Ampol Limited

ASX:ALD.AX

29.4 (AUD) • At close August 29, 2025
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) AUD.

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891987
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 123.9300.6126566.3367.6356.14244.521244.857263.76453.122199.922209.9291.81818.37722.35631.70314.01955.59928.48414.19636.31817.969-11.37641.71111.62815.60943.6280.1750.00324.93316.66328.86927.73721.90515.034.843
Kortetermijnbeleggingen 00000065.0731.1670000000000025.45102.340-0.015-0.015-0.135-0.136-0.136000000000
Liquide middelen en kortetermijnbeleggingen 123.9300.6126566.3367.6356.14244.521244.857263.76453.122199.922209.9291.81818.37722.35631.70314.01955.59953.93514.19636.31817.969-11.37641.71111.62815.60943.6280.1750.00324.93316.66328.86927.73721.90515.034.843
Nettovorderingen 2,204.62,413.12,601.11,576.2936.11,479.2847.362742.841757.109732.709783.532933.8681,047.4341,001.49839.677773.221833.4521,146.974849.191826.075636.372540.99585.462523.146673.066549.745478.102475.81266.691132.698307.439308.066230.278247.717346.13277.844196.155
Voorraad 2,916.42,9913,593.92,064.91,354.32,109.51,616.1251,694.9151,080.92969.8851,118.0842,027.8571,651.5091,717.7321,385.311,209.1121,044.1871,551.6051,100.0341,044.805822.083502.732525.546492.736562.671462.851267.442361.2707.497248.005257.325278.336282.559379.067255.265240.658
Overige vlottende activa 161.640.700034.2401.956245.34660.76938.881144.59890.08139.80235.86230.10740.763156.16123.15524.29325.45119.39820.76128.81630.66126.36648.7680.3040.290.41.4874.983.1863.42932.366000
Totaal vlottende activa 5,406.55,745.46,3214,207.42,6583,657.92,871.5852,727.6232,143.6552,005.2392,099.3363,251.7282,948.6742,756.9022,273.4712,045.4522,065.5032,735.7532,029.1171,924.8151,492.0491,100.8011,157.7931,046.5431,303.8141,072.992761.153880.7167.266141.685585.357585.234600.912590.379747.102548.139441.656
Niet-vlottende activa:
Materiële vaste activa, netto 5,229.14,906.34,617.73,564.73,467.73,702.52,889.8632,818.3532,690.8652,602.8652,363.6722,125.6171,769.9151,535.4482,895.5222,779.8462,742.2812,476.9632,288.4422,076.2791,709.7281,615.3211,625.3271,664.5341,662.4581,703.6331,748.2711,790.4880.0333.3281,126.6481,102.3081,103.9191,086.629963.783636.79428.507
Goodwill 675.7681.2673.3406.7405.7411.2407.436399.357130.069131.247126.73597.16268.22468.16149.41249.41250.77656.16839.08421.96414.00412.59214.0490158.011168.916179.916192.0690011.55210.2110.29111.1869.1746.6731.137
Immateriële activa 703.7743.31,599.2506.3558.4578.8146.783117.50965.26651.37961.45347.08539.8426.84730.45135.91633.44179.48515.54919.69200000000000000000
Goodwill en immateriële activa 1,379.41,424.52,272.5913964.1990554.219516.866195.335182.626188.188144.247108.06495.00879.86385.32884.217135.65354.63341.65614.00412.59214.0490158.011168.916179.916192.069046.78711.55210.2110.29111.1869.1746.6731.137
Langetermijnbeleggingen 355.3310.5423.5225.5223.2163.6147.44211.3610.3949.41224.18123.86624.1623.57623.36621.59824.84325.02326.73326.03714.3669.8298.10812.59211.3610.6889.98510.199791.416791.9038.458.4948.5939.1624.6813.5261.712
