Scentre Group
ASX:SCG
$ 3,41
$-0,07 (-2,01%)
3,41 $
$-0,07 (-2,01%)
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.

$0,22
FFO
$0,51
Revenue Per Share
71,25%
Gross Margin %
$18,18 B
Market Cap
$12,31 B
Long-Term Debt
FFO
$0,22
Revenue Per Share
$0,51
Gross Margin %
71,25%
Market Cap
$18,18 B
Long-Term Debt
$12,31 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
FFO FFO $0,22 $0,21 $0,21 $0,20 $0,17 $0,16 $0,25 $0,25 $0,24 $0,23 $0,23 $0,19
Revenue Revenue $2,69B $2,64B $2,51B $2,46B $2,28B $2,16B $2,83B $2,64B $2,68B $2,73B $3,05B $3,37B
OCF Operating Cash Flow $1,08B $1,07B $1,07B $1,15B $887,20M $684,60M $1,30B $1,30B $1,23B $1,12B $1,77B $1,88B
FCF Free Cash Flow $1,00B $660,20M $753,89M $643,20M $586,20M $388,60M $704,50M $313,00M $484,20M $393,80M $1,18B $1,87B
OM Operating Margin 67,64% 66,22% 66,35% 62,61% 65,92% 69,44% 65,97% 65,21% 67,60% 65,20% 58,78% 55,50%
GM % Gross Margin % 71,25% 69,81% 69,94% 66,15% 69,51% 73,01% 69,34% 68,47% 71,19% 68,62% 61,95% 59,26%
FCFS Free Cash Flow Per Share $0,13 $0,13 $0,12 $0,14 $0,11 $0,07 $0,18 $0,10 $0,23 $0,21 $0,22 $0,47
LT Debt Long-Term Debt $12,31B $14,29B $13,79B $13,44B $14,36B $15,37B $13,33B $13,69B $11,61B $11,67B $9,61B $12,85B
Sha. Stocks 5.216,03M 5.195,55M 5.184,18M 5.184,18M 5.184,18M 5.184,18M 5.229,98M 5.304,3M 5.311,6M 5.311,6M 5.311,6M 5.311,6M
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