-8.70%186.82M
96.49%204.62M
96.49%204.62M
Current deferred assets
--2.05M
--2.05M
----
----
----
----
----
----
----
----
Holding assets for sale
--7.15M
--7.15M
----
----
0.00%3.62M
0.00%3.62M
-96.08%3.62M
-96.08%3.62M
398.46%92.36M
398.46%92.36M
Total current assets
0.91%900.92M
0.91%900.92M
5.05%892.8M
5.05%892.8M
18.27%849.84M
18.27%849.84M
-33.45%718.55M
-33.45%718.55M
95.71%1.08B
95.71%1.08B
Non current assets
-Accumulated depreciation
40.35%-409.73M
40.35%-409.73M
-17.92%-686.87M
-17.92%-686.87M
-16.65%-582.48M
-16.65%-582.48M
-39.25%-499.36M
-39.25%-499.36M
-9.60%-358.6M
-9.60%-358.6M
Investment properties
-30.49%4.53M
-30.49%4.53M
-2.68%6.51M
-2.68%6.51M
109.65%6.69M
109.65%6.69M
-46.36%3.19M
-46.36%3.19M
33.15%5.95M
33.15%5.95M
-Long term equity investment
17.66%877.2M
17.66%877.2M
2.56%745.52M
2.56%745.52M
-2.97%726.94M
-2.97%726.94M
136.65%749.19M
136.65%749.19M
100.82%316.58M
100.82%316.58M
-Including:Held to maturity investments
-11.26%2.85M
-11.26%2.85M
--3.21M
--3.21M
----
----
----
----
----
----
Financial assets
----
----
--1.33M
--1.33M
----
----
----
----
----
----
-Goodwill
-2.55%2.45B
-2.55%2.45B
10.85%2.51B
10.85%2.51B
-2.53%2.27B
-2.53%2.27B
-21.40%2.33B
-21.40%2.33B
201.31%2.96B
201.31%2.96B
Defined pension benefit
----
----
-6.30%23.93M
-6.30%23.93M
--25.53M
--25.53M
----
----
----
----
Regulatory assets
3.63%423.2M
3.63%423.2M
7.19%408.38M
7.19%408.38M
47.64%381M
47.64%381M
-36.08%258.06M
-36.08%258.06M
41.42%403.72M
41.42%403.72M
Non current deferred assets
-79.29%2.09M
-79.29%2.09M
-18.92%10.11M
-18.92%10.11M
-7.68%12.47M
-7.68%12.47M
-5.27%13.51M
-5.27%13.51M
-89.39%14.26M
-89.39%14.26M
Liabilities
Current liabilities
Current debt and capital lease obligation
18.16%136.04M
18.16%136.04M
-6.77%115.13M
-6.77%115.13M
15.64%123.49M
15.64%123.49M
-45.34%106.79M
-45.34%106.79M
--195.38M
--195.38M
-Current debt
24.64%99.43M
24.64%99.43M
0.22%79.77M
0.22%79.77M
-0.04%79.6M
-0.04%79.6M
-59.24%79.63M
-59.24%79.63M
--195.38M
--195.38M
-Current capital lease obligation
3.53%36.61M
3.53%36.61M
-19.45%35.36M
-19.45%35.36M
61.59%43.9M
61.59%43.9M
--27.17M
--27.17M
----
----
-accounts payable
5.65%281.4M
5.65%281.4M
6.25%266.36M
6.25%266.36M
36.46%250.69M
36.46%250.69M
-19.61%183.71M
-19.61%183.71M
88.36%228.52M
88.36%228.52M
-Total tax payable
9.53%1.27B
9.53%1.27B
4.22%1.16B
4.22%1.16B
-0.09%1.11B
-0.09%1.11B
44.76%1.12B
44.76%1.12B
90.24%770.37M
90.24%770.37M
-Other payable
9.81%184.74M
9.81%184.74M
15.95%168.24M
15.95%168.24M
-0.50%145.09M
-0.50%145.09M
-8.43%145.83M
-8.43%145.83M
335.43%159.26M
335.43%159.26M
Current provisions
-13.67%70.86M
-13.67%70.86M
33.77%82.08M
33.77%82.08M
-6.08%61.36M
-6.08%61.36M
32.60%65.33M
32.60%65.33M
19.10%49.27M
19.10%49.27M
Current deferred liabilities
98.55%88.6M
98.55%88.6M
-20.39%44.62M
-20.39%44.62M
461.47%56.05M
