Woodside Energy Growth Metrics (2021-2025) | WDS

Growth Metrics Dec2021 Dec2022 Jun2023 Dec2023 Jun2024 Dec2024 Jun2025
Growth Ratios
Assets Growth (1y) 368.65%124.07%3.25%-6.68%-1.93%10.66%16.60%
Assets Growth (3y) 114.00%32.27%5.69%
Capital Expenditures Growth (1y) -20.10%-146.19%309.12%
Capital Expenditures Growth (3y) 101.51%
Cash & Equivalents Growth (1y) -16.07%104.99%-24.83%-71.94%-49.84%0.00%180.46%
Cash & Equivalents Growth (3y) -21.55%-16.83%1.88%
Cash from Investing Activities Growth (1y) 104.47%-5,960.00%37.32%
Cash from Investing Activities Growth (3y) -17.96%
Cash from Operations Growth (1y) 88.00%93.22%-50.58%
Cash from Operations Growth (3y) 21.54%
Dividends Paid - Common Growth (1y) 58.40%
EBITDA Margin Growth (1y) 2,652.00-1361.0047,354.00
EBITDA Margin Growth (3y) 48,646.00
EBIT Growth (1y) 380.19%-6.41%-15.37%
EBIT Growth (3y) 56.10%
EBIT Margin Growth (1y) 2,652.00-1361.0047,354.00
EBIT Margin Growth (3y) 48,646.00
EBT Growth (1y) 481.91%-3.38%-18.32%
EBT Growth (3y) 66.22%
EBT Margin Growth (1y) 3,029.00-1216.0046,178.00
EBT Margin Growth (3y) 47,991.00
Enterprise Value Growth (1y) 29.00%-167.25%28.97%71.88%62.99%39.11%-101.41%
Enterprise Value Growth (3y) 18.89%22.94%19.10%
EPS (Basic) Growth (1y) -2,519.31%
EPS (Weighted Average and Diluted) Growth (1y) -2,522.70%
FCF Margin Growth (1y) -2611.003,833.00-69279.00
FCF Margin Growth (3y) -68058.00
FCF Payout Ratio Growth (1y) 210.61%
Free Cash Flow Growth (1y) 61.92%108.30%-137.61%
Free Cash Flow Growth (3y) -48.41%
Gross Margin Growth (1y) 2,278.00-1380.0054,020.00
Gross Margin Growth (3y) 54,918.00
Gross Profit Growth (1y) 268.63%-1.23%-23.02%
Gross Profit Growth (3y) 40.99%
Interest Coverage Ratio Growth (1y) -625.87%41.25%21.13%
Interest Coverage Ratio Growth (3y) -49.83%
Net Cash Flow Growth (1y) 340.96%-151.00%129.90%
Net Cash Flow Growth (3y) 33.28%
Net Income Growth (1y) 418.09%-17.04%-21.08%
Net Income Growth (3y) 50.26%
Net Income towards Common Stockholders Growth (1y) 417.35%42.74%-2,819.23%-17.26%
Net Income towards Common Stockholders Growth (3y) 82.82%
Net Margin Growth (1y) 1,557.00341.0038,763.00
Net Margin Growth (3y) 40,660.00
Operating Income Growth (1y) 380.19%-6.41%-15.37%
Operating Income Growth (3y) 56.10%
Operating Margin Growth (1y) 2,652.00-1361.0047,354.00
Operating Margin Growth (3y) 48,646.00
Profit After Tax Growth (1y) 390.94%85.35%-36.63%
Profit After Tax Growth (3y) 79.32%
Property, Plant & Equipment (Net) Growth (1y) 2.18%-88.68%
Return on Assets Growth (1y) 4.005.00-3.00-4.00
Return on Equity Growth (1y) 6.007.00-4.00-5.00
Return on Sales Growth (1y) 36.00-23.00-2.00490.0019.00
Return on Sales Growth (3y) 503.00
Revenue Growth (1y) 132.03%27.37%-93.76%
Revenue Growth (3y) -43.07%
Share-based Compensation Growth (1y) -13.33%
Shareholder's Equity Growth (1y) 170.30%9.75%-5.33%-2.33%5.10%7.47%
Shareholder's Equity Growth (3y) 39.06%4.83%
Tax Rate Growth (1y) 1,578.001,811.00372.00
Tax Rate Growth (3y) 3,762.00
Total Debt Growth (1y) -0.58%-21.98%-10.52%0.72%89.62%141.72%
Total Debt Growth (3y) 19.04%23.84%