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QABSY QANTAS AIRWAYS SPON ADR EACH REP 5 ORD SHS

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  • 19.190
  • +0.320+1.70%
15min DelayClose Apr 23 16:00 ET
6.25BMarket Cap6.44P/E (TTM)

QANTAS AIRWAYS SPON ADR EACH REP 5 ORD SHS 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
-14.83%3.39B
-14.83%3.39B
79.38%3.98B
79.38%3.98B
-36.90%2.22B
-36.90%2.22B
63.19%3.52B
63.19%3.52B
27.33%2.16B
27.33%2.16B
-Cash and cash equivalents
-5.15%3.17B
-5.15%3.17B
50.52%3.34B
50.52%3.34B
-36.90%2.22B
-36.90%2.22B
63.19%3.52B
63.19%3.52B
27.33%2.16B
27.33%2.16B
-Short-term investments
-65.37%222M
-65.37%222M
--641M
--641M
----
----
----
----
----
----
Receivables
-4.95%1.06B
-4.95%1.06B
90.24%1.11B
90.24%1.11B
11.88%584M
11.88%584M
-52.59%522M
-52.59%522M
21.26%1.1B
21.26%1.1B
-Accounts receivable
-5.08%1.05B
-5.08%1.05B
125.36%1.1B
125.36%1.1B
45.97%489M
45.97%489M
-65.64%335M
-65.64%335M
7.38%975M
7.38%975M
-Other receivables
11.11%10M
11.11%10M
-91.09%9M
-91.09%9M
-50.49%101M
-50.49%101M
56.92%204M
56.92%204M
--130M
--130M
-Recievables adjustments allowances
----
----
----
----
64.71%-6M
64.71%-6M
-325.00%-17M
-325.00%-17M
---4M
---4M
Inventory
7.81%290M
7.81%290M
-3.58%269M
-3.58%269M
-8.82%279M
-8.82%279M
-15.93%306M
-15.93%306M
3.70%364M
3.70%364M
Prepaid assets
--251M
--251M
----
----
----
----
-24.84%121M
-24.84%121M
--161M
--161M
Current deferred assets
----
----
----
----
----
----
--137M
--137M
----
----
Other current assets
-71.27%77M
-71.27%77M
58.58%268M
58.58%268M
134.72%169M
134.72%169M
-4.00%72M
-4.00%72M
-55.09%75M
-55.09%75M
Total current assets
-9.37%5.11B
-9.37%5.11B
64.23%5.63B
64.23%5.63B
-30.74%3.43B
-30.74%3.43B
18.10%4.95B
18.10%4.95B
12.96%4.19B
12.96%4.19B
Non current assets
Net PPE
17.63%13.15B
17.63%13.15B
-6.01%11.18B
-6.01%11.18B
-9.65%11.9B
-9.65%11.9B
1.46%13.17B
1.46%13.17B
0.98%12.98B
0.98%12.98B
-Gross PPE
17.63%13.15B
17.63%13.15B
-63.73%11.18B
-63.73%11.18B
0.42%30.83B
0.42%30.83B
10.22%30.7B
10.22%30.7B
116.71%27.85B
116.71%27.85B
-Accumulated depreciation
----
----
----
----
-7.99%-18.93B
-7.99%-18.93B
-17.87%-17.53B
-17.87%-17.53B
---14.87B
---14.87B
Goodwill and other intangible assets
-11.70%687M
-11.70%687M
-8.36%778M
-8.36%778M
-19.14%849M
-19.14%849M
-14.29%1.05B
-14.29%1.05B
10.06%1.23B
10.06%1.23B
-Goodwill
----
----
----
----
2.47%166M
2.47%166M
-22.49%162M
-22.49%162M
--209M
--209M
-Other intangible assets
-11.70%687M
-11.70%687M
13.91%778M
13.91%778M
-23.09%683M
-23.09%683M
-12.60%888M
-12.60%888M
-8.72%1.02B
-8.72%1.02B
Investments and advances
-31.25%176M
-31.25%176M
349.12%256M
349.12%256M
-3.39%57M
-3.39%57M
-78.31%59M
-78.31%59M
20.35%272M
20.35%272M
Non current accounts receivable
14.00%57M
