Computershare
ASX:CPU
$ 27,93
$-0,10 (-0,36%)
27,93 $
$-0,10 (-0,36%)
End-of-day quote: 03/27/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

$2,06
Earnings Per Share
$8,23
Revenue Per Share
29,07%
Gross Margin %
$16,21 B
Market Cap
$2,77 B
Long-Term Debt
Earnings Per Share
$2,06
Revenue Per Share
$8,23
Gross Margin %
29,07%
Market Cap
$16,21 B
Long-Term Debt
$2,77 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share $2,06 $1,77 $1,62 $0,84 $0,68 $0,81 $1,00 $0,86 $0,71 $0,74 $0,78 $0,64 $0,60 $0,37 $0,44 $0,63 $0,64 $0,53 $0,43 $0,31
Earnings Earnings $1,19B $1,05B $978,04M $507,13M $410,54M $438,11M $542,96M $466,95M $387,89M $404,65M $433,84M $355,97M $333,72M $205,59M $244,49M $350,07M $355,62M $294,49M $254,07M $185,76M
RPS Revenue Per Share $8,23 $8,36 $7,97 $6,17 $5,16 $6,10 $6,49 $5,68 $5,02 $4,81 $4,62 $3,84 $3,98 $3,18 $2,69 $3,41 $3,35 $2,94 $2,80 $2,78
Revenue Revenue $4,76B $4,94B $4,81B $3,72B $3,11B $3,30B $3,52B $3,09B $2,74B $2,63B $2,57B $2,14B $2,21B $1,77B $1,50B $1,89B $1,86B $1,64B $1,65B $1,66B
OCF Operating Cash Flow $1,26B $1,09B $903,00M $717,77M $408,99M $881,79M $408,97M $695,00M $596,41M $408,94M $483,53M $434,00M $364,89M $326,85M $297,92M $489,41M $423,30M $363,41M $378,14M $0,00M
FCF Free Cash Flow $1,19B $1,03B $840,06M $655,64M $387,26M $846,97M $329,64M $641,78M $551,82M $374,96M $446,65M $416,56M $317,11M $287,70M $276,11M $0,00M $0,00M $0,00M $0,00M $0,00M
OM Operating Margin 29,07% 27,73% 27,25% 12,42% 12,03% 17,01% 20,53% 19,39% 17,86% 14,26% 14,53% 17,68% 11,55% 12,42% 24,72% 26,55% 25,16% 26,01% 23,35% 15,10%
GM % Gross Margin % 29,07% 29,94% 29,20% 14,25% 13,68% 18,58% 21,89% 20,46% 18,78% 15,19% 15,21% 18,48% 12,40% 14,26% 26,34% 28,29% 27,07% 27,97% 24,92% 16,82%
FCFS Free Cash Flow Per Share $2,03 $1,53 $1,22 $0,93 $0,39 $1,06 $0,34 $0,94 $1,01 $0,68 $0,80 $0,75 $0,57 $0,52 $0,50 $0,76 $0,71 $0,57 $0,58 $0,36
LT Debt Long-Term Debt $2,76B $2,13B $2,23B $2,07B $1,39B $1,74B $1,96B $1,05B $1,45B $1,60B $1,56B $1,40B $1,66B $1,64B $845,62M $907,37M $966,46M $872,96M $456,89M $471,64M
Sha. Stocks 578,39M 591,05M 603,73M 603,73M 603,73M 540,88M 542,96M 542,96M 546,33M 546,83M 556,2M 556,2M 556,2M 555,66M 555,66M 555,66M 555,65M 555,65M 590,86M 599,22M
×