澳洲市场个股详情

RIE Riedel Resources Ltd

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延时20分钟行情已收盘 12/23 16:00 (悉尼)
172.35万总市值-0.26市盈率(静)

Riedel Resources Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(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
(FY)2020/06/30
(Q4)2020/06/30
资产
流动资产
现金及现金等价物和短期投资
-94.33%16.05万
-94.33%16.05万
106.35%282.86万
106.35%282.86万
-49.66%137.08万
-49.66%137.08万
207.49%272.32万
207.49%272.32万
-23.17%88.56万
-23.17%88.56万
-现金和现金等价物
-94.33%16.05万
-94.33%16.05万
106.35%282.86万
106.35%282.86万
-49.66%137.08万
-49.66%137.08万
207.49%272.32万
207.49%272.32万
-23.17%88.56万
-23.17%88.56万
应收款项
-78.73%5,196
-78.73%5,196
193.77%2.44万
193.77%2.44万
-93.45%8,317
-93.45%8,317
-48.82%12.7万
-48.82%12.7万
11.80%24.82万
11.80%24.82万
-其他应收款
-78.73%5,196
-78.73%5,196
193.77%2.44万
193.77%2.44万
-93.45%8,317
-93.45%8,317
-48.82%12.7万
-48.82%12.7万
13.42%24.82万
13.42%24.82万
预付费用
58.14%5.27万
58.14%5.27万
16.51%3.33万
16.51%3.33万
52.98%2.86万
52.98%2.86万
193.70%1.87万
193.70%1.87万
-17.73%6,368
-17.73%6,368
流动资产合计
-92.43%21.84万
-92.43%21.84万
105.04%288.64万
105.04%288.64万
-50.93%140.77万
-50.93%140.77万
151.62%286.89万
151.62%286.89万
-17.52%114.02万
-17.52%114.02万
非流动资产
固定资产净额
-9.05%616.07万
-9.05%616.07万
61.00%677.37万
61.00%677.37万
537.49%420.71万
537.49%420.71万
-15.48%66万
-15.48%66万
-53.27%78.08万
-53.27%78.08万
-固定资产
-8.88%617.3万
-8.88%617.3万
61.02%677.43万
61.02%677.43万
537.49%420.71万
537.49%420.71万
-15.48%66万
-15.48%66万
-54.26%78.08万
-54.26%78.08万
-累计折旧
-1,771.98%-1.22万
-1,771.98%-1.22万
---653
---653
----
----
----
----
----
----
投资和预付款
--5.58万
--5.58万
----
----
----
----
--180.7万
--180.7万
----
----
-其他投资
--5.58万
--5.58万
----
----
----
----
--180.7万
--180.7万
----
----
非流动资产合计
-8.22%621.65万
-8.22%621.65万
61.00%677.37万
61.00%677.37万
70.54%420.71万
70.54%420.71万
215.94%246.69万
215.94%246.69万
-53.27%78.08万
-53.27%78.08万
总资产
-33.39%643.49万
-33.39%643.49万
72.04%966万
72.04%966万
5.23%561.49万
5.23%561.49万
177.76%533.58万
177.76%533.58万
-37.08%192.1万
-37.08%192.1万
负债
流动负债
短期借款与资本租赁负债
--2.94万
--2.94万
----
----
----
----
----
----
----
----
-短期借款
--2.94万
--2.94万
----
----
----
----
----
----
----
----
应付款项
-76.19%18.42万
-76.19%18.42万
1,012.34%77.37万
1,012.34%77.37万
-41.88%6.96万
-41.88%6.96万
402.66%11.97万
402.66%11.97万
-0.59%2.38万
-0.59%2.38万
-应付账款
-94.00%1.03万
-94.00%1.03万
401.52%17.16万
401.52%17.16万
-62.67%3.42万
-62.67%3.42万
488.68%9.17万
488.68%9.17万
28.29%1.56万
28.29%1.56万
-其他应付款
-71.11%17.39万
-71.11%17.39万
1,603.91%60.2万
1,603.91%60.2万
26.19%3.53万
26.19%3.53万
240.01%2.8万