461.47%56.05M
-79.08%9.98M
-79.08%9.98M
33.93%47.72M
33.93%47.72M
Current liabilities
-4.42%867.42M
-4.42%867.42M
8.38%907.5M
8.38%907.5M
29.13%837.37M
29.13%837.37M
-25.07%648.46M
-25.07%648.46M
154.79%865.36M
154.79%865.36M
Non current liabilities
-Long term debt
-3.92%333.75M
-3.92%333.75M
-9.70%347.38M
-9.70%347.38M
57.33%384.68M
57.33%384.68M
--244.5M
--244.5M
----
----
Non current accrued expenses
-10.04%442.14M
-10.04%442.14M
-14.37%491.49M
-14.37%491.49M
38.24%573.94M
38.24%573.94M
151.13%415.17M
151.13%415.17M
55.21%165.32M
55.21%165.32M
Derivative product liabilities
-65.02%142K
-65.02%142K
--406K
--406K
----
----
-78.23%2.7M
-78.23%2.7M
1,957.21%12.41M
1,957.21%12.41M
Long term provisions
36.50%543.45M
36.50%543.45M
16.33%398.14M
16.33%398.14M
-32.19%342.26M
-32.19%342.26M
59.42%504.69M
59.42%504.69M
100.82%316.58M
100.82%316.58M
Employee benefits
8.26%15.41M
8.26%15.41M
14.32%14.24M
14.32%14.24M
15.32%12.46M
15.32%12.46M
-65.61%10.8M
-65.61%10.8M
22.32%31.4M
22.32%31.4M
Regulatory liabilities
-70.08%-13.17M
-70.08%-13.17M
-7.23%-7.74M
-7.23%-7.74M
2.31%-7.22M
2.31%-7.22M
-110.72%-7.39M
-110.72%-7.39M
-352.52%-3.51M
-352.52%-3.51M
Trust preferred securities
-30.49%4.53M
-30.49%4.53M
-2.68%6.51M
-2.68%6.51M
109.65%6.69M
109.65%6.69M
-46.36%3.19M
-46.36%3.19M
33.15%5.95M
33.15%5.95M
Preferred securities outside stock equity
-9.43%122.78M
-9.43%122.78M
11.63%135.57M
11.63%135.57M
26.73%121.44M
26.73%121.44M
17.16%95.82M
17.16%95.82M
120.02%81.79M
120.02%81.79M
Total non current liabilities
3.41%2.14B
3.41%2.14B
6.00%2.07B
6.00%2.07B
10.66%1.95B
10.66%1.95B
7.82%1.76B
7.82%1.76B
119.68%1.64B
119.68%1.64B
Shareholders'equity
Share capital
-7.25%1.96B
-7.25%1.96B
-1.08%2.11B
-1.08%2.11B
0.55%2.13B
0.55%2.13B
-0.14%2.12B
-0.14%2.12B
185.39%2.13B
185.39%2.13B
-common stock
-7.25%1.96B
-7.25%1.96B
-1.08%2.11B
-1.08%2.11B
0.55%2.13B
0.55%2.13B
-0.14%2.12B
-0.14%2.12B
185.39%2.13B
185.39%2.13B
Gains losses not affecting retained earnings
-15.70%-63.55M
-15.70%-63.55M
0.73%-54.92M
0.73%-54.92M
10.08%-55.33M
10.08%-55.33M
-1,188.66%-61.53M
-1,188.66%-61.53M
4.49%5.65M
4.49%5.65M
Other equity interest
-99.12%2.48M
-99.12%2.48M
7.93%281.21M
7.93%281.21M
15.76%260.55M
15.76%260.55M
-17.90%225.07M
-17.90%225.07M
53.67%274.16M
53.67%274.16M
Noncontrolling interests
-1.64%33.06M
-1.64%33.06M
7.78%33.61M
7.78%33.61M
21.02%31.18M
21.02%31.18M
-1.45%25.77M
-1.45%25.77M
109.51%26.15M
109.51%26.15M
Total equity
-3.01%4.02B
-3.01%4.02B
5.86%4.14B
5.86%4.14B
7.17%3.91B
7.17%3.91B
-17.23%3.65B
-17.23%3.65B
137.86%4.41B
137.86%4.41B
(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 -22.02%119.68M-22.02%119.68M-10.74%153.46M-10.74%153.46M-8.25%171.93M-8.25%171.93M-26.83%187.39M-26.83%187.39M604.11%256.12M604.11%256.12M