Belastingvorderingen 342.923.838366.1344.2453.8172.2184.16244.073238.083298.158442.183469.89528.136446.75813.13815.4650.2390.2823.9165.13417.19625.6380009.95915.45414.58800.28241.90439.60954.21350.1550.65965.78340.875
Overige niet-vlottende activa 157.9427.4-669.6-401.1-402.8-339.1-184.16-244.073-238.083-298.158-442.183-469.896.6873.3675.3254.124.512.4314.5854.62730.3829.46531.87523.44331.7887.9676.68780.2515.20529.29529.76530.77530.56516.83433.85416.445
Totaal niet-vlottende activa 7,464.67,068.77,010.24,646.34,7064,689.23,591.5243,346.5792,896.5942,794.9032,576.0412,293.732,436.9622,104.1573,017.2142,906.3572,856.082,594.1832,388.3092,153.7331,785.6761,672.8451,679.3591,700.5691,863.6171,901.1561,960.6262,014.031871.697877.5051,217.8491,190.3861,207.7911,187.6921,045.131746.626488.676
Totaal activa 12,871.112,814.113,331.28,853.77,3648,347.16,727.6236,355.225,302.7345,104.7415,128.5346,020.875,385.6364,861.0595,290.6854,951.8094,921.5835,329.9364,417.4264,078.5483,277.7252,773.6462,837.1522,747.1123,167.4312,974.1482,721.7792,894.741938.9631,019.191,803.2061,775.621,808.7031,778.0711,792.2331,294.765930.332
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3,0963,046.9474,438.22,370.2935.82,354.21,456.4421,361.704774.633673.072610.3991,195.491937.254986.605668.952739.594686.5681,101.516769.123749.007476.229317.301317.666343.357632.839355.146137.367205.33300207.125185.673223.234210.25000
Kortlopende schulden 520.2295.8503.7-2,340.2320.4221.46150.421270.2690.1340.1220.1171.4041.188153.979132.46978.434143.92831.871130.83368.82927.76196.652257.553229.372246.616371.04324.52230.06843.495.688147.14468.96328.2549.029136.076153.445183.36
Belastingschulden 00266129.690.7118.865.708151.948167.56930.478000000000000000000000000000
Uitgestelde opbrengsten 00266129.690.7118.8-150.421-270.269-0.134-0.122-0.11-71.40400000-519.983-425.098-481.888-391.989-285.383-228.567-123.4440-37.903-158.257-145.852-43.9520159.493140.728154.047205.277000
Overige kortlopende verplichtingen 1,419.41,422.653-19.5105.1716.8398.84521.623574.748560.12514.077893.391805.262693.955841.179817.628614.569544.594683.299505.453660.203578.89404.039333.708159.81156.879301.747257.324313.35435.192122.305168.112149.95162.876213.247461.091315.157215.467
Totaal kortlopende verplichtingen 5,035.64,765.45,454.42,894.12,063.73,212.12,194.1942,358.6691,502.4561,217.7491,503.92,072.1571,632.3971,981.7631,619.0491,432.5971,375.091,816.6861,405.4091,478.0391,082.88817.992908.927732.54936.3341,027.933719.211748.75578.682127.993522.381404.586414.36472.526597.167468.602398.827
Langlopende verplichtingen:
Langetermijnschulden 3,557.13,399.23,110.72,1041,555.51,559.31,111.489588.652698.34696.878692.169870.921948.744464.685343.041362.773719.806564.158463.752389.13433.681564.094714.6491,046.7041,036.286747.529843.523742.51156.467.54180.631319.033346.964397.345321.446264.19510.275
Uitgestelde opbrengsten niet-vlottend 0458.8965.78147540000000000095.394537.819405.542418.6640-278.764-278.784-103.612-316.028-309.782-539.06451.701028.761194.103179.567191.40334.83135.08632.867125.489
