CTI Logistics Limited

ASX:CLX.AX

1.6 (AUD) • At close September 19, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 10.39610.2829.416.4947.6112.1861.9914.2732.1626.1012.2514.4411.4070.6940.7150.0030.8140.0030.521.8880.45300.7560.9170.1932.1250.9750.1781.2081.1391.5651.020.7711.5040.3931.962
Kortetermijnbeleggingen 00000000000-9.781000000000000-0.7020000.050.0980.0730.0250.025000
Liquide middelen en kortetermijnbeleggingen 10.39610.2829.416.4947.6112.1861.9914.2732.1626.1012.2514.4411.4070.6940.7150.0030.8140.0030.521.8880.4531.1630.7560.9170.1932.1250.9750.1781.2581.2371.6381.0450.7961.5040.3931.962
Nettovorderingen 40.35935.92437.51631.38728.27826.93225.96917.85517.33817.20220.02920.04216.79510.8589.8989.0659.00711.6929.68210.1412.63614.95821.55318.13317.30817.03314.16612.33611.4111.9027.6457.0595.9275.4534.8263.617
Voorraad 0.1670.2340.2210.2980.1650.1340.1620.1060.1340.3651.7782.6342.7342.261.4872.1262.3682.3021.8491.7041.4531.3551.3751.9462.6673.3022.8471.5111.372.150.2240.220.3020.290.1870.284
Overige vlottende activa 1.8421.3511.3941.6871.6594.3662.9873.5976.68111.612.1952.0480.560.7050.5590.6150.7410.7570.7650.4862.5614.7971.9462.152.4471.7881.6891.6010.7470.4680.2860.10600.08300
Totaal vlottende activa 52.76447.79148.53939.86537.71333.61931.10825.8326.31435.27726.25428.67921.49614.51712.09911.19412.18913.99712.05114.21818.07722.27325.6323.14722.61524.24719.10715.62614.78415.7579.7938.437.0257.335.4065.863
Niet-vlottende activa:
Materiële vaste activa, netto 202.257167.848125.927133.452133.23598.03296.75696.94397.98589.31870.53756.4535.71433.09131.8722.27717.51320.25118.83423.26620.94525.73529.33932.97436.14341.66737.60330.28125.54923.5599.33911.46310.5659.2135.9784.912
Goodwill 23.38623.38626.46126.46126.46126.46126.46122.02422.02422.0244.2444.2443.3511.2861.2861.0750.2760.3240.3240.2820.4043.3575.0885.6145.6667.3233.9273.3773.9514.3062.923.0743.1093.2752.7531.286
Immateriële activa 024.98229.54731.11932.7977.5888.1287.5467.919.0981.2671.6351.4760.281.6841.6420.5030.7120.8810.2820.4043.3575.1945.6145.8777.5874.2443.7460.4220.4740.5270.4930.5230.5530.5830.4
Goodwill en immateriële activa 23.38648.36856.00857.5859.25834.04934.58929.5729.93431.1215.515.8784.8271.5661.6841.6420.5030.7120.8810.2820.4043.3575.1945.6145.8777.5874.2443.7464.3734.783.4473.5673.6323.8283.3361.686
Langetermijnbeleggingen 2.2582.2692.2652.262.2510.0710.0480.070.0890.0920.0779.8529.95310.05810.17110.27610.5614.4722.5770.3140.2570.3280.7890.7890.840.7180.7150.7140.3170.2761.610.2450.2181.6940.1130.013
Belastingvorderingen 27.9826.4786.2116.4454.0040.5682.3972.071.6820.9320.6960.9930.9230.9010.8450.8680.7830.9780.8650.8070.2370.2720.3620.4770.3450.160.160.11400.0880.1310.6991.3750.9180.1420.115
Overige niet-vlottende activa 0.529-23.386-26.461-26.461-26.461-0.568-2.397-2.07-1.682-0.932-0.69600.040000000.6182.0621.8410.6873.3780.810.950.8231.2711.640.3100.0030.2030.0750.0830.057
Totaal niet-vlottende activa 256.412201.576163.949173.275172.288132.151131.392126.583128.008120.53176.12573.17351.45645.61644.5735.06429.3626.41323.15725.28723.90531.53336.37143.23244.01551.08243.54636.12631.87929.01314.52715.97715.99315.7289.6526.783
Totaal activa 309.177249.368212.488213.14210.001168.545164.707154.626157.889161.888110.618101.85272.95260.13256.66946.25841.5540.4135.20839.50541.98253.80662.00166.37966.6375.32962.65351.75246.66344.7724.3224.40723.01823.05815.05812.646
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 16.38714.50510.1958.1868.5518.8098.0334.5913.60611.03511.73414.0168.2755.3286.6936.6657.3187.7276.8935.0646.778.81810.16211.6949.8119.5296.8737.2216.2057.6254.6794.4873.5322.5481.5331.759