-Cash and cash equivalents -22.02%119.68M-22.02%119.68M-10.74%153.46M-10.74%153.46M-8.25%171.93M-8.25%171.93M-26.83%187.39M-26.83%187.39M604.11%256.12M604.11%256.12M
-Accounts receivable 5.42%408.74M5.42%408.74M8.65%387.73M8.65%387.73M41.99%356.85M41.99%356.85M-34.62%251.33M-34.62%251.33M44.73%384.39M44.73%384.39M
-Notes receivable 8.26%15.41M8.26%15.41M14.32%14.24M14.32%14.24M15.32%12.46M15.32%12.46M-65.61%10.8M-65.61%10.8M22.32%31.4M22.32%31.4M
-Other receivables -38.35%162.61M-38.35%162.61M17.57%263.75M17.57%263.75M20.08%224.34M20.08%224.34M-8.70%186.82M-8.70%186.82M96.49%204.62M96.49%204.62M
Current deferred assets --2.05M--2.05M--------------------------------
Holding assets for sale --7.15M--7.15M--------0.00%3.62M0.00%3.62M-96.08%3.62M-96.08%3.62M398.46%92.36M398.46%92.36M
Total current assets 0.91%900.92M0.91%900.92M5.05%892.8M5.05%892.8M18.27%849.84M18.27%849.84M-33.45%718.55M-33.45%718.55M95.71%1.08B95.71%1.08B
Non current assets
-Accumulated depreciation 40.35%-409.73M40.35%-409.73M-17.92%-686.87M-17.92%-686.87M-16.65%-582.48M-16.65%-582.48M-39.25%-499.36M-39.25%-499.36M-9.60%-358.6M-9.60%-358.6M
Investment properties -30.49%4.53M-30.49%4.53M-2.68%6.51M-2.68%6.51M109.65%6.69M109.65%6.69M-46.36%3.19M-46.36%3.19M33.15%5.95M33.15%5.95M
-Long term equity investment 17.66%877.2M17.66%877.2M2.56%745.52M2.56%745.52M-2.97%726.94M-2.97%726.94M136.65%749.19M136.65%749.19M100.82%316.58M100.82%316.58M
-Including:Held to maturity investments -11.26%2.85M-11.26%2.85M--3.21M--3.21M------------------------
Financial assets ----------1.33M--1.33M------------------------
-Goodwill -2.55%2.45B-2.55%2.45B10.85%2.51B10.85%2.51B-2.53%2.27B-2.53%2.27B-21.40%2.33B-21.40%2.33B201.31%2.96B201.31%2.96B
Defined pension benefit ---------6.30%23.93M-6.30%23.93M--25.53M--25.53M----------------
Regulatory assets 3.63%423.2M3.63%423.2M7.19%408.38M7.19%408.38M47.64%381M47.64%381M-36.08%258.06M-36.08%258.06M41.42%403.72M41.42%403.72M
Non current deferred assets -79.29%2.09M-79.29%2.09M-18.92%10.11M-18.92%10.11M-7.68%12.47M-7.68%12.47M-5.27%13.51M-5.27%13.51M-89.39%14.26M-89.39%14.26M
Liabilities
Current liabilities
Current debt and capital lease obligation 18.16%136.04M18.16%136.04M-6.77%115.13M-6.77%115.13M15.64%123.49M15.64%123.49M-45.34%106.79M-45.34%106.79M--195.38M--195.38M
-Current debt 24.64%99.43M24.64%99.43M0.22%79.77M0.22%79.77M-0.04%79.6M-0.04%79.6M-59.24%79.63M-59.24%79.63M--195.38M--195.38M
-Current capital lease obligation 3.53%36.61M3.53%36.61M-19.45%35.36M-19.45%35.36M61.59%43.9M61.59%43.9M--27.17M--27.17M--------
-accounts payable 5.65%281.4M5.65%281.4M6.25%266.36M6.25%266.36M36.46%250.69M36.46%250.69M-19.61%183.71M-19.61%183.71M88.36%228.52M88.36%228.52M
-Total tax payable 9.53%1.27B9.53%1.27B4.22%1.16B4.22%1.16B-0.09%1.11B-0.09%1.11B44.76%1.12B44.76%1.12B90.24%770.37M90.24%770.37M
