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AAR Astral Resources NL

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  • 0.140
  • -0.005-3.45%
20min DelayNot Open Dec 20 16:00 AET
168.33MMarket Cap-46.67P/E (Static)

Astral Resources NL Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(FY)Jun 30, 2020
(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
337.50%5.77M
337.50%5.77M
-58.49%1.32M
-58.49%1.32M
-67.60%3.18M
-67.60%3.18M
188.29%9.81M
188.29%9.81M
657.80%3.4M
657.80%3.4M
-Cash and cash equivalents
337.50%5.77M
337.50%5.77M
-58.49%1.32M
-58.49%1.32M
-67.60%3.18M
-67.60%3.18M
188.29%9.81M
188.29%9.81M
657.80%3.4M
657.80%3.4M
Receivables
-40.52%156.04K
-40.52%156.04K
87.33%262.33K
87.33%262.33K
122.54%140.03K
122.54%140.03K
-79.00%62.93K
-79.00%62.93K
102.18%299.65K
102.18%299.65K
-Other receivables
-40.52%156.04K
-40.52%156.04K
87.33%262.33K
87.33%262.33K
122.54%140.03K
122.54%140.03K
-79.00%62.93K
-79.00%62.93K
102.18%299.65K
102.18%299.65K
Prepaid assets
73.30%77.71K
73.30%77.71K
383.57%44.84K
383.57%44.84K
-27.31%9.27K
-27.31%9.27K
54.35%12.76K
54.35%12.76K
-24.69%8.27K
-24.69%8.27K
Other current assets
----
----
----
----
--1
--1
----
----
----
----
Total current assets
269.22%6M
269.22%6M
-51.12%1.63M
-51.12%1.63M
-66.34%3.33M
-66.34%3.33M
166.40%9.88M
166.40%9.88M
510.07%3.71M
510.07%3.71M
Non current assets
Net PPE
16.37%29.54M
16.37%29.54M
30.83%25.38M
30.83%25.38M
45.13%19.4M
45.13%19.4M
58.33%13.37M
58.33%13.37M
43.76%8.44M
43.76%8.44M
-Gross PPE
16.20%29.54M
16.20%29.54M
30.85%25.42M
30.85%25.42M
45.20%19.43M
45.20%19.43M
58.42%13.38M
58.42%13.38M
43.80%8.45M
43.80%8.45M
-Accumulated depreciation
----
----
-50.22%-37.2K
-50.22%-37.2K
-122.77%-24.76K
-122.77%-24.76K
-392.69%-11.12K
-392.69%-11.12K
---2.26K
---2.26K
Investments and advances
----
----
----
----
--90K
--90K
----
----
----
----
-Financial asset investment
----
----
----
----
--90K
--90K
----
----
----
----
-Including:Trading securities
----
----
----
----
--90K
--90K
----
----
----
----
Other non current assets
----
----
----
----
---1
---1
----
----
----
----
Total non current assets
16.37%29.54M
16.37%29.54M
30.22%25.38M
30.22%25.38M
45.81%19.49M
45.81%19.49M
58.33%13.37M
58.33%13.37M
43.76%8.44M
43.76%8.44M
Total assets
31.59%35.54M
31.59%35.54M
18.36%27.01M
18.36%27.01M
-1.86%22.82M
-1.86%22.82M
91.32%23.25M
91.32%23.25M
87.51%12.15M
87.51%12.15M
Liabilities
Current liabilities
Current debt and capital lease obligation
77.65%89.75K
77.65%89.75K
-34.49%50.52K
-34.49%50.52K
70.70%77.11K
70.70%77.11K
-21.25%45.17K
-21.25%45.17K
--57.37K
--57.37K
-Current capital lease obligation
77.65%89.75K
77.65%89.75K
-34.49%50.52K
-34.49%50.52K
70.70%77.11K
70.70%77.11K
-21.25%45.17K
-21.25%45.17K
--57.37K
--57.37K
Payables
-47.72%580.19K
-47.72%580.19K
-31.65%1.11M
-31.65%1.11M
339.42%1.62M
339.42%1.62M
-9.23%369.53K
-9.23%369.53K
-37.58%407.12K
-37.58%407.12K
-accounts payable
-61.03%383.67K
-61.03%383.67K
37.42%984.5K
37.42%984.5K
147.99%716.39K
147.99%716.39K
-8.70%288.87K
-8.70%288.87K
-41.36%316.41K
-41.36%316.41K
-Other payable
56.76%196.51K
56.76%196.51K
-86.18%125.36K
-86.18%125.36K
1,025.00%907.4K
1,025.00%907.4K
-11.08%80.66K
-11.08%80.66K
-19.46%90.71K
-19.46%90.71K
Pension and other retirement benefit plans
-19.54%196.35K
-19.54%196.35K
42.07%244.05K
42.07%244.05K
6.47%171.79K
6.47%171.79K
157.63%161.34K
157.63%161.34K
