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WBKCY

Westpac Banking Corp. Ltd.

Price Chart
Latest Quote

$53.14

+0.18 (+0.34%)
Current Price
Previous Close $52.96
Open $54.14
Day High $54.14
Day Low $51.94
Volume 2,121
Fetched: 2026-06-04T10:32:11
Stock Information
Note: Financial values converted from AUD to USD
Quarterly Dividend / Yield $1.11 / 2.08%
Shares Outstanding 3.41B
Quarterly Dividend Yield 2.08%
Quarterly Dividend $1.11
Total Debt $184.27B
Cash Equivalents $94.77B
Revenue $15.90B
Net Income $5.00B
Sector Financial Services
Industry Banks - Diversified
Market Cap $181.47B
P/E Ratio 36.40
EPS (TTM) $1.46
Exchange PNK
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📊 Comprehensive Analysis
Company Data
Enterprise Value$307.14B
Sales$15.90B
Income$5.00B
Book/sh$15.13
Cash/sh$38.87
Employees33K
Financial Ratios
EPS Growth TTM5.60%
Returns & Margins
ROA0.62%
ROE9.80%
Operating Margin50.43%
Profit Margin31.50%
Ownership
Insider & Institutional transactions data not available
Valuation Ratios
P/S8.15
P/B3.51
Analyst Data
Recommendationnone
Technical Indicators
RSI60.68
ATR1.3508
Shares Float3.41B
Volatility0.75
Performance History
Week+1.59%
YTD-4.63%
10 Years-4.63%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-03 $53.14 8,742
2026-06-02 $52.96 10,531
2026-06-01 $52.90 4,325
2026-05-29 $54.27 2,562
2026-05-28 $53.22 10,832
2026-05-27 $52.31 14,066
2026-05-26 $51.49 2,150
2026-05-22 $51.31 0
2026-05-21 $51.31 0
2026-05-20 $51.31 397
2026-05-19 $51.79 821
2026-05-18 $51.11 1,103
2026-05-15 $50.17 912
2026-05-14 $52.64 1,596
2026-05-13 $50.79 0
2026-05-12 $50.79 778
2026-05-11 $52.78 1,342
2026-05-08 $53.91 638
2026-05-07 $55.72 338
About Westpac Banking Corp. Ltd.

Westpac Banking Corporation provides banking and other financial services in Australia, New Zealand, the Pacific Islands, Asia, the Americas, and Europe. It operates through the Consumer, Business & Wealth, Institutional, and New Zealand segments. The company offers bank accounts, home and personal loans, credit cards, international and travel banking services, insurance, superannuation, investments, share trading, margin lending, private banking, and online banking services; savings and transactions accounts, loans and finance, payment solutions, insurance for businesses, foreign exchange and international money transfer, commercial business and industry banking; bank guarantee, business digital wallet, business setup, and business term deposits; and corporate online banking, transaction banking, corporate and structured finance, and trade and supply chain finance services. It serves individuals and consumers; small to medium businesses and commercial and agribusiness customers; high-net-worth individuals; and corporate and institutional and government customers. The company was formerly known as Bank of New South Wales and changed its name to Westpac Banking Corporation in October 1982. Westpac Banking Corporation was founded in 1817 and is headquartered in Sydney, Australia.

