AU Stock MarketDetailed Quotes

BMN Bannerman Energy Ltd

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  • 2.810
  • +0.100+3.69%
20min DelayMarket Closed Nov 22 16:00 AET
501.95MMarket Cap-44603P/E (Static)

Bannerman Energy Ltd 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
-43.45%24.08M
-43.45%24.08M
-17.99%42.59M
-17.99%42.59M
316.94%51.93M
316.94%51.93M
198.39%12.46M
198.39%12.46M
-33.41%4.17M
-33.41%4.17M
-Cash and cash equivalents
-43.54%24.05M
-43.54%24.05M
-17.99%42.59M
-17.99%42.59M
316.94%51.93M
316.94%51.93M
198.39%12.46M
198.39%12.46M
-33.41%4.17M
-33.41%4.17M
-Short term investments
--38K
--38K
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----
----
----
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Receivables
91.34%685K
91.34%685K
247.57%358K
247.57%358K
232.26%103K
232.26%103K
-24.39%31K
-24.39%31K
-71.13%41K
-71.13%41K
-Other receivables
91.34%685K
91.34%685K
247.57%358K
247.57%358K
232.26%103K
232.26%103K
-24.39%31K
-24.39%31K
-71.13%41K
-71.13%41K
Prepaid assets
-44.15%234K
-44.15%234K
423.75%419K
423.75%419K
--80K
--80K
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----
----
----
Other current assets
----
----
----
----
23,451.61%7.3M
23,451.61%7.3M
-29.55%31K
-29.55%31K
-8.33%44K
-8.33%44K
Total current assets
-42.34%25M
-42.34%25M
-27.01%43.37M
-27.01%43.37M
374.67%59.41M
374.67%59.41M
193.90%12.52M
193.90%12.52M
-34.05%4.26M
-34.05%4.26M
Non current assets
Net PPE
30.78%78.98M
30.78%78.98M
-0.06%60.39M
-0.06%60.39M
11.00%60.43M
11.00%60.43M
13.38%54.44M
13.38%54.44M
-15.79%48.02M
-15.79%48.02M
-Gross PPE
30.69%79.24M
30.69%79.24M
-0.09%60.63M
-0.09%60.63M
10.60%60.69M
10.60%60.69M
13.38%54.87M
13.38%54.87M
-16.60%48.39M
-16.60%48.39M
-Accumulated depreciation
-7.92%-259K
-7.92%-259K
8.05%-240K
8.05%-240K
39.30%-261K
39.30%-261K
-13.76%-430K
-13.76%-430K
62.35%-378K
62.35%-378K
Investments and advances
-58.67%3.8M
-58.67%3.8M
--9.2M
--9.2M
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----
----
----
----
----
-Long term equity investment
-58.89%3.78M
-58.89%3.78M
--9.2M
--9.2M
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----
----
----
----
----
-Other investment
--20K
--20K
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----
----
----
----
----
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Other non current assets
--2K
--2K
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----
----
----
----
----
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Total non current assets
18.96%82.79M
18.96%82.79M
15.16%69.59M
15.16%69.59M
11.00%60.43M
11.00%60.43M
13.38%54.44M
13.38%54.44M
-15.80%48.02M
-15.80%48.02M
Total assets
-4.57%107.79M
-4.57%107.79M
-5.75%112.96M
-5.75%112.96M
78.98%119.84M
78.98%119.84M
28.09%66.96M
28.09%66.96M
-17.66%52.28M
-17.66%52.28M
Liabilities
Current liabilities
Current debt and capital lease obligation
293.75%63K
293.75%63K
0.00%16K
0.00%16K
0.00%16K
0.00%16K
-65.22%16K
-65.22%16K
--46K
--46K
-Current capital lease obligation
293.75%63K
293.75%63K
0.00%16K
0.00%16K
0.00%16K
0.00%16K
-65.22%16K
-65.22%16K
--46K
--46K
Payables
-17.34%1.08M
-17.34%1.08M
28.46%1.31M
28.46%1.31M
427.98%1.02M
427.98%1.02M
3.21%193K
3.21%193K
39.55%187K
39.55%187K
-accounts payable
103.60%792K
103.60%792K
77.63%389K
77.63%389K
386.67%219K
386.67%219K
-15.09%45K
-15.09%45K
-48.54%53K
-48.54%53K
-Other payable
-68.48%290K
-68.48%290K
15.00%920K
