AU Stock MarketDetailed Quotes

FMG Fortescue Ltd

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  • 18.250
  • -0.250-1.35%
20min DelayMarket Closed Dec 31 14:10 AET
56.19BMarket Cap6.60P/E (Static)

Fortescue Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
8.86%18.34B
-4.28%16.85B
-20.64%17.6B
74.60%22.18B
43.50%12.7B
31.78%8.85B
-23.38%6.72B
31.00%8.77B
-21.60%6.69B
-32.34%8.54B
Revenue from customers
8.86%18.34B
-4.28%16.85B
-20.64%17.6B
74.60%22.18B
43.50%12.7B
31.78%8.85B
-23.38%6.72B
31.00%8.77B
-21.60%6.69B
-32.34%8.54B
Cash paid
-11.99%-7.65B
3.60%-6.83B
-31.97%-7.09B
-21.60%-5.37B
-14.02%-4.42B
-5.07%-3.87B
1.52%-3.69B
-0.21%-3.74B
37.43%-3.74B
4.00%-5.97B
Payments to suppliers for goods and services
-11.99%-7.65B
3.60%-6.83B
-31.97%-7.09B
-21.60%-5.37B
-14.02%-4.42B
-5.07%-3.87B
1.52%-3.69B
-0.21%-3.74B
37.43%-3.74B
4.00%-5.97B
Direct interest paid
1.72%-343M
-63.08%-349M
0.93%-214M
8.09%-216M
7.48%-235M
35.20%-254M
4.85%-392M
---412M
----
----
Direct interest received
65.28%238M
1,100.00%144M
-20.00%12M
-68.75%15M
100.00%48M
0.00%24M
26.32%24M
--19M
----
----
Direct tax refund paid
-12.02%-2.67B
35.12%-2.38B
8.67%-3.67B
-138.28%-4.02B
-348.14%-1.69B
64.60%-376M
-183.20%-1.06B
-668.18%-375M
112.48%66M
-252.67%-529M
Operating cash flow
6.55%7.92B
11.83%7.43B
-47.23%6.65B
96.32%12.59B
46.70%6.42B
173.14%4.37B
-62.38%1.6B
40.79%4.26B
48.40%3.02B
-67.40%2.04B
Investing cash flow
Cash flow from continuing investing activities
9.76%-2.81B
-1.47%-3.12B
15.36%-3.07B
-84.30%-3.63B
-100.20%-1.97B
-5.02%-983M
-30.91%-936M
-112.80%-715M
53.72%-336M
47.84%-726M
Net PPE purchase and sale
0.56%-2.83B
-1.82%-2.85B
17.07%-2.8B
-74.15%-3.38B
-85.81%-1.94B
-17.85%-1.04B
-21.73%-885M
-103.07%-727M
57.48%-358M
51.41%-842M
Net business purchase and sale
----
101.90%4M
---210M
----
----
----
----
----
----
----
Net investment purchase and sale
83.21%-47M
-359.02%-280M
75.79%-61M
-740.00%-252M
-150.00%-30M
209.09%60M
---55M
----
----
-36.88%101M
Interest received (cash flow from investment activities)
----
----
----
----
----
----
----
----
46.67%22M
--15M
Net other investing changes
536.36%70M
--11M
----
----
----
----
-66.67%4M
--12M
----
----
Cash from discontinued investing activities
Investing cash flow
9.76%-2.81B
-1.47%-3.12B
15.36%-3.07B
-84.30%-3.63B
-100.20%-1.97B
-5.02%-983M
-30.91%-936M
-112.80%-715M
53.72%-336M
47.84%-726M
Financing cash flow
Cash flow from continuing financing activities
10.72%-4.47B
1.92%-5B
26.03%-5.1B
-438.10%-6.89B
46.45%-1.28B
-47.11%-2.39B
50.46%-1.63B
5.20%-3.28B
-180.32%-3.46B
73.30%-1.24B
Net issuance payments of debt
98.68%-10M
-140.00%-760M
343.28%1.9B
-193.76%-781M
2,972.41%833M
93.88%-29M
80.68%-474M
9.15%-2.45B
-950.58%-2.7B
91.69%-257M
Net common stock issuance
5.96%-142M
-9.42%-151M
-14.05%-138M
-175.00%-121M
65.89%-44M
-437.50%-129M
11.11%-24M
-28.57%-27M