Period:
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Income Statement (Annual)
Metric 2024-09-30 2023-09-30 2022-09-30 2021-09-30
Revenue
Total Revenue $15,568,296,150 $15,416,125,376 $14,731,717,490 $15,159,382,270
Operating Revenue $15,568,296,150 $15,416,125,376 $14,731,717,490 $15,159,382,270
Expenses
Interest Expense $25,669,983,469 $18,343,429,498 $4,392,037,965 $3,908,841,670
Rent Expense Supplemental $83,657,866 $110,341,840 $122,602,045 $118,274,914
Selling And Marketing Expense $126,929,176 $121,880,856 $113,947,783 $158,661,470
General And Administrative Expense $4,272,320,674 $4,340,112,393 $4,256,454,527 $4,402,855,792
Professional Expense And Contract Services Expense $575,508,423 $652,675,592 $761,575,056 $1,016,875,785
Other Non Interest Expense $1,661,618,304 $1,421,462,534 $1,336,362,290 $1,674,599,697
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $5,041,107,615 $5,188,951,258 $4,106,447,319 $3,936,246,833
Net Interest Income $13,524,447,940 $13,210,009,754 $12,376,315,848 $12,157,795,733
Interest Income $39,194,431,410 $31,553,439,252 $16,768,353,814 $16,066,637,403
Normalized Income $5,096,970,299 $5,190,967,124 $4,741,688,973 $4,506,763,098
Net Income From Continuing And Discontinued Operation $5,041,107,615 $5,188,951,258 $4,106,447,319 $3,936,246,833
Average Dilution Earnings $343,285,726 $288,475,400 $168,036,920 $157,219,093
Net Income Common Stockholders $5,036,059,296 $5,185,345,315 $4,104,283,754 $3,934,804,456
Net Income $5,041,107,615 $5,188,951,258 $4,106,447,319 $3,936,246,833
Net Income Including Noncontrolling Interests $5,041,107,615 $5,193,278,388 $4,110,053,262 $3,939,852,776
Net Income Continuous Operations $5,041,107,615 $5,193,278,388 $4,110,053,262 $3,939,852,776
Pretax Income $7,289,052,170 $7,431,847,492 $6,107,745,406 $6,130,823,438
Special Income Charges $-85,100,243 $-2,884,754 $-941,872,181 $-892,831,363
Depreciation Amortization Depletion Income Statement $1,078,176,808 $863,983,823 $888,504,232 $1,210,154,303
Depreciation And Amortization In Income Statement $1,078,176,808 $863,983,823 $888,504,232 $1,210,154,303
Amortization Of Intangibles Income Statement $665,656,986 $449,300,436 $393,768,921 $564,690,596
Depreciation Income Statement $412,519,822 $414,683,388 $494,735,311 $645,463,708
Other
Tax Effect Of Unusual Items $-24,910,428 $-868,888 $-308,794,093 $-317,266,779
Tax Rate For Calcs $0 $0 $0 $0
Total Unusual Items $-80,773,112 $-2,884,754 $-944,035,746 $-887,783,044
Total Unusual Items Excluding Goodwill $-80,773,112 $-2,884,754 $-944,035,746 $-887,783,044
Reconciled Depreciation $1,097,648,897 $892,110,174 $1,140,199,018 $2,202,509,679
Diluted NI Availto Com Stockholders $5,379,345,022 $5,473,820,715 $4,272,320,674 $4,092,023,549
Otherunder Preferred Stock Dividend $5,048,320 $3,605,942 $2,163,566 $1,442,377
Minority Interests $0 $-4,327,131 $-3,605,942 $-3,605,942
Tax Provision $2,247,944,554 $2,238,569,104 $1,997,692,145 $2,190,970,663
Gain On Sale Of Business $0 $193,278,518 $-593,538,136 $166,594,544
Write Off $0 $0 $0 $0
Impairment Of Capital Assets $19,472,090 $28,126,352 $251,694,786 $992,355,376
