Trade

with

Woodside Petroleum Ltd
(PINX: WOPEY)
AdChoices
35.42
+0.15
+0.41%
After Hours :
35.42
0.00
0.00%

Open

35.32

Previous Close

35.28

Volume (Avg)

12.36k (9.86k)

Day's Range

35.26-35.42

52Wk Range

32.23-40.86

Market Cap.

29.06B

Dividend Rate (Yield )

2.10 (6.05%)

Beta

-

Shares Outstanding

-

P/E Ratio (EPS)

14.90 (-)

AdChoices
Fundamentals
  • Key statistics
  • Growth
  • Profitability
  • Financial health
  • Price ratios
  • Trading statistics
Industry Oil & Gas E&P
Highlights
Analyst Recommendation: Not Available
    • Revenue

    • 5.82B

    • Net Income

    • 1.72B

    • Market Cap.

    • 29.06B

    • Enterprise Value

    • -

    • Net Profit Margin %

    • 30.37

    • PEG (Price/Earnings Growth) Ratio

    • 1.01

    • Beta

    • -

    • Forward P/E

    • -

    • Price/Sales

    • -

    • Price/Book Value

    • -

    • Price/Cash flow

    • 7.81

      • EBITDA

      • 3.74B

      • Return on Capital %

      • 8.67

      • Return on Equity %

      • 13.84

      • Return on Assets %

      • 8.67

      • Book Value/Share

      • -

      • Shares Outstanding

      • -

      • Last Split Factor (Date)

      • -

      • Last Dividend (Ex-Date)

      • -

      • Dividend Declaration Date

      • -

      Analyst Recommendation
      -
      Not Available
        • 1 Year Price Target

        • -

        • Credit Rating

        • -

        • Analysts

        • 0

        • EPS Estimate

        • -

        • Cashflow Estimate

        • -

        Morningstar Consensus estimate data
        • Growth Rate (%)

        • Company

          • Sales (Revenue)

            Q/Q (last year)

          • -

          • Net Income

            YTD/YTD (last year)

          • -32.00

          • Net Income

            Q/Q (last year)

          • -

          • Sales (Revenue)

            5-Year Annual Average

          • 2.01

          • Net Income

            5-Year Annual Average

          • 1.80

          • Dividends

            5-Year Annual Average

          • 5.53

          • Profit Margins (%)

          • Company

            • Gross Margin

            • 81.64

            • Pre-Tax Margin

            • 46.05

            • Net Profit Margin

            • 30.37

            • Average Gross Margin

              5-Year Annual Average

            • 79.50

            • Average Pre-Tax Margin

              5-Year Annual Average

            • 52.80

            • Average Net Profit Margin

              5-Year Annual Average

            • 37.60

            • Financial Ratios

            • Company

              • Debt/Equity Ratio

              • 0.16

              • Current Ratio

              • 1.85

              • Quick Ratio

              • 1.68

              • Interest Coverage

              • 16.42

              • Leverage Ratio

              • 1.54

              • Book Value/Share

              • 17.48

              • Price Ratios

              • Company

                • Current P/E Ratio

                • 15.24

                • P/E Ratio 5-Year High

                • 22.42

                • P/E Ratio 5-Year Low

                • 12.54

                • Price/Sales Ratio

                • 4.63

                • Price/Book Value

                • 2.03

                • Price/Cash Flow Ratio

                • 7.81

                • Key Metrics

                • Company

                  • Return on Equity %

                    (5-Year Average)

                  • 13.84

                    (16.60)

                  • Return on Assets %

                    (5-Year Average)

                  • 8.67

                    (9.10)

                  • Return on Capital %

                    (5-Year Average)

                  • 11.67

                    (12.10)

                  • Income/Employee

                  • 561.20k

                  • Inventory Turnover

                  • 5.92

                  • Asset Turnover

                  • 0.29

                  Current Historical
                  Financials
                  • Income Statement
                  • Balance Sheet
                  • Cash Flow
                  Operating Income
                  2.41B
                  Operating Margin
                  41.33
                  Total Equity
                  -
                  Retained Earnings
                  -
                  Free Cashflow
                  -
                  Price/Cashflow
                  7.81
                  Ownership

                  Institutional Ownership

                  0.04%

                  Top 10 Institutions

                  0.03%

                  Mutual Fund Ownership

                  0.01%

                  Float

                  -

                  5% / Insider Ownership

                  -

                  Corporate insiders or major stockholders reporting trading activity in the stock.

                  Top Mutual Fund Owners

                  Top Institutional Owners

                  Mutual Fund Name

                  Institution Name

                  • Mutual Fund Name

                  • Shares Held

                  • % Change

                  • % Outstanding

                  • Comerica Foreign Equity CIT - Inst Class

                  •  

                    30,005

                  • 13.15

                  • 0.00

                  • BNY Mellon Intl Appreciation Fund

                  •  

                    15,115

                  • 0.00

                  • 0.00

                  • Praxis International Index Fund

                  •  

                    5,235

                  • 0.00

                  • 0.00

                  • Johnson International Fund

                  •  

                    2,500

                  • 0.00

                  • 0.00

                  • CCA Aggressive Return Fund

                  •  

                    526

                  • 28.61

                  • 0.00

                  • CCA Core Return Fund

                  •  

                    146

                  • 0.00

                  • 0.00

                  • Institution Name

                  • Shares Held

                  • % Change

                  • % Outstanding

                  • Parametric Portfolio Associates LLC

                  •  

                    149,663

                  • +9.27%

                  • 0.02

                  • Scout Investment Advisors Inc

                  •  

                    80,191

                  • -23.00%

                  • 0.01

                  • World Asset Management, L.L.C.

                  •  

                    30,005

                  • +13.15%

                  • 0.00

                  • BNY Mellon Fund Advisers

                  •  

                    15,115

                  • 0.00%

                  • 0.00

                  • Reynolds Capital Management

                  •  

                    7,000

                  • 0.00%

                  • 0.00

                  • Everence Capital Management, Inc

                  •  

                    5,235

                  • 0.00%

                  • 0.00

                  • Columbia Mangmt Investment Advisers, LLC

                  •  

                    3,866

                  • -3.74%

                  • 0.00

                  • Johnson Investment Counsel, Inc.

                  •  

                    2,500

                  • 0.00%

                  • 0.00

                  • Hexavest Inc.

                  •  

                    2,317

                  • 0.00%

                  • 0.00

                  Send Feedback

                  We appreciate your input!

                  • I'm having trouble signing into my Microsoft account

                  • I’m having problems with the services stripe (Mail, Facebook, etc.)

                  • There is an issue with my weather information

                  • I see an error in the content

                  • Other

                  Please give an overall site rating: