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Woodside Energy Group Ltd

WDS

15.880USD

+0.095+0.60%
Market hours ETQuotes delayed by 15 min
30.15BMarket Cap
--P/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2024H2
FY2024H1
FY2023H2
FY2023H1
FY2022H2
FY2022H1
FY2021H2
FY2021H1
FY2020H2
FY2020H1
FY2019H2
FY2019H1
FY2018H2
FY2018H1
FY2017H2
FY2017H1
FY2016H2
FY2016H1
FY2015H2
FY2015H1
FY2014H2
FY2014H1
FY2013H2
FY2013H1
FY2012H2
FY2012H1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
9.04%3.48B
-19.84%2.35B
-49.49%3.20B
18.40%2.93B
160.30%6.33B
94.42%2.47B
248.28%2.43B
19.44%1.27B
-60.70%698.00M
-26.04%1.06B
1.14%1.78B
-6.49%1.44B
50.73%1.76B
24.70%1.54B
-20.37%1.17B
2.83%1.24B
5.10%1.46B
10.90%1.20B
-49.51%1.39B
-46.60%1.08B
50.16%2.76B
86.23%2.03B
-7.27%1.84B
-27.16%1.09B
--1.98B
--1.50B
Net income from continuing operations
3904.55%1.67B
11.66%1.97B
-100.90%-44.00M
5.18%1.77B
189.02%4.90B
390.94%1.68B
2588.89%1.69B
108.47%342.00M
243.18%63.00M
-1047.89%-4.04B
-105.03%-44.00M
-28.16%426.00M
43.51%874.00M
6.65%593.00M
5.00%609.00M
41.48%556.00M
196.51%580.00M
-44.96%393.00M
-143.96%-601.00M
-37.86%714.00M
49.73%1.37B
27.52%1.15B
-59.02%913.00M
10.42%901.00M
--2.23B
--816.00M
Operating gains losses
-30.46%2.75B
-4.20%2.01B
273.84%3.96B
112.03%2.10B
554.51%1.06B
13.03%989.00M
-126.57%-233.00M
-85.92%875.00M
-47.70%877.00M
714.68%6.22B
108.32%1.68B
4.38%763.00M
30.47%805.00M
24.53%731.00M
-7.77%617.00M
-13.29%587.00M
-65.87%669.00M
2.27%677.00M
66.67%1.96B
-8.06%662.00M
30.81%1.18B
-4.51%720.00M
5.39%899.00M
44.72%754.00M
--853.00M
--521.00M
Other non-cash items
-4911.11%-451.00M
-2270.59%-403.00M
98.54%-9.00M
93.97%-17.00M
-703.92%-616.00M
-2720.00%-282.00M
158.29%102.00M
-103.28%-10.00M
-629.17%-175.00M
722.45%305.00M
75.76%-24.00M
-916.67%-49.00M
-1337.50%-99.00M
150.00%6.00M
117.02%8.00M
-117.39%-12.00M
-370.00%-47.00M
115.63%69.00M
56.52%-10.00M
128.57%32.00M
-264.29%-23.00M
-50.00%14.00M
-91.19%14.00M
55.56%28.00M
--159.00M
--18.00M
Change in working capital
61.49%-290.00M
75.00%-39.00M
-572.32%-753.00M
80.20%-156.00M
-13.13%-112.00M
-597.35%-788.00M
-441.38%-99.00M
---113.00M
117.68%29.00M
-100.00%0.00
-80.22%-164.00M
446.51%235.00M
56.67%-91.00M
-50.00%43.00M
-1850.00%-210.00M
577.78%86.00M
-91.11%12.00M
-325.00%-18.00M
2.27%135.00M
108.70%8.00M
280.82%132.00M
-91.67%-92.00M
55.21%-73.00M
-154.55%-48.00M
---163.00M
--88.00M
-Change in receivables
-8.66%-414.00M
-76.84%113.00M
-449.54%-381.00M
362.37%488.00M
2080.00%109.00M
-322.73%-186.00M
111.90%5.00M
-153.01%-44.00M
51.72%-42.00M
-59.51%83.00M
29.27%-87.00M
659.26%205.00M
-119.64%-123.00M
-58.46%27.00M
8.20%-56.00M
-20.73%65.00M
29.07%-61.00M
41.38%82.00M
-258.33%-86.00M
1.75%58.00M
