Transmetro Corporation Limited

ASX:TCO.AX

1.84 (AUD) • At close November 6, 2024
Overzicht | Financiële gegevens

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7.075.9424.0631.0010.7263.3282.8292.0411.7772.6393.3713.3843.8944.7761.5491.5361.8250.4240.1010.8451.4660.5160.2981.8831.350.60.5550.4680.0390.060.0110.0080.0080.0260.4160.713
Kortetermijnbeleggingen 0000000000000000000000-0.15500000.0010.0010.0010.0010.0010.0010.0010.2660.564
Liquide middelen en kortetermijnbeleggingen 7.075.9424.0631.0010.7263.3282.8292.0411.7772.6393.3713.3843.8944.7761.5491.5361.8250.4240.1010.8451.4660.5160.2981.8831.350.60.5550.4690.040.0610.0120.0090.0090.0270.6821.277
Nettovorderingen 0.3980.8410.6440.7731.2250.5440.9110.9150.8490.7510.8651.192.0812.0141.8681.8331.1681.4431.4892.0622.7942.6821.9791.4492.1651.8591.742.1771.71.213.3610.4540.4963.9914.131.235
Voorraad 0.0710.1410.0940.1390.1490.2020.2110.2570.2610.2320.2640.250.2540.250.2540.2730.2140.2050.2460.2220.2210.240.2630.360.4040.2910.2520.1890.1760.10.0570.0390000
Overige vlottende activa 0.5220.1730.1110.2880.2060.5710.8340.8270.5650.7050.8280.66500.4980.5490.7920.2720.2390.273.1292.490.2060.1340.2970.2130.007-0.05-000000000
Totaal vlottende activa 8.2847.0984.9122.2012.3074.6444.7854.043.4534.3265.3295.496.2297.043.6723.6433.2442.0722.1093.1296.9723.4372.5563.7243.9192.7572.4972.8351.9151.3713.430.5020.5054.0184.8122.512
Niet-vlottende activa:
Materiële vaste activa, netto 32.38934.93625.42823.03633.41922.15432.61233.28134.19534.99933.08237.97537.5619.63720.1520.44915.06513.90712.5837.257.3787.23211.25113.11916.06123.03621.8920.05917.63916.36815.1913.2715.53712.93715.41521.539
Goodwill 00001.0641.0641.0641.0641.0641.0641.4131.4131.4131.4131.4591.4591.4591.4591.5950.8720.9281.3421.421.4970.4700000000000
Immateriële activa 0.250.250.250.251.3750.2620.2720.2810.2910.250.250.251.5041.5041.551.5951.5951.5951.59515.95411.5033.1892.3716.20610.9374.4364.0124.3563.3833.2952.4364.7255.7258.2659.8429.728
Goodwill en immateriële activa 0.250.250.250.252.4391.3261.3361.3451.3551.3141.6631.6631.5041.5041.551.5951.5951.5951.59515.95411.5033.1892.3716.20610.9374.4364.0124.3563.3833.2952.4364.7255.7258.2659.8429.728
Langetermijnbeleggingen 0.0010.0010.0010.0010.0010.0010.0310.1560.1560.1560.1560.1560.2151.9996.8647.7439.33111.71610.1719.9175.7162.3250.1550.1550.1550.1560.1610.0010000000.0380.058
Belastingvorderingen 0.5520.5590.6882.0990.5860.541.6473.1033.1593.8773.8993.7183.7062.5242.1021.6291.5951.4671.4381.0050.7860.9740.8780.4370.4960.9010.950.1390.0830.0480.2940.4550.6160.5110.0560.006
Overige niet-vlottende activa 0000-1.064-0.54-1.647-3.103-3.159-3.877-3.899-3.7180.228-1.4370.280.280.2580.3081.7930.280.282.5392.5082.50800.0380.04400.1560.1950.214000.0350.0690.104
Totaal niet-vlottende activa 33.19235.74626.36725.38635.3823.48133.97834.78135.70636.46934.90139.79443.21324.22730.94631.69627.84428.99327.5834.40625.66316.25917.16322.42527.64928.56727.05824.55521.26119.90618.13418.4521.87821.74825.4231.435
Totaal activa 41.47642.84431.27927.58737.68628.72340.46841.98242.37644.75444.21949.09249.44231.26734.61735.33931.08831.06629.68937.53532.63419.69619.71926.14831.56931.32429.55527.3923.17621.27721.56418.95222.38325.76630.23233.947
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 0.9151.1251.0091.3271.6711.4071.6321.781.5441.2891.2331.7422.6912.642.2882.8951.5421.8681.6513.7083.3012.452.9224.5672.2592.3272.2581.2080.6480.460.2990.2470.20.30.2860.244
Kortlopende schulden 3.1132.7882.7293.6894.25200.615.3920.842.09117.90.840.844.50.20.203.1252.0910.1180.3270.1070.7651.5040.8851.131.4790.7930.5420.0080.5370.5970.5743.282.7970.121
