Bank of Queensland Limited

ASX:BOQ.AX

7.56 (AUD) • At close May 9, 2025
Overzicht | Financiële gegevens

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

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Operationele Activiteiten:
Nettowinst 1711341511204197212214154229314215616217419116116717116415412613585.3100.5-8.55-4.27579.3539.67589.844.970.5535.27563.431.764.932.4546.3523.175000000000011.1225.5619.6324.8168.0534.026000000000000004.6174.6173.6113.611
Afschrijvingen & Amortisatie 0373640412532543685363225-928122917211321750.78.97525.0512.52517.258.62518.39.1518.859.4252512.512.656.3259.34.6512.46.2115.58.554.2754.9022.45100000000000000000000001.1241.1240.9010.901
Uitgestelde Inkomstenbelasting 000-5620390150-1710-890000000000000000000000000000000000000000000000000000000000000
Aandelen Gebaseerde Vergoedingen 0210200160809080100110120100905.20000000000000000000000000000000000000000000000000
Verandering in Werkkapitaal 0981,582542-5,641-3,097-3,860-23-1,22416222281-3-1,307396-717-464-296-2,429-896-855-1,306-488309.70000000000000000000000000000000000000000000000000
Vorderingen 0000000000000000000000000000000000000000000000000000000000000000000000000
Voorraden 0000000000000000000000000000000000000000000000000000000000000000000000000
Crediteuren 0000000000000000000000000000000000000000000000000000000000000000000000000
Overig Werkkapitaal 0981,5822,497-5,641-3,097-3,860-2,630-1,224-1,110222-2,183-3-1,307396-717-464-296-2,429-896-855-1,306-488309.70000000000000000000000000000000000000000000000000
Overige Niet-Contante Posten -158-672-15954412853111110117127-981-3271-14511-3246-7-3877-120.3-728.861.530.7534.1517.07561.330.65-175.6-87.8-143.3-71.65-170.55-85.275-178.35-89.175-12.4-6.2-11-5.529.814.914.1267.06314.5697.285-11.122-5.561-9.632-4.816-8.053-4.0268.4854.2438.6094.30418.0349.01720.09110.04511.3195.6610.2355.1188.3214.161-5.741-5.741-4.511-4.511
Kasstroom uit Operationele Activiteiten 132841,769463507-2,731233248228216184182259-1,176669-515-236-97-2,273-655-695-1,188-269330.6-628.37839130.7565.375169.484.7-86.2-43.1-54.9-27.45-93-46.5-122.7-61.35000038.3519.17519.0289.51414.5697.2850000008.4854.2438.6094.30418.0349.01720.09110.04511.3195.6610.2355.1188.3214.1615.7415.7414.5114.511
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -68-89-2-81-65-16-119-89-39-54-57-68-2-4-10-12-6-8-8-7-29-15-16-10.7-6.3-16.05-8.025-16.4-8.2-9.5-4.75-17.4-8.7-15.75-7.875-9.05-4.525-12-6-15.45-7.725-23.75-11.875-21.9-10.95-6.606-3.303-9.611-4.805-247.409-123.705-7.432-3.716-3.842-1.921-2.5-1.25-2.689-1.345-3.849-1.925-1.827-0.913-2.355-1.178-1.486-0.743-1.683-0.8420000
Netto Overnames 2193222219424200000-140000-1580-5.90000000000000000000000000000000000000000000000000
Aankoop van Beleggingen 0-8575011,756-4,959-2,507-638-973-1471,022-1,0280000000000000000000000000000-36.1-18.05-39.3-19.65-189.1-94.55-58.779-29.389-9.542-4.771-5.921-2.961-22.134-11.067-18.986-9.493-2.32-1.1626.76913.384-7.405-3.702-21.346-10.673-26.634-13.317-13.625-6.813-6.947-3.4730000
Verkoop/verval van Beleggingen 2,556-1,1361,169-11112145-1,0261,026-5290000000000000000000000000-33.05-16.5250000000000-0.087-0.0430.6130.3070000-70.247-35.124-105.761-52.88-147.306-73.6530000000000
Overige Investeringsactiviteiten 9214-88-81-58-77-73-75-36-46-50-60-37-38-2797-16-25-27-27-23-23-21-14.8-9.194.0547.025147.1573.575178.989.45-68.8-34.4-39.15-19.575-83.95-41.975-77.65-38.825109.154.55105.652.8249.35124.67584.41242.20633.72216.861272.06136.0341.85920.9334.15517.07713.3056.65246.16823.084117.01458.507170.47985.23928.98914.49515.1117.5558.634.3150000
