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Golden Mile Resources Ltd (G88)

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  • 0.007
  • 0.0000.00%
20min DelayNot Open Apr 24 10:42 AET
5.22MMarket Cap-0.88P/E (Static)

Golden Mile Resources Ltd (G88) 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
-44.50%587.59K
-44.50%587.59K
-55.09%1.06M
-55.09%1.06M
20.15%2.36M
20.15%2.36M
102.92%1.96M
102.92%1.96M
54.77%966.86K
54.77%966.86K
-Cash and cash equivalents
-44.50%587.59K
-44.50%587.59K
-55.09%1.06M
-55.09%1.06M
20.15%2.36M
20.15%2.36M
102.92%1.96M
102.92%1.96M
54.77%966.86K
54.77%966.86K
Receivables
-18.26%24.91K
-18.26%24.91K
-44.44%30.47K
-44.44%30.47K
22.23%54.84K
22.23%54.84K
-37.07%44.87K
-37.07%44.87K
36.98%71.3K
36.98%71.3K
-Other receivables
-18.26%24.91K
-18.26%24.91K
-44.44%30.47K
-44.44%30.47K
22.23%54.84K
22.23%54.84K
-37.07%44.87K
-37.07%44.87K
36.98%71.3K
36.98%71.3K
Prepaid assets
1,058.21%98.45K
1,058.21%98.45K
0.00%8.5K
0.00%8.5K
-62.07%8.5K
-62.07%8.5K
19.59%22.41K
19.59%22.41K
-4.58%18.74K
-4.58%18.74K
Total current assets
-35.24%710.94K
-35.24%710.94K
-54.65%1.1M
-54.65%1.1M
19.29%2.42M
19.29%2.42M
92.00%2.03M
92.00%2.03M
51.76%1.06M
51.76%1.06M
Non current assets
Net PPE
-38.32%3.27M
-38.32%3.27M
16.18%5.3M
16.18%5.3M
46.83%4.56M
46.83%4.56M
64.35%3.11M
64.35%3.11M
212.60%1.89M
212.60%1.89M
-Gross PPE
-38.32%3.27M
-38.32%3.27M
16.18%5.3M
16.18%5.3M
46.83%4.56M
46.83%4.56M
64.35%3.11M
64.35%3.11M
212.60%1.89M
212.60%1.89M
Total non current assets
-38.32%3.27M
-38.32%3.27M
16.18%5.3M
16.18%5.3M
46.83%4.56M
46.83%4.56M
64.35%3.11M
64.35%3.11M
212.60%1.89M
212.60%1.89M
Total assets
-37.79%3.98M
-37.79%3.98M
-8.37%6.4M
-8.37%6.4M
35.95%6.98M
35.95%6.98M
74.26%5.14M
74.26%5.14M
126.52%2.95M
126.52%2.95M
Liabilities
Current liabilities
Payables
164.72%372.63K
164.72%372.63K
-62.94%140.76K
-62.94%140.76K
18.31%379.78K
18.31%379.78K
55.55%320.99K
55.55%320.99K
531.17%206.36K
531.17%206.36K
-accounts payable
339.75%319.57K
339.75%319.57K
-75.64%72.67K
-75.64%72.67K
36.86%298.36K
36.86%298.36K
141.38%218K
141.38%218K
1,422.98%90.31K
1,422.98%90.31K
-Other payable
-22.08%53.06K
-22.08%53.06K
-16.37%68.09K
-16.37%68.09K
-20.94%81.42K
-20.94%81.42K
-11.24%103K
-11.24%103K
333.57%116.04K
333.57%116.04K
Current provisions
----
----
----
----
----
----
----
----
10.35%9.49K
10.35%9.49K
Pension and other retirement benefit plans
110.83%50.26K
110.83%50.26K
26.58%23.84K
26.58%23.84K
--18.83K
--18.83K
----
----
----
----
Current liabilities
156.91%422.88K
156.91%422.88K
-58.71%164.6K
-58.71%164.6K
24.18%398.61K
24.18%398.61K
48.71%320.99K
48.71%320.99K
422.67%215.85K
422.67%215.85K
Non current liabilities
Total non current liabilities
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total liabilities
156.91%422.88K
156.91%422.88K
-58.71%164.6K
-58.71%164.6K
24.18%398.61K
24.18%398.61K
48.71%320.99K
48.71%320.99K
422.67%215.85K
422.67%215.85K
Shareholders'equity
Share capital
7.09%17.54M
7.09%17.54M
9.85%16.38M
9.85%16.38M
20.00%14.91M
20.00%14.91M
29.16%12.42M
29.16%12.42M
28.95%9.62M
28.95%9.62M
-common stock
7.09%17.54M
7.09%17.54M
9.85%16.38M
9.85%16.38M
20.00%14.91M
20.00%14.91M
29.16%12.42M
29.16%12.42M
28.95%9.62M
28.95%9.62M
Retained earnings
-35.33%-14.98M
-35.33%-14.98M
-11.49%-11.07M
-11.49%-11.07M
-13.81%-9.93M
-13.81%-9.93M
-12.52%-8.72M
-12.52%-8.72M
-18.45%-7.75M
-18.45%-7.75M
Gains losses not affecting retained earnings
7.94%998.87K
7.94%998.87K
-42.30%925.43K
-42.30%925.43K
43.88%1.6M
43.88%1.6M
28.76%1.11M
28.76%1.11M
150.34%865.66K
150.34%865.66K
Total stockholders'equity
-42.93%3.56M
-42.93%3.56M
-5.33%6.23M
-5.33%6.23M
36.74%6.58M
36.74%6.58M
76.28%4.82M
76.28%4.82M
