Goodman Group

GMG · ASX · AUD

$25.91Change from previous close: −2.56%Absolute change: −$0.68

Close · October 2, 2026

At a glance

Revenue growth
+23.49%
FY to Jun 2026 vs FY to Jun 2025
Net income growth
+66.75%
FY to Jun 2026 vs FY to Jun 2025
Net margin
108.8%
FY to Jun 2025: 80.6%

Financial data

Amounts in millions of AUD; per-share values in AUD; shares in millions.

Cash flow · Annual
ItemFY to Jun 2026FY to Jun 2025FY to Jun 2024FY to Jun 2023FY to Jun 2022
Operating cash flow1,9219601,1891,284841
Depreciation and amortization18.117.617.516.717.1
Capital expenditure-39.5-6.4-10.5-13.0—
Investing cash flow-2,761-3,484-688-716-1,002
Financing cash flow1,1184,604-52.4-309—
Dividends paid-611-572-567-562-557
Share repurchases————-28.0
Debt issued2,9462,7568501,029—
Debt repaid-1,345-1,451-456-772—
Effect of exchange rates-15492.3-22.844.7-3.6
Net change in cash1242,172425304136
Free cash flow1,8819531,1781,271—
Levered free cash flow2,9891321,1071,4122,053