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Sky Network Television Ltd. (SKT.AU) Share Price and Company Information, 2024

Sky Network Television Ltd.

SKT.AU

Exchange: AU
Currency Australian Dollar
Open Figi: BBG000F08R04
ISIN: NZSKTE0001S6
Primary Ticker: SKT.NZ
Fiscal Year End: June
Sector: Communication Services
Industry: Entertainment
Gic Sector: Communication Services
Gic Group: Media & Entertainment
Gic Industry: Entertainment
Gic Sub Industry: Movies & Entertainment
Description: SKY Network Television Limited, an entertainment company, provides sport and entertainment media services, and telecommunications services in New Zealand and internationally. The company provides commercial music, broadcasting services, entertainment quizzes, advertising, content generation, subscription and marketing, and streaming and management services, as well as data analytics services for sports. SKY Network Television Limited was founded in 1990 and is based in Auckland, New Zealand.
Address: 10 Panorama Road, Auckland, New Zealand, 1060
Code: M2O
Exchange: BE
Name: SKY NETWORK TV
Code: SKT
Exchange: NZ
Name: SKY Network Television Limited
Website: https://www.sky.co.nz
Full Time Employees: 679
Updated On: 2024-04-06

Highlights

Market Capitalization: 372820192
Market Capitalization Mln: 372.82
EBITDA: 109293000
PE Ratio: 7.5
Wall Street Target Price: 2.78
Book Value: 3.12
Dividend Share: 0.16
Dividend Yield: 0.05
Earnings Share: 0.34
Most Recent Quarter: 2023-06-30
Profit Margin: 0.06
Operating Margin TTM: 0.10
Return On Assets TTM: 0.07
Return On Equity TTM: 0.12
Revenue TTM: 769030976
Revenue Per Share TTM: 5.32
Quarterly Revenue Growth YOY: 0.03
Gross Profit TTM: 199629000
Diluted Eps TTM: 0.34
Quarterly Earnings Growth YOY: 0.29

Valuation

Trailing PE: 7.5
Forward PE: 8.36
Price Sales TTM: 0.48
Price Book MRQ: 0.89
Enterprise Value: 367471010
Enterprise Value Revenue: 0.47
Enterprise Value Ebitda: 2.30

Technicals

Beta: 0.88
52 Week High: 2.65
52 Week Low: 1.95
50 Day MA: 2.56
200 Day MA: 2.44

Splits & Dividends

Forward Annual Dividend Rate: 0.15
Forward Annual Dividend Yield: 0.05
Payout Ratio: 0.40
Ex Dividend Date: 2024-03-07
Last Split Factor: 5:6
Last Split Date: 2022-11-18

Holders

Name: Fidelity Low-Priced Share Fund
Date: 2021-01-31
Total Shares: 1.35
Current Shares: 2363322
Name: Vanguard International Share Index-Total Intl Share Indx
Date: 2020-10-31
Total Shares: 1.30
Current Shares: 2285217
Name: DFA International Core Equity Portfolio
Date: 2021-01-31
Total Shares: 0.95
Current Shares: 1669304
Name: Vanguard Tax Managed Fund-Vanguard Developed Markets Index Fund
Date: 2020-12-31
Total Shares: 0.62
Current Shares: 1088959
Name: Schwab Strategic Tr-Schwab Fundamental Intl Small Company Idx ETF
Date: 2020-11-30
Total Shares: 0.55
Current Shares: 972224
Name: Harbor International Fund
Date: 2021-01-31
Total Shares: 0.33
Current Shares: 597334
Name: Vanguard Intl Equity Index Fds-FTSE All World ex U.S.Small Cap Index
Date: 2020-10-31
Total Shares: 0.27
Current Shares: 483727
Name: Vanguard Horizon Fund-Global Equity Portfolio
Date: 2020-12-31
Total Shares: 0.22
Current Shares: 375976
Name: Schwab Capital Trust-Schwab Fundamental Int'l Small Co Index Fund
Date: 2021-01-31
Total Shares: 0.21
Current Shares: 361293
Name: Fidelity Series Intrinsic Opportunities Fund
Date: 2021-01-31
Total Shares: 0.2
Current Shares: 350000

Earnings

Report Date: 2018-02-28
Date: 2017-12-31
Currency: NZD
Report Date: 2017-08-22
Date: 2017-06-30
Currency: NZD
Report Date: 2017-02-22
Date: 2016-12-31
Currency: NZD
Report Date: 2016-08-26
Date: 2016-06-30
Currency: NZD
Report Date: 2016-02-26
Date: 2015-12-31
Currency: NZD
Report Date: 2015-08-21
Date: 2015-06-30
Currency: NZD
Report Date: 2015-02-23
Date: 2014-12-31
Currency: NZD
Report Date: 2014-08-22
Date: 2014-06-30
Currency: NZD
Report Date: 2014-02-23
Date: 2013-12-31
Currency: NZD
Date: 2017-12-31
Date: 2017-06-30
Date: 2016-06-30
Date: 2015-06-30
Date: 2014-06-30