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MEI Meteoric Resources NL

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  • 0.090
  • +0.004+4.65%
20min DelayNot Open Dec 23 16:00 AET
207.26MMarket Cap-11.25P/E (Static)

Meteoric Resources NL 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
-19.75%13.87M
-19.75%13.87M
1,011.92%17.29M
1,011.92%17.29M
-60.81%1.55M
-60.81%1.55M
-39.08%3.97M
-39.08%3.97M
157.38%6.51M
157.38%6.51M
-Cash and cash equivalents
-19.75%13.87M
-19.75%13.87M
1,011.92%17.29M
1,011.92%17.29M
-60.81%1.55M
-60.81%1.55M
-39.08%3.97M
-39.08%3.97M
157.38%6.51M
157.38%6.51M
Receivables
-3.18%333.37K
-3.18%333.37K
573.59%344.33K
573.59%344.33K
-68.88%51.12K
-68.88%51.12K
114.28%164.24K
114.28%164.24K
-42.85%76.65K
-42.85%76.65K
-Other receivables
-3.18%333.37K
-3.18%333.37K
573.59%344.33K
573.59%344.33K
-68.88%51.12K
-68.88%51.12K
114.28%164.24K
114.28%164.24K
-42.85%76.65K
-42.85%76.65K
Inventory
--53.97K
--53.97K
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Prepaid assets
-83.65%26.33K
-83.65%26.33K
102.96%161.06K
102.96%161.06K
-5.13%79.36K
-5.13%79.36K
40.71%83.65K
40.71%83.65K
14.32%59.45K
14.32%59.45K
Total current assets
-19.70%14.29M
-19.70%14.29M
955.83%17.8M
955.83%17.8M
-60.02%1.69M
-60.02%1.69M
-36.59%4.22M
-36.59%4.22M
144.76%6.65M
144.76%6.65M
Non current assets
Net PPE
1,708.18%1.69M
1,708.18%1.69M
8.54%93.44K
8.54%93.44K
-24.16%86.09K
-24.16%86.09K
133.06%113.51K
133.06%113.51K
41.26%48.7K
41.26%48.7K
-Gross PPE
1,839.96%1.81M
1,839.96%1.81M
8.54%93.44K
8.54%93.44K
-24.16%86.09K
-24.16%86.09K
133.06%113.51K
133.06%113.51K
41.26%48.7K
41.26%48.7K
-Accumulated depreciation
---123.13K
---123.13K
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Investments and advances
22.19%248.44K
22.19%248.44K
-41.82%203.32K
-41.82%203.32K
-59.13%349.45K
-59.13%349.45K
1,222.42%855.02K
1,222.42%855.02K
519.61%64.66K
519.61%64.66K
-Financial asset investment
22.19%248.44K
22.19%248.44K
-41.35%203.32K
-41.35%203.32K
-59.32%346.68K
-59.32%346.68K
1,277.09%852.25K
1,277.09%852.25K
707.20%61.89K
707.20%61.89K
-Including:Trading securities
22.19%248.44K
22.19%248.44K
-41.35%203.32K
-41.35%203.32K
-59.32%346.68K
-59.32%346.68K
1,277.09%852.25K
1,277.09%852.25K
707.20%61.89K
707.20%61.89K
-Other investment
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0.00%2.77K
0.00%2.77K
0.00%2.77K
0.00%2.77K
0.00%2.77K
0.00%2.77K
Non current accounts receivable
--181.58K
--181.58K
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Goodwill and other intangible assets
--59.97K
--59.97K
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----
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-Other intangible assets
--59.97K
--59.97K
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Total non current assets
634.44%2.18M
634.44%2.18M
-31.86%296.76K
-31.86%296.76K
-55.03%435.53K
-55.03%435.53K
754.40%968.53K
754.40%968.53K
152.39%113.36K
152.39%113.36K
Total assets
-8.98%16.47M
-8.98%16.47M
753.01%18.09M
753.01%18.09M
-59.09%2.12M
-59.09%2.12M
-23.33%5.18M
-23.33%5.18M
144.88%6.76M
144.88%6.76M
Liabilities
Current liabilities
Current debt and capital lease obligation
--235.35K
--235.35K
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-Current capital lease obligation
--235.35K
--235.35K
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Payables
236.55%1.5M
236.55%1.5M
5.93%446.36K
5.93%446.36K
-17.32%421.36K
-17.32%421.36K
131.74%509.6K
131.74%509.6K
-42.47%219.9K
-42.47%219.9K
-accounts payable
236.55%1.5M
236.55%1.5M
5.93%446.36K
5.93%446.36K
-17.32%421.36K
-17.32%421.36K
131.74%509.6K
131.74%509.6K
-42.47%219.9K
-42.47%219.9K
Current provisions
--106.12K
--106.12K
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Pension and other retirement benefit plans
----
----
203.53%13.08K
203.53%13.08K
-76.24%4.31K
-76.24%4.31K
208.38%18.13K
208.38%18.13K
--5.88K
--5.88K
Current liabilities
301.30%1.84M
301.30%1.84M
7.93%459.44K
7.93%459.44K
-19.34%425.66K
-19.34%425.66K
133.73%527.73K
133.73%527.73K
-40.94%225.78K
-40.94%225.78K
Non current liabilities
Long term debt and capital lease obligation
-82.10%313.79K
-82.10%313.79K
--1.75M
--1.75M
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-Long term debt
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--1.75M
--1.75M
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-Long term capital lease obligation
--313.79K
--313.79K
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Long term accounts payable and other payables
--6M
--6M
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Total non current liabilities
260.12%6.31M
260.12%6.31M
--1.75M
--1.75M
--0
--0
--0
--0
--0
--0
Total liabilities
268.67%8.16M
268.67%8.16M
419.68%2.21M
419.68%2.21M
-19.34%425.66K
-19.34%425.66K
133.73%527.73K
133.73%527.73K
-40.94%225.78K
-40.94%225.78K
Shareholders'equity
Share capital
7.27%72.97M
7.27%72.97M
64.67%68.03M
64.67%68.03M
6.64%41.31M
6.64%41.31M
10.06%38.74M
10.06%38.74M
43.39%35.2M
43.39%35.2M
-common stock
7.27%72.97M
7.27%72.97M
64.67%68.03M
64.67%68.03M
6.64%41.31M
6.64%41.31M
10.06%38.74M
10.06%38.74M
43.39%35.2M
43.39%35.2M
Retained earnings
-19.78%-99.13M
-19.78%-99.13M
-80.84%-82.76M
-80.84%-82.76M
-13.82%-45.76M
-13.82%-45.76M
-29.02%-40.21M
-29.02%-40.21M
-29.75%-31.16M
-29.75%-31.16M
Gains losses not affecting retained earnings
12.59%34.47M
12.59%34.47M
397.86%30.61M
397.86%30.61M
0.38%6.15M
0.38%6.15M
144.60%6.13M
144.60%6.13M
35.17%2.5M
35.17%2.5M
Total stockholders'equity
-47.65%8.31M
-47.65%8.31M
836.71%15.88M
836.71%15.88M
-63.59%1.7M
-63.59%1.7M
-28.76%4.66M
-28.76%4.66M
174.74%6.54M
174.74%6.54M
Total equity
-47.65%8.31M
-47.65%8.31M
836.71%15.88M
836.71%15.88M
-63.59%1.7M
-63.59%1.7M
-28.76%4.66M
-28.76%4.66M
174.74%6.54M
174.74%6.54M
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(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 -19.75%13.87M-19.75%13.87M1,011.92%17.29M1,011.92%17.29M-60.81%1.55M-60.81%1.55M-39.08%3.97M-39.08%3.97M157.38%6.51M157.38%6.51M
-Cash and cash equivalents -19.75%13.87M-19.75%13.87M1,011.92%17.29M1,011.92%17.29M-60.81%1.55M-60.81%1.55M-39.08%3.97M-39.08%3.97M157.38%6.51M157.38%6.51M
Receivables -3.18%333.37K-3.18%333.37K573.59%344.33K573.59%344.33K-68.88%51.12K-68.88%51.12K114.28%164.24K114.28%164.24K-42.85%76.65K-42.85%76.65K
-Other receivables -3.18%333.37K-3.18%333.37K573.59%344.33K573.59%344.33K-68.88%51.12K-68.88%51.12K114.28%164.24K114.28%164.24K-42.85%76.65K-42.85%76.65K
Inventory --53.97K--53.97K--------------------------------
Prepaid assets -83.65%26.33K-83.65%26.33K102.96%161.06K102.96%161.06K-5.13%79.36K-5.13%79.36K40.71%83.65K40.71%83.65K14.32%59.45K14.32%59.45K
Total current assets -19.70%14.29M-19.70%14.29M955.83%17.8M955.83%17.8M-60.02%1.69M-60.02%1.69M-36.59%4.22M-36.59%4.22M144.76%6.65M144.76%6.65M
Non current assets
Net PPE 1,708.18%1.69M1,708.18%1.69M8.54%93.44K8.54%93.44K-24.16%86.09K-24.16%86.09K133.06%113.51K133.06%113.51K41.26%48.7K41.26%48.7K
-Gross PPE 1,839.96%1.81M1,839.96%1.81M8.54%93.44K8.54%93.44K-24.16%86.09K-24.16%86.09K133.06%113.51K133.06%113.51K41.26%48.7K41.26%48.7K
-Accumulated depreciation ---123.13K---123.13K--------------------------------
Investments and advances 22.19%248.44K22.19%248.44K-41.82%203.32K-41.82%203.32K-59.13%349.45K-59.13%349.45K1,222.42%855.02K1,222.42%855.02K519.61%64.66K519.61%64.66K
-Financial asset investment 22.19%248.44K22.19%248.44K-41.35%203.32K-41.35%203.32K-59.32%346.68K-59.32%346.68K1,277.09%852.25K1,277.09%852.25K707.20%61.89K707.20%61.89K
-Including:Trading securities 22.19%248.44K22.19%248.44K-41.35%203.32K-41.35%203.32K-59.32%346.68K-59.32%346.68K1,277.09%852.25K1,277.09%852.25K707.20%61.89K707.20%61.89K
-Other investment ----------------0.00%2.77K0.00%2.77K0.00%2.77K0.00%2.77K0.00%2.77K0.00%2.77K
Non current accounts receivable --181.58K--181.58K--------------------------------
Goodwill and other intangible assets --59.97K--59.97K--------------------------------
-Other intangible assets --59.97K--59.97K--------------------------------
Total non current assets 634.44%2.18M634.44%2.18M-31.86%296.76K-31.86%296.76K-55.03%435.53K-55.03%435.53K754.40%968.53K754.40%968.53K152.39%113.36K152.39%113.36K
Total assets -8.98%16.47M-8.98%16.47M753.01%18.09M753.01%18.09M-59.09%2.12M-59.09%2.12M-23.33%5.18M-23.33%5.18M144.88%6.76M144.88%6.76M
Liabilities
Current liabilities
Current debt and capital lease obligation --235.35K--235.35K--------------------------------
-Current capital lease obligation --235.35K--235.35K--------------------------------
Payables 236.55%1.5M236.55%1.5M5.93%446.36K5.93%446.36K-17.32%421.36K-17.32%421.36K131.74%509.6K131.74%509.6K-42.47%219.9K-42.47%219.9K
-accounts payable 236.55%1.5M236.55%1.5M5.93%446.36K5.93%446.36K-17.32%421.36K-17.32%421.36K131.74%509.6K131.74%509.6K-42.47%219.9K-42.47%219.9K
Current provisions --106.12K--106.12K--------------------------------
Pension and other retirement benefit plans --------203.53%13.08K203.53%13.08K-76.24%4.31K-76.24%4.31K208.38%18.13K208.38%18.13K--5.88K--5.88K
Current liabilities 301.30%1.84M301.30%1.84M7.93%459.44K7.93%459.44K-19.34%425.66K-19.34%425.66K133.73%527.73K133.73%527.73K-40.94%225.78K-40.94%225.78K
Non current liabilities
Long term debt and capital lease obligation -82.10%313.79K-82.10%313.79K--1.75M--1.75M------------------------
-Long term debt ----------1.75M--1.75M------------------------
-Long term capital lease obligation --313.79K--313.79K--------------------------------
Long term accounts payable and other payables --6M--6M--------------------------------
Total non current liabilities 260.12%6.31M260.12%6.31M--1.75M--1.75M--0--0--0--0--0--0
Total liabilities 268.67%8.16M268.67%8.16M419.68%2.21M419.68%2.21M-19.34%425.66K-19.34%425.66K133.73%527.73K133.73%527.73K-40.94%225.78K-40.94%225.78K
Shareholders'equity
Share capital 7.27%72.97M7.27%72.97M64.67%68.03M64.67%68.03M6.64%41.31M6.64%41.31M10.06%38.74M10.06%38.74M43.39%35.2M43.39%35.2M
-common stock 7.27%72.97M7.27%72.97M64.67%68.03M64.67%68.03M6.64%41.31M6.64%41.31M10.06%38.74M10.06%38.74M43.39%35.2M43.39%35.2M
Retained earnings -19.78%-99.13M-19.78%-99.13M-80.84%-82.76M-80.84%-82.76M-13.82%-45.76M-13.82%-45.76M-29.02%-40.21M-29.02%-40.21M-29.75%-31.16M-29.75%-31.16M
Gains losses not affecting retained earnings 12.59%34.47M12.59%34.47M397.86%30.61M397.86%30.61M0.38%6.15M0.38%6.15M144.60%6.13M144.60%6.13M35.17%2.5M35.17%2.5M
Total stockholders'equity -47.65%8.31M-47.65%8.31M836.71%15.88M836.71%15.88M-63.59%1.7M-63.59%1.7M-28.76%4.66M-28.76%4.66M174.74%6.54M174.74%6.54M
Total equity -47.65%8.31M-47.65%8.31M836.71%15.88M836.71%15.88M-63.59%1.7M-63.59%1.7M-28.76%4.66M-28.76%4.66M174.74%6.54M174.74%6.54M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP