Schaffer Corporation Limited

ASX:SFC.AX

20.88 (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 37.60439.12643.98537.35431.50117.37125.93811.4177.0684.19214.5839.09712.9567.96115.5114.40421.7359.53713.59612.73728.48921.0725.6062.2722.3232.1261.2340.420.8642.0095.8821.50.4680.077-0.203-0.247
Kortetermijnbeleggingen 19.8111.9660.5846.263.51519.3366001.6360.153.7661.0330.0320.0310.0390.0510.1030.3040.0830.3470.6941.8692.912.23110.7672.6922.6881.5131.3111.8461.5580.1360.00100
Liquide middelen en kortetermijnbeleggingen 57.41541.09244.56943.61435.01636.83833.35111.4177.0685.82814.73312.86313.9897.99315.54114.44321.7869.53713.59612.73728.48921.0725.6065.1824.55412.8933.9263.1082.3773.327.7283.0580.6040.078-0.203-0.247
Nettovorderingen 31.98137.54535.09330.01217.49629.23733.77438.75633.57826.76618.93522.36622.08827.55320.7120.89426.29428.15826.00428.12326.95327.53636.6568.4086.2159.1356.4265.7685.87334.54626.1058.1119.9799.25617.84926.365
Voorraad 44.86158.71551.59437.98640.90940.06239.60449.41559.75469.83847.42542.9139.45845.08943.90849.24649.4838.91738.24335.10731.65437.3841.93211.46410.5761.26410.2278.4671.09425.62319.6235.4366.4535.0385.724.107
Overige vlottende activa 6.98215.8313.5652.0472.2418.73312.46612.2557.9936.7375.2935.0521.0260.1261.1193.6891.8611.2270.3520.9511.2741.4282.3770.5130.3350.30.3920.1460.0050.0070.03100.060.1790.2030.247
Totaal vlottende activa 145.788153.183134.821113.65995.662114.739117.782111.843108.393107.53386.38683.19177.16582.50781.27888.27299.42177.94279.22376.91888.3787.41686.59125.56721.6823.59220.97117.48917.87566.80355.38216.60517.09614.55123.56930.472
Niet-vlottende activa:
Materiële vaste activa, netto 49.90450.04745.80346.48351.47126.76627.64537.2946.13841.35240.83140.14345.98548.57159.65360.12963.44648.38239.83456.65656.64671.03849.1824.19522.57122.18621.19924.04419.74839.70533.58519.20816.13314.94614.1187.763
Goodwill 1.2991.2991.2991.2991.2991.2991.2991.2991.2991.2991.2994.9954.9954.9954.9954.9954.9951.2991.2991.1671.2991.4311.5630.1660.1710.1840.1960.090.1042.3792.50400000
Immateriële activa 01.2991.2991.2991.2991.2991.2991.2991.29900000000001.1671.2991.4311.5630.1660.1710.1880.2020.090000000.5060.449
Goodwill en immateriële activa 1.2992.5982.5982.5982.5981.2991.2991.2991.2991.2991.2994.9954.9954.9954.9954.9954.9951.2991.2991.1671.2991.4311.5630.1660.1710.1880.2020.090.1042.3792.504-1.044-0.050.9140.5060.449
Langetermijnbeleggingen 212.654201.064188.551185.63587.06228.27813.7336.624.3843.5322.021.0513.95214.13216.73117.95117.83717.35312.325-1.5511.2991.43122.10932.18232.37225.46721.91314.01714.106001.0440.050.4232.2278.823
Belastingvorderingen 5.15515.95814.92316.91117.7929.1947.1533.7493.5610.7781.0630.7130.4561.8021.5341.2240.3380.5852.3212.7183.2753.6784.2470.8711.6241.1160.9360.5290.4992.9181.9110.1210.1490.120.2950.169
Overige niet-vlottende activa 3.267-0.5180.0010.5291.29-9.194-7.153-3.749-3.561-0.778-1.063-0.7130000000-1.167-1.299-1.431000-3.944000001.0440.05-0.6330.3660.005
Totaal niet-vlottende activa 272.279269.149251.876252.156160.21356.34342.67745.20951.82146.18344.1546.18865.38869.582.91384.29986.61667.61955.77957.82361.2276.14777.09957.41456.73845.01344.2538.6834.45745.0023820.37316.33215.7717.51217.209
Totaal activa 418.067422.332386.697365.815255.875208.21195.213184.958187.374183.397160.284149.215142.553152.007164.191172.571186.037145.561135.002134.741149.59163.563163.6982.98178.41868.60565.22156.16952.332111.80593.38236.97833.42830.32141.08147.681
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 25.32920.02930.57528.0212.03425.5128.00931.50928.23829.50319.75618.53918.49126.19122.17617.40436.26718.72516.99813.70515.35118.63825.9076.5787.7056.7664.2133.9313.40717.22519.0624.7225.2843.5034.1373.666
Kortlopende schulden 14.76527.80212.10115.25818.93718.332.35615.35516.6613.76521.30710.1110.45943.18415.32810.0784.9963.6861.5193.1390.8450.4770.4961.8461.0960.9740.5921.1970.9087.3282.8660.2060.1760.2150.1162.202
