Perenti Limited

ASX:PRN.AX

1.192 (AUD) • At close November 14, 2024
Overzicht | Financiële gegevens

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

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 459.136307.36348.519264.741327.491223.524137.258166.71181.85777.86562.69578.826124.188140.714144.38744.68688.95648.55545.42511.35810.35821.0979.149.2926.9875.4862.6954.5163.6341.3292.625
Kortetermijnbeleggingen 00000000200000000000000000-0.1640000
Liquide middelen en kortetermijnbeleggingen 459.136307.36348.519264.741327.491223.524137.258166.71183.85777.86562.69578.826124.188140.714144.38744.68688.95648.55545.42511.35810.35821.0979.149.2926.9875.4862.6954.5163.6341.3292.625
Nettovorderingen 411.958339.028292.78270.316320.501396.637211.377142.489119.89138.254167.981178.015216.644164.162126.20779.98268.57651.68445.72140.76532.17620.75439.59438.44130.8172.39249.03642.76124.58620.1515.628
Voorraad 282.301227.242212.119214.411250.379251.11212.6188.761191.374226.869233.074257.347186.388138.958104.75986.09755.07433.96629.86916.3789.9828.0487.27611.09710.47313.42924.28323.60521.27621.64513.465
Overige vlottende activa 125.183130.445118.35595.01654.99875.28249.95928.28154.72352.8172.8768.9169.8076.5086.4314.3323.4542.8172.8631.8532.021.8431.2523.06433.1430.0790.9951.0841.2820.3630.53
Totaal vlottende activa 1,278.5781,004.075971.773844.484953.369898.516581.286526.241549.844452.062474.74523.104537.027450.342381.784215.097216.06137.022123.87870.35454.53651.74257.2681.89481.41391.38677.00971.96650.77843.48732.248
Niet-vlottende activa:
Materiële vaste activa, netto 1,313.0691,013.852985.625791.358928.835887.666664.347560.464489.832559.719777.162840.768709.445542.827449.763371.112275.599164.899137.01979.16553.18132.97229.38741.69747.7352.95865.19353.14342.85638.27329.794
Goodwill 457.3457.3457.3454.769449.769449.76900005.60367.03225.13625.13625.1892.2082.20800003.1796.8957.4875.8386.3186.7987.2787.7588.2378.717
Immateriële activa 159.778626.083652.207678.814705.156293.800005.0044.867.249.56535.8733.513.83600003.1796.8957.4875.8386.3186.7987.27800.2230
Goodwill en immateriële activa 617.0781,083.3831,109.5071,133.5831,154.925743.569692.198595.142535.782593.29910.60771.89232.37634.70135.8733.513.83600.001003.1796.8957.4875.8386.3186.7987.2787.7588.468.717
Langetermijnbeleggingen 12.8914.758.92129.75623.63217.58183.26564.07373.40574.61271.41165.46235.88829.26815.6292.032.9193.9762.2022.42317.27713.10910.0546.3551.813.32.5590.920.56500
Belastingvorderingen 133.996209.414217.834224.296175.7151.9255.41429.39527.45541.03227.08127.80514.88810.9120.1740.2090.0820.1331.5814.43601.8173.3063.33.6451.022.0921.3390.5920.5520.443
Overige niet-vlottende activa 100.925-456.952-456.791-454.1-448.939-151.92-747.612-624.537-563.237-634.331-27.08110.36512.9911.6862.2579.6674.5741.0551.5822.2864.7780.23754.32157.45356.28629.0549.4054.8641.4880.0910
Totaal niet-vlottende activa 2,177.9581,864.4471,865.0961,724.8931,834.1531,648.816747.612624.537563.237634.331859.181,016.292805.588619.394503.696386.528287.01170.063142.38588.3175.23651.314103.963116.292115.30992.6586.04767.54453.25947.37638.954
Totaal activa 3,456.5362,868.5222,836.8692,569.3772,787.5222,666.7661,367.7611,187.3621,150.3811,130.0341,367.7361,539.3961,342.6151,069.736885.48601.625503.07307.085266.263158.664129.772103.056161.223198.186196.722184.036163.056139.51104.03790.86371.202
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 238.274216.033202.35110.816126.812130.73459.95762.76248.62146.41247.20249.83584.88769.23361.02631.10134.85423.24420.40520.25119.75315.59315.65115.70914.91615.01811.32611.5812.099.19410.376
Kortlopende schulden 17.11519.73930.11527.80536.6325.7623.3342.8023.52126.42250.46773.323107.74797.47895.59170.41837.13128.60824.58814.45812.467.7037.92310.25122.35717.1517.89211.30813.95413.86.722