Uitgestelde belastingverplichtingen niet-vlottend 79.262.788.2219.70000000000015.29631.4130.66210.0420128.623139.354130.561159.197151.439157.428115.90301.96590.3486.97995.64690.11585.41859.90447.596
Overige niet-vlottende verplichtingen 619.31,069.7627.8487.8510.4305.232.876299.998291.723402.309399.874480.76644.916196.536245.999231.177114.03489.0675.09362.88241.94539.27837.89616.09726.4831.02232.2328501.5491.5195.95212.74820.22828.28633.56734.223
Totaal niet-vlottende verplichtingen 4,255.64,531.63,826.72,612.82,075.61,864.5810.914588.495697.564695.968691.137870.9211,593.66661.221589.04593.95944.53684.628569.507462.054475.626731.995891.8991,193.3621,221.963929.991,033.1811,195.11556.499.815466.593591.531646.761542.519470.236390.53392.094
Totaal passiva 9,291.28,838.29,281.15,506.94,139.35,076.63,338.5593,247.3192,492.5192,316.9362,595.9433,423.8383,226.0572,642.9842,208.0892,026.5472,319.622,501.3141,974.9161,940.0931,558.5061,549.9871,800.8261,925.9022,158.2971,957.9231,752.3921,943.87135.082227.808988.974996.1171,061.1211,015.0451,067.403859.135490.921
Eigen vermogen:
Preferente aandelen 000000039.5117.9559.2233.49810.2580000000000000000000000000
Gewone aandelen 479.7479.7479.7479.7502.6502.6524.944524.944524.944543.415543.415543.415543.435542.985542.662541.659541.456540.496541.323540.751543.415543.415543.415543.415543.415543.415863.28270180180180180180180180180180
Ingehouden winsten 2,445.42,900.72,9462,5312,444.52,7372,842.3572,610.1952,280.7542,241.9811,981.3192,055.2621,611.9051,671.3572,534.0092,380.2642,047.3482,273.881,887.1561,583.8351,168.558671.884485.187270.017136.321143.45997.38378.15668.69266.293308.611269.77234.026233.644248.908174.974134.957
Overige gereserveerde algehele resultaten 243.7184.1209.165.55.619.411.168-39.511-7.955-9.223-3.498-10.258-7.655-8.337-5.852-7.4123.0863.0923.3464.205-1,433.482-1,334.357-1,252.281-1,148.043319.865319.865-849.582593.28555.189544.885303.39309.841314.034329.878282.58468.027109.775
Overige totale aandeelhoudersvermogen -5.6-5.4-2.8-1.5-1.6-2-2.462-1.21-0.344-0.644-0.607-10.8680000000000000000000000000
Totaal eigen vermogen van aandeelhouders 3,163.23,559.13,6323,074.72,951.13,2573,376.0073,094.4182,797.3992,775.5292,520.6292,587.8092,147.6852,206.0053,070.8192,914.5112,591.892,817.4682,431.8252,128.7911,711.9731,215.2991,028.602813.432999.6011,006.739960.663941.436803.881791.178792.001759.611728.06743.522711.492423.001424.732
Totaal eigen vermogen 3,579.93,975.94,050.13,346.83,224.73,270.53,389.0643,107.9012,810.2152,787.8052,532.5912,597.0322,159.5792,218.0753,082.5962,925.2622,601.9632,828.6222,442.512,138.4551,719.2191,223.6591,036.326821.211,009.1341,016.225969.387950.871803.881791.382814.232779.503747.582763.026724.83435.63439.411
Totaal passiva en aandeelhoudersvermogen 12,871.112,814.113,331.28,853.77,3648,347.16,727.6236,355.225,302.7345,104.7415,128.5346,020.875,385.6364,861.0595,290.6854,951.8094,921.5835,329.9364,417.4264,078.5483,277.7252,773.6462,837.1522,747.1123,167.4312,974.1482,721.7792,894.741938.9631,019.191,803.2061,775.621,808.7031,778.0711,792.2331,294.765930.332