Belastingschulden 0.1481.6251.6551.32604.8279.9921.3612.762000000000000000000000000000
Uitgestelde opbrengsten 1.871.3480.4441.6960.2770.4150.4230.206-16.661-3.765-21.307-10.11-2.0046.272-0.804-1.289-1.137-1.602-1.178-0.6-2.531-2.2-5.047-0.828-0.47-0.579-0.264-0.557-0.038-0.204-0.2292.5612.566-0.065-0.081-0.052
Overige kortlopende verplichtingen 28.12624.82817.79311.2059.01715.92321.110.87328.53312.39932.38819.1227.110.566.02210.9357.5588.077.1186.16114.57911.62321.0093.3054.5393.5962.722.7384.00528.63116.7940.0210.0612.1994.3156.401
Totaal kortlopende verplichtingen 70.0974.00760.91356.17940.26560.17851.88857.94356.77141.90252.14437.66134.05676.20742.72237.12847.68428.87924.45722.40528.24428.53842.36510.90112.8710.7577.2617.3098.28252.9838.4937.518.0875.8528.48712.217
Langlopende verplichtingen:
Langetermijnschulden 44.72250.29733.41229.25139.83413.99625.12734.844.50561.40430.237.28842.93615.6961.30373.94880.53761.56356.48553.29253.90164.11763.23531.56927.85427.09123.89315.9464.4742.6183.0660.1110.1020.4633.1225.195
Uitgestelde opbrengsten niet-vlottend 19.28420.04718.48221.67728.18610.24721.6631.14941.48260.0328.82136.370000000000-1.635-1.875-1.996-10.508-12.037-0.0557.172.1561.811-0.076-0.067-0.013-0.122-0.195
Uitgestelde belastingverplichtingen niet-vlottend 33.57740.35440.45841.15214.9523.7493.4673.6513.0231.3741.3790.91800000.4510.7342.1422.3632.5492.9042.7311.8171.9892.3112.030.9910.4141.2571.2320.5050.5910.4691.5250.49
Overige niet-vlottende verplichtingen 12.24212.69512.44713.0988.839-13.996-25.127-34.8-44.505-61.404-30.2-37.2881.4541.4831.4210.3830.4151.2651.8122.7092.6283.3674.172.2932.32810.74612.2060.2550.0610.0810.3261.0760.1260.0720.1720.321
Totaal niet-vlottende verplichtingen 109.825123.393104.799105.17891.81113.99625.12734.844.50561.40430.237.28844.3917.17362.72474.33181.40363.56260.43958.36459.07870.38868.50133.80430.17529.6426.09217.13712.1196.1126.4351.6160.7520.9914.6975.811
Totaal passiva 179.915197.4165.712161.357132.07692.16692.627101.253108.187107.02185.73178.8378.44693.38105.446111.459129.08792.44184.89680.76987.32298.926110.86644.70543.04540.39733.35324.44620.40159.09244.9289.1268.8396.84313.18418.028
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000
Gewone aandelen 9.7819.92110.5911.62211.22713.99114.5416.58316.58316.58316.59316.82416.85317.03417.03417.03417.03417.03417.03417.03415.91614.73813.3867.7977.3357.3355.0395.2785.4116.7554.914.814.814.814.816.155
Ingehouden winsten 210.036195.201193.867180.031100.52288.64372.10152.86750.51248.3348.345.47840.98236.28335.70136.84533.43829.58326.38833.28839.07141.90534.38827.89425.45318.28821.53620.81719.76518.46117.27416.42413.32714.07618.8516.921
Overige gereserveerde algehele resultaten 4.7934.9263.3952.1633.4882.9784.2214.9353.5513.1332.1552.1521.1621.0811.6922.1462.2222.4763.0272.5852.5852.5852.5852.5852.5852.5855.2936.2256.6769.0196.2932.0182.0181.8351.7776.577
Overige totale aandeelhoudersvermogen 000000000000000000-0.051-2.58500-2.5850000-0.67600000000
Totaal eigen vermogen van aandeelhouders 224.61210.048207.852193.816115.237105.61290.86274.38570.64668.04667.04864.45458.99754.39854.42756.02552.69449.09346.39850.32257.57259.22847.77438.27635.37328.20831.86831.64431.85234.23528.47723.25220.15520.72125.43729.653
Totaal eigen vermogen 238.152224.932220.985204.458123.799116.044102.58683.70579.18776.37674.55370.38564.10758.62758.74561.11256.9553.1250.10653.97262.26864.63752.82438.27635.37328.20831.86831.72331.93152.71348.45427.85224.58923.47827.89729.653
Totaal passiva en aandeelhoudersvermogen 418.067422.332386.697365.815255.875209.852196.29186.423188.952183.397160.284149.215142.553152.007164.191172.571186.037145.561135.002134.741149.59163.563163.6982.98178.41868.60565.22156.16952.332111.80593.38236.97833.42830.32141.08147.681