澳洲市場個股詳情

Anax Metals Ltd (ANX)

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  • 0.033
  • +0.002+6.45%
延時20分鐘行情已收盤 05/22 16:00 (悉尼)
4381.29萬總市值-6.60市盈率(靜)

Anax Metals Ltd (ANX) 資產負債表

季報+年報
顯示同比 yoy
隱藏空行 yoy
(FY)2025/06/30
(Q4)2025/06/30
(FY)2024/06/30
(Q4)2024/06/30
(FY)2023/06/30
(Q4)2023/06/30
(FY)2022/06/30
(Q4)2022/06/30
(FY)2021/06/30
(Q4)2021/06/30
資產
流動資產
現金及現金等價物和短期投資
-28.42%293.09萬
-28.42%293.09萬
139.38%409.47萬
139.38%409.47萬
-80.13%171.05萬
-80.13%171.05萬
-6.83%860.68萬
-6.83%860.68萬
60.66%923.75萬
60.66%923.75萬
-現金和現金等價物
-28.42%293.09萬
-28.42%293.09萬
139.38%409.47萬
139.38%409.47萬
-76.63%171.05萬
-76.63%171.05萬
9.22%731.91萬
9.22%731.91萬
114.27%670.13萬
114.27%670.13萬
-短期投資
----
----
----
----
----
----
-49.23%128.77萬
-49.23%128.77萬
-3.28%253.62萬
-3.28%253.62萬
應收款項
-63.73%13.96萬
-63.73%13.96萬
92.51%38.49萬
92.51%38.49萬
-40.00%19.99萬
-40.00%19.99萬
145.47%33.32萬
145.47%33.32萬
90.38%13.57萬
90.38%13.57萬
-其他應收款
-63.73%13.96萬
-63.73%13.96萬
92.51%38.49萬
92.51%38.49萬
-40.00%19.99萬
-40.00%19.99萬
145.47%33.32萬
145.47%33.32萬
90.38%13.57萬
90.38%13.57萬
預付費用
19.51%9.75萬
19.51%9.75萬
3.21%8.16萬
3.21%8.16萬
584.14%7.9萬
584.14%7.9萬
2,997.32%1.16萬
2,997.32%1.16萬
-97.16%373
-97.16%373
流動資產合計
-30.54%316.8萬
-30.54%316.8萬
129.26%456.11萬
129.26%456.11萬
-77.77%198.95萬
-77.77%198.95萬
-4.50%895.15萬
-4.50%895.15萬
60.67%937.36萬
60.67%937.36萬
非流動資產
固定資產淨額
9.01%4,219.85萬
9.01%4,219.85萬
11.61%3,871.04萬
11.61%3,871.04萬
11.19%3,468.36萬
11.19%3,468.36萬
19.07%3,119.19萬
19.07%3,119.19萬
1,194,397.77%2,619.53萬
1,194,397.77%2,619.53萬
-固定資產
9.67%4,282.76萬
9.67%4,282.76萬
11.62%3,904.97萬
11.62%3,904.97萬
10.00%3,498.3萬
10.00%3,498.3萬
20.09%3,180.25萬
20.09%3,180.25萬
11,890.98%2,648.3萬
11,890.98%2,648.3萬
-累計折舊
-85.37%-62.91萬
-85.37%-62.91萬
-13.35%-33.94萬
-13.35%-33.94萬
50.97%-29.94萬
50.97%-29.94萬
-112.23%-61.06萬
-112.23%-61.06萬
-31.58%-28.77萬
-31.58%-28.77萬
非流動資產合計
9.01%4,219.85萬
9.01%4,219.85萬
11.61%3,871.04萬
11.61%3,871.04萬
11.19%3,468.36萬
11.19%3,468.36萬
19.07%3,119.19萬
19.07%3,119.19萬
1,194,397.77%2,619.53萬
1,194,397.77%2,619.53萬
總資產
4.84%4,536.65萬
4.84%4,536.65萬
17.99%4,327.15萬