-4.35%-24.00M
-54.03%57.00M
28.13%-23.00M
125.45%124.00M
---32.00M
--55.00M
-Change in inventory
-87.80%5.00M
-130.56%-166.00M
138.32%41.00M
-84.62%-72.00M
-496.30%-107.00M
-25.81%-39.00M
-30.77%27.00M
-358.33%-31.00M
256.00%39.00M
200.00%12.00M
-350.00%-25.00M
-66.67%4.00M
155.56%10.00M
271.43%12.00M
-154.55%-18.00M
-158.33%-7.00M
83.33%33.00M
-75.51%12.00M
-64.71%18.00M
142.24%49.00M
321.74%51.00M
-263.38%-116.00M
65.67%-23.00M
144.83%71.00M
---67.00M
--29.00M
-Change in other current assets
----
----
----
----
100.00%0.00
100.00%0.00
---14.00M
---2.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-Change in other current liabilities
750.00%34.00M
73.73%-31.00M
-97.60%4.00M
-76.12%-118.00M
2883.33%167.00M
28.72%-67.00M
-102.73%-6.00M
-276.00%-94.00M
600.00%220.00M
-132.47%-25.00M
-266.67%-44.00M
3950.00%77.00M
88.24%-12.00M
-107.41%-2.00M
-828.57%-102.00M
1250.00%27.00M
-86.92%14.00M
107.14%2.00M
1437.50%107.00M
-180.00%-28.00M
78.38%-8.00M
87.65%-10.00M
69.67%-37.00M
-244.64%-81.00M
---122.00M
--56.00M
Cash from non-recurring investing activities
Cash from operating activities
9.04%3.48B
-19.84%2.35B
-49.49%3.20B
18.40%2.93B
160.30%6.33B
94.42%2.47B
248.28%2.43B
19.44%1.27B
-60.70%698.00M
-26.04%1.06B
1.14%1.78B
-6.49%1.44B
50.73%1.76B
24.70%1.54B
-20.37%1.17B
2.83%1.24B
5.10%1.46B
10.90%1.20B
-49.51%1.39B
-46.60%1.08B
50.16%2.76B
86.23%2.03B
-7.27%1.84B
-27.16%1.09B
--1.98B
--1.50B
Investing cash flow
Net cash from continuing investing activities
-66.57%942.00M
-38.96%1.50B
33.05%2.82B
176.98%2.45B
35.25%2.12B
6.62%886.00M
148.57%1.57B
5.46%831.00M
3.79%630.00M
32.66%788.00M
6.49%607.00M
-14.29%594.00M
-18.69%570.00M
0.58%693.00M
6.21%701.00M
-28.38%689.00M
-42.56%660.00M
43.58%962.00M
177.54%1.15B
230.05%670.00M
55.06%414.00M
-47.00%203.00M
118.03%267.00M
-71.14%383.00M
---1.48B
--1.33B
Capital expenditures
-12.35%2.48B
-1.59%2.42B
32.55%2.83B
146.19%2.46B
35.75%2.14B
20.10%998.00M
150.00%1.57B
5.46%831.00M
2.77%630.00M
31.33%788.00M
-4.37%613.00M
-13.42%600.00M
-8.56%641.00M
0.58%693.00M
6.21%701.00M
-28.38%689.00M
-42.56%660.00M
43.58%962.00M
175.54%1.15B
139.29%670.00M
38.08%417.00M
-31.37%280.00M
-48.38%302.00M
-69.30%408.00M
--585.00M
--1.33B
Net cash flow from disposal of fixed assets
-66.57%942.00M
-38.96%1.50B
33.05%2.82B
176.98%2.45B
35.25%2.12B
6.62%886.00M
148.57%1.57B
5.46%831.00M
3.79%630.00M
32.66%788.00M
6.49%607.00M
-14.29%594.00M
-18.69%570.00M
0.58%693.00M
6.21%701.00M
-28.38%689.00M
-42.56%660.00M
43.58%962.00M
177.54%1.15B
230.05%670.00M
55.06%414.00M
-47.00%203.00M
118.03%267.00M
-71.14%383.00M
---1.48B
--1.33B
Net cash flow from business transactions
---2.94B
----
--0.00
-100.00%0.00
100.00%0.00
--1.08B
59.77%-212.00M
