FMG.AX · US market
FORTESCUE LTD
Compare this company’s P/E and P/S using trailing results and the latest quarter. Ratios are calculated here from market capitalisation, signed ordinary or common-shareholder earnings and revenue.
Market cap US$34.63bnFinancials dated 30 June 2025Price dated 2 October 2026
Core valuation
Calculation inputs
- Trailing earnings
- Unavailable
- Latest-quarter run-rate earnings
- Unavailable
- Latest fiscal-year earnings
- Unavailable
- Trailing revenue
- Unavailable
- Latest-quarter run-rate revenue
- Unavailable
- Latest fiscal-year revenue
- Unavailable
Featured ETF and mutual-fund exposure
These public funds report this company in their latest disclosed holdings.
- SLX · VanEck Steel ETF4.62% weight · Holdings dated 30 June 2026
- DVYA · iShares Asia/Pacific Dividend ETF4.38% weight · Holdings dated 21 August 2026
- IDV · iShares International Select Dividend ETF1.59% weight · Holdings dated 19 August 2026
- GMOI · GMO International Value ETF1.43% weight · Holdings dated 31 May 2026
- EWA · iShares MSCI Australia ETF1.37% weight · Holdings dated 21 August 2026
- PICK · iShares MSCI Global Metals & Mining Producers ETF1.19% weight · Holdings dated 21 August 2026
- ICOW · Pacer Developed Markets International Cash Cows 100 ETF1.16% weight · Holdings dated 30 April 2026Holdings available · disclosure too old for reliabilityHoldings dated 30 April 2026 are 162 days old, beyond this source’s 155-day reliability limit. Ratios remain available as dated research; calculations are unchanged and are not labelled reliable.
- BBAX · JPMorgan BetaBuilders Developed Asia Pacific ex-Japan ETF1.03% weight · Holdings dated 30 April 2026Holdings available · disclosure too old for reliabilityHoldings dated 30 April 2026 are 162 days old, beyond this source’s 155-day reliability limit. Ratios remain available as dated research; calculations are unchanged and are not labelled reliable.
- FPA · First Trust Asia Pacific Ex-Japan AlphaDEX® Fund0.98% weight · Holdings dated 30 June 2026
- FGD · First Trust Dow Jones Global Select Dividend Index Fund0.95% weight · Holdings dated 30 June 2026
Sources and limitations
Financial inputs are attributed to Australia issuer annual report. Market cap is calculated locally where auditable price and share inputs are available. Missing data stays missing; losses are retained as signed values and produce a numeric signed P/E.
Open financial sourceFinancials as of 30 June 2025. Informational research, not investment advice.