Goodman Group
ASX:GMG
$ 25,02
$-0,48 (-1,88%)
25,02 $
$-0,48 (-1,88%)
End-of-day quote: 03/23/2026

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

$1,08
FFO
$1,38
Revenue Per Share
53,14%
Gross Margin %
$52,14 B
Market Cap
$4,69 B
Long-Term Debt
FFO
$1,08
Revenue Per Share
$1,38
Gross Margin %
53,14%
Market Cap
$52,14 B
Long-Term Debt
$4,69 B

Financials

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2010
FFO FFO $1,08 $0,96 $0,92 $0,65 $0,57 $0,52 $0,47 $0,43 $0,40 $0,38 $0,35 $0,33 $0,28
Revenue Revenue $2,62B $2,31B $2,04B $1,99B $1,51B $1,72B $1,58B $1,65B $1,71B $1,19B $1,18B $863,20M $510,20M
OCF Operating Cash Flow $1,19B $1,28B $841,00M $1,11B $1,16B $827,50M $1,16B $586,40M $830,10M $654,70M $404,40M $356,10M $195,20M
FCF Free Cash Flow $-290,20M $1,27B $835,10M $1,11B $1,15B $825,80M $1,16B $581,20M $821,70M $650,90M $401,60M $351,20M $0,00M
OM Operating Margin -21,36% 56,64% 75,15% 60,57% 63,05% 56,80% 51,06% 34,07% 37,33% 38,71% 40,41% 48,78% 6,76%
GM % Gross Margin % 53,14% 78,66% 87,76% 75,79% 81,06% 73,08% 66,10% 50,98% 52,63% 56,03% 56,71% 66,27% 45,88%
FCFS Free Cash Flow Per Share $0,63 $0,68 $0,45 $0,60 $0,63 $0,46 $0,64 $0,33 $0,46 $0,37 $0,23 $0,21 $0,17
LT Debt Long-Term Debt $3,69B $3,29B $2,70B $2,06B $2,68B $2,98B $2,86B $2,85B $2,84B $2,77B $2,24B $2,28B $2,35B
Sha. Stocks 1.899,18M 1.883,82M 1.868,22M 1.847,43M 1.828,41M 1.813,88M 1.800,76M 1.789,12M 1.778,32M 1.753,04M 1.727,69M 1.713,23M 1.266,69M
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