AU Stock MarketDetailed Quotes

HASO Hastings Technology Metals Ltd

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  • 0.065
  • 0.0000.00%
20min DelayMarket Closed Sep 30 15:47 AET
11.75MMarket Cap0.00P/E (Static)

Hastings Technology Metals 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
-81.86%17.89M
-81.86%17.89M
-26.86%98.64M
-26.86%98.64M
22.53%134.87M
22.53%134.87M
1,064.30%110.07M
1,064.30%110.07M
-48.89%9.45M
-48.89%9.45M
-Cash and cash equivalents
-81.86%17.89M
-81.86%17.89M
-17.70%98.64M
-17.70%98.64M
327.07%119.87M
327.07%119.87M
196.90%28.07M
196.90%28.07M
-48.89%9.45M
-48.89%9.45M
-Notes receivable
23.66%161.14K
23.66%161.14K
1.32%130.31K
1.32%130.31K
48.87%128.61K
48.87%128.61K
53.34%86.39K
53.34%86.39K
-12.04%56.34K
-12.04%56.34K
-Other receivables
-77.67%78.9K
-77.67%78.9K
-36.83%353.36K
-36.83%353.36K
-44.44%559.39K
-44.44%559.39K
12.14%1.01M
12.14%1.01M
4.33%897.81K
4.33%897.81K
Total current assets
-76.37%25.28M
-76.37%25.28M
-25.42%106.99M
-25.42%106.99M
25.09%143.45M
25.09%143.45M
759.33%114.68M
759.33%114.68M
-32.49%13.35M
-32.49%13.35M
Non current assets
-Accumulated depreciation
-670.91%-5.28M
-670.91%-5.28M
-21.71%-684.39K
-21.71%-684.39K
-44.03%-562.32K
-44.03%-562.32K
-44.95%-390.43K
-44.95%-390.43K
-92.88%-269.35K
-92.88%-269.35K
Investment properties
-3.13%81.27M
-3.13%81.27M
--83.9M
--83.9M
----
----
----
----
----
----
-Long term equity investment
25.55%168.22M
25.55%168.22M
34,637.34%133.98M
34,637.34%133.98M
--385.7K
--385.7K
----
----
--112.19K
--112.19K
Regulatory assets
-81.55%1.13M
-81.55%1.13M
108.00%6.15M
108.00%6.15M
971.85%2.96M
971.85%2.96M
19.48%275.96K
19.48%275.96K
-33.60%230.97K
-33.60%230.97K
Liabilities
Current liabilities
Current debt and capital lease obligation
33.61%1.09M
33.61%1.09M
297.74%813.99K
297.74%813.99K
82.42%204.66K
82.42%204.66K
-47.11%112.19K
-47.11%112.19K
--212.1K
--212.1K
-Current debt
--300.49K
--300.49K
----
----
----
----
----
----
--9.08K
--9.08K
-Current capital lease obligation
-3.30%787.11K
-3.30%787.11K
297.74%813.99K
297.74%813.99K
82.42%204.66K
82.42%204.66K
-44.74%112.19K
-44.74%112.19K
--203.03K
--203.03K
-accounts payable
-65.17%7.74M
-65.17%7.74M
96.18%22.23M
96.18%22.23M
572.24%11.33M
572.24%11.33M
-32.83%1.69M
-32.83%1.69M
-56.15%2.51M
-56.15%2.51M
-Total tax payable
22.23%172.33M
22.23%172.33M
3,960.93%140.99M
3,960.93%140.99M
257.90%3.47M
257.90%3.47M
475.60%970.08K
475.60%970.08K
163.10%168.53K
163.10%168.53K
-Other payable
--1.6M
--1.6M
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----
----
----
----
----
----
----
Current provisions
-94.09%724.7K
-94.09%724.7K
--12.27M
--12.27M
----
----
----
----
----
----
Current liabilities
-69.80%11.25M
-69.80%11.25M
199.58%37.26M
199.58%37.26M
313.56%12.44M
313.56%12.44M
-20.07%3.01M
-20.07%3.01M
-44.02%3.76M
-44.02%3.76M
Non current liabilities
-Long term debt
-81.99%143.13K
-81.99%143.13K
105.99%794.51K
105.99%794.51K
--385.7K
--385.7K
----
----
--112.19K
--112.19K
Non current accrued expenses
22.91%371.85M
22.91%371.85M
95.33%302.53M
95.33%302.53M
39.25%154.88M
39.25%154.88M
10.64%111.23M
10.64%111.23M
16.27%100.53M
16.27%100.53M
Long term provisions
26.19%168.07M
26.19%168.07M
--133.19M
--133.19M
----
----
----
----
----
----
Employee benefits
23.66%161.14K
23.66%161.14K
1.32%130.31K
1.32%130.31K
48.87%128.61K
48.87%128.61K
53.34%86.39K
53.34%86.39K
-12.04%56.34K
-12.04%56.34K
Trust preferred securities
-3.13%81.27M
-3.13%81.27M
--83.9M
--83.9M
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----
----
----
----
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Preferred securities outside stock equity
1.82%1.62M
1.82%1.62M
365.54%1.59M
365.54%1.59M
68.46%341.48K
68.46%341.48K
41.64%202.7K
41.64%202.7K
4.66%143.11K
4.66%143.11K
Total non current liabilities
2.99%183.59M
2.99%183.59M
1,020.43%178.25M
1,020.43%178.25M
299.98%15.91M
299.98%15.91M
1.18%3.98M
1.18%3.98M
-42.06%3.93M
-42.06%3.93M
Shareholders'equity
Share capital
3.91%452.32M
3.91%452.32M
36.55%435.32M
36.55%435.32M
31.58%318.79M
31.58%318.79M
92.75%242.28M
92.75%242.28M
11.37%125.69M
11.37%125.69M
-common stock
3.91%452.32M
3.91%452.32M
36.55%435.32M
36.55%435.32M
31.58%318.79M
31.58%318.79M
92.75%242.28M
92.75%242.28M
11.37%125.69M
11.37%125.69M
Gains losses not affecting retained earnings
-2.79%-73.82M
-2.79%-73.82M
-4,433.24%-71.82M
-4,433.24%-71.82M
-80.00%1.66M
-80.00%1.66M
26.55%8.29M
26.55%8.29M
41.03%6.55M
41.03%6.55M
Other equity interest
--2M
--2M
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----
----
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Total equity
-2.72%480M
-2.72%480M
65.39%493.42M
65.39%493.42M
32.06%298.34M
32.06%298.34M
98.39%225.91M
98.39%225.91M
7.20%113.87M
7.20%113.87M
(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 -81.86%17.89M-81.86%17.89M-26.86%98.64M-26.86%98.64M22.53%134.87M22.53%134.87M1,064.30%110.07M1,064.30%110.07M-48.89%9.45M-48.89%9.45M
-Cash and cash equivalents -81.86%17.89M-81.86%17.89M-17.70%98.64M-17.70%98.64M327.07%119.87M327.07%119.87M196.90%28.07M196.90%28.07M-48.89%9.45M-48.89%9.45M
-Notes receivable 23.66%161.14K23.66%161.14K1.32%130.31K1.32%130.31K48.87%128.61K48.87%128.61K53.34%86.39K53.34%86.39K-12.04%56.34K-12.04%56.34K
-Other receivables -77.67%78.9K-77.67%78.9K-36.83%353.36K-36.83%353.36K-44.44%559.39K-44.44%559.39K12.14%1.01M12.14%1.01M4.33%897.81K4.33%897.81K
Total current assets -76.37%25.28M-76.37%25.28M-25.42%106.99M-25.42%106.99M25.09%143.45M25.09%143.45M759.33%114.68M759.33%114.68M-32.49%13.35M-32.49%13.35M
Non current assets
-Accumulated depreciation -670.91%-5.28M-670.91%-5.28M-21.71%-684.39K-21.71%-684.39K-44.03%-562.32K-44.03%-562.32K-44.95%-390.43K-44.95%-390.43K-92.88%-269.35K-92.88%-269.35K
Investment properties -3.13%81.27M-3.13%81.27M--83.9M--83.9M------------------------
-Long term equity investment 25.55%168.22M25.55%168.22M34,637.34%133.98M34,637.34%133.98M--385.7K--385.7K----------112.19K--112.19K
