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Red Mountain Mining Ltd (RMXOK)

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  • 0.009
  • 0.0000.00%
20min DelayMarket Closed Apr 9 11:21 AET
24.06MMarket Cap0.00P/E (Static)

Red Mountain Mining Ltd (RMXOK) 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
-32.09%325.81K
-32.09%325.81K
-55.63%479.75K
-55.63%479.75K
-34.84%1.08M
-34.84%1.08M
-11.22%1.66M
-11.22%1.66M
0.91%1.87M
0.91%1.87M
-Cash and cash equivalents
-35.93%274.46K
-35.93%274.46K
-58.40%428.41K
-58.40%428.41K
-37.94%1.03M
-37.94%1.03M
-4.16%1.66M
-4.16%1.66M
19.91%1.73M
19.91%1.73M
-Short term investments
0.00%51.35K
0.00%51.35K
0.00%51.35K
0.00%51.35K
--51.35K
--51.35K
----
----
-66.26%137.8K
-66.26%137.8K
Receivables
-14.44%91.22K
-14.44%91.22K
18.98%106.61K
18.98%106.61K
-15.45%89.61K
-15.45%89.61K
-4.73%105.99K
-4.73%105.99K
83.62%111.26K
83.62%111.26K
-Other receivables
-14.44%91.22K
-14.44%91.22K
18.98%106.61K
18.98%106.61K
-15.45%89.61K
-15.45%89.61K
-4.73%105.99K
-4.73%105.99K
83.62%111.26K
83.62%111.26K
Prepaid assets
-18.38%26.51K
-18.38%26.51K
9.78%32.48K
9.78%32.48K
-40.21%29.58K
-40.21%29.58K
52.76%49.48K
52.76%49.48K
-63.89%32.39K
-63.89%32.39K
Total current assets
-28.33%443.54K
-28.33%443.54K
-48.45%618.85K
-48.45%618.85K
-33.86%1.2M
-33.86%1.2M
-9.83%1.81M
-9.83%1.81M
0.51%2.01M
0.51%2.01M
Non current assets
Net PPE
-6.35%1.71M
-6.35%1.71M
-13.77%1.82M
-13.77%1.82M
-25.80%2.11M
-25.80%2.11M
53.57%2.85M
53.57%2.85M
480.01%1.85M
480.01%1.85M
-Gross PPE
-1.58%1.94M
-1.58%1.94M
-9.48%1.97M
-9.48%1.97M
-33.86%2.18M
-33.86%2.18M
53.08%3.29M
53.08%3.29M
360.01%2.15M
360.01%2.15M
-Accumulated depreciation
-57.14%-232.72K
-57.14%-232.72K
-133.33%-148.09K
-133.33%-148.09K
85.65%-63.47K
85.65%-63.47K
-50.00%-442.42K
-50.00%-442.42K
-100.00%-294.95K
-100.00%-294.95K
Investments and advances
-99.77%134
-99.77%134
115.03%58.11K
115.03%58.11K
-57.52%27.02K
-57.52%27.02K
--63.61K
--63.61K
----
----
-Financial asset investment
-99.77%134
-99.77%134
115.03%58.11K
115.03%58.11K
-57.52%27.02K
-57.52%27.02K
--63.61K
--63.61K
----
----
-Including:Trading securities
-99.77%134
-99.77%134
115.03%58.11K
115.03%58.11K
-57.52%27.02K
-57.52%27.02K
--63.61K
--63.61K
----
----
Total non current assets
-9.24%1.71M
-9.24%1.71M
-12.15%1.88M
-12.15%1.88M
-26.50%2.14M
-26.50%2.14M
57.00%2.91M
57.00%2.91M
480.01%1.85M
480.01%1.85M
Total assets
-13.97%2.15M
-13.97%2.15M
-25.20%2.5M
-25.20%2.5M
-29.32%3.34M
-29.32%3.34M
22.20%4.72M
22.20%4.72M
66.49%3.87M
66.49%3.87M
Liabilities
Current liabilities
Current debt and capital lease obligation
221.54%268.47K
221.54%268.47K
1.29%83.49K
1.29%83.49K
179.52%82.43K
179.52%82.43K
-80.97%29.49K
-80.97%29.49K
5.67%154.95K
5.67%154.95K
-Current debt
--252.06K
--252.06K
----
----
----
----
----
----
----
----
-Current capital lease obligation
-80.35%16.41K
-80.35%16.41K
1.29%83.49K
1.29%83.49K
179.52%82.43K
179.52%82.43K
-80.97%29.49K
-80.97%29.49K
5.67%154.95K
5.67%154.95K
Payables
338.51%486.86K
338.51%486.86K
-63.06%111.03K
-63.06%111.03K
121.35%300.57K
121.35%300.57K
-63.80%135.79K
-63.80%135.79K
138.75%375.14K
138.75%375.14K
-accounts payable
2,253.57%394.51K
2,253.57%394.51K
-93.49%16.76K
-93.49%16.76K
313.25%257.62K
313.25%257.62K
-38.91%62.34K
-38.91%62.34K
-22.44%102.05K
-22.44%102.05K
-Other payable
-2.03%92.35K
-2.03%92.35K
119.47%94.26K
119.47%94.26K
-41.52%42.95K
-41.52%42.95K
-73.10%73.45K
-73.10%73.45K
968.65%273.09K
968.65%273.09K
Current liabilities
288.30%755.33K
288.30%755.33K
-49.21%194.52K
-49.21%194.52K
131.73%383K
131.73%383K
-68.82%165.28K
-68.82%165.28K
74.51%530.09K
74.51%530.09K
Non current liabilities
Long term debt and capital lease obligation
----
----
-79.32%23.66K
-79.32%23.66K
--114.4K
--114.4K
----
----
185.50%524.29K
185.50%524.29K
-Long term debt
----
----
----
----
----
----
----
----
--500K
--500K
-Long term capital lease obligation
----
----
-79.32%23.66K
-79.32%23.66K
--114.4K
--114.4K
----
----
-86.77%24.29K
-86.77%24.29K
Total non current liabilities
--0
--0
-79.32%23.66K
-79.32%23.66K
--114.4K
--114.4K
--0
--0
185.50%524.29K
185.50%524.29K
Total liabilities
246.20%755.33K
246.20%755.33K
-56.14%218.18K
-56.14%218.18K
200.95%497.4K
200.95%497.4K
-84.32%165.28K
-84.32%165.28K
116.33%1.05M
116.33%1.05M
Shareholders'equity
Share capital
2.09%53M
2.09%53M
3.93%51.92M
3.93%51.92M
5.33%49.95M
5.33%49.95M
6.59%47.42M
6.59%47.42M
5.16%44.49M
5.16%44.49M
-common stock
2.09%53M
2.09%53M
3.93%51.92M
3.93%51.92M
5.33%49.95M
5.33%49.95M
6.59%47.42M
6.59%47.42M
5.16%44.49M
5.16%44.49M
Retained earnings
-4.16%-64M
-4.16%-64M
-4.70%-61.44M
-4.70%-61.44M
-8.11%-58.68M
-8.11%-58.68M
-2.74%-54.28M
-2.74%-54.28M
-3.26%-52.83M
-3.26%-52.83M
Gains losses not affecting retained earnings
4.96%12.39M
4.96%12.39M
2.43%11.8M
2.43%11.8M
0.91%11.52M
0.91%11.52M
2.34%11.42M
2.34%11.42M
4.32%11.16M
4.32%11.16M
Total stockholders'equity
-38.87%1.39M
-38.87%1.39M
-18.30%2.28M
-18.30%2.28M
-38.80%2.79M
-38.80%2.79M
62.15%4.56M
62.15%4.56M
53.25%2.81M
53.25%2.81M
Total equity
-38.87%1.39M
-38.87%1.39M
-18.30%2.28M
-18.30%2.28M
-38.80%2.79M
-38.80%2.79M
62.15%4.56M
62.15%4.56M
53.25%2.81M
53.25%2.81M
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 -32.09%325.81K-32.09%325.81K-55.63%479.75K-55.63%479.75K-34.84%1.08M-34.84%1.08M-11.22%1.66M-11.22%1.66M0.91%1.87M0.91%1.87M
-Cash and cash equivalents -35.93%274.46K-35.93%274.46K-58.40%428.41K-58.40%428.41K-37.94%1.03M-37.94%1.03M-4.16%1.66M-4.16%1.66M19.91%1.73M19.91%1.73M
-Short term investments 0.00%51.35K0.00%51.35K0.00%51.35K0.00%51.35K--51.35K--51.35K---------66.26%137.8K-66.26%137.8K
Receivables -14.44%91.22K-14.44%91.22K18.98%106.61K18.98%106.61K-15.45%89.61K-15.45%89.61K-4.73%105.99K-4.73%105.99K83.62%111.26K83.62%111.26K
-Other receivables -14.44%91.22K-14.44%91.22K18.98%106.61K18.98%106.61K-15.45%89.61K-15.45%89.61K-4.73%105.99K-4.73%105.99K83.62%111.26K83.62%111.26K
Prepaid assets -18.38%26.51K-18.38%26.51K9.78%32.48K9.78%32.48K-40.21%29.58K-40.21%29.58K52.76%49.48K52.76%49.48K-63.89%32.39K-63.89%32.39K
Total current assets -28.33%443.54K-28.33%443.54K-48.45%618.85K-48.45%618.85K-33.86%1.2M-33.86%1.2M-9.83%1.81M-9.83%1.81M0.51%2.01M0.51%2.01M
Non current assets
Net PPE -6.35%1.71M-6.35%1.71M-13.77%1.82M-13.77%1.82M-25.80%2.11M-25.80%2.11M53.57%2.85M53.57%2.85M480.01%1.85M480.01%1.85M
-Gross PPE -1.58%1.94M-1.58%1.94M-9.48%1.97M-9.48%1.97M-33.86%2.18M-33.86%2.18M53.08%3.29M53.08%3.29M360.01%2.15M360.01%2.15M
-Accumulated depreciation -57.14%-232.72K-57.14%-232.72K-133.33%-148.09K-133.33%-148.09K85.65%-63.47K85.65%-63.47K-50.00%-442.42K-50.00%-442.42K-100.00%-294.95K-100.00%-294.95K
