WLE.ASX
Wam Leaders Ltd
https://www.marketindex.com.au/asx/wle/financials
Annual Financial Summary
Print Financials
06/2023
06/2022
06/2021
06/2020
06/2019
06/2018
06/2017
04/2016
N/A
N/A
Profitability
NPAT ($)
130,082,684
65,760,443
-
-
NPAT Margin
--
--
-
-
Abnormals ($)
-
-
-
-
NPAT before Abnormals ($)
130,082,684
65,760,443
-
-
Return on Equity (ROE)
7.32%
4.62%
-
-
Return on Assets (ROA)
7.09%
4.15%
-
-
Valuation
PE Ratio
12.43
22.39
-
-
PE Relative to Market
84.8%
138.7%
-
-
Price to Book
1.03
1.06
-
-
Price to Cash Flow
15.64
31.52
-
-
Shares Outstanding (M)
1,257.33
1,034.04
-
-
Market Cap ($M)
$1,829.42
$1,509.71
-
-
Enterprise Value ($M)
$1,770.08
$1,469.81
-
-
Performance
Total Shareholder Return
5.5%
-2.2%
-
-
Relative to Market
-9.2%
5.2%
-
-
Per Share
Earnings (EPS Adjusted)
11.71
6.52
-
-
Earnings (with Abnormals)
11.71
6.52
-
-
Cash Flow
(10.30)
(19.10)
-
-
Cash
0.05
0.04
-
-
Net Tangible Assets
1.41
1.38
-
-
Book Value
1.41
1.38
-
-
Share Price
$1.46
$1.46
-
-
Liquidity
Quick Ratio
32.62
9.83
-
-
Current Ratio
32.62
9.83
-
-
Efficiency
Asset Turnover
0.00
0.00
-
-
Inventory Turnover
-
-
-
-
Working Capital Turnover
0.00
0.00
-
-
Dividends
DPS (c)
9.00
8.00
-
-
Dividend yield
6.19%
5.48%
-
-
Franking
100%
100%
-
-
Gross DPS (c)
12.86
11.43
-
-
Gross Dividend Yield
8.84%
7.83%
-
-
Payout Ratio
77%
123%
-
-
Member Content
Source:
Annual Financial Income Statement
Print Financials
06/2023
06/2022
06/2021
06/2020
06/2019
06/2018
06/2017
04/2016
N/A
N/A
Revenue from Operations
Investment Income
194,666,912
134,854,992
-
-
Other Income
785,795
2,890
-
-
Expenses
(26,463,961)
(66,283,634)
-
-
Profit / Loss before income tax
168,988,746
68,574,248
-
-
Tax Expense
(38,906,062)
(2,813,805)
-
-
NPAT before Abnormals
130,082,684
65,760,443
-
-
Abnormals
-
-
-
-
Abnormals Tax
-
-
-
-
Net Abnormals
-
-
-
-
Outside Equity
-
-
-
-
Preference Dividends
-
-
-
-
Reported NPAT after Abnormals
130,082,684
65,760,443
-
-
EQUITY
Share End
1,257,331,124
1,034,044,884
-
-
Share Weighted
1,110,620,188
1,008,478,036
-
-
Ordinary Dividends
(113,047,021)
(82,639,031)
-
-
EPS Adjusted
117,100
65,200
-
-
EPS after Abs
117,126
65,208
-
-
Equity Profit / Loss
-
-
-
-
Member Content
Source:
Annual Financial Balance Sheet
Print Financials
06/2023
06/2022
06/2021
06/2020
06/2019
06/2018
06/2017
04/2016
N/A
N/A
CURRENT ASSETS
Cash and Cash Equivalents
59.33
39.9
-
-
Receivables
61.75
82.42
-
-
Investments
1,709.02
1,449.58
-
-
Other Current Assets
-
-
-
-
Total Current Assets
1,830.1
1,571.9
-
-
NON-CURRENT ASSETS
Investments
-
-
-
-
Property
-
-
-
-
Other Non-Current Assets
3.34
10.96
-
-
Total Non-Current Assets
3.34
10.96
-
-
TOTAL ASSETS
1,833.44
1,582.86
-
-
CURRENT LIABILITIES
Creditors
30.76
129.21
-
-
Provisions
25.34
30.73
-
-
Other Liabilities
-
-
-
-
TOTAL CURRENT LIABILITIES
56.1
159.93
-
-
NON-CURRENT LIABILITIES
Borrowings
-
-
-
-
Deferred Tax
-
-
-
-
Other Non-Current Liabilities
-
-
-
-
TOTAL NON-CURRENT LIABILITIES
-
-
-
-
TOTAL LIABILITIES
56.1
159.93
-
-
NET ASSETS
1,889.54
1,742.79
-
-
Total Equity Attr. to Holders
1,777.34
1,422.92
-
-
Outside Equity
-
-
-
-
TOTAL EQUITY
1,777.34
1,422.92
-
-
Member Content
Source:
Annual Financial Cash Flow
Print Financials
06/2023
06/2022
06/2021
06/2020
06/2019
06/2018
06/2017
04/2016
N/A
N/A
CASH FLOWS FROM OPERATING ACTIVITIES
Receipts
9,312.36
7,037.52
-
-
Payments
(9,391.56)
(7,233.81)
-
-
Funds from Operations
-
-
-
-
Dividends Received
67.17
78.24
-
-
Interest Received
1.87
0.16
-
-
Interest Paid
-
-
-
-
Tax Paid
(35.76)
(39.05)
-
-
Other Operating Cash
(68.37)
(36.18)
-
-
NET CASH FROM OPERATING ACTIVITIES
(114.28)
(193.12)
-
-
CASH FLOWS FROM INVESTING ACTIVITIES
Receipts
-
-
-
-
Payments
-
-
-
-
PP&E
-
-
-
-
Proceeds PP&E
-
-
-
-
Purchase Subsidiary
-
-
-
-
Proceeds Subsidiary
-
-
-
-
Loans Granted
-
-
-
-
Loans Repaid
-
-
-
-
Other Investing Cash
-
-
-
-
NET CASH FROM INVESTING ACTIVITIES
-
-
-
-
CASH FLOWS FROM FINANCING ACTIVITIES
Proceeds from Issue
230.08
277.21
-
-
Proceeds from Borrowings
-
-
-
-
Borrowings
-
-
-
-
Dividends Paid
(93.29)
(71.28)
-
-
Other Financing Cash
(3.07)
(1.24)
-
-
NET CASH FROM FINANCING ACTIVITIES
133.72
204.69
-
-
NET CHANGE IN CASH
19.43
11.57
-
-
CASH AT START
39.9
28.33
-
-
Exchange Rate Adjustment
-
-
-
-
Other Cash Adjustment
-
-
-
-
CASH AT END
59.33
39.9
-
-
Member Content
Source: