US Stock MarketDetailed Quotes

EEENF 88 ENERGY LIMITED

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  • 0.001
  • +0.000+11.25%
15min DelayClose Nov 6 16:00 ET
38.63MMarket Cap-1335P/E (TTM)

88 ENERGY LIMITED Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
--7.88M
28.74%18.18M
28.74%18.18M
-56.30%14.12M
-56.30%14.12M
-29.08%10.47M
322.71%32.32M
--32.32M
117.91%14.76M
46.94%7.65M
-Cash and cash equivalents
--7.88M
28.74%18.18M
28.74%18.18M
-56.30%14.12M
-56.30%14.12M
-29.08%10.47M
322.71%32.32M
--32.32M
117.91%14.76M
46.94%7.65M
-Other receivables
--7.38M
156.41%3.97M
156.41%3.97M
65.59%1.55M
65.59%1.55M
-87.11%1.01M
-81.57%935.93K
--935.93K
259.68%7.83M
374.37%5.08M
Prepaid assets
----
----
----
----
----
----
--10.22M
--10.22M
----
----
Restricted cash
----
----
----
----
----
----
----
----
----
-32.71%7.2M
Other current assets
--1
----
----
----
----
----
----
----
----
----
Total current assets
--15.26M
41.36%22.16M
41.36%22.16M
-63.95%15.67M
-63.95%15.67M
-49.20%11.48M
118.21%43.48M
--43.48M
137.58%22.6M
17.04%19.92M
Non current assets
Net PPE
--105.36M
14.70%110.68M
14.70%110.68M
-4.91%96.5M
-4.91%96.5M
-3.98%90.09M
109.71%101.48M
--101.48M
30.52%93.83M
-8.73%48.39M
-Gross PPE
----
8.82%306.29K
8.82%306.29K
-12.08%281.47K
-12.08%281.47K
-91.62%11.66K
-20.01%320.13K
--320.13K
123.49%139.18K
46.29%400.23K
-Accumulated depreciation
----
-4.56%-215.72K
-4.56%-215.72K
-2.73%-206.31K
-2.73%-206.31K
----
10.80%-200.82K
---200.82K
----
-22.20%-225.13K
Other non current assets
--487.01K
----
----
----
----
95,317,800.00%953.18K
----
----
-100.00%1
--41.11K
Total non current assets
--128.73M
14.50%134.37M
14.50%134.37M
14.71%117.35M
14.71%117.35M
19.63%113.2M
56.35%102.3M
--102.3M
-1.84%94.63M
-14.53%65.43M
Total assets
--143.99M
17.67%156.53M
17.67%156.53M
-8.75%133.03M
-8.75%133.03M
6.36%124.68M
70.79%145.78M
--145.78M
10.68%117.22M
-8.78%85.36M
Liabilities
Current liabilities
Payables
--1.57M
-49.64%556.54K
-49.64%556.54K
-80.93%1.11M
-80.93%1.11M
-45.04%5.06M
8.82%5.8M
--5.8M
47.36%9.21M
-11.62%5.33M
-accounts payable
--1.57M
-51.62%480.86K
-51.62%480.86K
-10.50%993.92K
-10.50%993.92K
10.29%5.06M
88.11%1.11M
--1.11M
326.06%4.59M
-42.44%590.4K
-Other payable
---3.96K
-31.94%75.69K
-31.94%75.69K
-97.63%111.21K
-97.63%111.21K
----
-1.07%4.69M
--4.69M
-10.69%4.62M
-5.30%4.74M
Current provisions
--221.38K
----
----
----
----
78.84%188.52K
----
----
--105.41K
----
Other current liabilities
----
----
----
----
----
----
----
----
--13.44M
----
Current liabilities
--1.79M
-37.77%840.04K
-37.77%840.04K
-77.28%1.35M
-77.28%1.35M
-76.93%5.25M
4.89%5.94M
--5.94M
245.62%22.76M
-10.19%5.67M
Non current liabilities
Long term debt and capital lease obligation
----
----
----
----
----
----
----
----
----
-8.34%20.78M
-Long term debt
----
----
----
----
----
----
----
----
----
-8.34%20.78M
Total non current liabilities
--0
--0
--0
--0
--0
---1
--0
--0
--0
-8.34%20.78M
Total liabilities
--1.79M
-37.77%840.04K
-37.77%840.04K
-77.28%1.35M
-77.28%1.35M
-76.93%5.25M
-77.53%5.94M
--5.94M
-24.41%22.76M
-8.74%26.45M
Shareholders'equity
Share capital
--392.54M
11.42%379.92M
11.42%379.92M
19.30%340.97M
19.30%340.97M
35.26%327.14M
36.77%285.81M
--285.81M
21.97%241.86M
12.58%208.96M
-common stock
--392.54M
11.42%379.92M
11.42%379.92M
19.30%340.97M
19.30%340.97M
35.26%327.14M
36.77%285.81M
--285.81M
21.97%241.86M
12.58%208.96M
Retained earnings
---284.09M
-6.02%-254.2M
-6.02%-254.2M
-41.84%-239.77M
-41.84%-239.77M
-42.21%-236.34M
-1.45%-169.04M
---169.04M
-11.82%-166.19M
-15.24%-166.63M
Other equity interest
--21.34M
5.56%21.49M
5.56%21.49M
5.25%20.36M
5.25%20.36M
12.44%20.08M
9.25%19.34M
--19.34M
1.27%17.86M
0.70%17.71M
Total stockholders'equity
--142.19M
18.23%155.69M
18.23%155.69M
-5.84%131.68M
-5.84%131.68M
26.42%119.43M
137.37%139.84M
--139.84M
26.87%94.47M
-8.80%58.91M
Total equity
--142.19M
18.23%155.69M
18.23%155.69M
-5.84%131.68M
-5.84%131.68M
26.42%119.43M
137.37%139.84M
--139.84M
24.62%94.47M
-8.80%58.91M
Currency Unit
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
AUD
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments --7.88M28.74%18.18M28.74%18.18M-56.30%14.12M-56.30%14.12M-29.08%10.47M322.71%32.32M--32.32M117.91%14.76M46.94%7.65M
-Cash and cash equivalents --7.88M28.74%18.18M28.74%18.18M-56.30%14.12M-56.30%14.12M-29.08%10.47M322.71%32.32M--32.32M117.91%14.76M46.94%7.65M
-Other receivables --7.38M156.41%3.97M156.41%3.97M65.59%1.55M65.59%1.55M-87.11%1.01M-81.57%935.93K--935.93K259.68%7.83M374.37%5.08M
Prepaid assets --------------------------10.22M--10.22M--------
Restricted cash -------------------------------------32.71%7.2M
Other current assets --1------------------------------------
Total current assets --15.26M41.36%22.16M41.36%22.16M-63.95%15.67M-63.95%15.67M-49.20%11.48M118.21%43.48M--43.48M137.58%22.6M17.04%19.92M
Non current assets
Net PPE --105.36M14.70%110.68M14.70%110.68M-4.91%96.5M-4.91%96.5M-3.98%90.09M109.71%101.48M--101.48M30.52%93.83M-8.73%48.39M
-Gross PPE ----8.82%306.29K8.82%306.29K-12.08%281.47K-12.08%281.47K-91.62%11.66K-20.01%320.13K--320.13K123.49%139.18K46.29%400.23K
-Accumulated depreciation -----4.56%-215.72K-4.56%-215.72K-2.73%-206.31K-2.73%-206.31K----10.80%-200.82K---200.82K-----22.20%-225.13K
Other non current assets --487.01K----------------95,317,800.00%953.18K---------100.00%1--41.11K
Total non current assets --128.73M14.50%134.37M14.50%134.37M14.71%117.35M14.71%117.35M19.63%113.2M56.35%102.3M--102.3M-1.84%94.63M-14.53%65.43M
Total assets --143.99M17.67%156.53M17.67%156.53M-8.75%133.03M-8.75%133.03M6.36%124.68M70.79%145.78M--145.78M10.68%117.22M-8.78%85.36M
Liabilities
Current liabilities
Payables --1.57M-49.64%556.54K-49.64%556.54K-80.93%1.11M-80.93%1.11M-45.04%5.06M8.82%5.8M--5.8M47.36%9.21M-11.62%5.33M
-accounts payable --1.57M-51.62%480.86K-51.62%480.86K-10.50%993.92K-10.50%993.92K10.29%5.06M88.11%1.11M--1.11M326.06%4.59M-42.44%590.4K
-Other payable ---3.96K-31.94%75.69K-31.94%75.69K-97.63%111.21K-97.63%111.21K-----1.07%4.69M--4.69M-10.69%4.62M-5.30%4.74M
Current provisions --221.38K----------------78.84%188.52K----------105.41K----
Other current liabilities ----------------------------------13.44M----
Current liabilities --1.79M-37.77%840.04K-37.77%840.04K-77.28%1.35M-77.28%1.35M-76.93%5.25M4.89%5.94M--5.94M245.62%22.76M-10.19%5.67M
Non current liabilities
Long term debt and capital lease obligation -------------------------------------8.34%20.78M
-Long term debt -------------------------------------8.34%20.78M
Total non current liabilities --0--0--0--0--0---1--0--0--0-8.34%20.78M
Total liabilities --1.79M-37.77%840.04K-37.77%840.04K-77.28%1.35M-77.28%1.35M-76.93%5.25M-77.53%5.94M--5.94M-24.41%22.76M-8.74%26.45M
Shareholders'equity
Share capital --392.54M11.42%379.92M11.42%379.92M19.30%340.97M19.30%340.97M35.26%327.14M36.77%285.81M--285.81M21.97%241.86M12.58%208.96M
-common stock --392.54M11.42%379.92M11.42%379.92M19.30%340.97M19.30%340.97M35.26%327.14M36.77%285.81M--285.81M21.97%241.86M12.58%208.96M
Retained earnings ---284.09M-6.02%-254.2M-6.02%-254.2M-41.84%-239.77M-41.84%-239.77M-42.21%-236.34M-1.45%-169.04M---169.04M-11.82%-166.19M-15.24%-166.63M
Other equity interest --21.34M5.56%21.49M5.56%21.49M5.25%20.36M5.25%20.36M12.44%20.08M9.25%19.34M--19.34M1.27%17.86M0.70%17.71M
Total stockholders'equity --142.19M18.23%155.69M18.23%155.69M-5.84%131.68M-5.84%131.68M26.42%119.43M137.37%139.84M--139.84M26.87%94.47M-8.80%58.91M
Total equity --142.19M18.23%155.69M18.23%155.69M-5.84%131.68M-5.84%131.68M26.42%119.43M137.37%139.84M--139.84M24.62%94.47M-8.80%58.91M
Currency Unit AUDAUDAUDAUDAUDAUDAUDAUDAUDAUD
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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