ALS Limited

ASX:ALQ.AX

18.49 (AUD) • At close August 8, 2025
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 299.9179.6122.8168.6424.4148.3187.6249.3297.9163.1138.9115.9133.35487.12357.93760.2646.55243.2135.62914.6417.2176.85810.0875.2284.7923.2741.4181.5880.2760.391.8785.3820.0420.3510.0220.017
Kortetermijnbeleggingen 0-1.513.8-9.80.66005.15.68.17.54.0211.2440000000000.0131.14800000000000
Liquide middelen en kortetermijnbeleggingen 299.9179.6122.8168.6424.4148.3187.6249.3297.9163.1138.9115.9133.35487.12357.93760.2646.55243.2135.62914.6417.2176.85810.0875.2415.943.2741.4181.5880.2760.391.8785.3820.0420.3510.0220.017
Nettovorderingen 542.9416.6321.8338.1365.2314.1278.3250.2242.2283.8317.1257263.562193.484160.532140.573138.543105.62895.88277.63166.00962.99763.58855.34345.93332.58126.50928.41721.69618.1414.07111.29710.8049.1098.7286.564
Voorraad 108.5101.371.264.478.971.875.867.27976.185.27480.51264.11963.98473.56266.45460.07551.85840.41634.24131.66130.01525.59922.46217.59814.39913.3729.82211.0116.9866.1456.5836.5177.3646.595
Overige vlottende activa 76.755.8126.14068.271.660.5143.372.475.744.234.728.6711.86112.03612.1087.5266.7475.4944.8414.3175.0784.6474.3452.6380.6630.1880.570.1190.0720.0040.0460.0170.5460.5820.557
Totaal vlottende activa 1,028753.3641.9611.1936.7611.9602.2710691.5598.7585.4481.6506.098356.587294.489286.503259.075215.66188.863137.529111.784106.594108.33790.52876.97354.11642.51443.94731.91329.61322.93922.8717.44616.52316.69613.733
Niet-vlottende activa:
Materiële vaste activa, netto 1,025.1812.6693.5641.1727.2438.4400395.5457.3491.9481.6397.2324.604265.131216.846210.344152.074134.566125.36188.98385.94786.57287.48677.36165.86346.79246.08840.67225.24422.73218.30315.98914.71414.7414.8110.619
Goodwill 1,376.61,300.71,118.61,064.11,112.41,026.5963.9969908.71,186.31,352.6800.5760.534497.936387.219262.141224.463130.83130.36049.85442.9142.50528.15418.16913.1612.97511.9796.3096.4411.3730.6760.7240.7590.8220.655
Immateriële activa 133.4113.276.272.448.219.516.712.81564.160.14.57.1435.5545.873268.09230.193136.533135.97963.44573.3366.5365.78151.44541.31933.44633.37519.5017.4947.4944.5944.5944.5944.5944.5940
Goodwill en immateriële activa 1,5101,413.91,194.81,136.51,160.61,046980.6981.8923.71,250.41,412.7805767.677503.49393.092268.09230.193136.533135.97963.44573.3366.5365.78151.44541.31933.44633.37531.4813.80313.9355.9675.275.3185.3535.4160.655
Langetermijnbeleggingen 46.1293.5250.83530.110.110.210.431.125.722.619.822.92228.43530.5622.80122.1463.1632.5361.9013.4894.5242.5771.6350.1370.0650.06500.2360.2480.22700000
Belastingvorderingen 55.124.341.830.832.621.72220.523.822.126.816.313.15613.39514.92511.1466.8744.1517.5798.5924.3554.3453.7984.1590.0052.9192.6812.381.9291.5491.3530.931.0130.8810.6390.572
Overige niet-vlottende activa 31.932.521.422.443.650.643.331.417.518.18.214.81.2574.9095.1736.2047.30721.8560.7162.4585.444.3043.09515.3565.2722.1342.501-74.5322.2241.9381.3520.6280.8240.9740.5280.454
Totaal niet-vlottende activa 2,668.22,576.82,202.31,865.81,994.11,566.81,456.11,439.61,453.41,808.21,951.91,253.11,129.616815.36660.596518.585418.594300.269272.171165.379172.561166.275162.737149.956112.59685.35684.7177.82243.43640.40227.20222.81721.86921.94821.39312.3
Totaal activa 3,696.23,330.12,844.22,476.92,930.82,178.72,058.32,149.62,144.92,406.92,537.31,734.71,635.7141,171.947955.085805.088677.669515.929461.034302.908284.345272.869271.074240.484189.569139.472127.224121.76975.34970.01550.14145.68739.31538.47138.08926.033
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 122.1100.772.865.970.657.252.748.744.544.739.130.335.46530.13326.42829.21729.20631.35431.43445.75216.49618.39715.01417.73916.7799.868.0037.0595.996.674.6353.7414.2784.6934.7093.176
