Brambles Financial Data

Nome Compagnia:Brambles LtdStatus:Active
End of fiscal year:30 Giugno 2018ISINAU000000BXB1
Auditor:PricewaterhouseCoopersYear established:2006
Company sector name:IndustrialsTrading currency:AUD
Industry name:Business ServicesPlace of incorporation:Australia (AU)
Industry group nameBusiness ServicesDoing business in:Australia (AU)
AddressAngel Place 123 Pitt Street
Level 10, 2000
Tel.:+61 292565222
City/Country:Sydney, AustraliaFax:+61 292565299
Web address:http://www.brambles.com
Descrizione Attività:Brambles, under the CHEP and IFCO brands, is the largest global operator of pallet and reusable plastic crate, or RPC, pooling services, with operations in more than 60 countries across six continents. The CHEP business provides approximately 80% of revenue, with IFCO comprising the remaining 20%, although management has outlined a plan to sell or divest IFCO.
Prezzo Variazione [%] Denaro Lettera Aper Max Min Volume
12,13  -0,18[-1,46%] 12,01 12,30 12,23 12,25 12,00 4.895.316
Cap. di mercato [m] Azioni circolanti [m] Beta EPS DPS PE Ratio Yield Oscillazione-52-Settimane
19587.672 1594.718487 0,98 0,64 0,29 19,36 2,36 9,82 - 13,47

BXB KEY FIGURES (at previous day's close)

Yesterday's Close
12,31
PE Ratio
19,36
Market Capitalisation
19,59B
Latest Shares Outstanding
1,59B
Earnings pS (EPS)
0,64
Dividend pS (DPS)
0,29
Dividend Yield
2,36%
Sales per Employee
-
Effective Tax Rate
-
Foreign Sales
-
Domestic Sales
-
Selling, General & Adm/tive (SG...
15,75%
Research & Devlopment (R&D) as ...
0,00%
Gross Profit Margin
45,17%
EBITDA Margin
28,48%
Pre-Tax Profit Margin
15,75%
Assets Turnover
1,40%
Return on Assets (ROA)
0,10%
Return on Equity (ROE)
0,25%
Return on Capital Invested (ROC...
0,15%
Current Ratio
0,93
Leverage Ratio (Assets/Equity)
2,48%
Interest Cover
11,95
Total Debt/Equity (Gearing Rati...
0,79%
LT Debt/Total Capital
0,43%
Working Capital pS
5,23
Cash pS
0,15
Book-Value pS
5,80
Tangible Book-Value pS
4,46
Cash Flow pS
-
Free Cash Flow pS
0,23
Spread
0,29
Gross gearing
0,00%
Net Debt
-243,81M

BXB Balance Sheet Chart (30 Giugno 2018)

:liab eq:assets
Periodo † Max Min
1 Sett.12,43512,00
1 Mese12,43511,84
3 Mesi12,43510,83
6 Mesi13,4710,83
1 Anno13,479,82
3 Anni13,478,89
5 Anni13,6358,89

Share price performance previous 3 years

Share price performance intraday

Periodo † Apert. Open Avg. VWAP Vol Min Vol Max Med. Vol. Giorn. Var %
1 Sett.12,1012,30212,302.147.7314.895.3162.510.4080,030,25%
1 Mese12,1212,115712,102.147.7315.897.0193.224.1200,010,08%
3 Mesi11,1811,627111,56209.99411.162.6664.626.8770,958,5%
6 Mesi12,0612,133712,02209.99412.842.4364.544.9230,070,58%
1 Anno10,2511,592411,59209.99412.842.4364.321.8781,8818,34%
3 Anni11,8310,466410,36209.99447.761.1484.454.2030,302,54%
5 Anni9,7610,824810,71209.99447.761.1484.134.6862,3724,28%

BXB Growth Ratios (30 Giugno 2018)

1 year 3 years 5 years 10 years
Diluted EPS growth
3,24
0,09
0,08
0,03
Diluted continuous EPS growth
0,80
0,11
0,08
0,03
Dividend growth
0,00
0,02
0,02
-0,02
Equity per share growth
0,15
0,07
0,05
0,09
Revenue growth
0,14
0,02
0,04
0,05
Operating income growth
0,10
0,03
0,04
0,03
Net income growth
3,25
0,10
0,08
0,04
Net income cont growth
0,81
0,11
0,09
0,05
CFO growth
0,22
0,04
0,06
0,05
FCF growth
1,44
-0,05
-0,04
0,02
Operating revenue growth
0,14
0,02
0,04
0,05

BXB Income Statement 30 Giugno 2018 (AUD)

Total Revenue
7572.18238398
Operating Revenue
7572.18238398
Cost of Revenue
4151.53565147
Gross Profit
3420.64673251
Operating Expenses
2258.55770532
Selling,General and Administr...
1192.66675687
General and Administrative Ex...
1192.66675687
Salary and Benefit
989.176024895
Rent and Landing Fees
203.490731971
Depreciation,Amortization and...
784.061696658
Depreciation and Amortization
784.061696658
Depreciation
745.501285347
Amortization
38.5604113111
Amortization of Intangibles
38.5604113111
Other Operating Expenses
281.829251793
Operating Income
1162.0890272
Interest Income/Expense,Net-N...
-141.794073873
Interest Income-Non Operating
38.695711
Interest Expense-Non Operatin...
180.489784873
Other Income/Expense,Net
171.965904478
Earnings from Equity Interest
-15.9653632797
Other Non-Operating Income/Ex...
187.931267758
Pretax Income
1192.2608578
Provision for Income Tax
145.717764849
Net Income Available to Commo...
1010.8239751
Net Income
1010.8239751
Net Income Including Noncontr...
1010.8239751
Net Income from Continuing Op...
1046.54309295
Discontinued Operations
-35.719117846
Basic EPS
0,64
Basic EPS from Continuing Ope...
0,66
Basic EPS from Discontinued O...
-0,02
Diluted EPS
0,63
Diluted EPS from Continuing O...
0,66
Diluted EPS from Discontinued...
-0,02
Basic Weighted Average Shares...
1591.2
Diluted Weighted Average Shar...
1596.37393415
Dividend Per Share
0,29
Net Income from Continuing an...
1010.8239751
Normalized Income
1046.54309295
Basic EPS,Continuing and Disc...
0,64
Diluted EPS,Continuing and Di...
0,63
Interest and Dividend Income
38.695711
Interest Expense
180.489784873
Net Interest Income
-141.794073873
Earning Before Interest and T...
1372.75064267
Earning Before Interest Tax D...
2156.81233933
Cost of Revenue,Reconciled
4151.53565147
Depreciation,Reconciled
784.061696658
Net Income from Continuing Op...
1046.54309295
Normalized Basic EPS
0,66
Normalized Diluted EPS
0,66
NormalizedEBITDA
2156.81233933
Tax rate for calculations
0,12

BXB Efficency Ratios (30 Giugno 2018)

Days in sales
65,57
Days in inventory
6,83
Days in payment
55,53
Cash conversion cycle
16,87
Receivable turnover
5,57
Inventory turnover
53,42
Payable turnover
6,57
Fixed assets turnover
1,14
Assets turnover
0,73
ROE
0,25
ROA
0,10
ROIC
0,15
FCF sales ratio
0,05
FCF net income ratio
0,35
Capital expenditure sales ratio
0,21

BXB Financial Health Ratios (30 Giugno 2018)

Current ratio
0,93
Quick ratio
0,85
Debt total capital ratio
0,43
Debt equity ratio
0,76
Financial leverage
2,48
Total debt to equity
0,79

BXB Avearge Growth Ratios Over 5 Years (30 Giugno 2018)

Growth ann capital spending
0,09
Growth ann gross profit
0,00
Avg gross margin
0,48
Avg post tax margin
0,12
Avg pre tax marginr
0,15
Avg net profit
0,12
Avg ret commonr
0,24
Avg ret assets
0,09
Avg ret invested capital
0,14

BXB Profitability Ratios (30 Giugno 2018)

Gross margin
0,45
Operating margin
0,15
EBT margin
0,16
Tax rate
0,12
Net margin
0,13
Sales per employee
-
EBIT margin
0,18
EBITDA margin
0,28
Normalized net profit margin
0,14
Interest coverage
7,61
Inc per employee tot ops
-

BXB Valuation Ratios (29 Giugno 2018)

Sales per share
3,99
Growth ann sales per share 5 ye...
0,09
Book value per share
2,55
CF per share
1,01
Price to EPS
15,20
Ratio PE 5 year high
23,34
Ratio PE 5 year low
12,69
Price to book
3,49
Price to sales
2,22
Price to cash flow
8,80
Price to free cash flow
58,82
Div rate
0,29
Dividend yield
0,03
Div payout tot ops
0,76
Div payout 5 year
0,59
Payout ratio
0,50
Sustainable growth rate
0,08
Cash return
0,02

BXB Balance Sheet 30 Giugno 2018 (AUD)

