Jumbo Interactive Limited

ASX:JIN.AX

13.23 (AUD) • At close November 5, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 68.97953.1968.9363.13961.27884.58347.91943.3225.30623.77825.36624.46121.68711.7719.4629.7555.5713.7955.2625.4841.9280.8650.7590.750.3990.5120.10.2940.3041.2551.2221.220.9430.1940.3330.075
Kortetermijnbeleggingen 9.4600000000000000000000000.03400000000.0010.001000
Liquide middelen en kortetermijnbeleggingen 68.97953.1968.9363.13961.27884.58347.91943.3225.30623.77825.36624.46121.68711.7719.4629.7555.5713.7955.2625.4841.9280.8650.7590.7840.3990.5120.10.2940.3041.2551.2221.220.9430.1940.3330.075
Nettovorderingen 5.0465.1362.1241.0630.4710.190.0520.0950.1210.1030.1260.1950.4020.2771.512.9583.0550.9610.2940.5830.4240.2840.0720.1680.1070012.27312.43418.27613.0458.9969.7786.9731.3441.639
Voorraad 0.0890.0290.0310.0160.0310.0310.0570.0620.0620.0630.0490.0550.0990.040.6830.5070.6550.0240.880.010.0050.0130.0250.004000.0020.4760.4360.460.5920.5921.841.7011.9451.796
Overige vlottende activa 15.46211.3213.9414.30114.2280.7320.4570.4530.4470.3910.5140.2240.3830.5760.1940.112-0.04300.079-0.0010.00100-01.1700.0050.0070.018000.0010.0011.4880.3980
Totaal vlottende activa 89.57669.67675.02668.51976.00885.53648.48543.9325.93624.33526.05524.93522.5712.66311.84913.229.2374.786.5166.0762.3581.1620.8560.9561.6760.5120.10613.0513.19219.99114.85910.80912.56210.3564.023.51
Niet-vlottende activa:
Materiële vaste activa, netto 2.8513.8483.5594.2275.670.4510.280.3410.4010.4860.3180.3660.360.460.8130.680.4910.1240.6760.4070.0320.0370.0270.0350.0480.0080.4422.0033.4653.7592.8293.7674.9835.4281.581.423
Goodwill 30.95729.55413.8059.2789.1022.8322.8322.8322.8322.8322.8322.8322.8322.8322.8328.117.5172.8322.8372.8250.270.350.0120.078000000000000
Immateriële activa 37.32869.77450.80539.4824.82411.85110.2818.7427.8876.534.7613.4836.3995.7085.19812.3038.4513.1262.9492.8250.270.350.0120.07800000000001.1862.325
Goodwill en immateriële activa 68.28599.32864.6148.75833.92614.68313.11311.57410.7199.3627.5936.3146.3995.7085.19812.3038.4513.1262.9492.8250.270.350.0120.078000000000-0.0341.1862.325
Langetermijnbeleggingen 37.328-29.55440.55934.429-9.10214.14212.34711.0070.10.41302.5300000.082.0850.971.50.0620.1890.05200000000000.0340.0340.043
Belastingvorderingen 2.1311.8991.8281.5471.2650.9921.0460.9081.0760.7170.5150.3960.3940.6970.8280.8220.913.1260.0080.001-00.35-0.05200000.5470.6390.5450.2740.1940.2360.263-0.034-0.043
Overige niet-vlottende activa -28.20310.625-54.364-43.7071.761-15.134-13.393-11.915-1.176-0.717-0.515-0.39600000.044-3.1261.1630.70.706-0.350.0520-000.0390.0110.1890.3070.2280.3650.0710.0343.3342.748
Totaal niet-vlottende activa 82.39286.14656.19245.25433.5215.13413.39311.91511.1210.2617.9119.217.1536.8656.83913.8069.9755.3365.7655.4331.070.5760.090.1130.0480.0080.4812.5614.2934.6113.3314.3265.295.7256.16.496
Totaal activa 171.968155.822131.218113.773109.528101.66262.92456.75338.23235.31334.60334.73429.72419.52918.68827.02619.21210.11612.28111.5093.4281.7380.9471.0691.7240.520.58715.61117.48524.60218.1915.13517.85216.08110.1210.006
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 3.1032.4831.8911.7851.3417.261.2341.0291.021.1852.0612.3910.3556.958.1067.6055.4862.4372.5944.5061.9211.0880.8970.5390.4320.26500.00800002.6490.8620.0010.042
Kortlopende schulden 1.9821.3551.0221.0130.9900000000.1950.8112.4290.5820.0440.820.831.0230.2500.0030.0080.0140.260.15416.6850000.0010.0160.77800.005
Belastingschulden 3.2742.5990.6130.4331.2351.2580.5940.1840.697000000000000000000000000000
Uitgestelde opbrengsten 3.2742.5990.6130.4331.2350000000000.177-5.969-1.938-0.339-0.185-0.001-000.0850.0340.065-0.2600000014.69514.64906.269
Overige kortlopende verplichtingen 38.79137.10825.27720.01720.00816.40614.01512.45712.19712.20810.13411.2290.3350.2990.1076.7612.2680.3390.3160.1730.0160.0680.0030.0770.0160.260.0220.36517.47323.79818.61715.1860.3580.24711.1612.75
Totaal kortlopende verplichtingen 47.1543.54528.80323.24823.57423.66615.24913.48613.21713.39312.19513.6210.8848.0610.8198.9795.863.2573.5555.7022.1871.1570.9880.6580.5270.5250.17617.05817.47323.79818.61715.18717.71816.53611.1629.066
Langlopende verplichtingen:
Langetermijnschulden 1.122.4912.1813.124.39500000000.251.071.1883.4441.3300.831.8480000.0080.0090000000000.2571.759
Uitgestelde opbrengsten niet-vlottend 0-0-0-000000000000000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 8.0089.2225.0661.4520.3440.0770.0720.0660.0480.0370.120.4720.4020.2480.220.2010.14400000000000.4330.5690.4640.4270.6210.466000
Overige niet-vlottende verplichtingen 0.5320.5752.1850.6272.2960.5410.3920.3010.2710.2020.1640.1340.1040.0680.0810.1640.0270.0150.107000000000.0530.1170.1010.0760.0630.070.17600
Totaal niet-vlottende verplichtingen 9.6612.2889.4325.1997.0350.6180.4640.3670.3190.2390.2840.6060.7561.3861.4883.8091.5010.0150.9371.8480000.0080.009000.4860.6860.5650.5030.6840.5360.1760.2571.759
Totaal passiva 56.8155.83338.23528.44730.60924.28415.71313.85313.53613.63212.47814.22511.649.44712.30812.7897.3613.2724.4927.552.1871.1570.9880.6660.5360.5250.17617.54418.15924.36319.1215.87118.25416.71211.41910.825
Eigen vermogen:
Preferente aandelen 0000000.6710.9381.58200000000000000.6680.582000000000000
Gewone aandelen 79.23179.80781.3980.17780.08979.30255.91745.49229.82729.9729.7629.54528.87727.11428.15628.15628.15625.93225.99523.18220.79820.17820.21420.0718.9885.5075.1029.9349.9349.9349.9349.9349.9349.9349.9349.934
Ingehouden winsten 27.55213.7799.613.73-1.372-2.296-8.035-1.654-3.549-6.675-6.016-9.796-11.269-17.399-22.036-14.079-16.391-19.122-18.214-19.223-19.308-19.485-19.585-19.085-18.478-6.012-4.916-6.885-5.626-4.713-5.882-5.688-5.354-5.583-6.251-5.771
Overige gereserveerde algehele resultaten 8.3756.4031.9831.4190.2020.372-0.671-0.938-1.5829.117.4570.7610.4760.3670.260.1610.0870.0330.1900-0.109-0.114-0.1011.170-0.002-6.4660000-4.982-4.982-4.982-4.982
Overige totale aandeelhoudersvermogen 000000-0.671-0.938-1.582-10.724-9.0760000000-0.183-0-0.2490.109-0.554-0.481-00.50.2271.484-4.982-4.982-4.982-4.9820000
Totaal eigen vermogen van aandeelhouders 115.15899.98992.98385.32678.91977.37847.21142.924.69621.68122.12520.50918.08410.0826.3814.23711.8516.8447.7893.9591.2410.6920.6290.9851.68-0.0050.411-1.933-0.6740.239-0.93-0.736-0.402-0.631-1.299-0.819
Totaal eigen vermogen 115.15899.98992.98385.32678.91977.37847.21142.924.69621.68122.12520.50918.08410.0826.3814.23711.8516.8447.7893.9591.2410.581-0.0410.4031.188-0.0050.411-1.933-0.6740.239-0.93-0.736-0.402-0.631-1.299-0.819
Totaal passiva en aandeelhoudersvermogen 171.968155.822131.218113.773109.528101.66262.92456.75338.23235.31234.60334.73429.72419.52918.68827.02619.21210.11612.28111.5093.4281.7380.9471.0691.7240.520.58715.61117.48524.60218.1915.13517.85216.08110.1210.006