Metcash Limited

ASX:MTS.AX

3.06 (AUD) • At close November 4, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 97.389.5104.7124.6275.1142.6161.296.526.483.324.750.351.5152.9210.6148.6180.507141.873220.199189.60733.65183.04883.45617.56754.42844.67120.55735.21231.79215.969
Kortetermijnbeleggingen 2.722.32.81.50.40.60.300.21.80.600.9003.7710000000000.1780.20200
Liquide middelen en kortetermijnbeleggingen 97.389.5104.7124.6276.6143161.296.526.483.324.750.351.5152.9210.6148.6180.507141.873220.199189.60733.65183.04883.45617.56754.42844.67120.73535.41431.79215.969
Nettovorderingen 1,958.21,619.61,635.31,507.31,485.11,350.51,366.81,320.5981.4931.91,037.81,012.9986.11,007.31,008967.7978.857952.794866.024648.211658.365566.266501.393557.542468.272239.796269.83363.04215.263154.739
Voorraad 1,196.91,183.41,125.21,0081,032.2779.3784.4759.2673.6712.5743.8753.8833.6954.9747.2680.5576.702595.145534.995402.015400.987359.812281.494292.501308.138262.169307.063390.766245.662160.804
Overige vlottende activa 10.3198.9180.9170.4160.1154.1123.3124.642.9122.413.95.76.55.84.95.64.6045.4024.3349.7078.2385.6246.0399.6579.258.06517.156.1920.9011.884
Totaal vlottende activa 3,262.73,091.43,046.12,810.32,9542,426.92,435.72,300.81,724.31,850.11,863.11,895.32,018.62,131.71,974.71,802.41,750.9041,712.2671,811.0571,249.3351,101.2411,014.75872.382877.267840.088554.701614.778795.412493.618333.396
Niet-vlottende activa:
Materiële vaste activa, netto 986.4890.3861.3850.7699.4225.8236.7242.1251.9276308.4278.5224.4197.6194.7163.4139.974136.409147.22129.073130.173120.914104.51894.511138.584186.244358.789439.282261.3166.946
Goodwill 771.2610.1567.3541441.7649.2638.8956.9923.7992.81,422.71,367.51,283.61,040.31,032.8993.6931.19966.008867.1581,771.818243.092242.55236.07251.291273.333185.656196.87305.393123.8828.159
Immateriële activa 290.3285231.5181.8140.1144.3179.6195.8203.8291.7343340.51,551.91,291.11,2821,180.11,116.1581,141.9511,050.7341,771.818243.092242.551248.51265.04288.523250.357196.8768.4554.2882.9
Goodwill en immateriële activa 1,061.5895.1798.8722.8581.8793.5818.41,152.71,127.51,284.51,765.71,7081,551.91,291.11,2821,180.11,116.1581,141.9511,050.7341,771.818243.092242.551248.51265.04288.523250.357196.87373.848128.16831.059
Langetermijnbeleggingen 333.4123.6102.582.577.687.788.3103.3102.9206.399.591.668.592.39584.380.6678.64250.1716.5711.9520.8281.0621.0211.84968.34268.08763.94263.80383.152
Belastingvorderingen 152.4152.3139.6125.8120116.6109.7142.3113.5124.470.461.895.56.627.216.270.78651.56836.5925.4722.5846.03411.94342.92267.92998.704101.30638.23614.2568.593
Overige niet-vlottende activa 0-152.3-139.6-125.8-120-116.630.2-142.328-124.496.698.179.180.665.440.135.7816.1548.24643.3829.6566.4458.50430.96915.5311.4279.39318.15220.4395.181
Totaal niet-vlottende activa 2,533.71,9091,762.61,6561,358.81,1071,283.31,498.11,623.81,766.82,340.62,2382,019.41,668.21,664.31,484.11,443.3591,414.7241,292.9631,956.316387.457376.772374.537434.463512.415615.067804.445933.46487.966294.931
Totaal activa 5,796.45,379.15,200.94,846.84,695.63,666.63,7193,931.83,348.13,766.94,203.74,133.34,0383,799.93,6393,286.53,194.2633,126.9913,104.023,205.6511,488.6981,391.5221,246.9191,311.731,352.5031,169.7681,419.2231,728.872981.584628.327
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 2,478.42,062.42,0861,882.81,837.61,967.71,629.61,524.31,356.91,419.11,457.11,081.31,372.71,376.51,294.41,1881,153.8621,169.5391,169.976826.879884.055787.041682.553656.123678.437508.874628.779487.452301.277216.207