30.00%-21M
-76.47%-30M
Cash dividends paid
-5.56%-4.14B
41.45%-3.92B
-17.86%-6.7B
-195.27%-5.68B
13.29%-1.93B
-154.00%-2.22B
-15.76%-874M
-562.28%-755M
66.76%-114M
40.96%-343M
Interest paid (cash flow from financing activities)
-26.67%-38M
-7.14%-30M
71.13%-28M
-203.13%-97M
-128.57%-32M
94.49%-14M
-440.43%-254M
92.50%-47M
-3.64%-627M
29.07%-605M
Net other financing activities
2.17%-135M
-2.99%-138M
36.19%-134M
-85.84%-210M
---113M
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
10.72%-4.47B
1.92%-5B
26.03%-5.1B
-438.10%-6.89B
46.45%-1.28B
-47.11%-2.39B
50.46%-1.63B
5.20%-3.28B
-180.32%-3.46B
73.30%-1.24B
Net cash flow
Beginning cash position
-17.94%4.29B
-24.62%5.22B
42.74%6.93B
159.07%4.86B
117.15%1.87B
-53.05%863M
16.11%1.84B
-33.52%1.58B
-0.71%2.38B
11.12%2.4B
Current changes in cash
194.01%643M
55.09%-684M
-173.43%-1.52B
-34.49%2.07B
217.23%3.17B
203.85%998M
-471.04%-961M
133.42%259M
-1,119.74%-775M
-67.10%76M
Effect of exchange rate changes
89.33%-27M
-38.25%-253M
-18,400.00%-183M
100.54%1M
-1,523.08%-185M
192.86%13M
-250.00%-14M
82.61%-4M
75.27%-23M
-1,133.33%-93M
End cash Position
14.37%4.9B
-17.94%4.29B
-24.62%5.22B
42.74%6.93B
159.07%4.86B
117.15%1.87B
-53.05%863M
16.11%1.84B
-33.52%1.58B
-0.71%2.38B
Free cash from
12.23%5.09B
17.90%4.53B
-58.28%3.84B
106.09%9.21B
34.44%4.47B
375.00%3.33B
-80.15%700M
32.44%3.53B
124.16%2.66B
-72.07%1.19B
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2024 (FY)Jun 30, 2023 (FY)Jun 30, 2022 (FY)Jun 30, 2021 (FY)Jun 30, 2020 (FY)Jun 30, 2019 (FY)Jun 30, 2018 (FY)Jun 30, 2017 (FY)Jun 30, 2016 (FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities 8.86%18.34B -4.28%16.85B -20.64%17.6B 74.60%22.18B 43.50%12.7B 31.78%8.85B -23.38%6.72B 31.00%8.77B -21.60%6.69B -32.34%8.54B
Revenue from customers 8.86%18.34B -4.28%16.85B -20.64%17.6B 74.60%22.18B 43.50%12.7B 31.78%8.85B -23.38%6.72B 31.00%8.77B -21.60%6.69B -32.34%8.54B
Cash paid -11.99%-7.65B 3.60%-6.83B -31.97%-7.09B -21.60%-5.37B -14.02%-4.42B -5.07%-3.87B 1.52%-3.69B -0.21%-3.74B 37.43%-3.74B 4.00%-5.97B
Payments to suppliers for goods and services -11.99%-7.65B 3.60%-6.83B -31.97%-7.09B -21.60%-5.37B -14.02%-4.42B -5.07%-3.87B 1.52%-3.69B -0.21%-3.74B 37.43%-3.74B 4.00%-5.97B
Direct interest paid 1.72%-343M -63.08%-349M 0.93%-214M 8.09%-216M 7.48%-235M 35.20%-254M 4.85%-392M ---412M ---- ----
Direct interest received 65.28%238M 1,100.00%144M -20.00%12M -68.75%15M 100.00%48M 0.00%24M 26.32%24M --19M ---- ----
Direct tax refund paid -12.02%-2.67B 35.12%-2.38B 8.67%-3.67B -138.28%-4.02B -348.14%-1.69B 64.60%-376M -183.20%-1.06B -668.18%-375M 112.48%66M -252.67%-529M
Operating cash flow 6.55%7.92B 11.83%7.43B -47.23%6.65B 96.32%12.59B 46.70%6.42B 173.14%4.37B -62.38%1.6B 40.79%4.26B 48.40%3.02B -67.40%2.04B
Investing cash flow