Restructuring And Mergern Acquisition $65,628,154 $168,036,920 $96,639,259 $67,070,530
Gain On Sale Of Security $-13,702,582 $56,252,703 $13,702,582 $486,081,049
Amortization $665,656,986 $449,300,436 $393,768,921 $564,690,596
Selling General And Administration $4,399,249,850 $4,461,993,250 $4,370,402,310 $4,561,517,262
Rent And Landing Fees $83,657,866 $110,341,840 $122,602,045 $118,274,914
Salaries And Wages $4,188,662,808 $4,229,770,552 $4,133,852,482 $4,284,580,878
Occupancy And Equipment $93,033,316 $114,668,972 $85,100,243 $77,167,170
Fetched: 2026-05-08
Balance Sheet (Annual)
Metric 2024-09-30 2023-09-30 2022-09-30 2021-09-30
Assets
Net Tangible Assets $43,962,929,772 $44,431,702,296 $43,361,458,562 $44,660,319,051
Total Assets $777,112,341,044 $742,661,166,399 $731,427,934,323 $674,943,729,814
Goodwill And Other Intangible Assets $7,749,891,621 $7,850,858,011 $7,447,713,640 $7,290,494,546
Other Intangible Assets $2,389,297,500 $2,500,360,530 $2,115,967,059 $1,810,183,135
Receivables $2,058,993,168 $1,891,677,436 $1,637,097,895 $1,145,968,526
Other Receivables $208,423,476 $212,029,419 $277,657,572 $212,750,608
Accounts Receivable $1,850,569,691 $1,679,648,016 $1,359,440,322 $933,217,919
Cash And Cash Equivalents $47,792,440,706 $74,265,106,976 $76,254,144,859 $51,865,713,354
Cash Financial $6,721,476,820 $9,989,903,102 $10,609,404,024 $11,902,495,004
Cash Cash Equivalents And Federal Funds Sold $60,766,621,822 $82,958,313,155 $82,736,187,097 $53,983,843,979
Debt
Net Debt $101,614,017,273 $62,579,689,710 $50,763,016,138 $61,971,006,616
Total Debt $149,406,457,980 $136,844,796,686 $127,017,160,997 $113,836,719,971
Long Term Debt And Capital Lease Obligation $132,418,862,862 $120,483,193,187 $105,920,954,995 $99,705,031,314
Long Term Debt $132,418,862,862 $120,483,193,187 $105,920,954,995 $99,705,031,314
Current Debt And Capital Lease Obligation $16,987,595,118 $16,361,603,500 $21,096,206,002 $14,131,688,658
Current Debt $16,987,595,118 $16,361,603,500 $21,096,206,002 $14,131,688,658
Liabilities
Total Liabilities Net Minority Interest $725,149,267,242 $690,346,873,798 $680,577,654,376 $622,951,808,472
Derivative Product Liabilities $22,338,092,599 $17,775,132,960 $28,535,986,568 $13,023,943,122
Payables And Accrued Expenses $5,685,850,134 $5,126,929,046 $2,165,007,877 $1,735,900,720
Payables $5,685,850,134 $5,126,929,046 $2,165,007,877 $1,735,900,720
Total Tax Payable $410,356,256 $562,527,030 $157,940,282 $51,204,384
Income Tax Payable $410,356,256 $562,527,030 $157,940,282 $51,204,384
Accounts Payable $5,275,493,878 $4,564,402,016 $2,007,067,596 $1,684,696,336
Non Current Deferred Liabilities - - - $64,906,965
Non Current Deferred Taxes Liabilities - - - $64,906,965
Equity
Common Stock Equity $51,712,821,392 $52,282,560,308 $50,809,172,202 $51,950,813,598
Total Equity Gross Minority Interest $51,963,073,802 $52,314,292,602 $50,850,279,946 $51,991,921,342
Stockholders Equity $51,712,821,392 $52,282,560,308 $50,809,172,202 $51,950,813,598
Gains Losses Not Affecting Retained Earnings $1,249,098,482 $1,395,499,748 $1,714,986,253 $1,606,086,790
