av/commonwealth-bank--big.svg

AU:COM:COMMBANK

Commonwealth Bank of Australia

  • Stock

Last Close

156.24

22/11 05:10

Market Cap

217.25B

Beta: -

Volume Today

3.97M

Avg: -

Preview

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Dec '13
Jun '14
Dec '14
Jun '15
Dec '15
Jun '16
Dec '16
Jun '17
Dec '17
Jun '18
Dec '18
Jun '19
Dec '19
Jun '20
Dec '20
Jun '21
Dec '21
Jun '22
Dec '22
Jun '23
Dec '23
Jun '24
net income
4.21B
-
4.42B
5.16%
4.54B
2.51%
4.53B
0.15%
4.62B
2.10%
4.60B
0.50%
4.89B
6.41%
5.03B
2.82%
4.91B
2.52%
4.60B
-
3.79B
17.70%
4.57B
20.82%
3.01B
34.24%
3.78B
25.61%
5.07B
34.13%
4.74B
6.42%
4.93B
4.03%
5.22B
5.76%
4.97B
4.68%
4.84B
2.72%
4.64B
3.99%
depreciation and amortization
197M
-
279M
41.62%
213M
23.66%
271M
27.23%
200M
26.20%
277M
38.50%
170M
38.63%
292M
71.76%
181M
38.01%
180M
-
-1.01B
661.67%
1.04B
202.67%
840M
19.08%
807M
3.93%
688M
14.75%
583M
15.26%
967M
65.87%
575M
40.54%
535M
6.96%
698M
30.47%
742M
6.30%
deferred income tax
44M
-
-52M
-
96M
-
-46M
-
-2.12B
-
-1.74B
18.31%
-1.66B
4.38%
-1.43B
13.74%
-1.22B
14.68%
-1.99B
62.98%
-1.21B
39.05%
-1.13B
6.84%
-1.46B
28.94%
stock based compensation
121M
-
-22M
118.18%
47M
313.64%
49M
4.26%
50M
2.04%
52M
4%
60M
15.38%
60M
0%
54M
10%
37M
-
48M
-
55M
14.58%
45M
18.18%
55M
22.22%
55M
0%
56M
1.82%
63M
12.50%
60M
4.76%
61M
1.67%
change in working capital
-22M
-
3M
-
-148M
-
-14M
-
-7.88B
-
15.24B
293.42%
-16.92B
211.01%
26.79B
258.36%
-23.61B
188.13%
10.43B
144.20%
1.69B
83.84%
-6.79B
503.02%
1.84B
127.02%
-30.14B
1,741.45%
26.08B
186.54%
accounts receivables
-22M
-
3M
-
-148M
-
-14M
-
523M
-
213M
-
-162M
-
-1.79B
-
inventory
accounts payables
other working capital
-17.44B
-
-23.82B
-
1.85B
-
3.63B
-
other non cash items
5.26B
-
-39.90B
858.56%
3.26B
108.17%
-46.95B
1,540.66%
-8.51B
81.88%
-43.49B
411.31%
-11.95B
72.52%
-39.17B
227.71%
-3.98B
89.83%
6.46B
-
5.35B
17.16%
-9.35B
274.65%
2.71B
129.02%
-312M
111.50%
-2M
99.36%
-1.14B
56,850%
1.33B
217.21%
1.07B
19.70%
3.16B
194.40%
953M
69.80%
3.98B
317.31%
net cash provided by operating activities
9.79B
-
-35.24B
460.15%
8.05B
122.85%
-42.10B
622.72%
-3.63B
91.37%
-38.71B
965.54%
-6.83B
82.36%
-33.80B
395.02%
1.16B
103.43%
11.28B
-
249M
97.79%
11.55B
4,537.75%
-10.30B
189.20%
31.11B
401.96%
-17.80B
157.23%
14.67B
182.44%
6.99B
52.39%
-1.08B
115.49%
9.43B
971.44%
-25.05B
365.62%
33.96B
235.59%
investments in property plant and equipment
-513M
-
-578M
-
-1.26B
-
-602M
-
-314M
-
-910M
-
-235M
-
-231M
-
-1.57B
-
acquisitions net
1.41B
-
3.99B
182.84%
1.22B
69.33%
868M
29.03%
-129M
114.86%
1.94B
1,601.55%
146M
92.46%
567M
288.36%
74M
86.95%
purchases of investments
-47.13B
-
-37.10B
-
-64.62B
-
-34.68B
-
sales maturities of investments
45.77B
-
34.69B
-
36.75B
-
64.74B
-
other investing activites
-401M
-
1.11B
378.05%
-614M
155.07%
-23M
96.25%
-810M
3,421.74%
37M
104.57%
-471M
1,372.97%
396M
184.08%
-386M
197.47%
574M
-
-5.58B
1,071.25%
-582M
89.56%
-21.07B
3,520.27%
-474M
97.75%
-36.41B
7,581.43%
-566M
98.45%
-70.18B
12,298.76%
-845M
98.80%
-44.03B
5,110.30%
-664M
98.49%
664M
200%
net cash used for investing activites
-401M
-
602M
250.12%
-614M
201.99%
-601M
2.12%
-810M
34.78%
-1.22B
50.86%
-471M
61.46%
-206M
56.26%
-386M
87.38%
574M
-
-4.48B
880.31%
3.41B
176.04%
-22.12B
749.41%
394M
101.78%
-39.19B
10,045.94%
1.37B
103.50%
-98.13B
7,257.70%
-278M
99.72%
-15.46B
5,462.23%
-664M
95.71%
-63.50B
9,462.95%
debt repayment
-35.45B
-
-48.34B
-
-37.77B
-
-34.69B
-
-38.15B
-
-2.84B
92.55%
-10.64B
274.23%
-22.60B
112.36%
-13.00B
42.48%
-42.27B
225.11%
-15.45B
63.44%
-25.09B
62.37%
-2.99B
88.08%
-36.72B
1,127.58%
-17.02B
53.64%
-41.87B
145.98%
common stock issued
22M
-
93M
-
5M
-
48M
-
37.86B
-
-16.87B
144.55%
common stock repurchased
-813M
-
-790M
-
-1.05B
-
-92M
-
-598M
-
-65M
-
-71M
-
-6.00B
8,352.11%
-546M
90.90%
-1.33B
143.77%
-1.30B
2.10%
-154M
88.18%
-208M
35.06%
dividends paid
-3.23B
-
-2.26B
30.26%
-3.55B
57.18%
-2.65B
25.16%
-2.98B
12.21%
-2.85B
4.33%
-3.22B
12.88%
-2.87B
10.82%
-2.40B
16.39%
-3.32B
-
-3.53B
6.23%
-4.08B
15.64%
-3.55B
13.11%
-1.47B
58.53%
-2.66B
80.90%
-3.55B
33.33%
-2.99B
15.81%
-3.57B
19.55%
-3.55B
0.70%
-4.02B
13.45%
-3.60B
10.51%
other financing activites
3.25B
-
34.41B
959.06%
34.40B
0.04%
41.39B
20.34%
56.13B
35.61%
38.48B
31.44%
55.79B
44.96%
38.45B
31.08%
36.40B
5.32%
28.20B
-
5.93B
78.97%
2.38B
59.79%
66.25B
2,677.82%
1.87B
97.18%
59.05B
3,062.67%
-1.71B
102.90%
131.10B
7,766.78%
950M
99.28%
-950M
200%
532M
156%
net cash used provided by financing activities
14M
-
31.34B
223,757.14%
-4.59B
114.66%
37.95B
925.88%
4.82B
87.31%
34.59B
618.34%
14.80B
57.20%
35.49B
139.70%
-687M
101.94%
-13.27B
-
-1.02B
92.33%
-12.34B
1,112.18%
40.13B
425.20%
-12.61B
131.41%
98.59B
882.13%
4.19B
95.75%
102.53B
2,345.83%
-961M
100.94%
-4.66B
384.50%
-3.49B
25.02%
-1.25B
64.19%
effect of forex changes on cash
1.00B
-
-593M
159.06%
1.39B
334.23%
660M
52.48%
438M
33.64%
-288M
165.75%
21M
107.29%
-339M
1,714.29%
-27M
92.04%
572M
-
-16.91B
3,055.77%
1M
100.01%
16M
1,500%
-1.92B
12,118.75%
1.46B
175.82%
-52M
103.57%
407M
882.69%
483M
18.67%
345M
28.57%
-621M
280%
net change in cash
10.40B
-
-3.89B
137.42%
4.23B
208.79%
-4.09B
196.65%
810M
119.79%
-5.63B
795.43%
7.53B
233.62%
1.14B
84.81%
58M
94.93%
-850M
-
-22.16B
2,506.47%
2.62B
111.80%
7.73B
195.45%
16.97B
119.66%
43.06B
153.72%
20.18B
53.12%
11.79B
41.59%
-1.84B
115.59%
-10.35B
462.84%
-29.82B
188.26%
-30.79B
3.25%
cash at beginning of period
12.62B
-
23.02B
82.44%
19.13B
16.91%
23.36B
22.14%
19.27B
17.52%
20.08B
4.20%
14.45B
28.05%
21.97B
52.10%
23.12B
5.20%
23.18B
0.25%
23.00B
0.73%
22.16B
3.69%
17.01B
23.22%
19.63B
15.37%
27.35B
39.37%
44.32B
62.05%
87.38B
97.15%
107.56B
23.10%
119.36B
10.96%
117.52B
1.54%
107.17B
8.80%
cash at end of period
23.02B
-
19.13B
16.91%
23.36B
22.14%
19.27B
17.52%
20.08B
4.20%
14.45B
28.05%
21.97B
52.10%
23.12B
5.20%
23.18B
0.25%
23.18B
0%
22.16B
4.40%
19.63B
-
27.35B
39.37%
44.32B
62.05%
87.38B
97.15%
107.56B
23.10%
119.36B
10.96%
117.52B
1.54%
107.17B
8.80%
77.35B
27.83%
-30.79B
139.80%
operating cash flow
9.79B
-
-35.24B
460.15%
8.05B
122.85%
-42.10B
622.72%
-3.63B
91.37%
-38.71B
965.54%
-6.83B
82.36%
-33.80B
395.02%
1.16B
103.43%
11.28B
-
249M
97.79%
11.55B
4,537.75%
-10.30B
189.20%
31.11B
401.96%
-17.80B
157.23%
14.67B
182.44%
6.99B
52.39%
-1.08B
115.49%
9.43B
971.44%
-25.05B
365.62%
33.96B
235.59%
capital expenditure
-513M
-
-578M
-
-1.26B
-
-602M
-
-314M
-
-910M
-
-235M
-
-231M
-
-1.57B
-
free cash flow
9.79B
-
-35.75B
465.40%
8.05B
122.53%
-42.68B
629.90%
-3.63B
91.49%
-39.97B
1,000.19%
-6.83B
82.92%
-34.40B
403.84%
1.16B
103.37%
11.28B
-
-65M
100.58%
11.55B
17,866.15%
-11.21B
197.08%
31.11B
377.45%
-18.04B
157.98%
14.67B
181.36%
6.75B
53.97%
-1.08B
116.02%
7.86B
826.52%
-25.05B
418.60%
33.96B
235.59%

All numbers in (except ratios and percentages)