--62.63K
--62.63K
Current liabilities
-38.32%866.29K
-38.32%866.29K
-25.00%1.4M
-25.00%1.4M
225.09%1.87M
225.09%1.87M
9.28%576.05K
9.28%576.05K
-19.18%527.11K
-19.18%527.11K
Non current liabilities
Long term debt and capital lease obligation
--30.06K
--30.06K
----
----
112.67%39.96K
112.67%39.96K
-59.77%18.79K
-59.77%18.79K
--46.71K
--46.71K
-Long term capital lease obligation
--30.06K
--30.06K
----
----
112.67%39.96K
112.67%39.96K
-59.77%18.79K
-59.77%18.79K
--46.71K
--46.71K
Long term provisions
32.48%131.74K
32.48%131.74K
14.42%99.44K
14.42%99.44K
-12.23%86.91K
-12.23%86.91K
10.22%99.02K
10.22%99.02K
4.82%89.84K
4.82%89.84K
Total non current liabilities
62.72%161.8K
62.72%161.8K
-21.62%99.44K
-21.62%99.44K
7.69%126.86K
7.69%126.86K
-13.72%117.81K
-13.72%117.81K
59.31%136.55K
59.31%136.55K
Total liabilities
-31.64%1.03M
-31.64%1.03M
-24.79%1.5M
-24.79%1.5M
188.18%2M
188.18%2M
4.55%693.86K
4.55%693.86K
-10.07%663.66K
-10.07%663.66K
Shareholders'equity
Share capital
16.67%76.55M
16.67%76.55M
14.24%65.62M
14.24%65.62M
1.83%57.44M
1.83%57.44M
29.45%56.41M
29.45%56.41M
23.47%43.58M
23.47%43.58M
-common stock
16.67%76.55M
16.67%76.55M
14.24%65.62M
14.24%65.62M
1.83%57.44M
1.83%57.44M
29.45%56.41M
29.45%56.41M
23.47%43.58M
23.47%43.58M
Retained earnings
-6.01%-45.55M
-6.01%-45.55M
-9.61%-42.97M
-9.61%-42.97M
-6.39%-39.2M
-6.39%-39.2M
-11.06%-36.85M
-11.06%-36.85M
-8.90%-33.18M
-8.90%-33.18M
Gains losses not affecting retained earnings
22.88%3.51M
22.88%3.51M
10.77%2.86M
10.77%2.86M
-13.87%2.58M
-13.87%2.58M
174.73%2.99M
174.73%2.99M
18.90%1.09M
18.90%1.09M
Total stockholders'equity
35.32%34.51M
35.32%34.51M
22.51%25.5M
22.51%25.5M
-7.71%20.82M
-7.71%20.82M
96.33%22.56M
96.33%22.56M
100.05%11.49M
100.05%11.49M
Total equity
35.32%34.51M
35.32%34.51M
22.51%25.5M
22.51%25.5M
-7.71%20.82M
-7.71%20.82M
96.33%22.56M
96.33%22.56M
100.05%11.49M
100.05%11.49M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2024(Q4)Jun 30, 2024(FY)Jun 30, 2023(Q4)Jun 30, 2023(FY)Jun 30, 2022(Q4)Jun 30, 2022(FY)Jun 30, 2021(Q4)Jun 30, 2021(FY)Jun 30, 2020(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 337.50%5.77M337.50%5.77M-58.49%1.32M-58.49%1.32M-67.60%3.18M-67.60%3.18M188.29%9.81M188.29%9.81M657.80%3.4M657.80%3.4M
-Cash and cash equivalents 337.50%5.77M337.50%5.77M-58.49%1.32M-58.49%1.32M-67.60%3.18M-67.60%3.18M188.29%9.81M188.29%9.81M657.80%3.4M657.80%3.4M
Receivables -40.52%156.04K-40.52%156.04K87.33%262.33K87.33%262.33K122.54%140.03K122.54%140.03K-79.00%62.93K-79.00%62.93K102.18%299.65K102.18%299.65K
-Other receivables -40.52%156.04K-40.52%156.04K87.33%262.33K87.33%262.33K122.54%140.03K122.54%140.03K-79.00%62.93K-79.00%62.93K102.18%299.65K102.18%299.65K
Prepaid assets 73.30%77.71K73.30%77.71K383.57%44.84K383.57%44.84K-27.31%9.27K-27.31%9.27K54.35%12.76K54.35%12.76K-24.69%8.27K-24.69%8.27K
Other current assets ------------------1--1----------------
Total current assets 269.22%6M269.22%6M-51.12%1.63M-51.12%1.63M-66.34%3.33M-66.34%3.33M166.40%9.88M166.40%9.88M510.07%3.71M510.07%3.71M
Non current assets
Net PPE 16.37%29.54M16.37%29.54M30.83%25.38M30.83%25.38M45.13%19.4M45.13%19.4M58.33%13.37M58.33%13.37M43.76%8.44M43.76%8.44M
-Gross PPE 16.20%29.54M16.20%29.54M30.85%25.42M30.85%25.42M45.20%19.43M45.20%19.43M58.42%13.38M58.42%13.38M43.80%8.45M43.80%8.45M
-Accumulated depreciation ---------50.22%-37.2K-50.22%-37.2K-122.77%-24.76K-122.77%-24.76K-392.69%-11.12K-392.69%-11.12K---2.26K---2.26K
Investments and advances ------------------90K--90K----------------
-Financial asset investment ------------------90K--90K----------------
-Including:Trading securities ------------------90K--90K----------------
Other non current assets -------------------1---1----------------
Total non current assets 16.37%29.54M16.37%29.54M30.22%25.38M30.22%25.38M45.81%19.49M45.81%19.49M58.33%13.37M58.33%13.37M43.76%8.44M43.76%8.44M
Total assets 31.59%35.54M31.59%35.54M18.36%27.01M18.36%27.01M-1.86%22.82M-1.86%22.82M91.32%23.25M91.32%23.25M87.51%12.15M87.51%12.15M
Liabilities
Current liabilities
Current debt and capital lease obligation 77.65%89.75K77.65%89.75K-34.49%50.52K-34.49%50.52K70.70%77.11K70.70%77.11K-21.25%45.17K-21.25%45.17K--57.37K--57.37K
-Current capital lease obligation 77.65%89.75K77.65%89.75K-34.49%50.52K-34.49%50.52K70.70%77.11K70.70%77.11K-21.25%45.17K-21.25%45.17K--57.37K--57.37K
Payables -47.72%580.19K-47.72%580.19K-31.65%1.11M-31.65%1.11M339.42%1.62M339.42%1.62M-9.23%369.53K-9.23%369.53K-37.58%407.12K-37.58%407.12K
-accounts payable -61.03%383.67K-61.03%383.67K37.42%984.5K37.42%984.5K147.99%716.39K147.99%716.39K-8.70%288.87K-8.70%288.87K-41.36%316.41K-41.36%316.41K
-Other payable 56.76%196.51K56.76%196.51K-86.18%125.36K-86.18%125.36K1,025.00%907.4K1,025.00%907.4K-11.08%80.66K-11.08%80.66K-19.46%90.71K-19.46%90.71K
Pension and other retirement benefit plans -19.54%196.35K-19.54%196.35K42.07%244.05K42.07%244.05K6.47%171.79K6.47%171.79K157.63%161.34K157.63%161.34K--62.63K--62.63K
Current liabilities -38.32%866.29K-38.32%866.29K-25.00%1.4M-25.00%1.4M225.09%1.87M225.09%1.87M9.28%576.05K9.28%576.05K-19.18%527.11K-19.18%527.11K
Non current liabilities
Long term debt and capital lease obligation --30.06K--30.06K--------112.67%39.96K112.67%39.96K-59.77%18.79K-59.77%18.79K--46.71K--46.71K
-Long term capital lease obligation --30.06K--30.06K--------112.67%39.96K112.67%39.96K-59.77%18.79K-59.77%18.79K--46.71K--46.71K
Long term provisions 32.48%131.74K32.48%131.74K14.42%99.44K14.42%99.44K-12.23%86.91K-12.23%86.91K10.22%99.02K10.22%99.02K4.82%89.84K4.82%89.84K
Total non current liabilities 62.72%161.8K62.72%161.8K-21.62%99.44K-21.62%99.44K7.69%126.86K7.69%126.86K-13.72%117.81K-13.72%117.81K59.31%136.55K59.31%136.55K
Total liabilities -31.64%1.03M-31.64%1.03M-24.79%1.5M-24.79%1.5M188.18%2M188.18%2M4.55%693.86K4.55%693.86K-10.07%663.66K-10.07%663.66K
Shareholders'equity
Share capital 16.67%76.55M16.67%76.55M14.24%65.62M14.24%65.62M1.83%57.44M1.83%57.44M29.45%56.41M29.45%56.41M23.47%43.58M23.47%43.58M
-common stock 16.67%76.55M16.67%76.55M14.24%65.62M14.24%65.62M1.83%57.44M1.83%57.44M29.45%56.41M29.45%56.41M23.47%43.58M23.47%43.58M
Retained earnings -6.01%-45.55M-6.01%-45.55M-9.61%-42.97M-9.61%-42.97M-6.39%-39.2M-6.39%-39.2M-11.06%-36.85M-11.06%-36.85M-8.90%-33.18M-8.90%-33.18M
Gains losses not affecting retained earnings 22.88%3.51M22.88%3.51M10.77%2.86M10.77%2.86M-13.87%2.58M-13.87%2.58M174.73%2.99M174.73%2.99M18.90%1.09M18.90%1.09M
Total stockholders'equity 35.32%34.51M35.32%34.51M22.51%25.5M22.51%25.5M-7.71%20.82M-7.71%20.82M96.33%22.56M96.33%22.56M100.05%11.49M100.05%11.49M
Total equity 35.32%34.51M35.32%34.51M22.51%25.5M22.51%25.5M-7.71%20.82M-7.71%20.82M96.33%22.56M96.33%22.56M100.05%11.49M100.05%11.49M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP