澳洲市场个股详情

NMG New Murchison Gold Ltd

添加自选
  • 0.010
  • -0.001-9.09%
延时20分钟行情交易中 02/26 15:05 (悉尼)
7930.81万总市值0.00市盈率(静)

New Murchison Gold Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2024/09/30
(Q4)2024/09/30
(FY)2023/09/30
(FY)2022/09/30
(FY)2021/09/30
(FY)2020/09/30
(FY)2019/09/30
(FY)2018/09/30
(FY)2017/09/30
(FY)2016/09/30
资产
流动资产
现金及现金等价物和短期投资
47.34%339.27万
--339.27万
2,017.64%230.27万
-57.76%10.87万
-85.16%25.75万
833.40%173.54万
-89.56%18.59万
-63.00%178.09万
13.90%481.28万
2.26%422.56万
-现金和现金等价物
47.34%339.27万
--339.27万
2,018.53%230.27万
-57.77%10.87万
-85.17%25.74万
931.43%173.52万
-88.57%16.82万
-68.21%147.2万
21.28%463.03万
-4.65%381.79万
-短期投资
0.00%45
--45
-6.25%45
-31.43%48
-53.33%70
-99.15%150
-94.27%1.77万
69.21%30.88万
-55.23%18.25万
218.18%40.77万
应收款项
68.90%36.13万
--36.13万
296.26%21.39万
611.87%5.4万
-71.02%7,583
-44.14%2.62万
145.17%4.68万
-2.16%1.91万
-80.78%1.95万
83.39%10.16万
-其他应收款
68.90%36.13万
--36.13万
296.26%21.39万
611.87%5.4万
-71.02%7,583
-44.14%2.62万
145.17%4.68万
-2.16%1.91万
-80.78%1.95万
83.39%10.16万
流动资产合计
49.17%375.4万
--375.4万
1,446.58%251.66万
-38.60%16.27万
-84.95%26.5万
656.80%176.15万
-87.07%23.28万
-62.75%180万
11.67%483.24万
3.33%432.72万
非流动资产
固定资产净额
140.59%1,095.93万
--1,095.93万
5,526.00%455.51万
79.75%8.1万
-42.22%4.5万
-27.51%7.79万
-25.61%10.75万
28.97%14.45万
-22.15%11.21万
-23.56%14.4万
-固定资产
140.43%1,107.72万
--1,107.72万
1,016.42%460.73万
6.65%41.27万
-26.15%38.7万
0.00%52.4万
-16.14%52.4万
-27.18%62.48万
-1.47%85.8万
-7.57%87.08万
-累计折旧
-125.68%-11.79万
---11.79万
84.25%-5.23万
2.98%-33.17万
23.34%-34.19万
-7.10%-44.6万
13.30%-41.64万
35.61%-48.03万
-2.62%-74.6万
3.57%-72.69万
长期应收款
--3.89万
--3.89万
----
----
0.00%5.72万
-67.28%5.72万
-29.14%17.47万
-0.80%24.66万
-23.44%24.86万
-13.34%32.47万
其他非流动资产
----
----
--3.89万
----
----
----
----
----
----
----
非流动资产合计
139.40%1,099.81万
--1,099.81万
5,573.99%459.39万
-20.80%8.1万
-24.35%10.22万
-52.13%13.51万
-27.84%28.23万
8.45%39.12万
-23.04%36.07万
-16.76%46.87万
总资产
107.47%1,475.21万
--1,475.21万
2,817.92%711.05万
-33.65%24.37万
-80.64%36.73万
268.26%189.67万
-76.49%51.5万
-57.81%219.11万
8.28%519.3万
0.95%479.59万
负债
流动负债
短期借款与资本租赁负债
13.32%6.17万
--6.17万
--5.45万
----
----
----
----
----
----
----
-短期资本租赁负债
13.32%6.17万
--6.17万
--5.45万
----
----
----
----
----
----
----
应付款项
-60.75%69.95万
--69.95万
2,143.82%178.22万
20.59%7.94万
-8.61%6.59万
-75.29%7.21万
279.85%29.16万
-88.59%7.68万
114.28%67.27万
30.98%31.39万
-应付账款
-60.75%69.95万
--69.95万
2,143.82%178.22万
20.59%7.94万
-8.61%6.59万
-75.29%7.21万
279.85%29.16万
-88.59%7.68万
114.28%67.27万
30.98%31.39万
养老金及其他退休福利计划
41.94%27.98万
--27.98万
-14.37%19.71万
-1.31%23.02万
1.41%23.32万
22.48%23万
-6.13%18.78万
0.11%20万
11.92%19.98万
-31.17%17.85万
流动负债总额
-48.81%104.1万
--104.1万
556.89%203.38万
3.52%30.96万
-0.98%29.91万
-37.00%30.21万
73.20%47.94万
-68.27%27.68万
77.17%87.25万
-1.32%49.25万
非流动负债
长期借款与租赁负债
-54.44%5.05万
--5.05万
-97.43%11.09万
24.78%431.73万
25.35%345.99万
117.35%276.01万
--126.99万
----
----
----
-长期借款
----
----
----
24.78%431.73万
25.35%345.99万
117.35%276.01万
--126.99万
----
----
----
-长期租赁负债
-54.44%5.05万
--5.05万
--11.09万
----
----
----
----
----
----
----
员工福利
----
----
----
24.74%1.01万
--8,114
----
----
--3.17万
----
----
非流动负债总额
-54.44%5.05万
--5.05万
-97.44%11.09万
24.78%432.74万
25.65%346.8万
117.35%276.01万
3,899.83%126.99万
--3.17万
--0
--0
负债总额
-49.10%109.16万
--109.16万
-53.75%214.47万
23.09%463.7万
23.02%376.71万
75.05%306.22万
466.94%174.93万
-64.64%30.86万
77.17%87.25万
-1.32%49.25万
所有者权益
股本
14.44%8,853.7万
--8,853.7万
16.52%7,736.46万
1.97%6,639.44万
0.03%6,511.41万
4.09%6,509.16万
0.28%6,253.57万
4.47%6,236.03万
3.88%5,969.27万
10.40%5,746.16万
-普通股股本
14.44%8,853.7万
--8,853.7万
16.52%7,736.46万
1.97%6,639.44万
0.03%6,511.41万
4.09%6,509.16万
0.28%6,253.57万
4.47%6,236.03万
3.88%5,969.27万
10.40%5,746.16万
留存收益
-3.32%-8,440.04万
---8,440.04万
-2.71%-8,169万
-2.99%-7,953.34万
-3.21%-7,722.18万
-3.92%-7,481.89万
-4.80%-7,199.85万
-8.08%-6,870.21万
-4.21%-6,356.65万
-9.94%-6,099.85万
不影响留存收益的损益
2.51%952.4万
--952.4万
6.24%929.12万
0.43%874.56万
1.71%870.79万
4.05%856.18万
0.05%822.85万
0.37%822.44万
4.52%819.44万
2.01%784.03万
股东权益总额
175.09%1,366.05万
--1,366.05万
213.03%496.58万
-29.22%-439.33万
-191.71%-339.98万
5.57%-116.55万
-165.56%-123.43万
-56.43%188.26万
0.40%432.06万
1.22%430.34万
总权益
175.09%1,366.05万
--1,366.05万
213.03%496.58万
-29.22%-439.33万
-191.71%-339.98万
5.57%-116.55万
-165.56%-123.43万
-56.43%188.26万
0.40%432.06万
1.22%430.34万
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)2024/09/30(Q4)2024/09/30(FY)2023/09/30(FY)2022/09/30(FY)2021/09/30(FY)2020/09/30(FY)2019/09/30(FY)2018/09/30(FY)2017/09/30(FY)2016/09/30
资产
流动资产
现金及现金等价物和短期投资 47.34%339.27万--339.27万2,017.64%230.27万-57.76%10.87万-85.16%25.75万833.40%173.54万-89.56%18.59万-63.00%178.09万13.90%481.28万2.26%422.56万
-现金和现金等价物 47.34%339.27万--339.27万2,018.53%230.27万-57.77%10.87万-85.17%25.74万931.43%173.52万-88.57%16.82万-68.21%147.2万21.28%463.03万-4.65%381.79万
-短期投资 0.00%45--45-6.25%45-31.43%48-53.33%70-99.15%150-94.27%1.77万69.21%30.88万-55.23%18.25万218.18%40.77万
应收款项 68.90%36.13万--36.13万296.26%21.39万611.87%5.4万-71.02%7,583-44.14%2.62万145.17%4.68万-2.16%1.91万-80.78%1.95万83.39%10.16万
-其他应收款 68.90%36.13万--36.13万296.26%21.39万611.87%5.4万-71.02%7,583-44.14%2.62万145.17%4.68万-2.16%1.91万-80.78%1.95万83.39%10.16万
流动资产合计 49.17%375.4万--375.4万1,446.58%251.66万-38.60%16.27万-84.95%26.5万656.80%176.15万-87.07%23.28万-62.75%180万11.67%483.24万3.33%432.72万
非流动资产
固定资产净额 140.59%1,095.93万--1,095.93万5,526.00%455.51万79.75%8.1万-42.22%4.5万-27.51%7.79万-25.61%10.75万28.97%14.45万-22.15%11.21万-23.56%14.4万
-固定资产 140.43%1,107.72万--1,107.72万1,016.42%460.73万6.65%41.27万-26.15%38.7万0.00%52.4万-16.14%52.4万-27.18%62.48万-1.47%85.8万-7.57%87.08万
-累计折旧 -125.68%-11.79万---11.79万84.25%-5.23万2.98%-33.17万23.34%-34.19万-7.10%-44.6万13.30%-41.64万35.61%-48.03万-2.62%-74.6万3.57%-72.69万
长期应收款 --3.89万--3.89万--------0.00%5.72万-67.28%5.72万-29.14%17.47万-0.80%24.66万-23.44%24.86万-13.34%32.47万
其他非流动资产 ----------3.89万----------------------------
非流动资产合计 139.40%1,099.81万--1,099.81万5,573.99%459.39万-20.80%8.1万-24.35%10.22万-52.13%13.51万-27.84%28.23万8.45%39.12万-23.04%36.07万-16.76%46.87万
总资产 107.47%1,475.21万--1,475.21万2,817.92%711.05万-33.65%24.37万-80.64%36.73万268.26%189.67万-76.49%51.5万-57.81%219.11万8.28%519.3万0.95%479.59万
负债
流动负债
短期借款与资本租赁负债 13.32%6.17万--6.17万--5.45万----------------------------
-短期资本租赁负债 13.32%6.17万--6.17万--5.45万----------------------------
应付款项 -60.75%69.95万--69.95万2,143.82%178.22万20.59%7.94万-8.61%6.59万-75.29%7.21万279.85%29.16万-88.59%7.68万114.28%67.27万30.98%31.39万
-应付账款 -60.75%69.95万--69.95万2,143.82%178.22万20.59%7.94万-8.61%6.59万-75.29%7.21万279.85%29.16万-88.59%7.68万114.28%67.27万30.98%31.39万
养老金及其他退休福利计划 41.94%27.98万--27.98万-14.37%19.71万-1.31%23.02万1.41%23.32万22.48%23万-6.13%18.78万0.11%20万11.92%19.98万-31.17%17.85万
流动负债总额 -48.81%104.1万--104.1万556.89%203.38万3.52%30.96万-0.98%29.91万-37.00%30.21万73.20%47.94万-68.27%27.68万77.17%87.25万-1.32%49.25万
非流动负债
长期借款与租赁负债 -54.44%5.05万--5.05万-97.43%11.09万24.78%431.73万25.35%345.99万117.35%276.01万--126.99万------------
-长期借款 ------------24.78%431.73万25.35%345.99万117.35%276.01万--126.99万------------
-长期租赁负债 -54.44%5.05万--5.05万--11.09万----------------------------
员工福利 ------------24.74%1.01万--8,114----------3.17万--------
非流动负债总额 -54.44%5.05万--5.05万-97.44%11.09万24.78%432.74万25.65%346.8万117.35%276.01万3,899.83%126.99万--3.17万--0--0
负债总额 -49.10%109.16万--109.16万-53.75%214.47万23.09%463.7万23.02%376.71万75.05%306.22万466.94%174.93万-64.64%30.86万77.17%87.25万-1.32%49.25万
所有者权益
股本 14.44%8,853.7万--8,853.7万16.52%7,736.46万1.97%6,639.44万0.03%6,511.41万4.09%6,509.16万0.28%6,253.57万4.47%6,236.03万3.88%5,969.27万10.40%5,746.16万
-普通股股本 14.44%8,853.7万--8,853.7万16.52%7,736.46万1.97%6,639.44万0.03%6,511.41万4.09%6,509.16万0.28%6,253.57万4.47%6,236.03万3.88%5,969.27万10.40%5,746.16万
留存收益 -3.32%-8,440.04万---8,440.04万-2.71%-8,169万-2.99%-7,953.34万-3.21%-7,722.18万-3.92%-7,481.89万-4.80%-7,199.85万-8.08%-6,870.21万-4.21%-6,356.65万-9.94%-6,099.85万
不影响留存收益的损益 2.51%952.4万--952.4万6.24%929.12万0.43%874.56万1.71%870.79万4.05%856.18万0.05%822.85万0.37%822.44万4.52%819.44万2.01%784.03万
股东权益总额 175.09%1,366.05万--1,366.05万213.03%496.58万-29.22%-439.33万-191.71%-339.98万5.57%-116.55万-165.56%-123.43万-56.43%188.26万0.40%432.06万1.22%430.34万
总权益 175.09%1,366.05万--1,366.05万213.03%496.58万-29.22%-439.33万-191.71%-339.98万5.57%-116.55万-165.56%-123.43万-56.43%188.26万0.40%432.06万1.22%430.34万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP