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BOSS ENERGY LTD (BQSSF)

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  • 1.250
  • +0.088+7.57%
15min DelayClose Apr 10 15:00 ET
518.90MMarket Cap-22.32P/E (TTM)

BOSS ENERGY LTD (BQSSF) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2025
(Q4)Jun 30, 2025
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-29.04%47.75M
-29.04%47.75M
-24.44%67.29M
-24.44%67.29M
-32.91%89.05M
-32.91%89.05M
535.91%132.74M
535.91%132.74M
446.09%20.87M
446.09%20.87M
-Cash and cash equivalents
-45.58%36.53M
-45.58%36.53M
-24.53%67.12M
-24.53%67.12M
-32.95%88.94M
-32.95%88.94M
535.46%132.64M
535.46%132.64M
446.09%20.87M
446.09%20.87M
-Short-term investments
6,781.60%11.22M
6,781.60%11.22M
44.25%163K
44.25%163K
21.11%113K
21.11%113K
--93.31K
--93.31K
----
----
Receivables
-43.28%18.81M
-43.28%18.81M
1,722.76%33.16M
1,722.76%33.16M
183.58%1.82M
183.58%1.82M
55,291.88%641.44K
55,291.88%641.44K
-69.34%1.16K
-69.34%1.16K
-Accounts receivable
----
----
----
----
204.33%454K
204.33%454K
12,782.38%149.18K
12,782.38%149.18K
-69.34%1.16K
-69.34%1.16K
-Other receivables
-43.28%18.81M
-43.28%18.81M
2,329.01%33.16M
2,329.01%33.16M
177.29%1.37M
177.29%1.37M
--492.26K
--492.26K
----
----
Inventory
331.52%133.69M
331.52%133.69M
--30.98M
--30.98M
----
----
----
----
----
----
Prepaid assets
35.06%2.24M
35.06%2.24M
772.11%1.66M
772.11%1.66M
1,817.45%190K
1,817.45%190K
-13.86%9.91K
-13.86%9.91K
-5.65%11.5K
-5.65%11.5K
Other current assets
----
----
----
----
----
----
----
----
-7.49%16.87K
-7.49%16.87K
Total current assets
52.15%202.48M
52.15%202.48M
46.14%133.08M
46.14%133.08M
-31.73%91.06M
-31.73%91.06M
538.13%133.39M
538.13%133.39M
442.01%20.9M
442.01%20.9M
Non current assets
Net PPE
9.99%271.6M
9.99%271.6M
302.20%246.93M
302.20%246.93M
306.35%61.4M
306.35%61.4M
42.07%15.11M
42.07%15.11M
19.31%10.64M
19.31%10.64M
-Gross PPE
19.78%296.26M
19.78%296.26M
302.08%247.34M
302.08%247.34M
290.61%61.52M
290.61%61.52M
40.15%15.75M
40.15%15.75M
18.80%11.24M
18.80%11.24M
-Accumulated depreciation
-5,928.85%-24.66M
-5,928.85%-24.66M
-240.83%-409K
-240.83%-409K
81.23%-120K
81.23%-120K
-6.29%-639.44K
-6.29%-639.44K
-10.50%-601.61K
-10.50%-601.61K
Goodwill and other intangible assets
----
----
-69.61%86K
-69.61%86K
--283K
--283K
----
----
----
----
-Other intangible assets
----
----
-69.61%86K
-69.61%86K
--283K
--283K
----
----
----
----
Investments and advances
10.03%54.14M
10.03%54.14M
449.30%49.2M
449.30%49.2M
-0.01%8.96M
-0.01%8.96M
-5.33%8.96M
-5.33%8.96M
5.87%9.46M
5.87%9.46M
Other non current assets
----
----
3.46%109.72M
3.46%109.72M
16.88%106.04M
16.88%106.04M
68.40%90.72M
68.40%90.72M
--53.87M
--53.87M
Total non current assets
-19.76%325.74M
-19.76%325.74M
129.76%405.94M
129.76%405.94M
53.91%176.68M
53.91%176.68M
55.19%114.79M
55.19%114.79M
314.38%73.97M
314.38%73.97M
Total assets
-2.00%528.22M
-2.00%528.22M
101.32%539.02M
101.32%539.02M
7.88%267.74M
7.88%267.74M
161.59%248.18M
161.59%248.18M
337.05%94.87M
337.05%94.87M
Liabilities
Current liabilities
Payables
65.24%19.42M
65.24%19.42M
61.38%11.76M
61.38%11.76M
237.68%7.28M
237.68%7.28M
516.13%2.16M
516.13%2.16M
-52.12%350.1K
-52.12%350.1K
-accounts payable
30.83%2.89M
30.83%2.89M
-67.29%2.21M
-67.29%2.21M
339.06%6.75M
339.06%6.75M
1,542.62%1.54M
1,542.62%1.54M
-71.19%93.65K
-71.19%93.65K
-Other payable
73.20%16.53M
73.20%16.53M
1,701.13%9.55M
1,701.13%9.55M
-14.34%530K
-14.34%530K
141.28%618.75K
141.28%618.75K
-36.86%256.45K
-36.86%256.45K
Current provisions
----
----
----
----
--470K
--470K
----
----
----
----
Current debt and capital lease obligation
3.80%164K
3.80%164K
203.85%158K
203.85%158K
13.35%52K
13.35%52K
--45.87K
--45.87K
----
----
-Current capital lease obligation
3.80%164K
3.80%164K
203.85%158K
203.85%158K
13.35%52K
13.35%52K
--45.87K
--45.87K
----
----
Current liabilities
61.01%20.82M
61.01%20.82M
65.64%12.93M
65.64%12.93M
227.35%7.81M
227.35%7.81M
381.07%2.38M
381.07%2.38M
-39.63%495.68K
-39.63%495.68K
Non current liabilities
Long term provisions
40.38%17.01M
40.38%17.01M
32.69%12.12M
32.69%12.12M
-0.01%9.13M
-0.01%9.13M
2.40%9.13M
2.40%9.13M
1.09%8.92M
1.09%8.92M
Long term debt and capital lease obligation
-33.47%326K
-33.47%326K
1,039.53%490K
1,039.53%490K
-54.98%43K
-54.98%43K
--95.51K
--95.51K
----
----
-Long term capital lease obligation
-33.47%326K
-33.47%326K
1,039.53%490K
1,039.53%490K
-54.98%43K
-54.98%43K
--95.51K
--95.51K
----
----
Non current deferred liabilities
101.56%6.33M
101.56%6.33M
--3.14M
--3.14M
----
----
----
----
----
----
Employee benefits
56.76%58K
56.76%58K
--37K
--37K
----
----
----
----
----
----
Total non current liabilities
50.29%23.72M
50.29%23.72M
72.02%15.78M
72.02%15.78M
-0.57%9.17M
-0.57%9.17M
3.47%9.23M
3.47%9.23M
1.09%8.92M
1.09%8.92M
Total liabilities
55.12%44.54M
55.12%44.54M
69.09%28.71M
69.09%28.71M
46.23%16.98M
46.23%16.98M
23.35%11.61M
23.35%11.61M
-2.38%9.41M
-2.38%9.41M
Shareholders'equity
Share capital
2.26%493.19M
2.26%493.19M
78.31%482.31M
78.31%482.31M
-0.00%270.49M
-0.00%270.49M
78.41%270.49M
78.41%270.49M
91.18%151.62M
91.18%151.62M
-common stock
2.26%493.19M
2.26%493.19M
78.31%482.31M
78.31%482.31M
-0.00%270.49M
-0.00%270.49M
78.41%270.49M
78.41%270.49M
91.18%151.62M
91.18%151.62M
Retained earnings
-299.88%-22.77M
-299.88%-22.77M
134.32%11.39M
134.32%11.39M
27.43%-33.2M
27.43%-33.2M
40.54%-45.75M
40.54%-45.75M
1.11%-76.93M
1.11%-76.93M
Gains losses not affecting retained earnings
-20.15%13.26M
-20.15%13.26M
23.32%16.6M
23.32%16.6M
13.92%13.46M
13.92%13.46M
9.69%11.82M
9.69%11.82M
2.08%10.77M
2.08%10.77M
Total stockholders'equity
-5.22%483.68M
-5.22%483.68M
103.50%510.3M
103.50%510.3M
6.00%250.76M
6.00%250.76M
176.82%236.57M
176.82%236.57M
608.33%85.46M
608.33%85.46M
