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Csl Ltd ADR (CSLLY)

Csl Ltd ADR (CSLLY)
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CSL Ltd. is a biopharmaceutical company. It engages in researches, develops, manufactures and markets vaccines and plasma protein biotherapies to treat and prevent human medical conditions. The company's operating segments consists of CSL Behring and bioCSL. CSL Behring segment provides plasma-derived and recombinant products, and operates plasma collection networks through CSL Plasma. bioCSL segment manufactures, sells and distributes vaccines, antivenoms and other pharmaceutical products primarily in Australia and New Zealand; as well as also manufactures and markets in vitro diagnostic products through Immunohaematology. It operates primarily in Germany, Switzerland and the United States. CSL Ltd. is headquartered in Parkville, Australia.

Fiscal Year End Date: 06/30

(Values in U.S. Thousands) Jun, 2025 Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021
Sales 15,558,000 14,800,000 13,310,000 10,561,900 10,310,000
Sales Growth +5.12% +11.19% +26.02% +2.44% +12.67%
Net Income 3,002,000 2,642,000 2,194,000 2,254,700 2,375,000
Net Income Growth +13.63% +20.42% -2.69% -5.07% +12.96%
(Values in U.S. Thousands) Jun, 2025 Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021
Total Assets 39,404,000 38,022,000 36,234,000 28,346,000 18,156,900
Total Assets Growth +3.63% +4.93% +27.83% +56.12% +17.41%
Total Liabilities 17,997,000 18,621,000 18,408,000 13,768,500 9,775,600
Total Liabilities Growth -3.35% +1.16% +33.70% +40.85% +9.38%
(Values in U.S. Thousands) Jun, 2025 Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021
Operating Cash Flow 3,561,000 2,764,000 2,601,000 2,628,700 3,621,900
Operating Cash Flow Growth +28.84% +6.27% -1.05% -27.42% +45.56%
Net Cash Flow 514,000 134,000 -8,825,000 8,604,300 578,800
Change in Net Cash Flow +283.58% +101.52% -202.57% +1,386.58% +17.28%
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