Incitec Pivot Limited

ASX:IPL.AX

3 (AUD) • At close November 4, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) AUD.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Assets:
Current Assets:
Cash & Cash Equivalents 209.5264.5251.9105.6576.4588.5627.9427.1606.370.5270.6154.1379.748.7125.2479.7218.3161.6583.35183.84621.269
Short Term Investments 189.9499399.9449475461.7404.79.29.105.632.240.8111.671.230.3292.12.01912.34100
Cash and Short Term Investments 399.4763.5651.8554.6576.4588.5627.9427.1606.370.5270.6154.1379.7160.3196.4510510.4163.67715.69283.84621.269
Net Receivables 687.7756.6487.6373.9316.7311.5337.7256.1288.8265.5331.3372.9451.9443.8323625.3167.4121.44575.901123.745108.988
Inventory 817.4993.6577.7474.4600.9494.9388.6405.7401.3434.1435.6403.7477.9336.5397.1676.6221.7298.656271.65246.292205.643
Other Current Assets 2,348.7140.6102.312756.876.698.85347.563.5137.729.44.936.230.756.54.58.8856.1357.04714.699
Total Current Assets 4,253.22,654.31,819.41,529.91,550.81,471.51,4531,141.91,343.9833.61,175.21,020.51,388985.91,033.91,867909595.539369.378460.93350.599
Non-Current Assets:
Property, Plant & Equipment, Net 3,400.74,467.94,143.44,292.84,1904,004.33,854.83,892.74,003.63,511.43,033.52,738.52,283.31,844.11,663.41,689.2502.1478.097283.855296.132296.615
Goodwill 1,985.22,8732,636.82,638.12,724.52,618.42,731.72,770.22,883.22,580.52,537.82,449.82,516.62,553.52,649.33,301.4183.8183.809174.004183.809185.354
Intangible Assets 2,394.43,281.43,000.93,019.7455428.2389.3412.3463.1411.8423.2395.4425.73,002.63,153554.8193.7196.21174.004183.809185.354
Goodwill and Intangible Assets 4,379.66,154.45,637.75,657.83,179.53,046.63,1213,182.53,346.32,992.32,9612,845.22,942.33,002.63,1533,856.2193.7196.21174.004183.809185.354
Long Term Investments 443.9416.2387.8409.3357.7336.1316.9318323.6291.2335.8296.4267.2285.2389.9311.21.60.2642.6463.2481.924
Tax Assets 9.781213.515.91721.623.258.572.585.32544.7173.9354.2311.628.632.21519.88517.10819.101
Other Non-Current Assets -1,941.8-2,837.1-2,609.7-2,612.3-15.9-17-21.6-23.2-58.5-72.5-85.387.876.417.836.8150.24.30.8776.57410.16613.553
Total Non-Current Assets 6,292.18,209.47,571.27,761.17,727.27,3877,292.77,393.27,673.56,794.96,330.35,992.95,613.95,323.65,597.36,318.4730.3707.663486.964510.463516.547
Total Assets 10,545.310,863.79,390.69,2919,379.58,9548,821.78,6799,196.37,970.27,683.87,013.47,001.96,309.56,631.28,185.41,639.31,303.202856.342971.393867.146
Liabilities & Equity:
Current Liabilities:
Account Payables 1,059.31,393.41,229.31,049.41,1521,0451,043.7939.5888.5823729.6600.7630.1697.1636.7785.6281.4282.598200.699192.854130.899
Short Term Debt 62.463.263.862.71,213.4212.912.111.1747.133.933.5125.795.7108.5432.22,238.89.112.78612.51463.05540.663
Tax Payables 11.6144.486.821.513.455.611.800000000000000
Deferred Revenue 11.6144.486.821.5-1,213.4-212.9-12.1-11.1-747.1-33.9-33.5228.2338.5107.393.4571.72613.646-5.732-15.486.312
Other Current Liabilities 174.1224.3148.5195.91,352.1362.4121.3130.71,007.7167.1431.2137.698.91.712.9104.840.353.16153.54658.63437.133
Total Current Liabilities 1,307.41,825.31,528.41,329.52,504.11,407.41,1651,070.21,896.2990.11,160.81,092.21,163.2914.61,175.23,700.9356.8362.191261.027299.063215.007
Non-Current Liabilities:
Long Term Debt 1,710.61,690.91,6501,849.11,4432,161.92,2122,278.31,850.11,7091,6231,315.31,472.81,037.31,156.4271.2630431.7740055
Deferred Revenue Non-Current 193.4203.8197.5206.2944.61,6791,702.91,815.41,306.71,293.71,209.6-2.3-5-2.104700000
Deferred Tax Liabilities Non-Current 657.8552.9340.2429498.4482.9509.1462.9543.4415.3413.4371.3195.3190.1312.8333.40017.33519.04914.268
Other Non-Current Liabilities 249.4301.1305.9273.9-1,443-2,161.9-2,212-2,278.3-1,850.1-1,709-1,623205.5468.9558.3605.7677.6117.5129.2412.82121.7629.489
Total Non-Current Liabilities 2,811.22,748.72,493.62,758.21,4432,161.92,2122,278.31,850.11,7091,6231,889.82,1321,783.62,074.91,329.2747.5561.01430.15640.81178.757
Total Liabilities 4,118.64,5744,0224,087.74,691.74,209.84,062.64,102.74,508.13,563.23,4642,9823,295.22,698.23,250.15,030.11,104.3923.205291.183339.874293.764
Equity:
Preferred Stock 000019.955.4197.9187.3156.7144.8175.70000000000
Common Stock 3,806.23,806.23,806.23,806.23,136.83,226.53,436.83,436.83,430.93,332.83,265.93,265.93,265.93,265.93,217.82,267.7360.8360.797532.445532.445532.445
Retained Earnings 2,475.92,441.71,771.11,618.91,570.91,566.61,514.21,322.51,4111,216.31,129.6941.6628.6336.344.2525.4156.525.029-3.20863.1525.015
Accumulated Other Comprehensive Income/Loss 144.741.7-208.7-221.8-19.9-55.4-197.9-187.3-156.7-144.8-175.7-178.4-192.87119.1353.817.7-5.82935.92235.92235.922
Other Total Stockholders Equity 0000-19.9-55.4-197.9-187.3-156.7-144.8-178.600008.400000
Total Shareholders Equity 6,426.86,289.65,368.65,203.34,687.84,737.74,753.14,5724,685.24,404.34,216.94,029.13,701.73,609.23,381.13,155.3535379.997565.159631.519573.382
Total Equity 6,426.76,289.75,368.65,203.34,687.84,744.24,759.14,576.34,688.24,4074,219.84,031.43,706.73,611.33,381.13,155.3535379.997565.159631.519573.382
Total Liabilities & Shareholders Equity 10,545.310,863.79,390.69,2919,379.58,9548,821.78,6799,196.37,970.27,683.87,013.47,001.96,309.56,631.28,185.41,639.31,303.202856.342971.393867.146