Retained Earnings $23,635,510,710 $22,671,281,686 $20,959,901,376 $20,779,604,250
Long Term Equity Investment $0 $0 $26,683,974 $41,828,933
Other
Treasury Shares Number $4,452,527 $3,785,997 $3,630,686 $3,146,783
Ordinary Shares Number $2,477,453,770 $2,526,919,953 $2,521,342,343 $2,642,599,440
Share Issued $2,481,906,297 $2,530,705,949 $2,524,973,030 $2,645,746,223
Tangible Book Value $43,962,929,772 $44,431,702,296 $43,361,458,562 $44,660,319,051
Invested Capital $201,119,279,372 $189,127,356,994 $177,826,333,199 $165,787,533,568
Total Capitalization $184,131,684,254 $172,765,753,494 $156,730,127,197 $151,655,844,911
Minority Interest $250,252,410 $31,732,294 $41,107,744 $41,107,744
Treasury Stock $546,660,883 $506,274,327 $472,378,468 $437,040,231
Capital Stock $27,374,873,083 $28,722,053,201 $28,606,663,041 $30,002,162,788
Common Stock $27,374,873,083 $28,722,053,201 $28,606,663,041 $30,002,162,788
Long Term Provisions $1,806,577,192 $2,002,740,464 $2,127,506,075 $2,575,364,134
Commercial Paper $16,987,595,118 $16,361,603,500 $21,096,206,002 $14,131,688,658
Investments And Advances $98,774,698,148 $69,831,961,266 $68,165,294,643 $75,954,851,632
Available For Sale Securities $2,500,360,530 $4,211,019,652 $4,508,149,314 $5,596,422,760
Trading Securities $22,194,576,088 $12,329,438,596 $9,336,506,321 $10,831,530,082
Goodwill $5,360,594,120 $5,350,497,482 $5,331,746,580 $5,480,311,412
Net PPE $1,623,395,314 $1,619,068,182 $1,751,766,866 $2,057,550,790
Other Short Term Investments $74,079,761,532 $53,291,503,019 $54,293,955,034 $59,485,069,857
Fetched: 2026-05-08
Cash Flow Statement (Annual)
Metric 2024-09-30 2023-09-30 2022-09-30 2021-09-30
Free Cash Flow
Free Cash Flow $-14,989,181,784 $-8,780,469,988 $11,314,726,376 $35,652,674,686
Operating Activities
Operating Cash Flow $-14,255,733,080 $-7,785,951,046 $12,227,029,829 $36,355,112,285
Cash Flow From Continuing Operating Activities $-14,255,733,080 $-7,785,951,046 $12,227,029,829 $36,355,112,285
Investing Activities
Capital Expenditure $-733,448,704 $-994,518,942 $-912,303,452 $-702,437,599
Investing Cash Flow $-18,871,339,480 $1,234,674,712 $2,024,376,120 $4,055,242,936
Cash Flow From Continuing Investing Activities $-18,871,339,480 $1,234,674,712 $2,024,376,120 $4,055,242,936
Financing Activities
Repurchase Of Capital Stock $-1,347,180,118 $-33,895,860 $-2,561,661,552 $-31,011,106
Financing Cash Flow $7,090,725,332 $4,078,320,968 $9,547,814,552 $-10,889,946,350
Cash Flow From Continuing Financing Activities $7,090,725,332 $4,078,320,968 $9,547,814,552 $-10,889,946,350
Net Other Financing Charges $223,568,435 $-15,144,958 $-3,605,942 $517,092,154
Cash Dividends Paid $-4,076,157,402 $-3,248,233,004 $-3,127,794,524 $-2,052,502,471
Common Stock Dividend Paid $-4,076,157,402 $-3,248,233,004 $-3,127,794,524 $-2,052,502,471
Net Common Stock Issuance $-1,347,180,118 $-33,895,860 $-2,561,661,552 $-31,011,106
Issuance Of Capital Stock - - $0 $0
Common Stock Issuance - - $0 $0
Other
Repayment Of Debt $-50,103,128,660 $-46,277,223,668 $-42,312,129,295 $-48,555,458,140
Issuance Of Debt $62,434,009,634 $53,675,896,490 $57,576,805,086 $39,252,126,490