Kortlopende schulden 213.3316.1193.1146.6173.41.91.9318.963.215.357.517.88.67.86.95.7055.46711.3027.99552.567106.46934.3146.03612.068131.649130.51463.94524.9364
Belastingschulden 011.633.825.61.713.615.56.115.8000000000000000000000
Uitgestelde opbrengsten 0-316.1-193.1-146.6-173.4-1.9151.4-315.8-63.2152.7410.7185.289.114642.2043.60751.06522.15613.6170000050.394203.89687.18581.339
Overige kortlopende verplichtingen 197.3834638.9545.7525.1146.1281.3435.6152.6223131.70.40.20.272.773.06460.58849.65530.97732.3836.60729.49251.24748.8363.42510.75292.32332.82727.455
Totaal kortlopende verplichtingen 2,8892,896.42,724.92,428.52,362.72,113.82,064.21,959.91,544.21,642.11,638.11,551.21,576.11,474.41,448.41,309.81,232.6311,279.2011,281.998888.007982.619930.117746.359713.406739.335703.948820.439847.616446.225329.001
Langlopende verplichtingen:
Langetermijnschulden 300.1270.8248.7888188.4178.1127.1183.6307.1795.8824.9751.4974826.7749.4638.2610.618605.731751.299776.34216.57616.486140.289226.499246.53524.929261.424.81411.0017.443
Uitgestelde opbrengsten niet-vlottend 000000-35.8145.1-42.40000000-0.00200000000051.127-0.241-0.0660
Uitgestelde belastingverplichtingen niet-vlottend 00000035.838.542.4000000050.65310.68610.6230000000.1452.36424.60911.7246.274
Overige niet-vlottende verplichtingen 1,078.9-270.8-248.7239.2-188.4-178.1139.1-183.6127.7-795.8146.7206.5152.85663.659.160.63568.34927.23318.83819.34817.81416.63717.82124.68732.23325.355308.793227.6268.512
Totaal niet-vlottende verplichtingen 1,379270.8248.71,127.2188.4178.1266.2183.6434.8795.8971.6957.91,126.8882.7813697.3721.904684.766789.155795.1835.92434.3156.926244.32271.22257.307340.246357.975250.28522.229
Totaal passiva 4,2684,2944,110.53,555.73,3242,416.52,330.42,294.41,9792,610.32,609.72,509.12,702.92,357.12,261.42,007.11,954.5351,963.9672,071.1531,683.1871,018.543964.417903.285957.7261,010.557761.2551,160.6851,205.591696.51351.23
Eigen vermogen:
Preferente aandelen 01.93.41.72.30.80301.30000000000000156.704156.70430.3520000
Gewone aandelen 1,238.8818.3818.3867853.5559.26002,485.21,6262,391.92,308.12,284.91,914.71,904.91,892.21,889.71,889.4331,880.1111,823.8951,518.599562.163559.602514.404405.653405.13996.74689.15689.15661.7161.71
Ingehouden winsten 270.8257.2265414.6505.5682.1780.6-87.7-259.6-475.847.1106.786.3208166129.795.5231.622-37.3056.837-104.601-145.57-183.442-220.903-232.673-220.644-205.41957.11945.84130.909
Overige gereserveerde algehele resultaten 7-1.9-3.4-1.7-2.3-0.8-0.7-3-5.6-1.3-2.9-6.82628.225.823.9-745.22717.2148.716-2.76712.59213.07212.67212.5512.776501.671374.544376.765177.457184.478
Overige totale aandeelhoudersvermogen 0-1.9-3.4-1.7-2.3-0.80-768.90-767.2-765.9-765.9-765.9-765.9-765.9-765.900-762.439-0.2050.0010.001000-0-0000
Totaal eigen vermogen van aandeelhouders 1,516.61,073.61,079.91,279.91,356.71,240.51,379.91,628.61,360.81,148.91,586.41,618.91,261.11,375.21,318.11,277.41,239.7261,163.0241,032.8671,522.464470.155427.105343.634354.004341.946408.125258.281523.04285.008277.097
Totaal eigen vermogen 1,528.41,085.11,090.41,291.11,371.61,250.11,388.61,637.41,369.11,156.61,5941,624.21,335.11,442.81,377.61,279.41,239.7281,163.0241,032.8671,522.464470.155427.105343.634354.004341.946408.513258.538523.281285.074277.097
Totaal passiva en aandeelhoudersvermogen 5,796.45,379.15,200.94,846.84,695.63,666.63,7193,970.33,348.13,766.94,203.74,133.34,0383,799.93,6393,286.53,194.2633,126.9913,104.023,205.6511,488.6981,391.5221,246.9191,311.731,352.5031,169.381,418.9661,728.872981.584628.327