Atlassian Corp

225,57 USD 3,99 (+1,80%)
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Firmenbeschreibung

Die Atlassian-Plattform ist die gemeinsame technologische Grundlage für die Produkte und Lösungen des Unternehmens, die die Verbindung zwischen Teams, Informationen und Workflows in der gesamten Organisation fördert. Sie hilft Führungsteams dabei, verwertbare Einblicke und Sichtbarkeit in ihrer gesamten Organisation zu erlangen und bietet Lösungen für spezialisierte Teams, wie Produkt- und Entwicklungsteams sowie IT-Betriebs- und Supportteams.

KeyData

endOfFinancialYear: 30.06.2023 00:00
stockholderStructure: Vanguard Group Inc (9.61%),Price (T.Rowe) Associates Inc (7.85%),WCM Investment Management, LLC (6.2%),Blackrock Inc. (5.55%),Baillie Gifford and Company (4.81%),Artisan Partners Limited Partnership (3.9%),Janus Henderson Group PLC (3.47%),Sands Capital Management, LLC (3.34%),Brown Advisory Inc. (2.38%)
sharesOutstanding: 160032961.0000
ceo: Scott Farquhar, Mike Cannon-Brookes
board: Joe Binz, Anu Bharadwaj, Rajeev Rajan, Erika Fisher, Amy Glancey, Zeynep Ozdemir
supervisoryBoard: Shona Brown, Mike Cannon-Brookes, Scott Farquhar, Heather M. Fernandez, Sasan Goodarzi, Jay Parikh, Enrique Salem , Steven Sordello , Richard P. Wong, Michelle Zatlyn, Scott Belsky
countryID: 22
sectorName: Software
industryName: Technologie
subsectorName: Applikationssoftware
country: Australien
countryName: Australien

Kontakt

name: Martin Lam
email: ir@atlassian.com
irWebSite: https://investors.atlassian.com/

Adresse

street: 341 George Street
city: Sydney, NSW, 2000
phone: +61 (2) 9262-1443
webSite: www.atlassian.com

Finanzen (kurz)

year: 2022 cash: 1385.2650
balanceSheetTotal: 3361.2060 liabilities: 3025.6030
totalShareholdersEquity: 335.6030 sales: 2802.8820
incomeBeforeTaxes: -564.5720 netIncome: -614.1240
cashFlow: 459.4220 currencyID: 4
units: 1000000 currency: USD
year: 2023 cash: 2102.5500
balanceSheetTotal: 4106.7790 liabilities: 3452.1070
shareCapital: 0.0020 totalShareholdersEquity: 654.6720
sales: 3534.6470 incomeBeforeTaxes: -311.1360
netIncome: -486.7610 cashFlow: 716.6270
currencyID: 4 units: 1000000
currency: USD
year: 2024 cash: 2176.9300
balanceSheetTotal: 5212.1330 liabilities: 4179.2820
shareCapital: 0.0020 totalShareholdersEquity: 1032.8510
sales: 4358.6030 investment: 96633.0000
incomeBeforeTaxes: -85.4070 netIncome: -300.5190
cashFlow: 74.2070 employees: 12157
currencyID: 4 units: 1000000
currency: USD

Finanzen (kurz)

year: 2022
cash: 1385.2650
balanceSheetTotal: 3361.2060
liabilities: 3025.6030
totalShareholdersEquity: 335.6030
sales: 2802.8820
incomeBeforeTaxes: -564.5720
netIncome: -614.1240
cashFlow: 459.4220
currencyID: 4
units: 1000000
currency: USD
year: 2023
cash: 2102.5500
balanceSheetTotal: 4106.7790
liabilities: 3452.1070
shareCapital: 0.0020
totalShareholdersEquity: 654.6720
sales: 3534.6470
incomeBeforeTaxes: -311.1360
netIncome: -486.7610
cashFlow: 716.6270
currencyID: 4
units: 1000000
currency: USD
year: 2024
cash: 2176.9300
balanceSheetTotal: 5212.1330
liabilities: 4179.2820
shareCapital: 0.0020
totalShareholdersEquity: 1032.8510
sales: 4358.6030
investment: 96633.0000
incomeBeforeTaxes: -85.4070
netIncome: -300.5190
cashFlow: 74.2070
employees: 12157
currencyID: 4
units: 1000000
currency: USD