Total equity
-5.22%483.68M
-5.22%483.68M
103.50%510.3M
103.50%510.3M
6.00%250.76M
6.00%250.76M
176.82%236.57M
176.82%236.57M
608.33%85.46M
608.33%85.46M
Currency Unit
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
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, 2025(Q4)Jun 30, 2025(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
Assets
Current assets
Cash, cash equivalents and short term investments -29.04%47.75M-29.04%47.75M-24.44%67.29M-24.44%67.29M-32.91%89.05M-32.91%89.05M535.91%132.74M535.91%132.74M446.09%20.87M446.09%20.87M
-Cash and cash equivalents -45.58%36.53M-45.58%36.53M-24.53%67.12M-24.53%67.12M-32.95%88.94M-32.95%88.94M535.46%132.64M535.46%132.64M446.09%20.87M446.09%20.87M
-Short-term investments 6,781.60%11.22M6,781.60%11.22M44.25%163K44.25%163K21.11%113K21.11%113K--93.31K--93.31K--------
Receivables -43.28%18.81M-43.28%18.81M1,722.76%33.16M1,722.76%33.16M183.58%1.82M183.58%1.82M55,291.88%641.44K55,291.88%641.44K-69.34%1.16K-69.34%1.16K
-Accounts receivable ----------------204.33%454K204.33%454K12,782.38%149.18K12,782.38%149.18K-69.34%1.16K-69.34%1.16K
-Other receivables -43.28%18.81M-43.28%18.81M2,329.01%33.16M2,329.01%33.16M177.29%1.37M177.29%1.37M--492.26K--492.26K--------
Inventory 331.52%133.69M331.52%133.69M--30.98M--30.98M------------------------
Prepaid assets 35.06%2.24M35.06%2.24M772.11%1.66M772.11%1.66M1,817.45%190K1,817.45%190K-13.86%9.91K-13.86%9.91K-5.65%11.5K-5.65%11.5K
Other current assets ---------------------------------7.49%16.87K-7.49%16.87K
Total current assets 52.15%202.48M52.15%202.48M46.14%133.08M46.14%133.08M-31.73%91.06M-31.73%91.06M538.13%133.39M538.13%133.39M442.01%20.9M442.01%20.9M
Non current assets
Net PPE 9.99%271.6M9.99%271.6M302.20%246.93M302.20%246.93M306.35%61.4M306.35%61.4M42.07%15.11M42.07%15.11M19.31%10.64M19.31%10.64M
-Gross PPE 19.78%296.26M19.78%296.26M302.08%247.34M302.08%247.34M290.61%61.52M290.61%61.52M40.15%15.75M40.15%15.75M18.80%11.24M18.80%11.24M
-Accumulated depreciation -5,928.85%-24.66M-5,928.85%-24.66M-240.83%-409K-240.83%-409K81.23%-120K81.23%-120K-6.29%-639.44K-6.29%-639.44K-10.50%-601.61K-10.50%-601.61K
Goodwill and other intangible assets ---------69.61%86K-69.61%86K--283K--283K----------------
-Other intangible assets ---------69.61%86K-69.61%86K--283K--283K----------------
Investments and advances 10.03%54.14M10.03%54.14M449.30%49.2M449.30%49.2M-0.01%8.96M-0.01%8.96M-5.33%8.96M-5.33%8.96M5.87%9.46M5.87%9.46M
Other non current assets --------3.46%109.72M3.46%109.72M16.88%106.04M16.88%106.04M68.40%90.72M68.40%90.72M--53.87M--53.87M
Total non current assets -19.76%325.74M-19.76%325.74M129.76%405.94M129.76%405.94M53.91%176.68M53.91%176.68M55.19%114.79M55.19%114.79M314.38%73.97M314.38%73.97M
Total assets -2.00%528.22M-2.00%528.22M101.32%539.02M101.32%539.02M7.88%267.74M7.88%267.74M161.59%248.18M161.59%248.18M337.05%94.87M337.05%94.87M