Total Assets
10605.4661074
Current Assets
2123.25801651
Cash,Cash Equivalents,and Sho...
243.810039237
Cash and Cash Equivalents
243.810039237
Cash
242.727641726
Cash Equivalents
1.0823975105
Receivables
1701.93478555
Accounts Receivable
1443.64767961
Other Receivables
279.393857394
Recievables Adjustments/Allow...
-21.1067514545
Inventories
81.5857123529
Raw Materials
67.920443783
Finished Goods
13.6652685699
Prepaid Assets and Others
62.7790556082
Deferred Current Assets
25.4363414964
Deferred Taxes,Current Assets
25.4363414964
Hedging Assets, Current
7.7120822622
Total Non-Current Assets
8482.20809092
Net Property,Plant,and Equipm...
6953.9981058
Gross Property,Plant,and Equi...
10498.714653
Land and Improvements
135.029089433
Machinery,Furniture/Equipment
10363.6855635
Accumulated Depreciation
-3544.71654715
Goodwill and Other Intangible...
1383.84521716
Goodwill
1233.52726289
Other Intangible Assets
150.317954269
Accounts Receivable,Non-Curre...
68.1910431606
Deferred Non-Current Assets
51.6844811257
Deferred Taxes,Non-Current As...
51.6844811257
Other Non-Current Assets
24.4892436747
Total Liabilities
6327.28994723
Current Liabilities
2279.12325802
Payables and Accrued Expenses
1982.95223921
Payables
1982.95223921
Accounts Payable
712.894060344
Other Payable
1270.05817887
Provisions,Current
13.9358679475
Pension and Other Post-Retire...
75.2266269788
Current Debt and Capital Leas...
123.393316195
Current Debt
116.493032066
Notes Payable,Current
47.6254904614
Other Current Borrowings
68.8675416047
Current Portion of Capital Le...
6.9002841293
Deferred Liabilities,Current
83.615207685
Deferred Taxes,Current Liabil...
83.615207685
Total Non-Current Liabilities
4048.16668922
Provisions,Long Term
12.176971993
Long Term Debt and Capital Le...
3243.26884048
Long Term Debt
3221.21499121
Long Term Portion of Capital ...
22.0538492761
Deferred Liabilities, Non cur...
745.365985658
Deferred Taxes,Non-Current Li...
745.365985658
Employee Benefits
45.054796374
Pension and Other Postretirem...
45.054796374
Other Non-Current Liabilities
2.3000947098
Total Equity
4278.17616019
Stockholder's Equity
4278.17616019
Capital Stock
8413.61114869
Common Stock
8413.61114869
Retained Earnings
5681.63983223
Accumulated Gains/ Losses Not...
-9817.07482073
Foreign Currency Translation ...
-453.93045596
Other Equity Adjustments
-9363.14436477
Total Capitalization
7499.3911514
Common Stock Equity
4278.17616019
Capital Lease Obligations
28.9541334054
Net Tangible Assets
2894.33094304
Working Capital
-155.86524151
Invested Capital
7615.88418347
Tangible Book Value
2894.33094304
Total Debt
3366.66215668
NetDebt
3093.89798403
Ordinary Shares Number
1591.901323
TotalLiabilitiesAsReported
6327.28994723
TotalEquityAsReported
4278.17616019

BXB Cash Flow 30 Giugno 2018 (AUD)

Classes of Cash Receipts from...
8905.96671628
Receipts from Customers
8905.96671628
Classes of Cash Payments
-6558.24651603
Payments to Suppliers for Goo...
-6558.24651603
Interest Paid, Direct
-155.86524151
Interest Received, Direct
20.1596536328
Taxes Refund/Paid, Direct
-286.70004059
Cash Flow from Investing Acti...
-1042.07820322
Cash Flow from Continuing Inv...
-1042.07820322
Purchase/Sale of Property,Pla...
-1351.50859153
Purchase of Property,Plant an...
-1540.11635773
Sale of Property,Plant,and Eq...
188.607766202
Purchase/Sale of Intangibles,...
-26.5187390069
Purchase of Intangibles
-26.5187390069
Purchase/Sale of Business,Net
132.999594101
Purchase/Acquisition of Busin...
-5.2766878636
Sale of Business
138.276281965
Other Investing Changes,Net
202.949533216
Cash Flow from Financing Acti...
-766.202137735
Cash Flow from Continuing Fin...
-766.202137735
Issuance/Payments of Debt,Net
-325.936950345
Issuance/Payments of Long Ter...
-325.936950345
Proceeds or Issuance of Long ...
3769.58462996
Payments to Settle Long Term ...
-4095.5215803
Cash Dividends Paid
-476.254904614
Common Stock Dividends Paid
-476.254904614
Other Financing Changes, Net
35.9897172237
Cash and Cash Equivalents,End...
231.768366933
Change in Cash
117.034230821
Effect of Exchange Rate Chang...
-37.7486131782
Cash and Cash Equivalents,Beg...
152.48274929
Income Tax Paid, Supplemental...
286.70004059
Interest Paid, Supplemental D...
155.86524151
Capital Expenditure
-1566.63509674
Issuance of Debt
3769.58462996
Repayment of Debt
-4095.5215803
Free Cash Flow
358.679475037
ChangeinCashSupplementalAsRep...
117.034230821
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