15.00%920K
440.54%800K
440.54%800K
10.45%148K
10.45%148K
332.26%134K
332.26%134K
Current provisions
----
----
0.00%500K
0.00%500K
--500K
--500K
----
----
-43.96%51K
-43.96%51K
Pension and other retirement benefit plans
119.09%241K
119.09%241K
-6.78%110K
-6.78%110K
24.21%118K
24.21%118K
--95K
--95K
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----
Current liabilities
-28.37%1.39M
-28.37%1.39M
17.06%1.94M
17.06%1.94M
443.75%1.65M
443.75%1.65M
7.04%304K
7.04%304K
26.22%284K
26.22%284K
Non current liabilities
Long term provisions
136.60%627K
136.60%627K
-11.07%265K
-11.07%265K
1.02%298K
1.02%298K
17.06%295K
17.06%295K
-12.20%252K
-12.20%252K
Employee benefits
25.00%65K
25.00%65K
--52K
--52K
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----
----
----
10.00%11K
10.00%11K
Total non current liabilities
118.30%692K
118.30%692K
6.38%317K
6.38%317K
1.02%298K
1.02%298K
12.17%295K
12.17%295K
-11.45%263K
-11.45%263K
Total liabilities
-7.73%2.08M
-7.73%2.08M
15.43%2.25M
15.43%2.25M
225.71%1.95M
225.71%1.95M
9.51%599K
9.51%599K
4.79%547K
4.79%547K
Shareholders'equity
Share capital
0.62%211.93M
0.62%211.93M
0.88%210.63M
0.88%210.63M
36.98%208.8M
36.98%208.8M
7.96%152.43M
7.96%152.43M
0.03%141.2M
0.03%141.2M
-common stock
0.62%211.93M
0.62%211.93M
0.88%210.63M
0.88%210.63M
36.98%208.8M
36.98%208.8M
7.96%152.43M
7.96%152.43M
0.03%141.2M
0.03%141.2M
Retained earnings
-7.87%-130.36M
-7.87%-130.36M
-3.99%-120.84M
-3.99%-120.84M
-3.06%-116.2M
-3.06%-116.2M
-2.04%-112.75M
-2.04%-112.75M
-2.10%-110.5M
-2.10%-110.5M
Gains losses not affecting retained earnings
17.97%25.13M
17.97%25.13M
-15.96%21.31M
-15.96%21.31M
-5.13%25.35M
-5.13%25.35M
27.40%26.72M
27.40%26.72M
-30.88%20.98M
-30.88%20.98M
Total stockholders'equity
-3.95%106.7M
-3.95%106.7M
-5.81%111.09M
-5.81%111.09M
77.61%117.95M
77.61%117.95M
28.50%66.41M
28.50%66.41M
-18.34%51.68M
-18.34%51.68M
Noncontrolling interests
-155.81%-990K
-155.81%-990K
-578.95%-387K
-578.95%-387K
-21.28%-57K
-21.28%-57K
-190.38%-47K
-190.38%-47K
116.51%52K
116.51%52K
Total equity
-4.51%105.71M
-4.51%105.71M
-6.10%110.7M
-6.10%110.7M
77.65%117.89M
77.65%117.89M
28.28%66.36M
28.28%66.36M
-17.85%51.73M
-17.85%51.73M
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 -43.45%24.08M-43.45%24.08M-17.99%42.59M-17.99%42.59M316.94%51.93M316.94%51.93M198.39%12.46M198.39%12.46M-33.41%4.17M-33.41%4.17M
-Cash and cash equivalents -43.54%24.05M-43.54%24.05M-17.99%42.59M-17.99%42.59M316.94%51.93M316.94%51.93M198.39%12.46M198.39%12.46M-33.41%4.17M-33.41%4.17M
-Short term investments --38K--38K--------------------------------
Receivables 91.34%685K91.34%685K247.57%358K247.57%358K232.26%103K232.26%103K-24.39%31K-24.39%31K-71.13%41K-71.13%41K
-Other receivables 91.34%685K91.34%685K247.57%358K247.57%358K232.26%103K232.26%103K-24.39%31K-24.39%31K-71.13%41K-71.13%41K
Prepaid assets -44.15%234K-44.15%234K423.75%419K423.75%419K--80K--80K----------------
Other current assets ----------------23,451.61%7.3M23,451.61%7.3M-29.55%31K-29.55%31K-8.33%44K-8.33%44K
Total current assets -42.34%25M-42.34%25M-27.01%43.37M-27.01%43.37M374.67%59.41M374.67%59.41M193.90%12.52M193.90%12.52M-34.05%4.26M-34.05%4.26M
Non current assets
Net PPE 30.78%78.98M30.78%78.98M-0.06%60.39M-0.06%60.39M11.00%60.43M11.00%60.43M13.38%54.44M13.38%54.44M-15.79%48.02M-15.79%48.02M
-Gross PPE 30.69%79.24M30.69%79.24M-0.09%60.63M-0.09%60.63M10.60%60.69M10.60%60.69M13.38%54.87M13.38%54.87M-16.60%48.39M-16.60%48.39M
-Accumulated depreciation -7.92%-259K-7.92%-259K8.05%-240K8.05%-240K39.30%-261K39.30%-261K-13.76%-430K-13.76%-430K62.35%-378K62.35%-378K
Investments and advances -58.67%3.8M-58.67%3.8M--9.2M--9.2M------------------------
-Long term equity investment -58.89%3.78M-58.89%3.78M--9.2M--9.2M------------------------
-Other investment --20K--20K--------------------------------
Other non current assets --2K--2K--------------------------------
Total non current assets 18.96%82.79M18.96%82.79M15.16%69.59M15.16%69.59M11.00%60.43M11.00%60.43M13.38%54.44M13.38%54.44M-15.80%48.02M-15.80%48.02M
Total assets -4.57%107.79M-4.57%107.79M-5.75%112.96M-5.75%112.96M78.98%119.84M78.98%119.84M28.09%66.96M28.09%66.96M-17.66%52.28M-17.66%52.28M
Liabilities
Current liabilities
Current debt and capital lease obligation 293.75%63K293.75%63K0.00%16K0.00%16K0.00%16K0.00%16K-65.22%16K-65.22%16K--46K--46K
-Current capital lease obligation 293.75%63K293.75%63K0.00%16K0.00%16K0.00%16K0.00%16K-65.22%16K-65.22%16K--46K--46K
Payables -17.34%1.08M-17.34%1.08M28.46%1.31M28.46%1.31M427.98%1.02M427.98%1.02M3.21%193K3.21%193K39.55%187K39.55%187K
-accounts payable 103.60%792K103.60%792K77.63%389K77.63%389K386.67%219K386.67%219K-15.09%45K-15.09%45K-48.54%53K-48.54%53K
-Other payable -68.48%290K-68.48%290K15.00%920K15.00%920K440.54%800K440.54%800K10.45%148K10.45%148K332.26%134K332.26%134K
Current provisions --------0.00%500K0.00%500K--500K--500K---------43.96%51K-43.96%51K
Pension and other retirement benefit plans 119.09%241K119.09%241K-6.78%110K-6.78%110K24.21%118K24.21%118K--95K--95K--------
Current liabilities -28.37%1.39M-28.37%1.39M17.06%1.94M17.06%1.94M443.75%1.65M443.75%1.65M7.04%304K7.04%304K26.22%284K26.22%284K
Non current liabilities
Long term provisions 136.60%627K136.60%627K-11.07%265K-11.07%265K1.02%298K1.02%298K17.06%295K17.06%295K-12.20%252K-12.20%252K
Employee benefits 25.00%65K25.00%65K--52K--52K----------------10.00%11K10.00%11K
Total non current liabilities 118.30%692K118.30%692K6.38%317K6.38%317K1.02%298K1.02%298K12.17%295K12.17%295K-11.45%263K-11.45%263K
Total liabilities -7.73%2.08M-7.73%2.08M15.43%2.25M15.43%2.25M225.71%1.95M225.71%1.95M9.51%599K9.51%599K4.79%547K4.79%547K
Shareholders'equity
Share capital 0.62%211.93M0.62%211.93M0.88%210.63M0.88%210.63M36.98%208.8M36.98%208.8M7.96%152.43M7.96%152.43M0.03%141.2M0.03%141.2M
-common stock 0.62%211.93M0.62%211.93M0.88%210.63M0.88%210.63M36.98%208.8M36.98%208.8M7.96%152.43M7.96%152.43M0.03%141.2M0.03%141.2M
Retained earnings -7.87%-130.36M-7.87%-130.36M-3.99%-120.84M-3.99%-120.84M-3.06%-116.2M-3.06%-116.2M-2.04%-112.75M-2.04%-112.75M-2.10%-110.5M-2.10%-110.5M
Gains losses not affecting retained earnings 17.97%25.13M17.97%25.13M-15.96%21.31M-15.96%21.31M-5.13%25.35M-5.13%25.35M27.40%26.72M27.40%26.72M-30.88%20.98M-30.88%20.98M
Total stockholders'equity -3.95%106.7M-3.95%106.7M-5.81%111.09M-5.81%111.09M77.61%117.95M77.61%117.95M28.50%66.41M28.50%66.41M-18.34%51.68M-18.34%51.68M
Noncontrolling interests -155.81%-990K-155.81%-990K-578.95%-387K-578.95%-387K-21.28%-57K-21.28%-57K-190.38%-47K-190.38%-47K116.51%52K116.51%52K
Total equity -4.51%105.71M-4.51%105.71M-6.10%110.7M-6.10%110.7M77.65%117.89M77.65%117.89M28.28%66.36M28.28%66.36M-17.85%51.73M-17.85%51.73M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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