End Cash Position $47,358,285,230 $73,937,687,397 $75,910,137,944 $51,458,963,040
Other Cash Adjustment Outside Changein Cash $0 $0 $5,048,320 $-5,048,320
Beginning Cash Position $73,937,687,397 $75,910,137,944 $51,458,963,040 $21,728,688,316
Effect Of Exchange Rate Changes $-543,054,940 $500,504,819 $646,906,084 $214,914,173
Changes In Cash $-26,036,347,227 $-2,472,955,366 $23,799,220,500 $29,520,408,870
Proceeds From Stock Option Exercised $-40,386,556 $-23,078,032 $-23,799,220 $-20,193,278
Common Stock Payments $-1,347,180,118 $-33,895,860 $-2,561,661,552 $-31,011,106
Net Issuance Payments Of Debt $12,330,880,973 $7,398,672,822 $15,264,675,791 $-9,303,331,650
Net Long Term Debt Issuance $12,330,880,973 $7,398,672,822 $15,264,675,791 $-9,303,331,650
Long Term Debt Payments $-50,103,128,660 $-46,277,223,668 $-42,312,129,295 $-48,555,458,140
Long Term Debt Issuance $62,434,009,634 $53,675,896,490 $57,576,805,086 $39,252,126,490
Net Investment Purchase And Sale $-18,149,429,791 $1,965,959,851 $1,403,432,821 $3,795,615,076
Sale Of Investment $34,345,881,124 $26,308,956,480 $25,978,652,147 $24,600,460,924
Purchase Of Investment $-52,495,310,915 $-24,342,996,629 $-24,575,219,326 $-20,804,845,848
Net Business Purchase And Sale $-21,635,655 $211,308,230 $1,515,217,038 $917,351,772
Sale Of Business $0 $211,308,230 $1,525,313,678 $917,351,772
Purchase Of Business $-21,635,655 $0 $-10,096,639 $0
Net Intangibles Purchase And Sale $-563,969,407 $-822,876,078 $-792,586,162 $-533,679,490
Purchase Of Intangibles $-563,969,407 $-822,876,078 $-792,586,162 $-533,679,490
Net PPE Purchase And Sale $-136,304,626 $-119,717,291 $-101,687,578 $-124,044,422
Sale Of PPE $33,174,671 $51,925,572 $18,029,712 $44,713,687
Purchase Of PPE $-169,479,298 $-171,642,863 $-119,717,291 $-168,758,109
Change In Working Capital $-20,897,157,976 $-14,218,231,278 $5,390,884,038 $31,631,327,610
Change In Other Working Capital $5,755,805,418 $5,215,635,232 $29,871,627,670 $42,407,326,177
Change In Other Current Liabilities $-229,337,943 $-2,091,446,650 $2,635,222,779 $61,301,022
Change In Other Current Assets $-1,536,852,694 $1,120,005,740 $-1,084,667,504 $224,289,624
Change In Payables And Accrued Expense $578,393,177 $1,730,852,400 $572,623,669 $-305,062,736
Change In Payable $578,393,177 $1,730,852,400 $572,623,669 $-305,062,736
Change In Account Payable $578,393,177 $1,730,852,400 $572,623,669 $-305,062,736
Change In Receivables $-163,709,790 $-526,467,605 $-392,326,544 $131,977,496
Changes In Account Receivables $-163,709,790 $-526,467,605 $-392,326,544 $131,977,496
Other Non Cash Items $-1,004,615,580 $-939,708,616 $900,043,248 $-1,420,020,156
Deferred Tax $-181,739,502 $479,590,352 $307,947,490 $252,415,975
Deferred Income Tax $-181,739,502 $479,590,352 $307,947,490 $252,415,975
Depreciation Amortization Depletion $1,097,648,897 $892,110,174 $1,140,199,018 $2,202,509,679
Depreciation And Amortization $1,097,648,897 $892,110,174 $1,140,199,018 $2,202,509,679
Net Income From Continuing Operations $5,041,107,615 $5,193,278,388 $4,110,053,262 $3,939,852,776
Fetched: 2026-05-08