Cash flow from continuing investing activities 9.76%-2.81B -1.47%-3.12B 15.36%-3.07B -84.30%-3.63B -100.20%-1.97B -5.02%-983M -30.91%-936M -112.80%-715M 53.72%-336M 47.84%-726M
Net PPE purchase and sale 0.56%-2.83B -1.82%-2.85B 17.07%-2.8B -74.15%-3.38B -85.81%-1.94B -17.85%-1.04B -21.73%-885M -103.07%-727M 57.48%-358M 51.41%-842M
Net business purchase and sale ---- 101.90%4M ---210M ---- ---- ---- ---- ---- ---- ----
Net investment purchase and sale 83.21%-47M -359.02%-280M 75.79%-61M -740.00%-252M -150.00%-30M 209.09%60M ---55M ---- ---- -36.88%101M
Interest received (cash flow from investment activities) ---- ---- ---- ---- ---- ---- ---- ---- 46.67%22M --15M
Net other investing changes 536.36%70M --11M ---- ---- ---- ---- -66.67%4M --12M ---- ----
Cash from discontinued investing activities
Investing cash flow 9.76%-2.81B -1.47%-3.12B 15.36%-3.07B -84.30%-3.63B -100.20%-1.97B -5.02%-983M -30.91%-936M -112.80%-715M 53.72%-336M 47.84%-726M
Financing cash flow
Cash flow from continuing financing activities 10.72%-4.47B 1.92%-5B 26.03%-5.1B -438.10%-6.89B 46.45%-1.28B -47.11%-2.39B 50.46%-1.63B 5.20%-3.28B -180.32%-3.46B 73.30%-1.24B
Net issuance payments of debt 98.68%-10M -140.00%-760M 343.28%1.9B -193.76%-781M 2,972.41%833M 93.88%-29M 80.68%-474M 9.15%-2.45B -950.58%-2.7B 91.69%-257M
Net common stock issuance 5.96%-142M -9.42%-151M -14.05%-138M -175.00%-121M 65.89%-44M -437.50%-129M 11.11%-24M -28.57%-27M 30.00%-21M -76.47%-30M
Cash dividends paid -5.56%-4.14B 41.45%-3.92B -17.86%-6.7B -195.27%-5.68B 13.29%-1.93B -154.00%-2.22B -15.76%-874M -562.28%-755M 66.76%-114M 40.96%-343M
Interest paid (cash flow from financing activities) -26.67%-38M -7.14%-30M 71.13%-28M -203.13%-97M -128.57%-32M 94.49%-14M -440.43%-254M 92.50%-47M -3.64%-627M 29.07%-605M
Net other financing activities 2.17%-135M -2.99%-138M 36.19%-134M -85.84%-210M ---113M ---- ---- ---- ---- ----
Cash from discontinued financing activities
Financing cash flow 10.72%-4.47B 1.92%-5B 26.03%-5.1B -438.10%-6.89B 46.45%-1.28B -47.11%-2.39B 50.46%-1.63B 5.20%-3.28B -180.32%-3.46B 73.30%-1.24B
Net cash flow
Beginning cash position -17.94%4.29B -24.62%5.22B 42.74%6.93B 159.07%4.86B 117.15%1.87B -53.05%863M 16.11%1.84B -33.52%1.58B -0.71%2.38B 11.12%2.4B
Current changes in cash 194.01%643M 55.09%-684M -173.43%-1.52B -34.49%2.07B 217.23%3.17B 203.85%998M -471.04%-961M 133.42%259M -1,119.74%-775M -67.10%76M
Effect of exchange rate changes 89.33%-27M -38.25%-253M -18,400.00%-183M 100.54%1M -1,523.08%-185M 192.86%13M -250.00%-14M 82.61%-4M 75.27%-23M -1,133.33%-93M
End cash Position 14.37%4.9B -17.94%4.29B -24.62%5.22B 42.74%6.93B 159.07%4.86B 117.15%1.87B -53.05%863M 16.11%1.84B -33.52%1.58B -0.71%2.38B
Free cash from 12.23%5.09B 17.90%4.53B -58.28%3.84B 106.09%9.21B 34.44%4.47B 375.00%3.33B -80.15%700M 32.44%3.53B 124.16%2.66B -72.07%1.19B
Accounting Standards US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP