GUD Holdings Limited

ASX:GUD.AX

10.68 (AUD) • At close June 26, 2024
Overzicht | Financiële gegevens

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 53.35359.42642.59429.98728.8550.6110.23818.23542.94723.30124.40119.24716.08125.47216.20633.12117.73317.02923.30329.70821.75811.05614.5510.0880.1150.3285.986.5583.7141.95410.7767.5063.6920.6641.221
Kortetermijnbeleggingen 0.02102.11003.6770.0150.14415.8690000000000000000007.5350000000
Liquide middelen en kortetermijnbeleggingen 53.35359.42644.70429.98728.8550.6110.23818.23542.94723.30124.40119.24716.08125.47216.20633.12117.73317.02923.30329.70821.75811.05614.5510.0880.1150.3285.9814.0933.7141.95410.7767.5063.6920.6641.221
Nettovorderingen 187.411205.625149.118116.446106.82796.68791.97118.813108.57991.87275.41885.36285.18866.21262.32765.92967.6555.91450.02951.12149.85855.22650.22444.3646.67246.0940.79420.14518.60211.2998.5396.2325.1185.9466.148
Voorraad 243.22274.053153.353108.18108.95187.593.08108.872125.018111.48198.257102.17103.1977.29482.67181.41295.71982.8867.27566.49859.98557.4173.98168.54479.90774.20764.9927.931.27615.39913.77516.13218.74220.4216.169
Overige vlottende activa 12.619.5918.7885.816.2378.8827.26397.43231.0357.7572.2015.47733.4834.2562.5772.2314.5584.3074.6655.7157.5317.9348.6823.6884.4212.61600000000
Totaal vlottende activa 496.584558.695355.963260.423250.865243.679202.551343.352307.579234.411213.259218.583212.361174.853167.763184.672185.976160.381144.914151.992137.316131.223146.69121.674130.382125.046114.3862.13853.59228.65233.0929.8727.55227.0323.538
Niet-vlottende activa:
Materiële vaste activa, netto 167.241180.958105.68693.74114.08210.63813.07533.29534.04231.13133.20933.13232.12218.2219.60920.17530.39539.7835.14836.79137.47140.86458.57365.52969.35170.1862.87336.1735.34724.95618.81316.25615.43817.52516.093
Goodwill 625.018621.246206.002162.149162.708115.396119.438110.394106.787106.998106.58106.759106.79443.87242.06342.00442.55525.42821.24418.18810.23511.23314.75316.06117.42815.56816.30815.29516.211.8880.9951.0691.1421.2161.29
Immateriële activa 1,116.1311,130.416353.463283.585124.219119.41116.155117.19850.16851.7963.81666.01264.61847.98449.50950.24363.93348.63640.32857.89550.84451.13758.54158.83160.43758.4659.6811.6921.754000000
Goodwill en immateriële activa 1,741.1491,751.662559.465445.734286.927234.806235.593227.592156.955158.788170.396172.771171.41291.85691.57292.247106.48874.06461.57257.89550.84451.13758.54158.83160.43758.4659.68116.98717.95411.8880.9951.0691.1421.2161.29
Langetermijnbeleggingen 12.97212.8125.9465.8451.7342.0310.0470.0732.3390.0170.047082.74953.65923.1953.5640.7950.19700000-4.527-9.3581.1681.4180.2510.2510.2510.2510.251000
Belastingvorderingen 30.50531.34420.30811.9199.69910.6449.0312.6460.9076.2961.2871.5412.0860.4480.4560.4410.57103.4154.0263.663.87204.5279.3586.4815.4322.7152.6781.1210.7120.9370.7580.7610.575
Overige niet-vlottende activa -625.018-621.246-206.002-162.149-9.699-10.644-9.03-12.646-0.907-6.2963.52.7950.5750.5640.8181.170004.0383.0812.2493.675.62311.031.4880.78500.041000000
Totaal niet-vlottende activa 1,326.8491,355.53485.403395.09302.743247.475248.715260.96193.336189.936208.439210.239288.944164.747135.65117.597138.249114.041100.135102.7595.05698.122120.784129.983140.818137.777130.18956.12356.27138.21620.77118.51317.33819.50217.958
Totaal activa 1,823.4331,914.225841.366655.513555.586500.365461.298618.166515.343443.02421.698428.822501.305339.6303.413302.269324.225274.422245.049254.742232.372229.345267.474251.657271.2262.823244.569118.261109.86366.86853.86148.38344.8946.53241.496
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 82.543104.12857.67520.43942.83841.23435.13758.0972.26660.09267.34683.43362.15933.14427.74433.2739.92144.9432.75437.89439.99536.25236.52438.66438.09934.16435.5766.4647.4363.4732.1751.6711.312.672.023
Kortlopende schulden 30.91737.08214.31110.0583.7870.07215.09218.5522.1888.8878.3186.8996.6420.8730.4540.48835.76535.27929.04427.12420.27512.62138.6144.60328.726.11205.0276.0342.04300000
Belastingschulden 4.6542.3623.8023.7149.31916.5179.4859.342000000000000000000000000000
Uitgestelde opbrengsten 4.6542.3623.8023.714-3.787-0.072-15.0925.491-22.188-8.8871.63113.90521.13519.48721.34212.7815.4371.81813.2248.56401.3830-4.603-28.72-6.11207.5627.186.66700000
Overige kortlopende verplichtingen 94.886115.21957.04962.73143.32645.31346.58386.61741.23747.83617.59715.66421.99212.66313.60213.9514.82713.1490.81716.66118.92617.8027.29517.18750.85225.57613.5797.2368.2184.0159.7329.8228.548.7411.094
Totaal kortlopende verplichtingen 213258.791132.83796.94286.16486.54796.812168.748135.691116.81594.892119.901111.92866.16763.14260.488105.9595.18675.83990.24379.19668.05882.43355.85188.95159.7449.15526.28928.86816.19811.90711.4939.8511.4113.117
Langlopende verplichtingen:
Langetermijnschulden 447.474511.494189.158172.139159.252144.072157.482170.30320.969113.13780.97529.718111.50940.854106.36118.79876.6535.81331.02820.18222.36236.4148.94563.4245271.661.38223.06420.16.101001.5161.5060
Uitgestelde opbrengsten niet-vlottend 96.694113.07474.2869.904120.139141.355154.736165.35720.034112.7000000000002.2060000-0.059-0.059-0.035000-0.363-0.3360
Uitgestelde belastingverplichtingen niet-vlottend 147.705156.50351.02939.6239.1132.7172.7464.9460.9350.4372.2570.30416.39112.5931.4151.4750.9510.31900.0620.240.46700.6460.621.1240.6722.6882.0641.0520.5820.6440.5970.4680.329
Overige niet-vlottende verplichtingen 29.126.9955.2782.123-159.252-144.072-2.746-4.946-0.935-0.4374.4715.243.8331.8681.381.4181.3991.6652.4551.6133.760.4675.3054.0644.7023.7866.4693.0511.8721.2581.1331.3231.4961.3570.872
Totaal niet-vlottende verplichtingen 720.973808.066319.745283.786159.252144.072157.482170.30320.969113.13787.70335.262131.73355.315109.155121.6917937.79733.48321.85726.36239.5554.2568.13457.32276.5168.46428.74424.0018.4111.7151.9673.2462.9951.201
Totaal passiva 933.9731,066.857452.582380.728276.947235.043260.384343.525159.185233.745182.595155.163243.661121.482172.297182.179184.95132.983109.322112.1105.558107.608136.683123.985146.273136.25117.61955.03352.86924.60913.62213.4613.09614.40514.318
Eigen vermogen:
Preferente aandelen 0000000002.1450000000000000000000000000
Gewone aandelen 679.553679.553195.556112.88112.88112.88112.88286.16286.16184.629186.798182.324170.063142.22994.50580.65598.43798.43798.437106.363107.103111.814118.679122.847120.56731.58829.83419.62418.96416.98216.98216.48116.04815.81514.981
Ingehouden winsten 193.041151.398178.042150.904155.778142.05782.443-44.9433.67226.79147.61391.39443.84547.05237.48440.27341.22443.52935.9234.91118.8299.80312.0995.1524.23811.72621.85920.35216.92413.73211.3779.1437.1495.5123.681
Overige gereserveerde algehele resultaten 16.86616.41715.18611.0019.98132.79326.5911.915.133-2.1454.692-0.05943.73628.837-0.873-0.838-0.386-0.5271.371.3680.8820.061-0.046-0.3860.06383.275.19823.19321.07111.54511.889.2998.23410.4648.222
Overige totale aandeelhoudersvermogen 00000-22.408-210000000000000000000000000000
Totaal eigen vermogen van aandeelhouders 889.46847.368388.784274.785278.639265.322200.914243.13324.965209.275239.103273.659257.644218.118131.116120.09139.275141.439135.727142.642126.814121.678130.732127.613124.868126.514126.89163.16956.95942.25940.23934.92331.43131.79126.884
Totaal eigen vermogen 889.46847.368388.784274.785278.639265.322200.914274.641356.158209.275239.103273.659257.644218.118131.116120.09139.275141.439135.727142.642126.814121.737130.791127.672124.927126.573126.9563.22856.99442.25940.23934.92331.79432.12727.178
Totaal passiva en aandeelhoudersvermogen 1,823.4331,914.225841.366655.513565.285503.082464.044621.597515.343443.02421.698428.822501.305339.6303.413302.269324.225274.422245.049254.742232.372229.345267.474251.657271.2262.823244.569118.261109.86366.86853.86148.38344.8946.53241.496