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Objective Corporation Ltd (OCL)
HALTED
SUSPENDED
___
:
___
·
Technology
0.00
0.00
(
0.00
)
VOLUME
DIV YIELD
PE RATIO
1 YR RETURN
52 WEEK RANGE
1 YR RETURN
Key Information
MARKET CAPITALISATION
-
SHARES ISSUED
-
SECTOR RANK
14 of 234
ASX RANK
251 of 2,408
Overview
Financials (10-yr)
Print Financials
06/2021
06/2020
06/2019
06/2018
06/2017
06/2016
06/2015
06/2014
06/2013
06/2012
Profitability
NPAT ($M)
16.09
11.03
NPAT Margin
16.95%
15.83%
Abnormals ($M)
-
-
NPAT before Abnormals ($M)
16.09
11.03
Return on Equity (ROE)
34.26%
31.19%
Return on Assets (ROA)
14.13%
11.50%
Valuation
PE Ratio
103.99
63.62
PE Relative to Market
633.8%
238.3%
Price to Book
34.98
19.49
Price to Cash Flow
84.84
52.63
Shares Outstanding (M)
94.01
93.33
Market Cap ($M)
$1,642.36
$688.76
Enterprise Value ($M)
$1,605.50
$650.46
Performance
Total Shareholder Return
138.0%
167.3%
Relative to Market
107.8%
174.6%
Per Share
Earnings (EPS Adjusted)
16.80
11.60
Earnings (with Abnormals)
16.80
11.60
Cash Flow
25.80
30.70
Cash
0.51
0.55
Net Tangible Assets
0.12
0.19
Book Value
0.50
0.38
Share Price
$17.47
$7.38
Liquidity
Quick Ratio
1.09
1.24
Current Ratio
1.09
1.24
Efficiency
Asset Turnover
0.81
0.70
Inventory Turnover
-
-
Working Capital Turnover
(2.39)
(1.94)
Dividends
DPS (c)
9.00
7.00
Dividend yield
-
-
Franking
100%
100%
Gross DPS (c)
12.86
10.00
Gross Dividend Yield
-
1.36%
Payout Ratio
54%
60%
Member Content
Source:
Print Financials
06/2021
AUD $M
06/2020
AUD $M
06/2019
AUD $M
06/2018
AUD $M
06/2017
AUD $M
06/2016
AUD $M
06/2015
AUD $M
06/2014
AUD $M
06/2013
AUD $M
06/2012
AUD $M
INCOME
Trading Revenue
94.92
69.63
Other Income
0.05
0.01
Total Income Excl. Interest
94.96
69.64
INTEREST/FINANCE INCOME
Forex Gain/Loss
-
-
Total Income
94.96
69.64
EXPENSES
Expenses
(69.4)
(52.45)
EBITDA
25.57
17.19
DEPRECIATION AND AMORTISATION
Depreciation
(4.32)
(3.22)
Amortisation
(0.55)
(0.29)
Depreciation & Amortisation
(4.87)
(3.51)
EBIT
20.7
13.68
INTEREST/FINANCE EXPENSES
Interest/Finance Income
0.09
0.4
Interest Expense
(0.56)
(0.49)
Interest Capitalised
-
-
Interest Expenses Incl. Capital
(0.56)
(0.49)
Net Interest Expenses
(0.47)
(0.09)
Pre-Tax Profit
20.23
13.59
Net Capital Profits
-
-
Pre-Tax Profit Pre-Cap
20.23
13.59
TAX
Tax Expenses
(4.14)
(2.57)
NPAT before Abnormals
16.09
11.03
ABNORMALS
Abnormals
-
-
Abnormals Tax
-
-
Net Abnormals
-
-
Non-Controlling Interests
-
-
Reported NPAT after Abnormals
16.09
11.03
NPAT before Capital
16.09
11.03
EQUITY
Diluted Shares
94.01
93.33
Diluted Weighted Shares
95.75
95.04
Ordinary Dividends
-
-
Preference Dividends
-
-
EPS Adjusted
0.17
0.12
EPS after Abnormals
0.17
0.12
Share of net Profit/Loss
(0.01)
-
Member Content
Source:
Print Financials
06/2021
AUD $M
06/2020
AUD $M
06/2019
AUD $M
06/2018
AUD $M
06/2017
AUD $M
06/2016
AUD $M
06/2015
AUD $M
06/2014
AUD $M
06/2013
AUD $M
06/2012
AUD $M
Current Assets
Cash
48.36
51.05
Receivables
12.97
10.68
Prepayments
1.7
1.81
Inventories
-
-
Investments
-
-
Other
2.74
1.35
Total Current Assets
65.78
64.89
Non-current assets
Receivables
0.09
0.53
Inventories
-
-
PP&E
13.07
14.17
Investments
-
-
Intangibles Excl. Goodwill
2.83
1.61
Goodwill
32.72
15.87
Future Income Tax Benefit
2.17
1.78
Other
-
0.01
Total Non-Current Assets
50.87
33.96
Total Assets
116.65
98.85
Current Liabilities
Accounts Payable
11.2
8.49
Provisions
5.44
4.47
Short Term Debt
3.01
2.49
Other
40.57
36.71
Total Current Liabilities
60.21
52.16
Non-current liabilities
Accounts Payable
-
-
Long Term Debt
8.49
10.25
Provisions
0.65
0.36
Other
0.36
0.73
Total Non-Current Liabilities
9.49
11.34
Total Liabilities
69.7
63.51
Shareholder Equity
Share Capital
6.94
5.45
Convertible Equity
-
-
Other Equity
-
-
Reserves ex. Share Premium
(10.37)
(10.95)
Share Premium Reserves
-
-
Retained Profits
50.38
40.85
Total Available Equity Assets
46.95
-
External Equity
Non-controlling Interests
-
-
Net Assets
46.95
35.34
Total Debt
11.5
12.75
Member Content
Source:
Print Financials
06/2021
AUD $M
06/2020
AUD $M
06/2019
AUD $M
06/2018
AUD $M
06/2017
AUD $M
06/2016
AUD $M
06/2015
AUD $M
06/2014
AUD $M
06/2013
AUD $M
06/2012
AUD $M
OPERATING ACTIVITIES
Receipts
106.49
90.04
Payments
(77.7)
(58.54)
Dividends Received
-
-
Interest Received
0.09
0.5
Interest Paid
(0.52)
(0.49)
Taxes Paid
(3.67)
(2.36)
Other
-
-
Net Operating Cash Flow
24.7
29.15
INVESTMENT ACTIVITIES
Capital Expend. Excl. Investments
(1.12)
(1.23)
Payments for Investment
-
-
Payments for Subsidiaries
(18.73)
(3.58)
Proceeds from PP&E
0.05
0.02
Proceeds from Investments
-
-
Proceeds from Subsidiaries
-
-
Loans Granted
-
-
Loans Repaid
0.44
0.09
Other Investments
-
-
Net Investment Cash Flow
(19.35)
(4.7)
Operating CF less Investment CF
5.34
24.46
FINANCING ACTIVITIES
Proceeds from Issues
1.5
0.43
Proceeds from Borrowings
-
-
Repayment of Borrowings
-
-
Dividends Paid
(6.57)
(5.58)
Other Financing Activities
(2.93)
(2.51)
Net Financing Cash Flow
(8)
(7.67)
Total Net Cashflow
(2.65)
16.79
CASH
Cash and Cash Equiv. Period Open
51.05
34.56
Exchange Rate Adjustments
(0.04)
(0.3)
Other Cash Adjustments
-
-
Cash and Cash Equiv. Period Close
48.36
51.05
Member Content
Source:
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