Liabilities
Current liabilities
Payables 65.24%19.42M65.24%19.42M61.38%11.76M61.38%11.76M237.68%7.28M237.68%7.28M516.13%2.16M516.13%2.16M-52.12%350.1K-52.12%350.1K
-accounts payable 30.83%2.89M30.83%2.89M-67.29%2.21M-67.29%2.21M339.06%6.75M339.06%6.75M1,542.62%1.54M1,542.62%1.54M-71.19%93.65K-71.19%93.65K
-Other payable 73.20%16.53M73.20%16.53M1,701.13%9.55M1,701.13%9.55M-14.34%530K-14.34%530K141.28%618.75K141.28%618.75K-36.86%256.45K-36.86%256.45K
Current provisions ------------------470K--470K----------------
Current debt and capital lease obligation 3.80%164K3.80%164K203.85%158K203.85%158K13.35%52K13.35%52K--45.87K--45.87K--------
-Current capital lease obligation 3.80%164K3.80%164K203.85%158K203.85%158K13.35%52K13.35%52K--45.87K--45.87K--------
Current liabilities 61.01%20.82M61.01%20.82M65.64%12.93M65.64%12.93M227.35%7.81M227.35%7.81M381.07%2.38M381.07%2.38M-39.63%495.68K-39.63%495.68K
Non current liabilities
Long term provisions 40.38%17.01M40.38%17.01M32.69%12.12M32.69%12.12M-0.01%9.13M-0.01%9.13M2.40%9.13M2.40%9.13M1.09%8.92M1.09%8.92M
Long term debt and capital lease obligation -33.47%326K-33.47%326K1,039.53%490K1,039.53%490K-54.98%43K-54.98%43K--95.51K--95.51K--------
-Long term capital lease obligation -33.47%326K-33.47%326K1,039.53%490K1,039.53%490K-54.98%43K-54.98%43K--95.51K--95.51K--------
Non current deferred liabilities 101.56%6.33M101.56%6.33M--3.14M--3.14M------------------------
Employee benefits 56.76%58K56.76%58K--37K--37K------------------------
Total non current liabilities 50.29%23.72M50.29%23.72M72.02%15.78M72.02%15.78M-0.57%9.17M-0.57%9.17M3.47%9.23M3.47%9.23M1.09%8.92M1.09%8.92M
Total liabilities 55.12%44.54M55.12%44.54M69.09%28.71M69.09%28.71M46.23%16.98M46.23%16.98M23.35%11.61M23.35%11.61M-2.38%9.41M-2.38%9.41M
Shareholders'equity
Share capital 2.26%493.19M2.26%493.19M78.31%482.31M78.31%482.31M-0.00%270.49M-0.00%270.49M78.41%270.49M78.41%270.49M91.18%151.62M91.18%151.62M
-common stock 2.26%493.19M2.26%493.19M78.31%482.31M78.31%482.31M-0.00%270.49M-0.00%270.49M78.41%270.49M78.41%270.49M91.18%151.62M91.18%151.62M
Retained earnings -299.88%-22.77M-299.88%-22.77M134.32%11.39M134.32%11.39M27.43%-33.2M27.43%-33.2M40.54%-45.75M40.54%-45.75M1.11%-76.93M1.11%-76.93M
Gains losses not affecting retained earnings -20.15%13.26M-20.15%13.26M23.32%16.6M23.32%16.6M13.92%13.46M13.92%13.46M9.69%11.82M9.69%11.82M2.08%10.77M2.08%10.77M
Total stockholders'equity -5.22%483.68M-5.22%483.68M103.50%510.3M103.50%510.3M6.00%250.76M6.00%250.76M176.82%236.57M176.82%236.57M608.33%85.46M608.33%85.46M
Total equity -5.22%483.68M-5.22%483.68M103.50%510.3M103.50%510.3M6.00%250.76M6.00%250.76M176.82%236.57M176.82%236.57M608.33%85.46M608.33%85.46M
Currency Unit AUDAUDAUDAUDAUDAUDAUDAUDAUDAUD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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