----
---527.00M
----
--0.00
100.00%0.00
--0.00
---444.00M
100.00%0.00
--0.00
---698.00M
----
--0.00
---3.64B
----
----
----
----
----
----
Net cash flow from investment products
--0.00
100.00%0.00
100.00%0.00
---2.00M
---8.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
-100.00%0.00
----
--7.00M
----
Net cash flow from other investing activities
-64.62%-214.00M
14.36%-155.00M
29.35%-130.00M
-19.87%-181.00M
-17.95%-184.00M
14.20%-151.00M
-39.29%-156.00M
-220.00%-176.00M
-646.67%-112.00M
-150.00%-55.00M
40.00%-15.00M
45.00%-22.00M
67.53%-25.00M
60.40%-40.00M
49.67%-77.00M
-36.49%-101.00M
-54.55%-153.00M
---74.00M
---99.00M
----
----
----
---4.00M
----
----
----
Cash from non-current investing activities
Net cash flow from investing activities
-38.87%-4.09B
37.32%-1.65B
-27.62%-2.95B
-5960.00%-2.64B
-19.44%-2.31B
104.47%45.00M
-52.40%-1.93B
-19.45%-1.01B
-104.02%-1.27B
-36.85%-843.00M
-4.54%-622.00M
47.66%-616.00M
23.52%-595.00M
-48.99%-1.18B
48.51%-778.00M
23.75%-790.00M
-21.07%-1.51B
75.95%-1.04B
-201.45%-1.25B
-2021.67%-4.31B
-52.77%-414.00M
47.00%-203.00M
-118.21%-271.00M
71.14%-383.00M
--1.49B
---1.33B
Financing cash flow
Cash flow from continuous financing activities
229.53%2.57B
84.99%-450.00M
18.68%-1.98B
-226.58%-3.00B
-500.00%-2.44B
1.18%-918.00M
-41.46%-406.00M
-646.47%-929.00M
-112.59%-287.00M
-68.58%170.00M
78.05%-135.00M
18.64%541.00M
-65.77%-615.00M
205.07%456.00M
-653.73%-371.00M
-2184.21%-434.00M
138.73%67.00M
-116.52%-19.00M
90.24%-173.00M
108.54%115.00M
-55.12%-1.77B
-1.43%-1.35B
30.77%-1.14B
-432.58%-1.33B
---1.65B
--399.00M
Net cash flow from debt Issuance/repayment
1046.99%3.93B
452.63%737.00M
-4.27%-415.00M
-57.14%-209.00M
-161.84%-398.00M
83.10%-133.00M
-92.41%-152.00M
-249.90%-787.00M
-160.31%-79.00M
-63.64%525.00M
419.51%131.00M
250.10%1.44B
-241.38%-41.00M
-1758.62%-962.00M
-93.80%29.00M
-25.64%58.00M
-5.07%468.00M
-94.32%78.00M
166.44%493.00M
410.86%1.37B
-154.98%-742.00M
-51.37%-442.00M
74.04%-291.00M
-183.67%-292.00M
---1.12B
--349.00M
Net cash flow from common stock issuance/repurchase
----
----
----
----
---5.00M
----
----
----
--23.00M
----
--0.00
-100.00%0.00
--0.00
--1.95B
--0.00
-100.00%0.00
--0.00
--277.00M
----
----
----
----
--0.00
-100.00%0.00
--0.00
--320.00M
Cash dividend payments
-13.53%1.31B
-58.40%1.14B
-17.71%1.51B
281.87%2.74B
815.92%1.84B
714.77%717.00M
18.93%201.00M
-69.12%88.00M
-19.52%169.00M
-66.55%285.00M
-57.66%210.00M
106.30%852.00M
20.10%496.00M
0.00%413.00M
44.41%413.00M
50.73%413.00M
-47.52%286.00M
-76.88%274.00M
-39.91%545.00M
40.07%1.19B
27.57%907.00M
-18.42%846.00M
31.18%711.00M
219.08%1.04B
--542.00M
--325.00M
Net cash flow from other financing activities
50.00%-2.00M
----
97.12%-4.00M