Belastingschulden 22.95425.17515.00214.65914.35118.5781.1964.1813.9070000000000000000000000
Uitgestelde opbrengsten 1.112.2163.2781.9862.1815.115-3.334-2.802-3.521-26.422-50.46782.156114.98294.3312.25214.56914.5686.4487.4420.890.839-4.4274.9613.0232.5224.0853.457.979-13.954-13.8-6.722
Overige kortlopende verplichtingen 300.874282.442267.392218.228204.004197.719101.87478.43968.03270.60774.13489.664121.24699.95160.17624.91725.16625.38223.86912.5998.36.9559.04138.70638.72847.50828.02122.2128.73712.8199.051
Totaal kortlopende verplichtingen 580.327545.605518.137373.494383.978377.908166.361148.184124.081143.441171.803212.822313.88266.662219.045141.005111.71983.68268.86248.19841.35230.25132.61564.66678.52379.67657.23945.134.78135.81326.149
Langlopende verplichtingen:
Langetermijnschulden 911.489786.623871.742740.195847.227731.681401.216385.815395.019407.367402.844464.133256.194126.134147.309140.66298.77768.89660.77130.19414.64910.6729.87929.62923.30128.68730.30221.5716.06710.8286.122
Uitgestelde opbrengsten niet-vlottend 100.73832.74528.2549.27272.136544.661356.404363.526371.435381.589355.4331.9791.064-0.274-0.340-1.3210000.0500.9040.8971.42-18.932-23.4670000
Uitgestelde belastingverplichtingen niet-vlottend 63.238103.702119.835154.69154.759178.47244.81222.28923.58424.74439.14940.53927.34519.58915.52312.68911.9952.470.1190.5584.3412.4541.9182.0053.6895.4716.4838.15.9983.8272.303
Overige niet-vlottende verplichtingen 75.599110.00352.39157.62546.432145.56525.4330.961.1011.1891.7722.5373.3712.4082.1151.1391.1680.8060.8830.7530.9811.16863.50943.82730.891.6461.7951.2520.8040.6440.703
Totaal niet-vlottende verplichtingen 1,087.826896.626996.372897.821,003.79723.133401.216385.815395.019406.333394.582509.188287.974148.131164.947154.49110.61972.17261.77331.50520.02114.29476.2175.46159.335.80438.5830.92222.86915.2999.128
Totaal passiva 1,668.1531,442.2311,514.5091,271.3141,387.7681,255.154593.01557.248543.785576.741615.568722.01601.854414.793383.992295.495222.338155.854130.63579.70361.37344.545108.825140.127137.823115.4895.81976.02257.6551.11235.277
Eigen vermogen:
Preferente aandelen 0000010.83512.45917.77716.02811.1810000000000005.58100000000
Gewone aandelen 1,374.3521,118.4481,137.031,137.7831,135.3231,126.769624.571526.447526.447526.447526.447526.447508.513501.696369.181194.152191.52895.82693.59861.59259.44249.44643.53858.12350.91850.65713.82813.57811.43910.2179.94
Ingehouden winsten 403.08326.676230.937160.986270.039293.836162.639121.44496.17738.027223.016290.589243.773170.187126.96799.63678.38258.22139.86423.19516.15716.017.3710.4599.31919.26420.2818.26214.9111.4019.479
Overige gereserveerde algehele resultaten -17.713-35.721-56.027-10.594-11.104-10.835-12.459-17.777-16.028-11.1812.7052.329-10.461-17.214512.34210.822-2.8162.166-5.826-7.25-6.99-4.823-1.122-1.342-1.36533.12931.64820.03818.13316.506
Overige totale aandeelhoudersvermogen 00-00000-17.7770-11.181000000000000000000000
Totaal eigen vermogen van aandeelhouders 1,759.7191,409.4031,311.941,288.1751,394.2581,409.77774.751630.114606.596553.293752.168819.365741.825654.669501.148306.13280.732151.231135.62878.96168.34958.46651.66757.4658.89568.55667.23763.48846.38739.75135.925
Totaal eigen vermogen 1,788.3831,426.2911,322.361,298.0631,399.7541,411.612774.751630.114606.596553.293752.168817.386740.761654.943501.488306.13280.732151.231135.62878.96168.39958.51152.39858.05958.89968.55667.23763.48846.38739.75135.925
Totaal passiva en aandeelhoudersvermogen 3,456.5362,868.5222,836.8692,569.3772,787.5222,701.291,387.6261,187.3621,150.3811,130.0341,367.7361,539.3961,342.6151,069.736885.48601.625503.07307.085266.263158.664129.772103.056161.223198.186196.722184.036163.056139.51104.03790.86371.202