17.99%4,327.15萬
-8.64%3,667.31萬
-8.64%3,667.31萬
12.86%4,014.34萬
12.86%4,014.34萬
509.46%3,556.9萬
509.46%3,556.9萬
負債
流動負債
短期借款與資本租賃負債
9.40%300萬
9.40%300萬
3,714.81%274.23萬
3,714.81%274.23萬
20.71%7.19萬
20.71%7.19萬
9.65%5.96萬
9.65%5.96萬
--5.43萬
--5.43萬
-短期借款
12.65%294.96萬
12.65%294.96萬
--261.84萬
--261.84萬
----
----
----
----
----
----
-短期資本租賃負債
-59.36%5.04萬
-59.36%5.04萬
72.37%12.39萬
72.37%12.39萬
20.71%7.19萬
20.71%7.19萬
9.65%5.96萬
9.65%5.96萬
--5.43萬
--5.43萬
應付款項
29.59%89.18萬
29.59%89.18萬
35.57%68.82萬
35.57%68.82萬
-71.57%50.77萬
-71.57%50.77萬
106.31%178.55萬
106.31%178.55萬
560.73%86.54萬
560.73%86.54萬
-應付帳款
45.64%43.29萬
45.64%43.29萬
24.90%29.72萬
24.90%29.72萬
-72.52%23.8萬
-72.52%23.8萬
232.37%86.61萬
232.37%86.61萬
98.94%26.06萬
98.94%26.06萬
-其他應付款
17.38%45.89萬
17.38%45.89萬
44.97%39.1萬
44.97%39.1萬
-70.67%26.97萬
-70.67%26.97萬
52.01%91.94萬
52.01%91.94萬
--60.48萬
--60.48萬
現行撥備
----
----
-0.14%323.49萬
-0.14%323.49萬
-4.76%323.94萬
-4.76%323.94萬
-1.63%340.13萬
-1.63%340.13萬
--345.75萬
--345.75萬
養老金及其他退休福利計劃
22.89%11.49萬
22.89%11.49萬
-5.01%9.35萬
-5.01%9.35萬
-20.86%9.85萬
-20.86%9.85萬
53.48%12.44萬
53.48%12.44萬
3.59%8.11萬
3.59%8.11萬
其他流動負債
----
----
50.70%148.73萬
50.70%148.73萬
0.04%98.7萬
0.04%98.7萬
--98.66萬
--98.66萬
----
----
流動負債總額
-51.41%400.68萬
-51.41%400.68萬
68.14%824.63萬
68.14%824.63萬
-22.85%490.44萬
-22.85%490.44萬
42.59%635.73萬
42.59%635.73萬
2,030.77%445.83萬
2,030.77%445.83萬
非流動負債
長期借款與租賃負債
5,439.64%278.98萬
5,439.64%278.98萬
-96.89%5.04萬
-96.89%5.04萬
1,871.84%162.07萬
1,871.84%162.07萬
-42.02%8.22萬
-42.02%8.22萬
--14.17萬
--14.17萬
-長期借款
--278.98萬
--278.98萬
----
----
--160.18萬
--160.18萬
----
----
----
----
-長期租賃負債
----
----
166.31%5.04萬
166.31%5.04萬
-76.99%1.89萬
-76.99%1.89萬
-42.02%8.22萬
-42.02%8.22萬
--14.17萬
--14.17萬
長期撥備
30.32%1,648.35萬
30.32%1,648.35萬
3.95%1,264.89萬
3.95%1,264.89萬
-18.84%1,216.84萬
-18.84%1,216.84萬
-17.11%1,499.23萬
-17.11%1,499.23萬
--1,808.73萬
--1,808.73萬
員工福利
16.61%4.19萬
16.61%4.19萬
-2.10%3.59萬
-2.10%3.59萬
--3.67萬
--3.67萬
----
----
----
----
其他非流動負債
----
----
----
----
--93.65萬
--93.65萬
----
----
----
----
非流動負債總額
51.67%1,931.52萬
51.67%1,931.52萬
-13.73%1,273.51萬
-13.73%1,273.51萬
-2.07%1,476.23萬
-2.07%1,476.23萬
-17.30%1,507.45萬
-17.30%1,507.45萬
--1,822.9萬
--1,822.9萬
負債總額
11.16%2,332.19萬
11.16%2,332.19萬
6.69%2,098.14萬
6.69%2,098.14萬
-8.24%1,966.67萬
-8.24%1,966.67萬
-5.53%2,143.18萬
-5.53%2,143.18萬
10,742.99%2,268.73萬
10,742.99%2,268.73萬
所有者權益
股本
4.72%5,935.73萬
4.72%5,935.73萬
15.71%5,668.24萬
15.71%5,668.24萬
0.21%4,898.75萬
0.21%4,898.75萬
9.47%4,888.61萬
9.47%4,888.61萬
16.36%4,465.81萬
16.36%4,465.81萬
-普通股股本
4.72%5,935.73萬
4.72%5,935.73萬
15.71%5,668.24萬
15.71%5,668.24萬
0.21%4,898.75萬
0.21%4,898.75萬
9.47%4,888.61萬
9.47%4,888.61萬
16.36%4,465.81萬
16.36%4,465.81萬
留存收益
-7.78%-4,495.43萬
-7.78%-4,495.43萬
-5.71%-4,170.78萬
-5.71%-4,170.78萬
-7.80%-3,945.31萬
-7.80%-3,945.31萬
3.90%-3,659.91萬
3.90%-3,659.91萬
0.63%-3,808.36萬
0.63%-3,808.36萬
不影響留存收益的損益
4.46%764.16萬
4.46%764.16萬
-2.10%731.55萬
-2.10%731.55萬
16.30%747.2萬
16.30%747.2萬
1.86%642.46萬
1.86%642.46萬
13.19%630.72萬
13.19%630.72萬
股東權益總額
-1.10%2,204.46萬
-1.10%2,204.46萬
31.07%2,229.01萬
31.07%2,229.01萬
-9.11%1,700.64萬
-9.11%1,700.64萬
45.26%1,871.16萬
45.26%1,871.16萬
128.93%1,288.16萬
128.93%1,288.16萬
總權益
-1.10%2,204.46萬
-1.10%2,204.46萬
31.07%2,229.01萬
31.07%2,229.01萬
-9.11%1,700.64萬
-9.11%1,700.64萬
45.26%1,871.16萬
45.26%1,871.16萬
128.93%1,288.16萬
128.93%1,288.16萬
會計準則
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)2025/06/30(Q4)2025/06/30(FY)2024/06/30(Q4)2024/06/30(FY)2023/06/30(Q4)2023/06/30(FY)2022/06/30(Q4)2022/06/30(FY)2021/06/30(Q4)2021/06/30
資產
流動資產
現金及現金等價物和短期投資 -28.42%293.09萬-28.42%293.09萬139.38%409.47萬139.38%409.47萬-80.13%171.05萬-80.13%171.05萬-6.83%860.68萬-6.83%860.68萬60.66%923.75萬60.66%923.75萬
-現金和現金等價物 -28.42%293.09萬-28.42%293.09萬139.38%409.47萬139.38%409.47萬-76.63%171.05萬-76.63%171.05萬9.22%731.91萬9.22%731.91萬114.27%670.13萬114.27%670.13萬
-短期投資 -------------------------49.23%128.77萬-49.23%128.77萬-3.28%253.62萬-3.28%253.62萬
應收款項 -63.73%13.96萬-63.73%13.96萬92.51%38.49萬92.51%38.49萬-40.00%19.99萬-40.00%19.99萬145.47%33.32萬145.47%33.32萬90.38%13.57萬90.38%13.57萬
-其他應收款 -63.73%13.96萬-63.73%13.96萬92.51%38.49萬92.51%38.49萬-40.00%19.99萬-40.00%19.99萬145.47%33.32萬145.47%33.32萬90.38%13.57萬90.38%13.57萬
預付費用 19.51%9.75萬19.51%9.75萬3.21%8.16萬3.21%8.16萬584.14%7.9萬584.14%7.9萬2,997.32%1.16萬2,997.32%1.16萬-97.16%373-97.16%373
流動資產合計 -30.54%316.8萬-30.54%316.8萬129.26%456.11萬129.26%456.11萬-77.77%198.95萬-77.77%198.95萬-4.50%895.15萬-4.50%895.15萬60.67%937.36萬60.67%937.36萬
非流動資產
固定資產淨額 9.01%4,219.85萬9.01%4,219.85萬11.61%3,871.04萬11.61%3,871.04萬11.19%3,468.36萬11.19%3,468.36萬19.07%3,119.19萬19.07%3,119.19萬1,194,397.77%2,619.53萬1,194,397.77%2,619.53萬
-固定資產 9.67%4,282.76萬9.67%4,282.76萬11.62%3,904.97萬11.62%3,904.97萬10.00%3,498.3萬10.00%3,498.3萬20.09%3,180.25萬20.09%3,180.25萬11,890.98%2,648.3萬11,890.98%2,648.3萬
-累計折舊 -85.37%-62.91萬-85.37%-62.91萬-13.35%-33.94萬-13.35%-33.94萬50.97%-29.94萬50.97%-29.94萬-112.23%-61.06萬-112.23%-61.06萬-31.58%-28.77萬-31.58%-28.77萬
非流動資產合計 9.01%4,219.85萬9.01%4,219.85萬11.61%3,871.04萬11.61%3,871.04萬11.19%3,468.36萬11.19%3,468.36萬19.07%3,119.19萬19.07%3,119.19萬1,194,397.77%2,619.53萬1,194,397.77%2,619.53萬
總資產 4.84%4,536.65萬4.84%4,536.65萬17.99%4,327.15萬17.99%4,327.15萬-8.64%3,667.31萬-8.64%3,667.31萬12.86%4,014.34萬12.86%4,014.34萬509.46%3,556.9萬509.46%3,556.9萬
負債
流動負債
短期借款與資本租賃負債 9.40%300萬9.40%300萬3,714.81%274.23萬3,714.81%274.23萬20.71%7.19萬20.71%7.19萬9.65%5.96萬9.65%5.96萬--5.43萬--5.43萬
-短期借款 12.65%294.96萬12.65%294.96萬--261.84萬--261.84萬------------------------
-短期資本租賃負債 -59.36%5.04萬-59.36%5.04萬72.37%12.39萬72.37%12.39萬20.71%7.19萬20.71%7.19萬9.65%5.96萬9.65%5.96萬--5.43萬--5.43萬
應付款項 29.59%89.18萬29.59%89.18萬35.57%68.82萬35.57%68.82萬-71.57%50.77萬-71.57%50.77萬106.31%178.55萬106.31%178.55萬560.73%86.54萬560.73%86.54萬
-應付帳款 45.64%43.29萬45.64%43.29萬24.90%29.72萬24.90%29.72萬-72.52%23.8萬-72.52%23.8萬232.37%86.61萬232.37%86.61萬98.94%26.06萬98.94%26.06萬
-其他應付款 17.38%45.89萬17.38%45.89萬44.97%39.1萬44.97%39.1萬-70.67%26.97萬-70.67%26.97萬52.01%91.94萬52.01%91.94萬--60.48萬--60.48萬
現行撥備 ---------0.14%323.49萬-0.14%323.49萬-4.76%323.94萬-4.76%323.94萬-1.63%340.13萬-1.63%340.13萬--345.75萬--345.75萬
養老金及其他退休福利計劃 22.89%11.49萬22.89%11.49萬-5.01%9.35萬-5.01%9.35萬-20.86%9.85萬-20.86%9.85萬53.48%12.44萬53.48%12.44萬3.59%8.11萬3.59%8.11萬
其他流動負債 --------50.70%148.73萬50.70%148.73萬0.04%98.7萬0.04%98.7萬--98.66萬--98.66萬--------