Regulatory assets -81.55%1.13M-81.55%1.13M108.00%6.15M108.00%6.15M971.85%2.96M971.85%2.96M19.48%275.96K19.48%275.96K-33.60%230.97K-33.60%230.97K
Liabilities
Current liabilities
Current debt and capital lease obligation 33.61%1.09M33.61%1.09M297.74%813.99K297.74%813.99K82.42%204.66K82.42%204.66K-47.11%112.19K-47.11%112.19K--212.1K--212.1K
-Current debt --300.49K--300.49K--------------------------9.08K--9.08K
-Current capital lease obligation -3.30%787.11K-3.30%787.11K297.74%813.99K297.74%813.99K82.42%204.66K82.42%204.66K-44.74%112.19K-44.74%112.19K--203.03K--203.03K
-accounts payable -65.17%7.74M-65.17%7.74M96.18%22.23M96.18%22.23M572.24%11.33M572.24%11.33M-32.83%1.69M-32.83%1.69M-56.15%2.51M-56.15%2.51M
-Total tax payable 22.23%172.33M22.23%172.33M3,960.93%140.99M3,960.93%140.99M257.90%3.47M257.90%3.47M475.60%970.08K475.60%970.08K163.10%168.53K163.10%168.53K
-Other payable --1.6M--1.6M--------------------------------
Current provisions -94.09%724.7K-94.09%724.7K--12.27M--12.27M------------------------
Current liabilities -69.80%11.25M-69.80%11.25M199.58%37.26M199.58%37.26M313.56%12.44M313.56%12.44M-20.07%3.01M-20.07%3.01M-44.02%3.76M-44.02%3.76M
Non current liabilities
-Long term debt -81.99%143.13K-81.99%143.13K105.99%794.51K105.99%794.51K--385.7K--385.7K----------112.19K--112.19K
Non current accrued expenses 22.91%371.85M22.91%371.85M95.33%302.53M95.33%302.53M39.25%154.88M39.25%154.88M10.64%111.23M10.64%111.23M16.27%100.53M16.27%100.53M
Long term provisions 26.19%168.07M26.19%168.07M--133.19M--133.19M------------------------
Employee benefits 23.66%161.14K23.66%161.14K1.32%130.31K1.32%130.31K48.87%128.61K48.87%128.61K53.34%86.39K53.34%86.39K-12.04%56.34K-12.04%56.34K
Trust preferred securities -3.13%81.27M-3.13%81.27M--83.9M--83.9M------------------------
Preferred securities outside stock equity 1.82%1.62M1.82%1.62M365.54%1.59M365.54%1.59M68.46%341.48K68.46%341.48K41.64%202.7K41.64%202.7K4.66%143.11K4.66%143.11K
Total non current liabilities 2.99%183.59M2.99%183.59M1,020.43%178.25M1,020.43%178.25M299.98%15.91M299.98%15.91M1.18%3.98M1.18%3.98M-42.06%3.93M-42.06%3.93M
Shareholders'equity
Share capital 3.91%452.32M3.91%452.32M36.55%435.32M36.55%435.32M31.58%318.79M31.58%318.79M92.75%242.28M92.75%242.28M11.37%125.69M11.37%125.69M
-common stock 3.91%452.32M3.91%452.32M36.55%435.32M36.55%435.32M31.58%318.79M31.58%318.79M92.75%242.28M92.75%242.28M11.37%125.69M11.37%125.69M
Gains losses not affecting retained earnings -2.79%-73.82M-2.79%-73.82M-4,433.24%-71.82M-4,433.24%-71.82M-80.00%1.66M-80.00%1.66M26.55%8.29M26.55%8.29M41.03%6.55M41.03%6.55M
Other equity interest --2M--2M--------------------------------
Total equity -2.72%480M-2.72%480M65.39%493.42M65.39%493.42M32.06%298.34M32.06%298.34M98.39%225.91M98.39%225.91M7.20%113.87M7.20%113.87M

Analysis

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Price Target

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