14.00%57M
-50.50%50M
-50.50%50M
-18.55%101M
-18.55%101M
61.04%124M
61.04%124M
-23.00%77M
-23.00%77M
Financial assets
----
----
----
----
33.09%185M
33.09%185M
-24.46%139M
-24.46%139M
64.29%184M
64.29%184M
Non current deferred assets
-56.98%367M
-56.98%367M
26.37%853M
26.37%853M
304.19%675M
304.19%675M
--167M
--167M
----
----
Other non current assets
-10.20%810M
-10.20%810M
31.30%902M
31.30%902M
86.18%687M
86.18%687M
-17.82%369M
-17.82%369M
-15.76%449M
-15.76%449M
Total non current assets
8.77%15.25B
8.77%15.25B
-2.98%14.02B
-2.98%14.02B
-4.14%14.45B
-4.14%14.45B
-0.72%15.07B
-0.72%15.07B
1.67%15.18B
1.67%15.18B
Total assets
3.57%20.35B
3.57%20.35B
9.92%19.65B
9.92%19.65B
-10.72%17.88B
-10.72%17.88B
3.35%20.03B
3.35%20.03B
3.91%19.38B
3.91%19.38B
Liabilities
Current liabilities
Payables
10.43%2.73B
10.43%2.73B
36.46%2.47B
36.46%2.47B
-22.88%1.81B
-22.88%1.81B
-4.82%2.35B
-4.82%2.35B
7.63%2.47B
7.63%2.47B
-accounts payable
10.43%2.73B
10.43%2.73B
36.46%2.47B
36.46%2.47B
-22.88%1.81B
-22.88%1.81B
-4.82%2.35B
-4.82%2.35B
7.63%2.47B
7.63%2.47B
Current provisions
18.33%297M
18.33%297M
-20.32%251M
-20.32%251M
-18.81%315M
-18.81%315M
167.59%388M
167.59%388M
-83.78%145M
-83.78%145M
Current debt and capital lease obligation
31.05%1.38B
31.05%1.38B
-22.12%1.05B
-22.12%1.05B
-2.87%1.35B
-2.87%1.35B
119.21%1.39B
119.21%1.39B
57.18%635M
57.18%635M
-Current debt
19.43%799M
19.43%799M
-30.96%669M
-30.96%669M
11.64%969M
11.64%969M
71.54%868M
71.54%868M
71.53%506M
71.53%506M
-Current capital lease obligation
51.30%581M
51.30%581M
0.26%384M
0.26%384M
-26.91%383M
-26.91%383M
306.20%524M
306.20%524M
18.35%129M
18.35%129M
Current deferred liabilities
13.63%6.66B
13.63%6.66B
78.91%5.86B
78.91%5.86B
17.71%3.28B
17.71%3.28B
-37.13%2.78B
-37.13%2.78B
12.41%4.43B
12.41%4.43B
Other current liabilities
-23.88%51M
-23.88%51M
--67M
--67M
----
----
----
----
----
----
Current liabilities
14.58%12.1B
14.58%12.1B
39.01%10.56B
39.01%10.56B
-8.54%7.6B
-8.54%7.6B
-3.17%8.3B
-3.17%8.3B
12.90%8.58B
12.90%8.58B
Non current liabilities
Long term provisions
-29.10%536M
-29.10%536M
18.31%756M
18.31%756M
8.31%639M
8.31%639M
61.20%590M
61.20%590M
-0.27%366M
-0.27%366M
Long term debt and capital lease obligation
-13.48%5.35B
-13.48%5.35B
-10.15%6.18B
-10.15%6.18B
-3.72%6.88B
-3.72%6.88B
55.65%7.14B
55.65%7.14B
5.64%4.59B
5.64%4.59B
-Long term debt
-17.41%4.37B
-17.41%4.37B
-9.73%5.29B
-9.73%5.29B
0.62%5.86B
0.62%5.86B
67.53%5.83B
67.53%5.83B
9.86%3.48B
9.86%3.48B
-Long term capital lease obligation
9.91%976M
9.91%976M
-12.60%888M
-12.60%888M
-22.91%1.02B
-22.91%1.02B
18.53%1.32B
18.53%1.32B
-5.68%1.11B
-5.68%1.11B
Non current deferred liabilities
-2.71%2.01B
-2.71%2.01B
-4.09%2.07B
-4.09%2.07B
-4.52%2.15B
-4.52%2.15B
-2.46%2.26B
-2.46%2.26B
-1.83%2.31B
