AFRICA:ABSA
Absa Group
- Stock
Last Close
16,990.00
08/11 15:02
Market Cap
1.29B
Beta: -
Volume Today
1.12M
Avg: -
Preview
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Jun '21 | Dec '21 | Jun '22 | Dec '22 | Jun '23 | Dec '23 | Jun '24 | ||
---|---|---|---|---|---|---|---|---|
net income | 8.16B - | 9.60B 17.63% | 10.48B 9.17% | 10.07B 3.88% | 10.79B 7.13% | 9.10B 15.69% | 9.85B 8.20% | |
depreciation and amortization | 2.95B - | 3.07B 4.03% | 3.29B - | 2.85B 13.27% | 3.08B 8.21% | 2.95B 4.31% | ||
deferred income tax | ||||||||
stock based compensation | ||||||||
change in working capital | -139.76B - | |||||||
accounts receivables | ||||||||
inventory | ||||||||
accounts payables | ||||||||
other working capital | -139.76B - | |||||||
other non cash items | -9.86B - | -23.20B 135.29% | -3.58B 84.59% | 90.41B 2,628.27% | 22.17B 75.48% | 10.11B 54.39% | 12.70B 25.62% | |
net cash provided by operating activities | -4.65B - | -16.67B 258.40% | 6.91B 141.41% | 103.77B 1,402.82% | 35.81B 65.49% | 22.29B 37.74% | 25.50B 14.37% | |
investments in property plant and equipment | -1.78B - | -2.67B 50.28% | -2.29B 14.48% | -3.60B 57.68% | -2.69B 25.45% | -4.49B 67.31% | ||
acquisitions net | 63M - | 293M 365.08% | 55M 81.23% | 124M 125.45% | 125M 0.81% | 401M 220.80% | ||
purchases of investments | -29.21B - | -54.77B - | ||||||
sales maturities of investments | 12.72B - | 2M - | ||||||
other investing activites | 151M - | -112M 174.17% | 166M 248.21% | -150.93B 91,021.69% | 350M 100.23% | -63.38B 18,209.43% | -2.89B 95.44% | |
net cash used for investing activites | -1.56B - | -83.26B 5,227.13% | -2.06B 97.52% | -154.41B 7,381.06% | -2.21B 98.57% | -122.24B 5,428.86% | -2.89B 97.63% | |
debt repayment | -6.63B - | -2.15B 67.60% | -1.14B 46.88% | -854M 25.22% | -9M 98.95% | -8.83B 98,000% | ||
common stock issued | 86M - | 2.00B - | 2.28B - | |||||
common stock repurchased | -858M - | -3.09B - | -3.48B - | |||||
dividends paid | -210M - | -2.80B 1,231.90% | -4.52B 61.46% | -5.63B 24.58% | -6.10B 8.46% | -5.96B 2.26% | -5.68B 4.68% | |
other financing activites | -1.02B - | 1.02B 200% | -1.14B 211.36% | 64.88B 5,806.33% | -2.00B 103.09% | 104.32B 5,303.14% | -2.57B 102.47% | |
net cash used provided by financing activities | 5.40B - | 103.19B 1,809.47% | -6.79B 106.58% | 59.02B 968.71% | -8.10B 113.72% | 88.33B 1,190.71% | -8.26B 109.35% | |
effect of forex changes on cash | 237M - | 844M 256.12% | 1.24B 46.80% | -65M 105.25% | -4.93B 7,492.31% | -225M - | ||
net change in cash | -574M - | 4.10B 813.59% | -714M 117.43% | 8.32B 1,264.71% | 20.57B 147.29% | -11.62B 156.52% | 14.12B 221.48% | |
cash at beginning of period | 16.80B - | 16.22B 3.42% | 70.42B 334.08% | 69.70B 1.01% | 70.47B 1.11% | 88.45B - | ||
cash at end of period | 16.22B - | 20.32B 25.25% | 69.70B 243.06% | 78.02B 11.93% | 91.04B 16.69% | -11.62B 112.77% | 102.58B 982.44% | |
operating cash flow | -4.65B - | -16.67B 258.40% | 6.91B 141.41% | 103.77B 1,402.82% | 35.81B 65.49% | 22.29B 37.74% | 25.50B 14.37% | |
capital expenditure | -1.78B - | -2.67B 50.28% | -2.29B 14.48% | -3.60B 57.68% | -2.69B 25.45% | -4.49B 67.31% | ||
free cash flow | -6.43B - | -19.34B 200.86% | 4.62B 123.88% | 100.17B 2,068.12% | 33.12B 66.93% | 17.80B 46.26% | 25.50B 43.24% |
All numbers in (except ratios and percentages)