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WYGPY WORLEY LIMITED ADR EACH REPR 1 SHS
10.500+0.150+1.45%
YOY
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(FY)2021/06/30(Q4)2021/06/30(FY)2020/06/30(Q4)2020/06/30
Assets
Current assets
Cash, cash equivalents and short term investments
11.78% 522M 11.78% 522M 2.12% 467M 2.12% 467M
-Cash and cash equivalents
11.78% 522M 11.78% 522M 2.12% 467M 2.12% 467M
Receivables
-11.87% 1.94B -11.87% 1.94B -17.71% 2.2B -17.71% 2.2B
-Accounts receivable
-14.4% 1.09B -14.4% 1.09B -13.62% 1.27B -13.62% 1.27B
-Other receivables
-13.33% 1.1B -13.33% 1.1B -9.1% 1.27B -9.1% 1.27B
-Recievables adjustments allowances
26.76% -249M 26.76% -249M -75.08% -340M -75.08% -340M
Prepaid assets
-1.96% 100M -1.96% 100M -36.8% 102M -36.8% 102M
Current deferred assets
17.19% 75M 17.19% 75M 79.27% 64M 79.27% 64M
Other current assets
-31.17% 223M -31.17% 223M 47.81% 324M 47.81% 324M
Total current assets
-10.92% 2.86B -10.92% 2.86B -12.7% 3.21B -12.7% 3.21B
Non current assets
Net PPE
-21.07% 618M -21.07% 618M 42% 783M 42% 783M
-Gross PPE
-11.52% 1.62B -11.52% 1.62B 43.84% 1.83B 43.84% 1.83B
-Accumulated depreciation
4.39% -1B 4.39% -1B -45.25% -1.05B -45.25% -1.05B
Goodwill and other intangible assets
-5.4% 6.06B -5.4% 6.06B 4.64% 6.4B 4.64% 6.4B
-Goodwill
-3.73% 5.22B -3.73% 5.22B 6.99% 5.42B 6.99% 5.42B
-Other intangible assets
-14.69% 836M -14.69% 836M -6.69% 980M -6.69% 980M
Investments and advances
-13.13% 172M -13.13% 172M 14.38% 198M 14.38% 198M
Non current accounts receivable
-7.14% 169M -7.14% 169M -5.01% 182M -5.01% 182M
Non current deferred assets
-33.85% 213M -33.85% 213M 33.83% 322M 33.83% 322M
Other non current assets
11.11% 60M 11.11% 60M 9.31% 54M 9.31% 54M
Total non current assets
-8.22% 7.29B -8.22% 7.29B 7.81% 7.94B 7.81% 7.94B
Total assets
-9% 10.15B -9% 10.15B 0.97% 11.15B 0.97% 11.15B
Liabilities
Current liabilities
Payables
-14.15% 1.26B -14.15% 1.26B -24.84% 1.47B -24.84% 1.47B
-accounts payable
-8.71% 639M -8.71% 639M -20.9% 700M -20.9% 700M
-Other payable
-19.09% 623M -19.09% 623M -28.09% 770M -28.09% 770M
Current provisions
-0.37% 271M -0.37% 271M 10.52% 272M 10.52% 272M
Current debt and capital lease obligation
-60.7% 246M -60.7% 246M 278.71% 626M 278.71% 626M
-Current debt
-71.67% 134M -71.67% 134M 186.32% 473M 186.32% 473M
-Current capital lease obligation
-26.8% 112M -26.8% 112M 152900% 153M 152900% 153M
Current deferred liabilities
-3.03% 32M -3.03% 32M 236.73% 33M 236.73% 33M
Other current liabilities
-17.39% 228M -17.39% 228M -- 276M -- 276M
Current liabilities
-21.84% 2.44B -21.84% 2.44B 14.45% 3.13B 14.45% 3.13B
Non current liabilities
Long term provisions
10.2% 54M 10.2% 54M -5.59% 49M -5.59% 49M
Long term debt and capital lease obligation
9.09% 1.81B 9.09% 1.81B -15.76% 1.66B -15.76% 1.66B
-Long term debt
16.96% 1.61B 16.96% 1.61B -30.05% 1.38B -30.05% 1.38B
-Long term capital lease obligation
-29.43% 199M -29.43% 199M 281900% 282M 281900% 282M
Non current deferred liabilities
-67.39% 60M -67.39% 60M 67.27% 184M 67.27% 184M
Employee benefits
5.06% 83M 5.06% 83M 10.03% 79M 10.03% 79M
Other non current liabilities
-21.54% 51M -21.54% 51M 56.63% 65M 56.63% 65M
Total non current liabilities
0.86% 2.11B 0.86% 2.11B -9.08% 2.09B -9.08% 2.09B
Total liabilities
-12.75% 4.55B -12.75% 4.55B 3.7% 5.21B 3.7% 5.21B
Shareholders'equity
Share capital
0.38% 5.32B 0.38% 5.32B 0.34% 5.3B 0.34% 5.3B
-common stock
0.38% 5.32B 0.38% 5.32B 0.34% 5.3B 0.34% 5.3B
Retained earnings
-18.98% 747M -18.98% 747M -3.88% 922M -3.88% 922M
Gains losses not affecting retained earnings
-47.66% -505M -47.66% -505M -27.8% -342M -27.8% -342M
Total stockholders'equity
-5.41% 5.56B -5.41% 5.56B -1.56% 5.88B -1.56% 5.88B
Noncontrolling interests
-35.59% 38M -35.59% 38M 34.09% 59M 34.09% 59M
Total equity
-5.71% 5.6B -5.71% 5.6B -1.3% 5.94B -1.3% 5.94B
Currency Unit
AUDAUDAUDAUD
Accounting Standards
US-GAAPUS-GAAPUS-GAAPUS-GAAP

FY: Financial Year Annual Report, which is equivalent to the 10-K file disclosed by the listed company to the SEC.

Q: Quarterly report, which is equivalent to the 10-Q file disclosed by the listed company to the SEC, where Q1, Q2, Q3, and Q4 are single quarterly reports with a span of 3 months; Q6 and Q9 are cumulative quarterly reports, and Q6 is 6 months , Q9 is 9 months.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%