Belastingschulden 0.2650.5570000.477000000000000000000000000000000
Uitgestelde opbrengsten 0.2650.5570000-0.6-15.392-0.84-2.091-17.9-0.840.9291.7930.433-0.23300.0220.88100-1.59500-1.088-2.062-1.84500.6611.2660.4740.3720.3540.17100
Overige kortlopende verplichtingen 0.8510.4522.6840.88-0.0280.3421.1515.7051.2961.65719.4291.067-1.742-2.755-1.054-1.79-0.172-4.057-0.746-2.493-3.009-0.585-2.601-4.269-0.930.008-0.187-0.939-0.475-0.356-0.243-0.172-0.087-0.204-0.0350.207
Totaal kortlopende verplichtingen 6.3256.6027.4327.2247.5673.6324.41419.2654.3834.23521.8954.5515.4098.8184.1553.9672.9122.8265.5285.0413.922.8274.0086.3693.3863.733.9622.272.0251.8381.3661.2911.2413.8473.3340.816
Langlopende verplichtingen:
Langetermijnschulden 012.1462.3762.2860.62.35717.7297.13322.59717.596017.918.74211.313.16310.93299.8469.6379.1676.2583.0863.79312.06512.71312.7537.5090.1090.040.040.0288.5315.7885.8948.794
Uitgestelde opbrengsten niet-vlottend 00008.3011.21416.8726.22821.76814.38013.465000000000-0.0010-1.4580-3.235-3.883-5.2490000-0.056-0.07800
Uitgestelde belastingverplichtingen niet-vlottend 1.6971.4541.3861.3191.1051.1430.8570.9060.8293.2163.2164.4354.4221.8032.0411.8871.9662.2511.8224.6032.7580.8660.5091.4580.1720.2370.2790.2780.1970.1490.0650.0240.0140.0130.070.559
Overige niet-vlottende verplichtingen 9.4970.296-0-0-0.6-2.357-17.729-7.133-22.597-17.5960-17.90-000.00103.1280.4542.3575.8576.6579.8938.752-03.2353.8845.2496.1014.8166.6168.4750.0560.07800
Totaal niet-vlottende verplichtingen 11.19413.8963.7623.6059.4062.35717.7297.13322.59717.5963.21617.923.1623.80313.34115.05112.89814.37912.12216.59717.78213.78113.48812.54512.23612.9513.0327.7876.4065.0056.7218.5278.5455.8015.9649.353
Totaal passiva 17.51820.49811.19410.82916.9727.1332327.30327.80925.04825.11126.88528.57112.6217.49619.01815.8117.20517.64921.63821.70216.60717.49718.91415.62216.68116.99510.0578.436.8438.0879.8189.7869.6489.29810.169
Eigen vermogen:
Preferente aandelen 000000000000000000000000000000000000
Gewone aandelen 6.8566.8566.8566.8566.8566.8566.8566.8566.8566.8566.8566.8566.8566.8566.8576.8566.8566.8566.8566.8566.8566.8566.8566.8566.8456.8266.6626.6466.6466.6466.6476.6476.3967.1057.1057.105
Ingehouden winsten 13.03311.9459.6856.35810.76411.6417.5174.5834.4714.2423.7493.9732.6887.2034.5134.1352.950.929-0.978-3.058-5.121-7.741-8.638-6.274-4.067-4.338-4.803-2.463-2.509-2.575-4.362-4.9020.3570.631.0871.948
Overige gereserveerde algehele resultaten 3.693.5453.5453.5453.0943.0943.0943.243.248.5038.50311.37811.3785.275.7515.2945.4746.2015.10212.0999.1973.9744.0046.65312.48211.5339.95812.28510.60910.36311.1927.3895.8448.38312.74214.725
Overige totale aandeelhoudersvermogen 0.37800-0000000.10500-0.051-0.682-00.035-0.003-0.1261.059-00-00-00-0-0000000000
Totaal eigen vermogen van aandeelhouders 23.95722.34520.08516.75920.71421.59117.46814.67914.56719.70619.10822.20720.87118.64717.12116.3215.27713.8612.03915.89710.9323.0892.2227.23515.2614.02111.81716.46914.74614.43413.4779.13412.59716.11820.93423.778
Totaal eigen vermogen 23.95722.34520.08516.75920.71421.59117.46814.67914.56719.70619.10822.20720.87118.64717.12116.3215.27713.8612.03915.89710.9323.0892.2227.23515.94614.64312.5617.33314.74614.43413.4779.13412.59716.11820.93423.778
Totaal passiva en aandeelhoudersvermogen 41.47642.84431.27927.58737.68628.72340.46841.98242.37644.75444.21949.09249.44231.26734.61735.33931.08831.06629.68937.53532.63419.69619.71926.14831.56931.32429.55527.3923.17621.27721.56418.95222.38325.76630.23233.947