Kortlopende schulden 17.68926.24419.20117.40414.9152.211.6041.5821.72.5752.4951.9660.0020.070.192.8771.4473.9652.1721.8812.82810.7537.0845.685.2216.074.1622.7654.2435.0913.2833.1652.3395.1243.2712.044
Belastingschulden 3.2161.1362.831.4080.13800.5671.3340000000000000000000000000000
Uitgestelde opbrengsten 3.2161.1362.831.4080.138-2.21-1.604-1.582-1.7-2.575-2.4951.1641.2360.904-1.841-1.624-1.462-1.661-1.3180.0870.233-0.0010.1930-5.591-6.07-4.16200.9921.2290.62300.5230.5490.3150.216
Overige kortlopende verplichtingen 20.52718.51418.6917.3815.69521.09620.12917.08312.87320.6075.332.6092.1681.8912.3052.1352.0762.9662.7092.6680.9812.3771.9621.9297.6898.4946.2332.6881.5051.6221.0850.7210.3570.2860.1940.18
Totaal kortlopende verplichtingen 57.81960.39950.91544.37739.29929.90528.16221.67416.47831.64117.06419.75511.6818.1937.34710.0539.37912.99710.4569.710.81221.94719.40119.30317.1318.02313.10612.67412.94415.5679.678.3736.7518.5075.3134.199
Langlopende verplichtingen:
Langetermijnschulden 38.90520.522.90531.90542.7744.340.541.556.562.6353235.10122.618.00219.0728.2586.2959.5179.9227.7756.4758.18119.70624.68127.71830.56524.68816.02115.43311.6354.1496.9836.9834.1642.6482.209
Uitgestelde opbrengsten niet-vlottend 61.81246.50830.95142.5060037.98438.68753.252000000000000-00-1.789-7.518-9.286-8.377-0-3.248-4.7030-0.086-0.107-0.00500
Uitgestelde belastingverplichtingen niet-vlottend 27.0717.4644.973.274002.5162.8133.24800000000000.3491.4051.6981.7011.7891.6512.8792.0431.6241.1810.9670.340.4940.5190.3280.1960.16
Overige niet-vlottende verplichtingen 2.1291.8861.9572.64646.317-44.3-40.5-41.5-56.5-62.635-320.5890.4730.4060.2130.2240.0710.2450.497-0.853-0.1050.9260.5412.2847.8969.6998.7030.3173.5045.3140.1430.2130.9420.570.6930.715
Totaal niet-vlottende verplichtingen 129.91776.35960.78380.33289.08744.340.541.556.562.6353235.6923.07318.40819.2858.4816.3659.76210.427.2717.77510.80521.94826.96529.74733.85727.05717.96116.87113.2134.6327.6048.3375.0573.5373.084
Totaal passiva 187.737136.758111.697124.709128.38778.24772.84766.86777.51699.72852.51555.44534.75326.60126.63218.53415.74422.75820.87616.97118.58732.75241.3546.26846.87851.8840.16330.63529.81528.7814.30215.97715.08813.5648.857.283
Eigen vermogen:
Preferente aandelen 0000000000000000000000.00100000000000000
Gewone aandelen 30.32129.60327.94727.39127.24827.24826.72724.05421.65618.67315.6989.1877.2937.2937.2937.2937.2936.7866.83817.93920.04420.04419.85719.85719.85719.40811.310.4447.8337.3153.4923.1913.1032.142.1081.389
Ingehouden winsten 89.27781.15870.9159.10852.4461.15663.35462.00757.13642.18741.3736.45730.6326.25122.75320.48418.55710.9087.5454.5952.2141.0090.7950.254-0.1044.0424.2994.7233.6162.1721.1420.5410.1511.9021.4140.968
Overige gereserveerde algehele resultaten 1.8421.8491.9331.9331.9261.8931.7791.6981.5811.2991.0350.7630.276-0.012-0.01-0.053-0.044-0.042-0.05100-22.943-21.427-19.469-19.514-14.5056.8915.952.1521.85.3844.6124.5695.4472.6863.006
Overige totale aandeelhoudersvermogen 000000000000000000001.13722.94321.42719.46919.51414.505-0-000000000
Totaal eigen vermogen van aandeelhouders 121.44112.61100.79188.43181.61490.29791.8687.75980.37362.1658.10346.40638.19933.53230.03727.72325.80617.65214.33222.53423.39521.05420.65220.11119.75323.4522.4921.11713.611.28710.0188.3447.8239.4896.2085.363
Totaal eigen vermogen 121.44112.61100.79188.43181.61490.29791.8687.75980.37362.1658.10346.40638.19933.53230.03727.72325.80617.65214.33222.53423.39521.05420.65220.11119.75323.4522.4921.11716.84815.9910.0188.437.939.4946.2085.363
Totaal passiva en aandeelhoudersvermogen 309.177249.368212.488213.14210.001168.545167.104156.696159.571160.406110.618101.85272.95260.13256.66946.25841.5540.4135.20839.50541.98253.80662.00166.37966.6375.32962.65351.75246.66344.7724.3224.40723.01823.05815.05812.646