AU Stock MarketDetailed Quotes

G6M Group 6 Metals Ltd

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  • 0.028
  • -0.005-15.15%
20min DelayMarket Closed Aug 28 10:38 AET
28.11MMarket Cap-933P/E (Static)

Group 6 Metals Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
91.18%9.03M
91.18%9.03M
48.08%4.72M
48.08%4.72M
389.95%3.19M
389.95%3.19M
43.41%651.16K
43.41%651.16K
-8.15%454.05K
-8.15%454.05K
-Cash and cash equivalents
99.41%9.03M
99.41%9.03M
41.97%4.53M
41.97%4.53M
389.95%3.19M
389.95%3.19M
43.41%651.16K
43.41%651.16K
-8.15%454.05K
-8.15%454.05K
-Notes receivable
--11.17K
--11.17K
----
----
----
----
----
----
----
----
-Other receivables
530.00%7.19M
530.00%7.19M
164.26%1.14M
164.26%1.14M
162.28%431.62K
162.28%431.62K
-44.10%164.56K
-44.10%164.56K
54.72%294.39K
54.72%294.39K
Total current assets
88.27%12.38M
88.27%12.38M
88.91%6.58M
88.91%6.58M
298.85%3.48M
298.85%3.48M
47.00%872.7K
47.00%872.7K
-7.58%593.65K
-7.58%593.65K
Non current assets
-Accumulated depreciation
-81.06%-1.4M
-81.06%-1.4M
-33.92%-775K
-33.92%-775K
-46.44%-578.69K
-46.44%-578.69K
-77.46%-395.18K
-77.46%-395.18K
-102.16%-222.69K
-102.16%-222.69K
-Long term equity investment
222.63%38.77M
222.63%38.77M
71,490.40%12.02M
71,490.40%12.02M
-99.68%16.79K
-99.68%16.79K
92.59%5.2M
92.59%5.2M
--2.7M
--2.7M
Regulatory assets
-37.95%422.05K
-37.95%422.05K
2,479.65%680.18K
2,479.65%680.18K
84.89%26.37K
84.89%26.37K
-8.50%14.26K
-8.50%14.26K
-22.76%15.59K
-22.76%15.59K
Non current deferred assets
----
----
----
----
0.00%24.6K
0.00%24.6K
0.00%24.6K
0.00%24.6K
25.51%24.6K
25.51%24.6K
Liabilities
Current liabilities
Current debt and capital lease obligation
1,545.63%10.24M
1,545.63%10.24M
650.28%622.14K
650.28%622.14K
-22.07%82.92K
-22.07%82.92K
--106.41K
--106.41K
----
----
-Current debt
3,071.47%5M
3,071.47%5M
--157.73K
--157.73K
----
----
--106.41K
--106.41K
----
----
-Current capital lease obligation
1,027.40%5.24M
1,027.40%5.24M
460.06%464.41K
460.06%464.41K
--82.92K
--82.92K
----
----
----
----
-accounts payable
-3.42%5.57M
-3.42%5.57M
3,768.79%5.77M
3,768.79%5.77M
26.78%149.05K
26.78%149.05K
152.69%117.57K
152.69%117.57K
-55.63%46.53K
-55.63%46.53K
-Total tax payable
89.33%45.21M
89.33%45.21M
142,135.16%23.88M
142,135.16%23.88M
-99.68%16.79K
-99.68%16.79K
92.59%5.2M
92.59%5.2M
--2.7M
--2.7M
-Other payable
----
----
--1
--1
----
----
----
----
----
----
Current liabilities
211.57%23.46M
211.57%23.46M
1,034.61%7.53M
1,034.61%7.53M
70.79%663.59K
70.79%663.59K
13.97%388.54K
13.97%388.54K
15.52%340.91K
15.52%340.91K
Non current liabilities
-Long term debt
172.19%3.35M
172.19%3.35M
7,229.02%1.23M
7,229.02%1.23M
--16.79K
--16.79K
----
----
----
----
Non current accrued expenses
170.23%123.87M
170.23%123.87M
1,098.24%45.84M
1,098.24%45.84M
6.66%3.83M
6.66%3.83M
-4.59%3.59M
-4.59%3.59M
234.30%3.76M
234.30%3.76M
Derivative product liabilities
----
----
--11.86M
--11.86M
----
----
----
----
----
----
Long term provisions
228.39%35.42M
228.39%35.42M
--10.79M
--10.79M
----
----
92.59%5.2M
92.59%5.2M
--2.7M
--2.7M
Employee benefits
--11.17K
--11.17K
----
----
----
----
----
----
----
----
Preferred securities outside stock equity
--385.49K
--385.49K
----
----
----
----
----
----
----
----
Total non current liabilities
118.63%68.66M
118.63%68.66M
4,515.99%31.41M
4,515.99%31.41M
-87.83%680.38K
-87.83%680.38K
83.78%5.59M
83.78%5.59M
930.41%3.04M
930.41%3.04M
Shareholders'equity
Share capital
48.30%152.9M
48.30%152.9M
47.60%103.1M
47.60%103.1M
16.03%69.85M
16.03%69.85M
0.33%60.2M
0.33%60.2M
4.66%60M
4.66%60M
-common stock
48.30%152.9M
48.30%152.9M
47.60%103.1M
47.60%103.1M
16.03%69.85M
16.03%69.85M
0.33%60.2M
0.33%60.2M
4.66%60M
4.66%60M
Gains losses not affecting retained earnings
975.61%21.12M
975.61%21.12M
-54.78%1.96M
-54.78%1.96M
219.34%4.34M
219.34%4.34M
8.62%1.36M
8.62%1.36M
3.81%1.25M
3.81%1.25M
Other equity interest
--50K
--50K
----
----