流動負債總額 -51.41%400.68萬-51.41%400.68萬68.14%824.63萬68.14%824.63萬-22.85%490.44萬-22.85%490.44萬42.59%635.73萬42.59%635.73萬2,030.77%445.83萬2,030.77%445.83萬
非流動負債
長期借款與租賃負債 5,439.64%278.98萬5,439.64%278.98萬-96.89%5.04萬-96.89%5.04萬1,871.84%162.07萬1,871.84%162.07萬-42.02%8.22萬-42.02%8.22萬--14.17萬--14.17萬
-長期借款 --278.98萬--278.98萬----------160.18萬--160.18萬----------------
-長期租賃負債 --------166.31%5.04萬166.31%5.04萬-76.99%1.89萬-76.99%1.89萬-42.02%8.22萬-42.02%8.22萬--14.17萬--14.17萬
長期撥備 30.32%1,648.35萬30.32%1,648.35萬3.95%1,264.89萬3.95%1,264.89萬-18.84%1,216.84萬-18.84%1,216.84萬-17.11%1,499.23萬-17.11%1,499.23萬--1,808.73萬--1,808.73萬
員工福利 16.61%4.19萬16.61%4.19萬-2.10%3.59萬-2.10%3.59萬--3.67萬--3.67萬----------------
其他非流動負債 ------------------93.65萬--93.65萬----------------
非流動負債總額 51.67%1,931.52萬51.67%1,931.52萬-13.73%1,273.51萬-13.73%1,273.51萬-2.07%1,476.23萬-2.07%1,476.23萬-17.30%1,507.45萬-17.30%1,507.45萬--1,822.9萬--1,822.9萬
負債總額 11.16%2,332.19萬11.16%2,332.19萬6.69%2,098.14萬6.69%2,098.14萬-8.24%1,966.67萬-8.24%1,966.67萬-5.53%2,143.18萬-5.53%2,143.18萬10,742.99%2,268.73萬10,742.99%2,268.73萬
所有者權益
股本 4.72%5,935.73萬4.72%5,935.73萬15.71%5,668.24萬15.71%5,668.24萬0.21%4,898.75萬0.21%4,898.75萬9.47%4,888.61萬9.47%4,888.61萬16.36%4,465.81萬16.36%4,465.81萬
-普通股股本 4.72%5,935.73萬4.72%5,935.73萬15.71%5,668.24萬15.71%5,668.24萬0.21%4,898.75萬0.21%4,898.75萬9.47%4,888.61萬9.47%4,888.61萬16.36%4,465.81萬16.36%4,465.81萬
留存收益 -7.78%-4,495.43萬-7.78%-4,495.43萬-5.71%-4,170.78萬-5.71%-4,170.78萬-7.80%-3,945.31萬-7.80%-3,945.31萬3.90%-3,659.91萬3.90%-3,659.91萬0.63%-3,808.36萬0.63%-3,808.36萬
不影響留存收益的損益 4.46%764.16萬4.46%764.16萬-2.10%731.55萬-2.10%731.55萬16.30%747.2萬16.30%747.2萬1.86%642.46萬1.86%642.46萬13.19%630.72萬13.19%630.72萬
股東權益總額 -1.10%2,204.46萬-1.10%2,204.46萬31.07%2,229.01萬31.07%2,229.01萬-9.11%1,700.64萬-9.11%1,700.64萬45.26%1,871.16萬45.26%1,871.16萬128.93%1,288.16萬128.93%1,288.16萬
總權益 -1.10%2,204.46萬-1.10%2,204.46萬31.07%2,229.01萬31.07%2,229.01萬-9.11%1,700.64萬-9.11%1,700.64萬45.26%1,871.16萬45.26%1,871.16萬128.93%1,288.16萬128.93%1,288.16萬
會計準則 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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