Omni Bridgeway Limited

ASX:OBL.AX

1.7 (AUD) • At close May 9, 2025
Overzicht | Financiële gegevens

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

20242023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 135.88114.79157.28141.335194.384226.46160.231144.891142.529130.108105.57767.98462.42555.01242.9961.23851.64123.91420.82416.30110.2916.6626.5054.6537.347.358
Kortetermijnbeleggingen 00002.75000000000000000000000
Liquide middelen en kortetermijnbeleggingen 135.88114.79157.28141.335194.384226.46160.231144.891142.529130.108105.57767.98462.42555.01242.9961.23851.64123.91420.82416.30110.2916.6626.5054.6537.347.358
Nettovorderingen 119.421000129.9260034.33240.49711.44159.84123.92867.22836.0755.9958.32914.65811.8135.8482.9884.8219.0060.0210.0420.3820.104
Voorraad 00000-19.11-31.2640000000.6950.3070.1940.11800.07690.00101.43100.2350
Overige vlottende activa 11.934149.709134.117215.3375.02420.82232.55612.1337.9650.6810.7860.0940.380.70.3110.1990.1220.3470.0770.0887.8585.6364.3150.0060.0810.256
Totaal vlottende activa 267.235266.725293.083357.985329.334247.282192.787191.356190.991142.23166.20492.006130.03391.78749.29769.76666.42136.07426.74928.37622.9721.30410.8414.78.0387.717
Niet-vlottende activa:
Materiële vaste activa, netto 16.64618.44614.8695.9056.9221.1121.3321.71.4060.7490.5710.6220.7990.4410.5360.6760.5050.1840.2410.3310.3760.3620.2730.020.5440
Goodwill 100.885103.30495.56799.645103.072000000000000000000000
Immateriële activa 0473.389490.251490.679620.302426.977321.268190.876145.63499.48498.63686.12766.00459.62540.48732.27628.12330.32432.8660003.93500.110
Goodwill en immateriële activa 100.885576.693585.818590.324723.374426.977321.268190.876145.63499.48498.63686.12766.00459.62540.48732.27628.12330.32432.866-0.002-003.93500.110
Langetermijnbeleggingen 403.706280.898200.486164.093125.499-474.159-347.9481.581.4840.6521.1530.0190.4760.430.8540.9281.887000.0250.0250.0250000
Belastingvorderingen 3.73681.77264.34749.90155.99648.29428.01215.2927.209-98.083-96.91200000009.4526.6622.7471.7030000
Overige niet-vlottende activa 444.689-85.516-82.816-82.265-90.663-1.112-1.332-207.748-154.327-1.401-1.72415.25316.330.2641.12000015.0044.6783.4630.0010.01100
Totaal niet-vlottende activa 969.662872.293782.704727.958821.1281.1121.3321.71.4061.4011.724102.02183.60960.7642.99833.8830.51630.50842.55922.027.8265.5534.2090.0310.6540
Totaal activa 1,236.8971,139.0181,075.7871,085.9431,150.462708.943539.251391.937341.237281.212280.918194.028213.642152.54792.294103.64596.93766.58269.30850.39630.79626.85815.0494.7328.6937.717
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 42.82836.22630.84215.22320.33321.48116.120.33513.9818.7776.976.51510.9455.9984.9858.4164.6522.4931.3952.0071.3930.6990.340.2220.4480.18
Kortlopende schulden 3.87-16.936150.7552.449-6.68771.45549.553000000000004.0613.7483.462.4491.3772.600
Belastingschulden 08.0077.4646.0839.557004.3415.07300000000000000000
Uitgestelde opbrengsten 011.8628.5946.0839.557-71.455-49.553000000000000.224-0-0.2560.0030.006000
Overige kortlopende verplichtingen 82.38844.69978.67449.91747.41318.61817.26121.00920.56316.84812.6441.49735.5957.3022.87520.64316.5080.4540.4720.4710.5471.1011.5380.3740.5450.034
Totaal kortlopende verplichtingen 129.086103.727276.32973.67289.73111.55482.91445.68539.61725.62519.6148.01246.5413.37.8629.05921.162.9475.9286.2265.44.2493.2553.1950.9930.214
Langlopende verplichtingen:
Langetermijnschulden 267.925196.64711.173148.916146.59872.51770.909119.46979.50448.20647.75836.32434.94533.56900013.3912.814000002.62.4
Uitgestelde opbrengsten niet-vlottend 015.00803.3942.81434.12837.93789.92453.58627.45326.0140.229000000-0.8760000000
Uitgestelde belastingverplichtingen niet-vlottend 34.44435.06230.8239.03160.73938.38932.97229.54525.91820.75321.74423.75320.17918.1411.3549.2998.0833.1139.867.2233.4452.1780000
Overige niet-vlottende verplichtingen 10.51323.47918.50481.388116.1860.43217.5920.242.0190.72822.41523.9580.260.3450.5450.5110.4630.3260.210.216000.05300.0450.008
Totaal niet-vlottende verplichtingen 312.882251.00559.959249.924293.53172.51770.909119.46979.50448.20647.75860.51155.38452.05411.8999.8118.54716.8323.267.4393.4452.1780.05302.6452.408
Totaal passiva 441.968354.732336.288323.596383.261193.446171.415185.684139.84995.31289.78668.523101.92465.35419.75938.86929.70719.77729.18713.6668.8466.4273.3083.1953.6382.622
Eigen vermogen:
Preferente aandelen 00000000000000000000000000
Gewone aandelen 460.716449.854406.963389.501347.63205.558127.63123.654119.122116.921112.0541.91241.90941.940.51438.67137.67234.40730.48828.1811.74122.98622.98612.01811.8015.871
Ingehouden winsten -206.663-119.491-87.832-42.187-6.59712.49448.59271.67974.08461.55271.84576.35662.54238.05727.51721.71316.481-0.679-3.131-0.1391.519-11.245-11.245-10.482-6.7470
Overige gereserveerde algehele resultaten -6.73518.4889.759-15.441-5.0320.89316.114.7224.357.4267.2367.2367.2667.2364.5044.39213.07713.07711.8888.698.698.69-0.05-0.128-0.1560
Overige totale aandeelhoudersvermogen 3.404000000003.4040000000002.4060-0.0010000
Totaal eigen vermogen van aandeelhouders 250.722348.851328.89331.873336.001218.945192.332203.887201.388185.9191.131125.504111.71887.19472.53664.77667.2346.80540.1236.73121.9520.43111.7411.5365.0545.871
Totaal eigen vermogen 794.929784.286739.499762.347767.201515.497367.836206.253201.388185.9191.131125.504111.71887.19472.53664.77667.2346.80540.1236.73121.9520.43111.7411.5365.0545.871
Totaal passiva en aandeelhoudersvermogen 1,236.8971,139.0181,075.7871,085.9431,150.462738.389554.908401.192346.724281.212280.918194.028213.642152.54792.294103.64596.93766.58269.30850.39630.79626.85815.0494.7328.6938.493