Stockland
ASX:SGP
$ 4,26
$-0,02 (-0,47%)
4,26 $
$-0,02 (-0,47%)
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.

$0,31
FFO
$1,25
Revenue Per Share
23,44%
Gross Margin %
$10,38 B
Market Cap
$4,18 B
Long-Term Debt
FFO
$0,31
Revenue Per Share
$1,25
Gross Margin %
23,44%
Market Cap
$10,38 B
Long-Term Debt
$4,18 B

Financials

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
FFO FFO $0,31 $0,34 $0,36 $0,33 $0,34 $0,37 $0,36 $0,33 $0,30 $0,28 $0,25 $0,24 $0,30 $0,31
Revenue Revenue $2,99B $2,81B $2,85B $2,76B $2,81B $2,77B $2,78B $2,74B $2,33B $2,11B $1,94B $1,73B $672,50M $717,70M
OCF Operating Cash Flow $114,00M $332,00M $918,00M $1,05B $1,13B $394,00M $728,00M $921,00M $787,00M $401,00M $752,00M $625,20M $398,70M $587,94M
FCF Free Cash Flow $33,00M $309,00M $896,00M $641,00M $282,00M $343,00M $670,00M $883,00M $752,00M $386,00M $733,00M $605,10M $375,70M $324,00M
OM Operating Margin 23,44% 29,81% 25,55% 25,40% 28,81% 31,52% 31,40% 29,77% 30,40% 27,66% 22,18% 23,48% 32,49% 33,81%
GM % Gross Margin % 23,44% 29,81% 26,35% 25,70% 31,21% 31,55% 31,40% 29,77% 30,40% 27,66% 22,18% 23,48% 32,49% 44,92%
FCFS Free Cash Flow Per Share $0,05 $0,13 $0,38 $0,43 $0,42 $0,14 $0,28 $0,37 $0,32 $0,16 $0,32 $0,25 $0,16 $0,35
LT Debt Long-Term Debt $4,59B $3,86B $3,72B $4,25B $5,06B $4,58B $3,84B $3,39B $3,59B $3,26B $3,12B $2,66B $3,39B $2,69B
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