116.81%2.73M
116.81%2.73M
Total equity
-42.93%3.56M
-42.93%3.56M
-5.33%6.23M
-5.33%6.23M
36.74%6.58M
36.74%6.58M
76.28%4.82M
76.28%4.82M
116.81%2.73M
116.81%2.73M
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, 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 -44.50%587.59K-44.50%587.59K-55.09%1.06M-55.09%1.06M20.15%2.36M20.15%2.36M102.92%1.96M102.92%1.96M54.77%966.86K54.77%966.86K
-Cash and cash equivalents -44.50%587.59K-44.50%587.59K-55.09%1.06M-55.09%1.06M20.15%2.36M20.15%2.36M102.92%1.96M102.92%1.96M54.77%966.86K54.77%966.86K
Receivables -18.26%24.91K-18.26%24.91K-44.44%30.47K-44.44%30.47K22.23%54.84K22.23%54.84K-37.07%44.87K-37.07%44.87K36.98%71.3K36.98%71.3K
-Other receivables -18.26%24.91K-18.26%24.91K-44.44%30.47K-44.44%30.47K22.23%54.84K22.23%54.84K-37.07%44.87K-37.07%44.87K36.98%71.3K36.98%71.3K
Prepaid assets 1,058.21%98.45K1,058.21%98.45K0.00%8.5K0.00%8.5K-62.07%8.5K-62.07%8.5K19.59%22.41K19.59%22.41K-4.58%18.74K-4.58%18.74K
Total current assets -35.24%710.94K-35.24%710.94K-54.65%1.1M-54.65%1.1M19.29%2.42M19.29%2.42M92.00%2.03M92.00%2.03M51.76%1.06M51.76%1.06M
Non current assets
Net PPE -38.32%3.27M-38.32%3.27M16.18%5.3M16.18%5.3M46.83%4.56M46.83%4.56M64.35%3.11M64.35%3.11M212.60%1.89M212.60%1.89M
-Gross PPE -38.32%3.27M-38.32%3.27M16.18%5.3M16.18%5.3M46.83%4.56M46.83%4.56M64.35%3.11M64.35%3.11M212.60%1.89M212.60%1.89M
Total non current assets -38.32%3.27M-38.32%3.27M16.18%5.3M16.18%5.3M46.83%4.56M46.83%4.56M64.35%3.11M64.35%3.11M212.60%1.89M212.60%1.89M
Total assets -37.79%3.98M-37.79%3.98M-8.37%6.4M-8.37%6.4M35.95%6.98M35.95%6.98M74.26%5.14M74.26%5.14M126.52%2.95M126.52%2.95M
Liabilities
Current liabilities
Payables 164.72%372.63K164.72%372.63K-62.94%140.76K-62.94%140.76K18.31%379.78K18.31%379.78K55.55%320.99K55.55%320.99K531.17%206.36K531.17%206.36K
-accounts payable 339.75%319.57K339.75%319.57K-75.64%72.67K-75.64%72.67K36.86%298.36K36.86%298.36K141.38%218K141.38%218K1,422.98%90.31K1,422.98%90.31K
-Other payable -22.08%53.06K-22.08%53.06K-16.37%68.09K-16.37%68.09K-20.94%81.42K-20.94%81.42K-11.24%103K-11.24%103K333.57%116.04K333.57%116.04K
Current provisions --------------------------------10.35%9.49K10.35%9.49K
Pension and other retirement benefit plans 110.83%50.26K110.83%50.26K26.58%23.84K26.58%23.84K--18.83K--18.83K----------------
Current liabilities 156.91%422.88K156.91%422.88K-58.71%164.6K-58.71%164.6K24.18%398.61K24.18%398.61K48.71%320.99K48.71%320.99K422.67%215.85K422.67%215.85K
Non current liabilities
Total non current liabilities --0--0--0--0--0--0--0--0--0--0
Total liabilities 156.91%422.88K156.91%422.88K-58.71%164.6K-58.71%164.6K24.18%398.61K24.18%398.61K48.71%320.99K48.71%320.99K422.67%215.85K422.67%215.85K
Shareholders'equity
Share capital 7.09%17.54M7.09%17.54M9.85%16.38M9.85%16.38M20.00%14.91M20.00%14.91M29.16%12.42M29.16%12.42M28.95%9.62M28.95%9.62M
-common stock 7.09%17.54M7.09%17.54M9.85%16.38M9.85%16.38M20.00%14.91M20.00%14.91M29.16%12.42M29.16%12.42M28.95%9.62M28.95%9.62M
Retained earnings -35.33%-14.98M-35.33%-14.98M-11.49%-11.07M-11.49%-11.07M-13.81%-9.93M-13.81%-9.93M-12.52%-8.72M-12.52%-8.72M-18.45%-7.75M-18.45%-7.75M
Gains losses not affecting retained earnings 7.94%998.87K7.94%998.87K-42.30%925.43K-42.30%925.43K43.88%1.6M43.88%1.6M28.76%1.11M28.76%1.11M150.34%865.66K150.34%865.66K
Total stockholders'equity -42.93%3.56M-42.93%3.56M-5.33%6.23M-5.33%6.23M36.74%6.58M36.74%6.58M76.28%4.82M76.28%4.82M116.81%2.73M116.81%2.73M
Total equity -42.93%3.56M-42.93%3.56M-5.33%6.23M-5.33%6.23M36.74%6.58M36.74%6.58M76.28%4.82M76.28%4.82M116.81%2.73M116.81%2.73M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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