Investments and advances -99.77%134-99.77%134115.03%58.11K115.03%58.11K-57.52%27.02K-57.52%27.02K--63.61K--63.61K--------
-Financial asset investment -99.77%134-99.77%134115.03%58.11K115.03%58.11K-57.52%27.02K-57.52%27.02K--63.61K--63.61K--------
-Including:Trading securities -99.77%134-99.77%134115.03%58.11K115.03%58.11K-57.52%27.02K-57.52%27.02K--63.61K--63.61K--------
Total non current assets -9.24%1.71M-9.24%1.71M-12.15%1.88M-12.15%1.88M-26.50%2.14M-26.50%2.14M57.00%2.91M57.00%2.91M480.01%1.85M480.01%1.85M
Total assets -13.97%2.15M-13.97%2.15M-25.20%2.5M-25.20%2.5M-29.32%3.34M-29.32%3.34M22.20%4.72M22.20%4.72M66.49%3.87M66.49%3.87M
Liabilities
Current liabilities
Current debt and capital lease obligation 221.54%268.47K221.54%268.47K1.29%83.49K1.29%83.49K179.52%82.43K179.52%82.43K-80.97%29.49K-80.97%29.49K5.67%154.95K5.67%154.95K
-Current debt --252.06K--252.06K--------------------------------
-Current capital lease obligation -80.35%16.41K-80.35%16.41K1.29%83.49K1.29%83.49K179.52%82.43K179.52%82.43K-80.97%29.49K-80.97%29.49K5.67%154.95K5.67%154.95K
Payables 338.51%486.86K338.51%486.86K-63.06%111.03K-63.06%111.03K121.35%300.57K121.35%300.57K-63.80%135.79K-63.80%135.79K138.75%375.14K138.75%375.14K
-accounts payable 2,253.57%394.51K2,253.57%394.51K-93.49%16.76K-93.49%16.76K313.25%257.62K313.25%257.62K-38.91%62.34K-38.91%62.34K-22.44%102.05K-22.44%102.05K
-Other payable -2.03%92.35K-2.03%92.35K119.47%94.26K119.47%94.26K-41.52%42.95K-41.52%42.95K-73.10%73.45K-73.10%73.45K968.65%273.09K968.65%273.09K
Current liabilities 288.30%755.33K288.30%755.33K-49.21%194.52K-49.21%194.52K131.73%383K131.73%383K-68.82%165.28K-68.82%165.28K74.51%530.09K74.51%530.09K
Non current liabilities
Long term debt and capital lease obligation ---------79.32%23.66K-79.32%23.66K--114.4K--114.4K--------185.50%524.29K185.50%524.29K
-Long term debt ----------------------------------500K--500K
-Long term capital lease obligation ---------79.32%23.66K-79.32%23.66K--114.4K--114.4K---------86.77%24.29K-86.77%24.29K
Total non current liabilities --0--0-79.32%23.66K-79.32%23.66K--114.4K--114.4K--0--0185.50%524.29K185.50%524.29K
Total liabilities 246.20%755.33K246.20%755.33K-56.14%218.18K-56.14%218.18K200.95%497.4K200.95%497.4K-84.32%165.28K-84.32%165.28K116.33%1.05M116.33%1.05M
Shareholders'equity
Share capital 2.09%53M2.09%53M3.93%51.92M3.93%51.92M5.33%49.95M5.33%49.95M6.59%47.42M6.59%47.42M5.16%44.49M5.16%44.49M
-common stock 2.09%53M2.09%53M3.93%51.92M3.93%51.92M5.33%49.95M5.33%49.95M6.59%47.42M6.59%47.42M5.16%44.49M5.16%44.49M
Retained earnings -4.16%-64M-4.16%-64M-4.70%-61.44M-4.70%-61.44M-8.11%-58.68M-8.11%-58.68M-2.74%-54.28M-2.74%-54.28M-3.26%-52.83M-3.26%-52.83M
Gains losses not affecting retained earnings 4.96%12.39M4.96%12.39M2.43%11.8M2.43%11.8M0.91%11.52M0.91%11.52M2.34%11.42M2.34%11.42M4.32%11.16M4.32%11.16M
Total stockholders'equity -38.87%1.39M-38.87%1.39M-18.30%2.28M-18.30%2.28M-38.80%2.79M-38.80%2.79M62.15%4.56M62.15%4.56M53.25%2.81M53.25%2.81M
Total equity -38.87%1.39M-38.87%1.39M-18.30%2.28M-18.30%2.28M-38.80%2.79M-38.80%2.79M62.15%4.56M62.15%4.56M53.25%2.81M53.25%2.81M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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