Kortlopende schulden 318.2179.5342.342.2283.2266.7-161.440.614.1118.26.95.21545.9178.383170.1114.123.436.3395.3083.5413.6581.8156.1955.1681.6652.1635.6443.6655.5362.73.2381.6642.5454.2412.294
Belastingschulden 13.828.618.330.611.10000000000000000000000000000000
Uitgestelde opbrengsten 0.5-179.567.2-43.6208.1194.5161.8132.4106.4113.7135.398.3116.20279.16958.00212.28911.13108.3486.0812.4520.0210.16211.88513.36911.2311.799011.2949.1088.5516.9915.6435.695.8275.072
Overige kortlopende verplichtingen 396.9265.4284.5239.4200.7231.314.9146.2152.941.1139.5155.183110.61884.04573.70455.52448.56139.6138.70926.10431.51631.86429.12128.71819.57319.2170.40611.669.6439.0177.3085.9095.9796.0675.453
Totaal kortlopende verplichtingen 851.5612.8738.6378.1587.1541.4216.2236.6191.7201.7333.7176.7195.863186.668118.856285.32199.98183.34585.73465.8548.59353.59248.85553.05550.66531.09829.38313.10921.31521.84916.35214.28711.85113.21715.01710.923
Langlopende verplichtingen:
Langetermijnschulden 1,5541,274.9895.3947.81,132.5513.5687700.9748.5935.4749.4521.9498.787152.68196.51499.723233.898128.687114.9782.80598.04588.98391.52383.92247.7924.23319.89239.1246.613.222.42.4956.1185.0060.1190.477
Uitgestelde opbrengsten niet-vlottend 44.47.988.78.58.48.687.786.13.42.9082.7884.1572.2552.5722.142.029-1.971-0.9950-0.3-0.066000.74600-0.198-0.11200000
Uitgestelde belastingverplichtingen niet-vlottend 36.722.526.21410.76.19.598.76.71.32.11.6961.6812.0682.7081.9741.2281.0541.7851.4362.6841.891.44500.7910.4820.3190.3870.6060.550.4740.5180.5060.5780.501
Overige niet-vlottende verplichtingen 101.556.371.662.181.412.26.418.911.434.728.735.66.2562.613.7462.0131.0390.9820.5951.3730.5251.1190.9651.5212.5050.9460.746-39.4430.5130.4180.3470.2580.1930.1683.7970.233
Totaal niet-vlottende verplichtingen 1,692.21,339.1974.91,0191,233.1534.1720.1727.8767.6976.8784.2560.9509.647159.759206.485106.699239.483133.037118.64885.963100.00692.78694.37886.88850.29525.9721.1240.5577.514.2443.2973.2276.8295.684.4941.211
Totaal passiva 2,499.31,951.91,713.51,397.11,820.21,075.5936.3964.4959.31,178.51,117.9737.6705.51346.427325.341392.02339.464216.382204.382151.813148.599146.378143.233139.943100.9657.06850.50353.66628.81536.09319.64917.51418.6818.89719.51112.134
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000
Gewone aandelen 1,325.91,326.11,3211,304.61,303.91,325.91,348.11,453.41,452.71,134.11,061667.9610.382610.382456.734242.724223.111208.692197.923112.185104.327100.06798.18667.04965.18663.0214.95611.68811.3068.848.5868.4556.896.7736.5985.713
Ingehouden winsten -129.449.5-76.2-104.5-204.9-199.8-229.1-200.2-224.3104.5401.6415.4351.171243.974189.772169.14120.50283.53853.6544.72437.76828.728.52728.8519.76716.07112.74312.1529.7339.1577.7566.3555.564.9824.4964.303
Overige gereserveerde algehele resultaten -13.2-8.7-124.7-131.11.1-32.7-8.9-77.6-51.4-23.1-54.9-97.9-36.931-30.315-18.1990.048-6.0125.7923.398-7.785-7.344-2.5060.8284.5763.5053.29549.02427.37925.49515.72714.03813.3638.1857.8197.4843.883
Overige totale aandeelhoudersvermogen 000000000000000000000000000-51.41300000000
Totaal eigen vermogen van aandeelhouders 1,183.31,366.91,120.11,0691,100.11,093.41,110.11,175.61,1771,215.51,407.7985.4924.622824.041628.307411.912337.601298.022254.971149.124134.751126.261127.541100.47588.45882.38676.723-0.19446.53433.72430.3828.17320.63519.57418.57813.899
Totaal eigen vermogen 1,196.91,378.21,130.71,079.81,110.61,103.21,1221,185.21,185.61,228.41,419.4997.1930.204825.52629.744413.068338.205299.547256.652151.095135.746126.491127.841100.54188.60982.40476.721046.53433.92230.49228.17320.63519.57418.57813.899
Totaal passiva en aandeelhoudersvermogen 3,696.23,330.12,844.22,476.92,930.82,178.72,058.32,149.62,144.92,406.92,537.31,734.71,635.7141,171.947955.085805.088677.669515.929461.034302.908284.345272.869271.074240.484189.569139.472127.2240.19475.34970.01550.14145.68739.31538.47138.08926.033