AU Stock MarketDetailed Quotes

KRM Kingsrose Mining Ltd

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  • 0.034
  • -0.002-5.56%
20min DelayNot Open Nov 27 16:00 AET
25.62MMarket Cap-8500P/E (Static)

Kingsrose Mining Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
492.97%2.74M
-161.74%-696.89K
-94.85%1.13M
-69.92%21.92M
103.44%72.86M
-21.22%35.82M
105.35%45.46M
-33.26%22.14M
-1.05%33.17M
519.22%33.53M
Revenue from customers
----
----
----
-73.98%18.38M
104.24%70.65M
-16.58%34.59M
94.53%41.47M
-32.61%21.32M
-4.71%31.63M
783.43%33.2M
Other cash income from operating activities
492.97%2.74M
-161.74%-696.89K
-68.06%1.13M
59.76%3.53M
80.92%2.21M
-69.38%1.22M
385.84%3.99M
-46.65%821.66K
370.16%1.54M
-80.22%327.58K
Cash paid
-0.48%-4.85M
23.05%-4.82M
44.68%-6.27M
77.46%-11.33M
-28.49%-50.27M
-10.17%-39.13M
-58.58%-35.51M
22.76%-22.4M
-16.98%-29M
-84.06%-24.79M
Payments to suppliers for goods and services
-0.48%-4.85M
23.05%-4.82M
44.68%-6.27M
77.46%-11.33M
-28.49%-50.27M
-10.17%-39.13M
-58.58%-35.51M
22.76%-22.4M
-16.98%-29M
-84.06%-24.79M
Direct interest paid
36.54%-4.27K
-2.38%-6.72K
-8.12%-6.57K
84.91%-6.08K
15.38%-40.25K
-7.04%-47.57K
90.52%-44.44K
61.82%-468.68K
14.56%-1.23M
-42.48%-1.44M
Direct interest received
16.61%1.27M
914.35%1.09M
86.88%107.73K
-2.58%57.65K
-7.51%59.17K
158.69%63.98K
57.09%24.73K
-5.28%15.74K
-75.82%16.62K
-37.36%68.74K
Direct tax refund paid
-85.73%76.05K
-28.97%533.05K
207.80%750.48K
43.03%-696.17K
-32.53%-1.22M
-90.73%-922.12K
-3.04%-483.46K
-66.13%-469.18K
-111.87%-282.42K
-19.60%2.38M
Operating cash flow
80.48%-761.58K
9.01%-3.9M
-143.12%-4.29M
-53.51%9.94M
607.20%21.39M
-144.64%-4.22M
901.77%9.45M
-143.87%-1.18M
-72.46%2.69M
262.71%9.75M
Investing cash flow
Cash flow from continuing investing activities
-144.54%-4.05M
903.06%9.09M
-1,573.07%-1.13M
96.69%-67.64K
-27.38%-2.04M
44.88%-1.6M
66.35%-2.91M
-3.59%-8.64M
-27.92%-8.34M
32.86%-6.52M
Capital expenditure reported
-492.99%-4.02M
13.37%-678.73K
---783.44K
----
-34.62%-1.11M
-31.75%-821.49K
38.03%-623.53K
33.53%-1.01M
-23.44%-1.51M
31.42%-1.23M
Net PPE purchase and sale
86.45%-23.11K
-517.63%-170.48K
160.35%40.82K
92.77%-67.64K
-19.77%-935.68K
65.80%-781.26K
70.08%-2.28M
-11.82%-7.63M
-28.96%-6.83M
32.03%-5.29M
Net intangibles purchas and sale
----
---1.07M
----
----
----
----
----
----
----
----
Net business purchase and sale
----
2,929.87%11.01M
---389.01K
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-144.54%-4.05M
903.06%9.09M
-1,573.07%-1.13M
96.69%-67.64K
-27.38%-2.04M
44.88%-1.6M
66.35%-2.91M
-3.59%-8.64M
-27.92%-8.34M
32.86%-6.52M
Financing cash flow
Cash flow from continuing financing activities
-33.84%-67.72K
-137.38%-50.6K
275.36%135.35K
19.18%-77.18K
19.42%-95.5K
95.19%-118.52K
-117.26%-2.47M
694.59%14.29M
-197.23%-2.4M
-103.78%-808.75K
Net issuance payments of debt
----
----
----
----
----
----
-134.36%-2.25M
463.99%6.55M
---1.8M
----
Net common stock issuance
----
----
--207K
----
----
----
----
--8.23M
----
----
Net other financing activities
-33.84%-67.72K
29.38%-50.6K
7.17%-71.65K
19.18%-77.18K
19.42%-95.5K
45.22%-118.52K
55.64%-216.37K
19.35%-487.76K
25.22%-604.75K
-13.35%-808.75K
Cash from discontinued financing activities
Financing cash flow
-33.84%-67.72K
-137.38%-50.6K
275.36%135.35K
19.18%-77.18K
19.42%-95.5K
95.19%-118.52K
-117.26%-2.47M
694.59%14.29M
-197.23%-2.4M
-103.78%-808.75K
Net cash flow
Beginning cash position
22.49%33.84M
-9.63%27.63M
32.51%30.57M
434.78%23.07M
-57.15%4.31M
69.66%10.07M
293.56%5.93M
-84.16%1.51M
42.88%9.52M
409.36%6.66M
Current changes in cash
-194.96%-4.88M
197.20%5.14M
-153.93%-5.28M
-49.11%9.8M
424.19%19.25M
-245.85%-5.94M
-9.00%4.07M
155.51%4.47M
-432.95%-8.06M
-57.38%2.42M
Effect of exchange rate changes
-108.93%-96.29K
-53.93%1.08M
201.79%2.34M
-365.38%-2.3M
-367.37%-493.81K
196.31%184.69K
229.82%62.33K
-195.25%-48.01K
-88.42%50.41K
233.13%435.43K
End cash Position
-14.70%28.87M
22.49%33.84M
-9.63%27.63M
32.51%30.57M
434.78%23.07M
-57.15%4.31M
69.66%10.07M
293.56%5.93M
-84.16%1.51M
42.88%9.52M
Free cash from
17.39%-4.81M
-13.40%-5.82M
-152.14%-5.13M
-49.02%9.85M
429.42%19.31M
-190.39%-5.86M
166.06%6.49M
-73.48%-9.82M
-275.45%-5.66M
120.70%3.23M
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, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities 492.97%2.74M-161.74%-696.89K-94.85%1.13M-69.92%21.92M103.44%72.86M-21.22%35.82M105.35%45.46M-33.26%22.14M-1.05%33.17M519.22%33.53M
Revenue from customers -------------73.98%18.38M104.24%70.65M-16.58%34.59M94.53%41.47M-32.61%21.32M-4.71%31.63M783.43%33.2M
Other cash income from operating activities 492.97%2.74M-161.74%-696.89K-68.06%1.13M59.76%3.53M80.92%2.21M-69.38%1.22M385.84%3.99M-46.65%821.66K370.16%1.54M-80.22%327.58K
Cash paid -0.48%-4.85M23.05%-4.82M44.68%-6.27M77.46%-11.33M-28.49%-50.27M-10.17%-39.13M-58.58%-35.51M22.76%-22.4M-16.98%-29M-84.06%-24.79M
Payments to suppliers for goods and services -0.48%-4.85M23.05%-4.82M44.68%-6.27M77.46%-11.33M-28.49%-50.27M-10.17%-39.13M-58.58%-35.51M22.76%-22.4M-16.98%-29M-84.06%-24.79M
Direct interest paid 36.54%-4.27K-2.38%-6.72K-8.12%-6.57K84.91%-6.08K15.38%-40.25K-7.04%-47.57K90.52%-44.44K61.82%-468.68K14.56%-1.23M-42.48%-1.44M
Direct interest received 16.61%1.27M914.35%1.09M86.88%107.73K-2.58%57.65K-7.51%59.17K158.69%63.98K57.09%24.73K-5.28%15.74K-75.82%16.62K-37.36%68.74K
Direct tax refund paid -85.73%76.05K-28.97%533.05K207.80%750.48K43.03%-696.17K-32.53%-1.22M-90.73%-922.12K-3.04%-483.46K-66.13%-469.18K-111.87%-282.42K-19.60%2.38M
Operating cash flow 80.48%-761.58K9.01%-3.9M-143.12%-4.29M-53.51%9.94M607.20%21.39M-144.64%-4.22M901.77%9.45M-143.87%-1.18M-72.46%2.69M262.71%9.75M
Investing cash flow
Cash flow from continuing investing activities -144.54%-4.05M903.06%9.09M-1,573.07%-1.13M96.69%-67.64K-27.38%-2.04M44.88%-1.6M66.35%-2.91M-3.59%-8.64M-27.92%-8.34M32.86%-6.52M
Capital expenditure reported -492.99%-4.02M13.37%-678.73K---783.44K-----34.62%-1.11M-31.75%-821.49K38.03%-623.53K33.53%-1.01M-23.44%-1.51M31.42%-1.23M
Net PPE purchase and sale 86.45%-23.11K-517.63%-170.48K160.35%40.82K92.77%-67.64K-19.77%-935.68K65.80%-781.26K70.08%-2.28M-11.82%-7.63M-28.96%-6.83M32.03%-5.29M
Net intangibles purchas and sale -------1.07M--------------------------------
Net business purchase and sale ----2,929.87%11.01M---389.01K----------------------------
Cash from discontinued investing activities
Investing cash flow -144.54%-4.05M903.06%9.09M-1,573.07%-1.13M96.69%-67.64K-27.38%-2.04M44.88%-1.6M66.35%-2.91M-3.59%-8.64M-27.92%-8.34M32.86%-6.52M
Financing cash flow
Cash flow from continuing financing activities -33.84%-67.72K-137.38%-50.6K275.36%135.35K19.18%-77.18K19.42%-95.5K95.19%-118.52K-117.26%-2.47M694.59%14.29M-197.23%-2.4M-103.78%-808.75K
Net issuance payments of debt -------------------------134.36%-2.25M463.99%6.55M---1.8M----
Net common stock issuance ----------207K------------------8.23M--------
Net other financing activities -33.84%-67.72K29.38%-50.6K7.17%-71.65K19.18%-77.18K19.42%-95.5K45.22%-118.52K55.64%-216.37K19.35%-487.76K25.22%-604.75K-13.35%-808.75K
Cash from discontinued financing activities
Financing cash flow -33.84%-67.72K-137.38%-50.6K275.36%135.35K19.18%-77.18K19.42%-95.5K95.19%-118.52K-117.26%-2.47M694.59%14.29M-197.23%-2.4M-103.78%-808.75K
Net cash flow
Beginning cash position 22.49%33.84M-9.63%27.63M32.51%30.57M434.78%23.07M-57.15%4.31M69.66%10.07M293.56%5.93M-84.16%1.51M42.88%9.52M409.36%6.66M
Current changes in cash -194.96%-4.88M197.20%5.14M-153.93%-5.28M-49.11%9.8M424.19%19.25M-245.85%-5.94M-9.00%4.07M155.51%4.47M-432.95%-8.06M-57.38%2.42M
Effect of exchange rate changes -108.93%-96.29K-53.93%1.08M201.79%2.34M-365.38%-2.3M-367.37%-493.81K196.31%184.69K229.82%62.33K-195.25%-48.01K-88.42%50.41K233.13%435.43K
End cash Position -14.70%28.87M22.49%33.84M-9.63%27.63M32.51%30.57M434.78%23.07M-57.15%4.31M69.66%10.07M293.56%5.93M-84.16%1.51M42.88%9.52M
Free cash from 17.39%-4.81M-13.40%-5.82M-152.14%-5.13M-49.02%9.85M429.42%19.31M-190.39%-5.86M166.06%6.49M-73.48%-9.82M-275.45%-5.66M120.70%3.23M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

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