-1.83%2.31B
Employee benefits
15.79%44M
15.79%44M
-24.00%38M
-24.00%38M
-18.03%50M
-18.03%50M
24.49%61M
24.49%61M
--49M
--49M
Derivative product liabilities
----
----
----
----
-89.36%5M
-89.36%5M
-2.08%47M
-2.08%47M
92.00%48M
92.00%48M
Other non current liabilities
26.42%311M
26.42%311M
--246M
--246M
----
----
----
----
----
----
Total non current liabilities
-11.18%8.25B
-11.18%8.25B
-4.95%9.29B
-4.95%9.29B
-4.19%9.77B
-4.19%9.77B
38.44%10.2B
38.44%10.2B
3.85%7.37B
3.85%7.37B
Total liabilities
2.52%20.34B
2.52%20.34B
14.28%19.84B
14.28%19.84B
-6.14%17.36B
-6.14%17.36B
16.05%18.5B
16.05%18.5B
8.53%15.94B
8.53%15.94B
Shareholders'equity
Share capital
-34.55%2.08B
-34.55%2.08B
0.32%3.18B
0.32%3.18B
3.77%3.17B
3.77%3.17B
77.60%3.05B
77.60%3.05B
-28.17%1.72B
-28.17%1.72B
-common stock
-34.55%2.08B
-34.55%2.08B
0.32%3.18B
0.32%3.18B
3.77%3.17B
3.77%3.17B
77.60%3.05B
77.60%3.05B
-28.17%1.72B
-28.17%1.72B
Retained earnings
43.46%-2.28B
43.46%-2.28B
-30.35%-4.02B
-30.35%-4.02B
-127.49%-3.09B
-127.49%-3.09B
-184.65%-1.36B
-184.65%-1.36B
47.88%1.6B
47.88%1.6B
Gains losses not affecting retained earnings
-69.18%200M
-69.18%200M
50.23%649M
50.23%649M
349.71%432M
349.71%432M
-255.86%-173M
-255.86%-173M
-76.83%111M
-76.83%111M
Total stockholders'equity
102.54%5M
102.54%5M
-138.40%-197M
-138.40%-197M
-66.32%513M
-66.32%513M
-55.64%1.52B
-55.64%1.52B
-13.22%3.43B
-13.22%3.43B
Noncontrolling interests
-28.57%5M
-28.57%5M
133.33%7M
133.33%7M
0.00%3M
0.00%3M
0.00%3M
0.00%3M
0.00%3M
0.00%3M
Total equity
105.26%10M
105.26%10M
-136.82%-190M
-136.82%-190M
-66.19%516M
-66.19%516M
-55.59%1.53B
-55.59%1.53B
-13.21%3.44B
-13.21%3.44B
Currency Unit
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(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 -14.83%3.39B-14.83%3.39B79.38%3.98B79.38%3.98B-36.90%2.22B-36.90%2.22B63.19%3.52B63.19%3.52B27.33%2.16B27.33%2.16B
-Cash and cash equivalents -5.15%3.17B-5.15%3.17B50.52%3.34B50.52%3.34B-36.90%2.22B-36.90%2.22B63.19%3.52B63.19%3.52B27.33%2.16B27.33%2.16B
-Short-term investments -65.37%222M-65.37%222M--641M--641M------------------------
Receivables -4.95%1.06B-4.95%1.06B90.24%1.11B90.24%1.11B11.88%584M11.88%584M-52.59%522M-52.59%522M21.26%1.1B21.26%1.1B
-Accounts receivable -5.08%1.05B-5.08%1.05B125.36%1.1B125.36%1.1B45.97%489M45.97%489M-65.64%335M-65.64%335M7.38%975M7.38%975M
-Other receivables 11.11%10M11.11%10M-91.09%9M-91.09%9M-50.49%101M-50.49%101M56.92%204M56.92%204M--130M--130M
-Recievables adjustments allowances ----------------64.71%-6M64.71%-6M-325.00%-17M-325.00%-17M---4M---4M
Inventory 7.81%290M7.81%290M-3.58%269M-3.58%269M-8.82%279M-8.82%279M-15.93%306M-15.93%306M3.70%364M3.70%364M
Prepaid assets --251M--251M-----------------24.84%121M-24.84%121M--161M--161M
