Cleanaway Waste Management Limited

ASX:CWY.AX

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

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 120.6102.166.569.479.856.25243.248.337190.176.277.988.726140.95470.11558.126222.45955.33637.75417.813
Kortetermijnbeleggingen 00000008.310.900000021.72619.48200013
Liquide middelen en kortetermijnbeleggingen 120.6102.166.569.479.856.25243.248.337190.176.277.988.726140.95491.84177.608222.45955.33637.75430.813
Nettovorderingen 557.4551.7532.7376.1352.6386.3377.7241.9217.9219.4212.2282.6305.6311.637295.229352.103358.89309.16796.40962.50248.813
Voorraad 58.231.226.722.119.419.92111.116.716.810.7165.2175.2131.555157.019151.757155.34128.52167.77180.30975.135
Overige vlottende activa 40.229.74724.918.626.140.338.640.438.332.82818.313.6812.29862.22610.9212.4998.2345.873.031
Totaal vlottende activa 776.4714.7655.5492.5470.4488.5474.9334.8323.3311.5445.8552577.4545.711624.135636.201612.371676.451230.389186.435157.791
Niet-vlottende activa:
Materiële vaste activa, netto 2,388.22,187.32,049.21,720.71,590.71,2321,184936.5897.1860.48221,092.11,042.61,039.0561,128.0091,092.2331,053.686793.056214.527161.75116.358
Goodwill 2,441.72,412.42,352.21,851.71,827.61,827.31,796.61,229.41,219.91,195.51,190.61,777.51,900.31,892.0552,158.5012,031.5042,002.2942,275.464114.55261.43830.039
Immateriële activa 626.23,072.53,060.32,320.42,306.2497.6513.5355.9348.1344.281.485.3146.9169.8782,412.8652,411.8732,542.2452,480.479146.27663.2980
Goodwill en immateriële activa 3,067.95,484.95,412.54,172.14,133.82,324.92,310.11,585.31,5681,539.71,2721,862.82,047.22,061.9332,412.8652,411.8732,542.2452,480.479146.27663.29830.039
Langetermijnbeleggingen 92.778.572.159.382.13.813.811.511.112.212.129.627.934.92742.92939.29192.58960.7219.3247.4866.506
Belastingvorderingen 45.719.511.4199.3208.4207.256.2176.9197.6115.9174.999.564.534.27971.36567.69536.69916.7549.20411.80415.458
Overige niet-vlottende activa 1.6-2,411.6-2,352-1,845.3-1,821.3-207.2-56.2-176.9-197.6-115.9-174.90.40003.484-88.453000-28.335
Totaal niet-vlottende activa 5,596.15,358.65,193.24,306.14,193.73,560.73,507.92,533.32,476.22,412.32,106.13,084.43,182.23,170.1953,655.1683,614.5763,636.7663,351.01379.331244.338154.194
Totaal activa 6,372.56,073.35,848.74,798.64,664.14,129.24,047.12,957.62,909.82,869.72,733.43,636.43,759.63,715.9064,279.3034,250.7774,249.1374,027.461609.72430.773311.985
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 235.7226.3219148.6116.2123.1112.99185.581.356.8149.7139.680.38795.799180.139183.943164.3859.38738.27622.387
Kortlopende schulden 11194.7102.178.463.117.15.462.40.80.7221.5238.185.17547.2692,421.678391.82623.27723.77234.93727.933
Belastingschulden 94.13.206.96.517.7016.710.7000000000000.845
Uitgestelde opbrengsten 6.211.86.45.76.57.28.10.71.6-0.72.218.819.121.27519.65920.31424.46424.60528.9265.6110
Overige kortlopende verplichtingen 552.4545571.9325.9333.5319.6297.1209.6214.6246.6233.6271.4311.3277.914217.102209.81163.519128.56143.26275.86365.769
Totaal kortlopende verplichtingen 999.4884.7897.9564532.3477.5431.6380.4313.2328.6294.6461.4708.1464.751379.8292,831.941763.752340.823155.347154.687116.934
Langlopende verplichtingen:
Langetermijnschulden 1,621.51,490.71,042.9605.4627.7697.6711.7307.8358.635151.41,032.2890.41,405.5341,654.92432.8011,938.9652,275.832260.181132.68888.815
Uitgestelde opbrengsten niet-vlottend 2.11.60.8422.5368.1435.8498.3220.4271.3000001.1361.3188.7651.2731.40.0010
Uitgestelde belastingverplichtingen niet-vlottend 0540.3540.3147.1141.5144.5125.287.487.30000031.04620.20528.56329.5916.622.8565.071
Overige niet-vlottende verplichtingen 747.9750.9738.6570.4423.5435.3415.7444.4456.5435.4328.7135.59.89.2369.7748.1781.50184.3124.74717.6986.257
Totaal niet-vlottende verplichtingen 2,371.52,243.22,322.61,598.31,560.8580.3623.5307.8358.635151.41,167.7900.21,414.771,696.8862.5021,977.7942,391.008272.948153.242100.143
Totaal passiva 3,370.93,127.93,220.52,162.32,093.11,592.61,5591,132.61,128.31,115674.71,629.11,608.31,879.5212,076.7092,894.4432,741.5462,731.831428.295307.929217.077
Eigen vermogen:
Preferente aandelen 0000000000249.8249.8249.8249.846249.846249.846249.846249.846000
Gewone aandelen 3,106.83,101.82,700.62,695.72,688.72,678.22,6712,0832,076.42,072.12,071.82,071.72,070.51,770.0581,770.0581,041.383919.45856.374121.92196.67374.073
Ingehouden winsten -146.8-194.3-106.9-86.9-142.6-167.9-234.8-298.4-344.8-364.3-305.3-385.4-218.3-231.72864.8155.779272.806139.18357.6414.56510.231
Overige gereserveerde algehele resultaten 37.43431.625.123.92451.940.443.338.633.964.6-7.7-5.20456.823-9.928-10.00740.418-1.4768.9230
Overige totale aandeelhoudersvermogen 00000000000051.651.58851.58851.58851.9510000
Totaal eigen vermogen van aandeelhouders 2,997.42,941.52,625.32,633.92,5702,534.32,488.11,8251,774.91,746.42,050.22,000.72,145.91,834.562,193.131,338.6681,484.0461,285.821178.085120.16184.304
Totaal eigen vermogen 3,001.62,945.42,628.22,636.32,5712,536.62,488.11,8251,781.51,754.72,058.72,007.32,151.31,836.3852,202.5941,356.3341,507.5911,295.63181.425122.84494.908
Totaal passiva en aandeelhoudersvermogen 6,372.56,073.35,848.74,798.64,664.14,273.74,047.13,0452,997.12,869.72,733.43,636.43,759.63,715.9064,279.3034,250.7774,249.1374,027.461609.72430.773311.985