Kasstroom uit Investeringsactiviteiten 3,411-1,885-902,507-5,703-93-3,959-3,658-1,261-1,369167-2,275-39-42-3785-36-33-35-34-52-196-37-31.4-15.47839130.7565.375169.484.7-86.2-43.1-54.9-27.45-93-46.5-122.7-61.3557.5528.77542.5521.27538.3519.17519.0289.51414.5697.28518.6439.32212.9066.45311.3275.6648.4854.243-46.836-23.418-117.819-58.91-172.382-86.191-149.137-74.569-118.22-59.11-98.891-49.4460000
Financieringsactiviteiten:
Schuldaflossingen -1,2370-1,669040701,5820-528-85-53403130-2570-2960873099702100000000000000000000000000000000000000000000000000
Uitgifte van Gewone Aandelen 0008662,12401,9111,3291,2150336059101,51302,240026803020420027.95225.15112.575005728.5187.2593.6254522.517.38.65895447.528.6514.32593.446.745.1522.57521.51610.75828.65714.3281.450.7258.6574.3290.4580.2290.9780.4893.1451.5733.9431.9713.1391.571.8810.94112.6096.3041.2930.6470000
Terugkoop van Gewone Aandelen -240-1081-180-17-2,378-7-11,1990-70-110-120-200-110-800-7.1-3.55-3.1-1.55-2.15-1.075-4.3-2.15-3.1-1.550000-0.1-0.05-1.9-0.95-0.45-0.225-0.211-0.105-13.503-6.752000000000000000000000000
Uitgekeerde Dividenden -112-102-125-113-118-113-126-98-480-95-102-1080-180-96-92-89-91-82-81-71-62-53.8-58.1-44.4-22.2-36.65-18.325-34.05-17.025-42.6-21.3-28.5-14.25-23.65-11.825-21-10.5-18.1-9.05-11.3-5.65-13.05-6.525-10.285-5.142-7.38-3.69-7.739-3.87-7.209-3.604-6.59-3.295-26.559-13.28-7.261-3.63-7.399-3.699-6.007-3.004-5.07-2.535-4.115-2.058-3.442-1.7210000
Overige Financieringsactiviteiten -1,2631,743-2,128-634,9203,2351,8814,6471,4021,4581382,199-3661,424-865461656011,289770-881,686285-15.8674.9122.461.2167.483.7203.45101.725-43.6-21.8-26.4-13.2-69.35-34.675-101.7-50.8575.6537.82553.8526.92551.425.729.31214.65621.94910.97426.38213.19120.11510.05717.9178.95835.04417.52237.30618.653139.3769.685186.36993.185147.22973.615113.70556.85391.50445.7520000
Kasstroom uit Financieringsactiviteiten -2,6361,641-4,030-1755,1913,1223,3204,8388191,372-4912,097-1681,424-534450-625122,0516888171,615236-69.6616.87839130.7565.375169.484.7-86.2-43.1-54.9-27.45-93-46.5-122.7-61.3557.5528.77542.5521.27538.3519.17519.0289.51414.5697.28518.6439.32212.9066.45311.3275.6648.4854.24330.04615.023131.97165.986180.36290.181142.1671.08109.5954.79588.06244.0310000
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas 005,238-5,2382,448-2,4552,563-2,5601,353-1,3531,274-1,2741,218-1,218914-9141,228-1,2281,103-1,1031,034-1,0348730-114.775-115.35-57.675-411.2-205.6-449.55-224.775235.75117.875124.962.45387.65193.825213.2106.60000-31-15.5-26.478-13.239-48.152-24.076000000-39.669-19.8350.1090.0540.1680.0840.0310.0150.0760.038-0.028-0.0140.190.0950000
Netto Kasstroomverandering 0-2,8872,887-2,4432,443-2,1572,157-1,1321,139-1,1341,134-1,2701,270-1,0121,012-894894-846846-1,1041,104-8038030475.97559.32559.325-9.475-9.47529.32529.325-11.425-11.425-19.9-19.954.32554.325-77.45-77.4557.857.8-7.025-7.02542.02542.02515.30215.302-2.222-2.22215.5315.53-4.549-4.5491.0351.035-7.107-7.107-4.037-4.03716.17716.17714.05114.0512.2092.2090.7890.789-1.16-1.1611.48211.4829.0229.022
Kaspositie aan het Einde van de Periode 0402,88702,44302,15771,13901,13401,27001,0120894084601,10408030643.6167.625167.625108.3108.3117.775117.77588.4588.4599.87599.875119.775119.77565.4565.45132.55132.5574.7574.7581.77581.77539.74539.74524.44224.44226.66526.66511.13511.13515.68415.68426.23326.23333.3433.3437.37637.37621.221.27.1497.1494.9414.9414.1524.15211.48211.4829.0229.022