100.00%0.00
-1444.44%-139.00M
-283.33%-23.00M
-12.50%-9.00M
53.85%-6.00M
38.46%-8.00M
23.53%-13.00M
-116.67%-13.00M
58.54%-17.00M
60.00%-6.00M
---41.00M
16.67%-15.00M
100.00%0.00
45.45%-18.00M
---4.00M
---33.00M
----
----
----
----
----
----
----
Net cash from non-recurrent financing activities
Net cash from financing activities
229.53%2.57B
84.99%-450.00M
18.68%-1.98B
-226.58%-3.00B
-500.00%-2.44B
1.18%-918.00M
-41.46%-406.00M
-646.47%-929.00M
-112.59%-287.00M
-68.58%170.00M
78.05%-135.00M
18.64%541.00M
-65.77%-615.00M
205.07%456.00M
-653.73%-371.00M
-2184.21%-434.00M
138.73%67.00M
-116.52%-19.00M
90.24%-173.00M
108.54%115.00M
-55.12%-1.77B
-1.43%-1.35B
30.77%-1.14B
-432.58%-1.33B
---1.65B
--399.00M
Net cash flow
Beginning cash balance
-42.95%1.98B
-71.94%1.74B
-24.83%3.47B
104.99%6.20B
57.08%4.62B
-16.07%3.02B
-34.01%2.94B
-11.19%3.60B
46.59%4.45B
142.41%4.06B
--3.04B
426.42%1.67B
-100.00%0.00
11.58%318.00M
11.15%299.00M
133.61%285.00M
73.55%269.00M
-96.27%122.00M
-94.27%155.00M
47.01%3.27B
49.75%2.70B
-8.22%2.22B
195.42%1.80B
5807.32%2.42B
--611.00M
--41.00M
Current period cash flow changes
212.43%1.94B
108.75%239.00M
-209.02%-1.73B
-271.82%-2.73B
1722.99%1.59B
338.74%1.59B
110.26%87.00M
-269.04%-666.00M
-183.06%-848.00M
-71.09%394.00M
88.72%1.02B
67.24%1.36B
2747.37%541.00M
5721.43%815.00M
18.75%19.00M
-90.48%14.00M
148.48%16.00M
104.72%147.00M
-105.84%-33.00M
-748.54%-3.11B
35.17%565.00M
177.80%480.00M
-76.92%418.00M
-208.25%-617.00M
--1.81B
--570.00M
Effect of exchange rate changes
-425.00%-13.00M
80.00%-5.00M
0.00%4.00M
-150.00%-25.00M
200.00%4.00M
-400.00%-10.00M
-140.00%-4.00M
-200.00%-2.00M
400.00%10.00M
200.00%2.00M
140.00%2.00M
50.00%-2.00M
-266.67%-5.00M
-233.33%-4.00M
200.00%3.00M
200.00%3.00M
25.00%-3.00M
125.00%1.00M
20.00%-4.00M
-500.00%-4.00M
-25.00%-5.00M
-75.00%1.00M
33.33%-4.00M
33.33%4.00M
---6.00M
--3.00M
Ending cash balance
125.46%3.92B
-42.95%1.98B
-71.94%1.74B
-24.83%3.47B
104.99%6.20B
57.08%4.62B
-16.07%3.02B
-34.01%2.94B
-11.19%3.60B
46.59%4.45B
650.09%4.06B
168.05%3.04B
70.13%541.00M
278.93%1.13B
11.58%318.00M
11.15%299.00M
133.61%285.00M
73.55%269.00M
-96.27%122.00M
-94.27%155.00M
47.01%3.27B
49.75%2.70B
-8.22%2.22B
195.42%1.80B
--2.42B
--611.00M
Free cash flow
176.52%1.00B
-115.07%-71.00M
-91.36%362.00M
-68.07%471.00M
389.49%4.19B
234.47%1.48B
1158.82%856.00M
59.21%441.00M
-94.15%68.00M
-67.02%277.00M
4.30%1.16B
-0.83%840.00M
140.30%1.11B
55.13%847.00M
-42.22%464.00M
128.45%546.00M
230.45%803.00M
-42.13%239.00M
-89.62%243.00M
-76.37%413.00M
52.54%2.34B
156.68%1.75B
9.96%1.53B
310.24%681.00M
--1.40B
--166.00M
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Audit opinions
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