Current deferred assets --------------------------137M--137M--------
Other current assets -71.27%77M-71.27%77M58.58%268M58.58%268M134.72%169M134.72%169M-4.00%72M-4.00%72M-55.09%75M-55.09%75M
Total current assets -9.37%5.11B-9.37%5.11B64.23%5.63B64.23%5.63B-30.74%3.43B-30.74%3.43B18.10%4.95B18.10%4.95B12.96%4.19B12.96%4.19B
Non current assets
Net PPE 17.63%13.15B17.63%13.15B-6.01%11.18B-6.01%11.18B-9.65%11.9B-9.65%11.9B1.46%13.17B1.46%13.17B0.98%12.98B0.98%12.98B
-Gross PPE 17.63%13.15B17.63%13.15B-63.73%11.18B-63.73%11.18B0.42%30.83B0.42%30.83B10.22%30.7B10.22%30.7B116.71%27.85B116.71%27.85B
-Accumulated depreciation -----------------7.99%-18.93B-7.99%-18.93B-17.87%-17.53B-17.87%-17.53B---14.87B---14.87B
Goodwill and other intangible assets -11.70%687M-11.70%687M-8.36%778M-8.36%778M-19.14%849M-19.14%849M-14.29%1.05B-14.29%1.05B10.06%1.23B10.06%1.23B
-Goodwill ----------------2.47%166M2.47%166M-22.49%162M-22.49%162M--209M--209M
-Other intangible assets -11.70%687M-11.70%687M13.91%778M13.91%778M-23.09%683M-23.09%683M-12.60%888M-12.60%888M-8.72%1.02B-8.72%1.02B
Investments and advances -31.25%176M-31.25%176M349.12%256M349.12%256M-3.39%57M-3.39%57M-78.31%59M-78.31%59M20.35%272M20.35%272M
Non current accounts receivable 14.00%57M14.00%57M-50.50%50M-50.50%50M-18.55%101M-18.55%101M61.04%124M61.04%124M-23.00%77M-23.00%77M
Financial assets ----------------33.09%185M33.09%185M-24.46%139M-24.46%139M64.29%184M64.29%184M
Non current deferred assets -56.98%367M-56.98%367M26.37%853M26.37%853M304.19%675M304.19%675M--167M--167M--------
Other non current assets -10.20%810M-10.20%810M31.30%902M31.30%902M86.18%687M86.18%687M-17.82%369M-17.82%369M-15.76%449M-15.76%449M
Total non current assets 8.77%15.25B8.77%15.25B-2.98%14.02B-2.98%14.02B-4.14%14.45B-4.14%14.45B-0.72%15.07B-0.72%15.07B1.67%15.18B1.67%15.18B
Total assets 3.57%20.35B3.57%20.35B9.92%19.65B9.92%19.65B-10.72%17.88B-10.72%17.88B3.35%20.03B3.35%20.03B3.91%19.38B3.91%19.38B
Liabilities
Current liabilities
Payables 10.43%2.73B10.43%2.73B36.46%2.47B36.46%2.47B-22.88%1.81B-22.88%1.81B-4.82%2.35B-4.82%2.35B7.63%2.47B7.63%2.47B
-accounts payable 10.43%2.73B10.43%2.73B36.46%2.47B36.46%2.47B-22.88%1.81B-22.88%1.81B-4.82%2.35B-4.82%2.35B7.63%2.47B7.63%2.47B
Current provisions 18.33%297M18.33%297M-20.32%251M-20.32%251M-18.81%315M-18.81%315M167.59%388M167.59%388M-83.78%145M-83.78%145M
Current debt and capital lease obligation 31.05%1.38B31.05%1.38B-22.12%1.05B-22.12%1.05B-2.87%1.35B-2.87%1.35B119.21%1.39B119.21%1.39B57.18%635M57.18%635M
-Current debt 19.43%799M19.43%799M-30.96%669M-30.96%669M11.64%969M11.64%969M71.54%868M71.54%868M71.53%506M71.53%506M
-Current capital lease obligation 51.30%581M51.30%581M0.26%384M0.26%384M-26.91%383M-26.91%383M306.20%524M306.20%524M18.35%129M18.35%129M
Current deferred liabilities 13.63%6.66B13.63%6.66B78.91%5.86B78.91%5.86B17.71%3.28B17.71%3.28B-37.13%2.78B-37.13%2.78B12.41%4.43B12.41%4.43B
Other current liabilities -23.88%51M-23.88%51M--67M--67M------------------------
Current liabilities 14.58%12.1B14.58%12.1B39.01%10.56B39.01%10.56B-8.54%7.6B-8.54%7.6B-3.17%8.3B-3.17%8.3B12.90%8.58B12.90%8.58B
Non current liabilities
Long term provisions -29.10%536M-29.10%536M18.31%756M18.31%756M8.31%639M8.31%639M61.20%590M61.20%590M-0.27%366M-0.27%366M
Long term debt and capital lease obligation -13.48%5.35B-13.48%5.35B-10.15%6.18B-10.15%6.18B-3.72%6.88B-3.72%6.88B55.65%7.14B55.65%7.14B5.64%4.59B5.64%4.59B
-Long term debt -17.41%4.37B-17.41%4.37B-9.73%5.29B-9.73%5.29B0.62%5.86B0.62%5.86B67.53%5.83B67.53%5.83B9.86%3.48B9.86%3.48B
-Long term capital lease obligation 9.91%976M9.91%976M-12.60%888M-12.60%888M-22.91%1.02B-22.91%1.02B18.53%1.32B18.53%1.32B-5.68%1.11B-5.68%1.11B
Non current deferred liabilities -2.71%2.01B-2.71%2.01B-4.09%2.07B-4.09%2.07B-4.52%2.15B-4.52%2.15B-2.46%2.26B-2.46%2.26B-1.83%2.31B-1.83%2.31B
Employee benefits 15.79%44M15.79%44M-24.00%38M-24.00%38M-18.03%50M-18.03%50M24.49%61M24.49%61M--49M--49M
Derivative product liabilities -----------------89.36%5M-89.36%5M-2.08%47M-2.08%47M92.00%48M92.00%48M
Other non current liabilities 26.42%311M26.42%311M--246M--246M------------------------
Total non current liabilities -11.18%8.25B-11.18%8.25B-4.95%9.29B-4.95%9.29B-4.19%9.77B-4.19%9.77B38.44%10.2B38.44%10.2B3.85%7.37B3.85%7.37B
Total liabilities 2.52%20.34B2.52%20.34B14.28%19.84B14.28%19.84B-6.14%17.36B-6.14%17.36B16.05%18.5B16.05%18.5B8.53%15.94B8.53%15.94B
Shareholders'equity
Share capital -34.55%2.08B-34.55%2.08B0.32%3.18B0.32%3.18B3.77%3.17B3.77%3.17B77.60%3.05B77.60%3.05B-28.17%1.72B-28.17%1.72B
-common stock -34.55%2.08B-34.55%2.08B0.32%3.18B0.32%3.18B3.77%3.17B3.77%3.17B77.60%3.05B77.60%3.05B-28.17%1.72B-28.17%1.72B
Retained earnings 43.46%-2.28B43.46%-2.28B-30.35%-4.02B-30.35%-4.02B-127.49%-3.09B-127.49%-3.09B-184.65%-1.36B-184.65%-1.36B47.88%1.6B47.88%1.6B
Gains losses not affecting retained earnings -69.18%200M-69.18%200M50.23%649M50.23%649M349.71%432M349.71%432M-255.86%-173M-255.86%-173M-76.83%111M-76.83%111M
Total stockholders'equity 102.54%5M102.54%5M-138.40%-197M-138.40%-197M-66.32%513M-66.32%513M-55.64%1.52B-55.64%1.52B-13.22%3.43B-13.22%3.43B
Noncontrolling interests -28.57%5M-28.57%5M133.33%7M133.33%7M0.00%3M0.00%3M0.00%3M0.00%3M0.00%3M0.00%3M
Total equity 105.26%10M105.26%10M-136.82%-190M-136.82%-190M-66.19%516M-66.19%516M-55.59%1.53B-55.59%1.53B-13.21%3.44B-13.21%3.44B
Currency Unit AUDAUDAUDAUDAUDAUDAUDAUDAUDAUD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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