-Other payable 9.81%184.74M9.81%184.74M15.95%168.24M15.95%168.24M-0.50%145.09M-0.50%145.09M-8.43%145.83M-8.43%145.83M335.43%159.26M335.43%159.26M
Current provisions -13.67%70.86M-13.67%70.86M33.77%82.08M33.77%82.08M-6.08%61.36M-6.08%61.36M32.60%65.33M32.60%65.33M19.10%49.27M19.10%49.27M
Current deferred liabilities 98.55%88.6M98.55%88.6M-20.39%44.62M-20.39%44.62M461.47%56.05M461.47%56.05M-79.08%9.98M-79.08%9.98M33.93%47.72M33.93%47.72M
Current liabilities -4.42%867.42M-4.42%867.42M8.38%907.5M8.38%907.5M29.13%837.37M29.13%837.37M-25.07%648.46M-25.07%648.46M154.79%865.36M154.79%865.36M
Non current liabilities
-Long term debt -3.92%333.75M-3.92%333.75M-9.70%347.38M-9.70%347.38M57.33%384.68M57.33%384.68M--244.5M--244.5M--------
Non current accrued expenses -10.04%442.14M-10.04%442.14M-14.37%491.49M-14.37%491.49M38.24%573.94M38.24%573.94M151.13%415.17M151.13%415.17M55.21%165.32M55.21%165.32M
Derivative product liabilities -65.02%142K-65.02%142K--406K--406K---------78.23%2.7M-78.23%2.7M1,957.21%12.41M1,957.21%12.41M
Long term provisions 36.50%543.45M36.50%543.45M16.33%398.14M16.33%398.14M-32.19%342.26M-32.19%342.26M59.42%504.69M59.42%504.69M100.82%316.58M100.82%316.58M
Employee benefits 8.26%15.41M8.26%15.41M14.32%14.24M14.32%14.24M15.32%12.46M15.32%12.46M-65.61%10.8M-65.61%10.8M22.32%31.4M22.32%31.4M
Regulatory liabilities -70.08%-13.17M-70.08%-13.17M-7.23%-7.74M-7.23%-7.74M2.31%-7.22M2.31%-7.22M-110.72%-7.39M-110.72%-7.39M-352.52%-3.51M-352.52%-3.51M
Trust preferred securities -30.49%4.53M-30.49%4.53M-2.68%6.51M-2.68%6.51M109.65%6.69M109.65%6.69M-46.36%3.19M-46.36%3.19M33.15%5.95M33.15%5.95M
Preferred securities outside stock equity -9.43%122.78M-9.43%122.78M11.63%135.57M11.63%135.57M26.73%121.44M26.73%121.44M17.16%95.82M17.16%95.82M120.02%81.79M120.02%81.79M
Total non current liabilities 3.41%2.14B3.41%2.14B6.00%2.07B6.00%2.07B10.66%1.95B10.66%1.95B7.82%1.76B7.82%1.76B119.68%1.64B119.68%1.64B
Shareholders'equity
Share capital -7.25%1.96B-7.25%1.96B-1.08%2.11B-1.08%2.11B0.55%2.13B0.55%2.13B-0.14%2.12B-0.14%2.12B185.39%2.13B185.39%2.13B
-common stock -7.25%1.96B-7.25%1.96B-1.08%2.11B-1.08%2.11B0.55%2.13B0.55%2.13B-0.14%2.12B-0.14%2.12B185.39%2.13B185.39%2.13B
Gains losses not affecting retained earnings -15.70%-63.55M-15.70%-63.55M0.73%-54.92M0.73%-54.92M10.08%-55.33M10.08%-55.33M-1,188.66%-61.53M-1,188.66%-61.53M4.49%5.65M4.49%5.65M
Other equity interest -99.12%2.48M-99.12%2.48M7.93%281.21M7.93%281.21M15.76%260.55M15.76%260.55M-17.90%225.07M-17.90%225.07M53.67%274.16M53.67%274.16M
Noncontrolling interests -1.64%33.06M-1.64%33.06M7.78%33.61M7.78%33.61M21.02%31.18M21.02%31.18M-1.45%25.77M-1.45%25.77M109.51%26.15M109.51%26.15M
Total equity -3.01%4.02B-3.01%4.02B5.86%4.14B5.86%4.14B7.17%3.91B7.17%3.91B-17.23%3.65B-17.23%3.65B137.86%4.41B137.86%4.41B

Analysis

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