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Southern Cross Media Group Ltd
ASX:SXL

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Southern Cross Media Group Ltd Logo
Southern Cross Media Group Ltd
ASX:SXL
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Price: 0.55 AUD 0.92% Market Closed
Market Cap: AU$263.3m

Balance Sheet

Balance Sheet Decomposition
Southern Cross Media Group Ltd

Balance Sheet
Southern Cross Media Group Ltd

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Balance Sheet
Currency: AUD
Jun-2005 Jun-2006 Jun-2007 Jun-2008 Jun-2009 Jun-2010 Jun-2011 Jun-2012 Jun-2013 Jun-2014 Jun-2015 Jun-2016 Jun-2017 Jun-2018 Jun-2019 Jun-2020 Jun-2021 Jun-2022 Jun-2023 Jun-2024 Jun-2025
Assets
Cash & Cash Equivalents
4
96
120
454
347
38
32
97
103
62
143
95
49
56
32
121
75
49
13
11
35
Cash
0
0
0
0
0
38
32
97
103
62
143
95
49
56
32
121
75
49
13
11
35
Cash Equivalents
4
96
120
454
347
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Short-Term Investments
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
150
0
0
0
0
0
Total Receivables
31
435
47
95
87
78
133
128
125
111
112
129
145
128
121
81
89
93
87
93
85
Accounts Receivables
31
39
42
89
81
76
123
122
123
108
110
127
131
126
115
66
86
88
84
90
79
Other Receivables
0
395
5
6
6
3
10
6
2
3
2
3
14
3
6
15
3
4
3
3
6
Inventory
0
1
3
3
2
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Current Assets
0
5
11
8
7
6
6
5
5
5
10
13
13
9
24
9
10
12
13
14
11
Total Current Assets
35
537
181
560
444
122
170
230
233
178
265
237
207
193
177
361
174
154
113
117
132
PP&E Net
49
143
142
177
184
148
184
173
171
171
164
145
136
131
104
220
186
195
187
168
149
PP&E Gross
0
143
142
177
184
148
184
173
171
171
164
145
136
131
104
220
186
195
187
168
149
Accumulated Depreciation
0
12
56
68
87
104
147
287
310
313
319
292
296
313
274
253
250
266
277
266
265
Intangible Assets
347
1 357
1 327
875
900
769
1 642
1 685
1 679
1 615
1 289
1 290
1 249
1 145
918
938
938
704
712
392
390
Goodwill
0
89
222
524
418
296
356
352
352
36
0
0
0
0
0
10
10
0
0
0
0
Note Receivable
0
10
1
0
1
1
4
6
6
6
5
3
3
2
1
1
0
0
0
0
9
Long-Term Investments
22
90
180
20
30
30
12
11
14
3
3
4
5
8
9
5
6
6
6
6
3
Other Long-Term Assets
5
2
2
16
35
31
31
19
9
5
12
0
0
0
0
13
12
11
11
10
4
Other Assets
0
89
222
524
418
296
356
352
352
36
0
0
0
0
0
10
10
0
0
0
0
Total Assets
457
N/A
2 228
+388%
2 053
-8%
2 172
+6%
2 010
-7%
1 396
-31%
2 398
+72%
2 475
+3%
2 463
0%
2 014
-18%
1 738
-14%
1 678
-3%
1 600
-5%
1 477
-8%
1 210
-18%
1 548
+28%
1 327
-14%
1 071
-19%
1 030
-4%
692
-33%
686
-1%
Liabilities
Accounts Payable
19
66
63
59
56
53
101
102
90
73
77
83
12
13
9
5
11
10
17
15
15
Accrued Liabilities
0
18
0
4
6
3
4
5
4
22
22
21
87
72
68
43
63
59
47
47
50
Short-Term Debt
0
0
0
0
0
0
0
0
0
0
21
37
0
0
0
25
0
0
0
0
0
Current Portion of Long-Term Debt
0
387
23
0
174
0
0
16
19
0
0
0
0
0
0
6
10
6
7
8
8
Other Current Liabilities
5
55
59
61
49
12
40
90
82
43
17
24
17
10
5
11
13
7
6
5
4
Total Current Liabilities
24
527
145
124
285
68
146
213
195
138
138
164
116
94
82
91
97
83
77
75
78
Long-Term Debt
0
830
1 119
1 057
853
300
725
703
684
647
648
433
369
358
324
503
230
247
240
238
218
Deferred Income Tax
2
25
16
15
16
0
32
0
0
0
0
374
361
330
260
264
260
188
187
88
88
Minority Interest
0
13
25
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Liabilities
1
40
11
10
14
5
3
24
18
16
16
110
103
105
110
101
97
93
90
88
89
Total Liabilities
27
N/A
1 435
+5 174%
1 315
-8%
1 206
-8%
1 167
-3%
364
-69%
900
+147%
941
+5%
897
-5%
800
-11%
802
+0%
1 082
+35%
949
-12%
887
-7%
775
-13%
960
+24%
684
-29%
611
-11%
594
-3%
489
-18%
474
-3%
Equity
Common Stock
0
909
948
971
941
1 225
1 688
1 687
1 687
1 687
1 365
1 379
1 380
1 380
1 380
1 541
1 543
1 537
1 516
1 516
1 516
Retained Earnings
9
39
132
72
21
116
112
62
32
391
350
703
650
710
863
870
822
1 078
1 081
1 314
1 304
Other Equity
439
77
77
77
77
77
77
91
89
83
79
80
79
78
83
82
79
1
1
0
0
Total Equity
430
N/A
793
+85%
738
-7%
966
+31%
843
-13%
1 032
+22%
1 499
+45%
1 534
+2%
1 566
+2%
1 213
-23%
936
-23%
596
-36%
651
+9%
591
-9%
434
-27%
588
+35%
643
+9%
460
-28%
435
-5%
203
-53%
212
+5%
Total Liabilities & Equity
457
N/A
2 228
+388%
2 053
-8%
2 172
+6%
2 010
-7%
1 396
-31%
2 398
+72%
2 475
+3%
2 463
0%
2 014
-18%
1 738
-14%
1 678
-3%
1 600
-5%
1 477
-8%
1 210
-18%
1 548
+28%
1 327
-14%
1 071
-19%
1 030
-4%
692
-33%
686
-1%
Shares Outstanding
Common Shares Outstanding
267
268
278
286
255
409
706
705
705
705
1 060
108
108
108
108
264
264
261
240
240
240
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