----
----
--50K
--50K
----
----
Total equity
152.59%139.63M
152.59%139.63M
654.06%55.28M
654.06%55.28M
63.49%7.33M
63.49%7.33M
2.43%4.48M
2.43%4.48M
145.03%4.38M
145.03%4.38M
(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(FY)Jun 30, 2019(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments 91.18%9.03M91.18%9.03M48.08%4.72M48.08%4.72M389.95%3.19M389.95%3.19M43.41%651.16K43.41%651.16K-8.15%454.05K-8.15%454.05K
-Cash and cash equivalents 99.41%9.03M99.41%9.03M41.97%4.53M41.97%4.53M389.95%3.19M389.95%3.19M43.41%651.16K43.41%651.16K-8.15%454.05K-8.15%454.05K
-Notes receivable --11.17K--11.17K--------------------------------
-Other receivables 530.00%7.19M530.00%7.19M164.26%1.14M164.26%1.14M162.28%431.62K162.28%431.62K-44.10%164.56K-44.10%164.56K54.72%294.39K54.72%294.39K
Total current assets 88.27%12.38M88.27%12.38M88.91%6.58M88.91%6.58M298.85%3.48M298.85%3.48M47.00%872.7K47.00%872.7K-7.58%593.65K-7.58%593.65K
Non current assets
-Accumulated depreciation -81.06%-1.4M-81.06%-1.4M-33.92%-775K-33.92%-775K-46.44%-578.69K-46.44%-578.69K-77.46%-395.18K-77.46%-395.18K-102.16%-222.69K-102.16%-222.69K
-Long term equity investment 222.63%38.77M222.63%38.77M71,490.40%12.02M71,490.40%12.02M-99.68%16.79K-99.68%16.79K92.59%5.2M92.59%5.2M--2.7M--2.7M
Regulatory assets -37.95%422.05K-37.95%422.05K2,479.65%680.18K2,479.65%680.18K84.89%26.37K84.89%26.37K-8.50%14.26K-8.50%14.26K-22.76%15.59K-22.76%15.59K
Non current deferred assets ----------------0.00%24.6K0.00%24.6K0.00%24.6K0.00%24.6K25.51%24.6K25.51%24.6K
Liabilities
Current liabilities
Current debt and capital lease obligation 1,545.63%10.24M1,545.63%10.24M650.28%622.14K650.28%622.14K-22.07%82.92K-22.07%82.92K--106.41K--106.41K--------
-Current debt 3,071.47%5M3,071.47%5M--157.73K--157.73K----------106.41K--106.41K--------
-Current capital lease obligation 1,027.40%5.24M1,027.40%5.24M460.06%464.41K460.06%464.41K--82.92K--82.92K----------------
-accounts payable -3.42%5.57M-3.42%5.57M3,768.79%5.77M3,768.79%5.77M26.78%149.05K26.78%149.05K152.69%117.57K152.69%117.57K-55.63%46.53K-55.63%46.53K
-Total tax payable 89.33%45.21M89.33%45.21M142,135.16%23.88M142,135.16%23.88M-99.68%16.79K-99.68%16.79K92.59%5.2M92.59%5.2M--2.7M--2.7M
-Other payable ----------1--1------------------------
Current liabilities 211.57%23.46M211.57%23.46M1,034.61%7.53M1,034.61%7.53M70.79%663.59K70.79%663.59K13.97%388.54K13.97%388.54K15.52%340.91K15.52%340.91K
Non current liabilities
-Long term debt 172.19%3.35M172.19%3.35M7,229.02%1.23M7,229.02%1.23M--16.79K--16.79K----------------
Non current accrued expenses 170.23%123.87M170.23%123.87M1,098.24%45.84M1,098.24%45.84M6.66%3.83M6.66%3.83M-4.59%3.59M-4.59%3.59M234.30%3.76M234.30%3.76M
Derivative product liabilities ----------11.86M--11.86M------------------------
Long term provisions 228.39%35.42M228.39%35.42M--10.79M--10.79M--------92.59%5.2M92.59%5.2M--2.7M--2.7M
Employee benefits --11.17K--11.17K--------------------------------
Preferred securities outside stock equity --385.49K--385.49K--------------------------------
Total non current liabilities 118.63%68.66M118.63%68.66M4,515.99%31.41M4,515.99%31.41M-87.83%680.38K-87.83%680.38K83.78%5.59M83.78%5.59M930.41%3.04M930.41%3.04M
Shareholders'equity
Share capital 48.30%152.9M48.30%152.9M47.60%103.1M47.60%103.1M16.03%69.85M16.03%69.85M0.33%60.2M0.33%60.2M4.66%60M4.66%60M
-common stock 48.30%152.9M48.30%152.9M47.60%103.1M47.60%103.1M16.03%69.85M16.03%69.85M0.33%60.2M0.33%60.2M4.66%60M4.66%60M
Gains losses not affecting retained earnings 975.61%21.12M975.61%21.12M-54.78%1.96M-54.78%1.96M219.34%4.34M219.34%4.34M8.62%1.36M8.62%1.36M3.81%1.25M3.81%1.25M
Other equity interest --50K--50K------------------50K--50K--------
Total equity 152.59%139.63M152.59%139.63M654.06%55.28M654.06%55.28M63.49%7.33M63.49%7.33M2.43%4.48M2.43%4.48M145.03%4.38M145.03%4.38M

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