Finanzen (ausführlich)

year: 2023 units: 1000000
balanceSheetTotal: 4106.7790 cash: 2102.5500
currentAssets: 2736.3640 fixedAssets: 1370.4150
liabilities: 2027.5900 totalLiabilitiesEquity: 4106.7790
totalShareholdersEquity: 654.6720 property: 81.4020
intangibleAssets: 69.0720 longTermInvestments: 225.5380
accountsReceivable: 477.6780 accountsPayable: 159.2930
liabilitiesTotal: 3452.1070 longTermDebt: 962.0930
shortTermDebt: 37.5000 commonStock: 0.0020
sales: 3534.6470 depreciation: 60.9230
netIncome: -486.7610 operatingResult: -345.2220
incomeInterest: 19.5850 investments: 1869.8810
incomeTaxes: -175.6250 costGoodsSold: 633.7650
grossProfit: 2900.8820 cashFlow: 868.1110
cashFlowInvesting: -1.2580 cashFlowFinancing: -148.4210
cashFlowTotal: 716.6270 accountingStandard: US GAAP
equityRatio: 15.9413 debtEquityRatio: 1.5269
liquidityI: 1.0370 liquidityII: 1.2726
netMargin: -13.7711 grossMargin: 82.0699
cashFlowMargin: 24.5600 ebitMargin: -9.7668
ebitdaMargin: 0.0000 preTaxROE: -47.5255
preTaxROA: -7.5762 roe: -74.3519
roa: -11.8526 netIncomeGrowth: -20.7390
revenuesGrowth: 26.1076 taxExpenseRate: 56.4464
equityTurnover: 5.3991 epsBasic: -1.9000
epsDiluted: -1.9000 epsBasicGrowth: -21.4876
shareCapital: 0.0020 incomeBeforeTaxes: -311.1360
priceCashFlowRatio: 29.6326 bookValuePerShare: 4.2707
marketCap: 25724422035.4900 earningsYield: -1.1322
cashFlowPerShare: 5.6630 priceBookValueRatio: 39.2936
netEarningsPerShare: -3.1753 currency: USD
year: 2024 units: 1000000
balanceSheetTotal: 5212.1330 cash: 2176.9300
currentAssets: 3076.2640 fixedAssets: 2135.8690
liabilities: 2610.1260 nonCurrentLiabilities: 1569156.0000
totalLiabilitiesEquity: 5212.1330 provisions: 20387.0000
totalShareholdersEquity: 1032.8510 employees: 12157
property: 86.3150 intangibleAssets: 299.0570
longTermInvestments: 223.2210 accountsReceivable: 628.0490
accountsPayable: 177.5450 liabilitiesTotal: 4179.2820
longTermDebt: 985.9110 shortTermDebt: 0.0000
commonStock: 0.0020 sales: 4358.6030
depreciation: 78.7380 netIncome: -300.5190
operatingResult: -117.0770 incomeInterest: 96.6630
investments: 2184.1110 incomeTaxes: -215.1120
costGoodsSold: 803.4950 grossProfit: 3555.1080
revenuePerEmployee: 358526.1989 cashFlow: 1448.1590
cashFlowInvesting: -963.7460 cashFlowFinancing: -408.2170
cashFlowTotal: 74.2070 accountingStandard: US GAAP
equityRatio: 19.8163 debtEquityRatio: 0.9546
liquidityI: 0.8340 liquidityII: 1.0747
netMargin: -6.8948 grossMargin: 81.5653
cashFlowMargin: 33.2253 ebitMargin: -2.6861
ebitdaMargin: 0.0000 preTaxROE: -8.2691
preTaxROA: -1.6386 roe: -29.0961
roa: -5.7658 netIncomeGrowth: -38.2615
revenuesGrowth: 23.3108 taxExpenseRate: 251.8669
equityTurnover: 4.2200 epsBasic: -1.1600
epsDiluted: -1.1600 epsBasicGrowth: -38.9474
shareCapital: 0.0020 incomeBeforeTaxes: -85.4070
priceCashFlowRatio: 19.5466 bookValuePerShare: 6.4540
marketCap: 28306630141.6800 earningsYield: -0.6558
cashFlowPerShare: 9.0491 priceBookValueRatio: 27.4063
netEarningsPerShare: -1.8779 currency: USD
year: 2025 priceCashFlowRatio: 24.9273
bookValuePerShare: 6.4540 marketCap: 58745956398.7500
earningsYield: -0.5143 pegRatio: 4.9928
cashFlowPerShare: 9.0491 netAssetsPerShare: 6.4540
priceBookValueRatio: 34.9505 netEarningsPerShare: -1.8779
currency: USD

Finanzen (ausführlich)

year: 2023
units: 1000000
balanceSheetTotal: 4106.7790
cash: 2102.5500
currentAssets: 2736.3640
fixedAssets: 1370.4150
liabilities: 2027.5900
totalLiabilitiesEquity: 4106.7790
totalShareholdersEquity: 654.6720
property: 81.4020
intangibleAssets: 69.0720
longTermInvestments: 225.5380
accountsReceivable: 477.6780
accountsPayable: 159.2930
liabilitiesTotal: 3452.1070
longTermDebt: 962.0930
shortTermDebt: 37.5000
commonStock: 0.0020
sales: 3534.6470
depreciation: 60.9230
netIncome: -486.7610
operatingResult: -345.2220
incomeInterest: 19.5850
investments: 1869.8810
incomeTaxes: -175.6250
costGoodsSold: 633.7650
grossProfit: 2900.8820
cashFlow: 868.1110
cashFlowInvesting: -1.2580
cashFlowFinancing: -148.4210
cashFlowTotal: 716.6270
accountingStandard: US GAAP
equityRatio: 15.9413
debtEquityRatio: 1.5269
liquidityI: 1.0370
liquidityII: 1.2726
netMargin: -13.7711
grossMargin: 82.0699
cashFlowMargin: 24.5600
ebitMargin: -9.7668
ebitdaMargin: 0.0000
preTaxROE: -47.5255
preTaxROA: -7.5762
roe: -74.3519
roa: -11.8526
netIncomeGrowth: -20.7390
revenuesGrowth: 26.1076
taxExpenseRate: 56.4464
equityTurnover: 5.3991
epsBasic: -1.9000
epsDiluted: -1.9000
epsBasicGrowth: -21.4876
shareCapital: 0.0020
incomeBeforeTaxes: -311.1360
priceCashFlowRatio: 29.6326
bookValuePerShare: 4.2707
marketCap: 25724422035.4900
earningsYield: -1.1322
cashFlowPerShare: 5.6630
priceBookValueRatio: 39.2936
netEarningsPerShare: -3.1753
currency: USD
year: 2024
units: 1000000
balanceSheetTotal: 5212.1330
cash: 2176.9300
currentAssets: 3076.2640
fixedAssets: 2135.8690
liabilities: 2610.1260
nonCurrentLiabilities: 1569156.0000
totalLiabilitiesEquity: 5212.1330
provisions: 20387.0000
totalShareholdersEquity: 1032.8510
employees: 12157
property: 86.3150
intangibleAssets: 299.0570
longTermInvestments: 223.2210
accountsReceivable: 628.0490
accountsPayable: 177.5450
liabilitiesTotal: 4179.2820
longTermDebt: 985.9110
shortTermDebt: 0.0000
commonStock: 0.0020
sales: 4358.6030
depreciation: 78.7380
netIncome: -300.5190
operatingResult: -117.0770
incomeInterest: 96.6630
investments: 2184.1110
incomeTaxes: -215.1120
costGoodsSold: 803.4950
grossProfit: 3555.1080
revenuePerEmployee: 358526.1989
cashFlow: 1448.1590
cashFlowInvesting: -963.7460
cashFlowFinancing: -408.2170
cashFlowTotal: 74.2070
accountingStandard: US GAAP
equityRatio: 19.8163
debtEquityRatio: 0.9546
liquidityI: 0.8340
liquidityII: 1.0747
netMargin: -6.8948
grossMargin: 81.5653
cashFlowMargin: 33.2253
ebitMargin: -2.6861
ebitdaMargin: 0.0000
preTaxROE: -8.2691
preTaxROA: -1.6386
roe: -29.0961
roa: -5.7658
netIncomeGrowth: -38.2615
revenuesGrowth: 23.3108
taxExpenseRate: 251.8669
equityTurnover: 4.2200
epsBasic: -1.1600
epsDiluted: -1.1600
epsBasicGrowth: -38.9474
shareCapital: 0.0020
incomeBeforeTaxes: -85.4070
priceCashFlowRatio: 19.5466
bookValuePerShare: 6.4540
marketCap: 28306630141.6800
earningsYield: -0.6558
cashFlowPerShare: 9.0491
priceBookValueRatio: 27.4063
netEarningsPerShare: -1.8779
currency: USD
year: 2025
priceCashFlowRatio: 24.9273
bookValuePerShare: 6.4540
marketCap: 58745956398.7500
earningsYield: -0.5143
pegRatio: 4.9928
cashFlowPerShare: 9.0491
netAssetsPerShare: 6.4540
priceBookValueRatio: 34.9505
netEarningsPerShare: -1.8779
currency: USD