240.01%2.8万
-30.28%8,235
-30.28%8,235
养老金及其他退休福利计划
--1.97万
--1.97万
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----
----
----
----
----
----
----
流动负债总额
-69.86%23.32万
-69.86%23.32万
1,012.34%77.37万
1,012.34%77.37万
-41.88%6.96万
-41.88%6.96万
402.66%11.97万
402.66%11.97万
-0.59%2.38万
-0.59%2.38万
非流动负债
非流动负债总额
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
负债总额
-69.86%23.32万
-69.86%23.32万
1,012.34%77.37万
1,012.34%77.37万
-41.88%6.96万
-41.88%6.96万
402.66%11.97万
402.66%11.97万
-0.59%2.38万
-0.59%2.38万
所有者权益
股本
3.71%2,925.52万
3.71%2,925.52万
16.07%2,820.92万
16.07%2,820.92万
4.57%2,430.47万
4.57%2,430.47万
20.82%2,324.19万
20.82%2,324.19万
0.00%1,923.71万
0.00%1,923.71万
-普通股股本
3.71%2,925.52万
3.71%2,925.52万
16.07%2,820.92万
16.07%2,820.92万
4.57%2,430.47万
4.57%2,430.47万
20.82%2,324.19万
20.82%2,324.19万
0.00%1,923.71万
0.00%1,923.71万
留存收益
-16.01%-2,592.71万
-16.01%-2,592.71万
-3.64%-2,234.94万
-3.64%-2,234.94万
-3.48%-2,156.4万
-3.48%-2,156.4万
-19.94%-2,083.89万
-19.94%-2,083.89万
-6.98%-1,737.46万
-6.98%-1,737.46万
不影响留存收益的损益
-89.62%31.41万
-89.62%31.41万
7.91%302.66万
7.91%302.66万
-0.30%280.47万
-0.30%280.47万
8,012.61%281.31万
8,012.61%281.31万
5.77%3.47万
5.77%3.47万
股东权益总额
-59.01%364.22万
-59.01%364.22万
60.25%888.64万
60.25%888.64万
6.31%554.53万
6.31%554.53万
174.94%521.62万
174.94%521.62万
-37.37%189.72万
-37.37%189.72万
非控制性权益
--255.95万
--255.95万
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----
----
----
----
----
----
----
总权益
-30.21%620.17万
-30.21%620.17万
60.25%888.64万
60.25%888.64万
6.31%554.53万
6.31%554.53万
174.94%521.62万
174.94%521.62万
-37.37%189.72万
-37.37%189.72万
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)2024/06/30(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(FY)2020/06/30(Q4)2020/06/30
资产
流动资产
现金及现金等价物和短期投资 -94.33%16.05万-94.33%16.05万106.35%282.86万106.35%282.86万-49.66%137.08万-49.66%137.08万207.49%272.32万207.49%272.32万-23.17%88.56万-23.17%88.56万
-现金和现金等价物 -94.33%16.05万-94.33%16.05万106.35%282.86万106.35%282.86万-49.66%137.08万-49.66%137.08万207.49%272.32万207.49%272.32万-23.17%88.56万-23.17%88.56万
应收款项 -78.73%5,196-78.73%5,196193.77%2.44万193.77%2.44万-93.45%8,317-93.45%8,317-48.82%12.7万-48.82%12.7万11.80%24.82万11.80%24.82万
-其他应收款 -78.73%5,196-78.73%5,196193.77%2.44万193.77%2.44万-93.45%8,317-93.45%8,317-48.82%12.7万-48.82%12.7万13.42%24.82万13.42%24.82万
预付费用 58.14%5.27万58.14%5.27万16.51%3.33万16.51%3.33万52.98%2.86万52.98%2.86万193.70%1.87万193.70%1.87万-17.73%6,368-17.73%6,368
流动资产合计 -92.43%21.84万-92.43%21.84万105.04%288.64万105.04%288.64万-50.93%140.77万-50.93%140.77万151.62%286.89万151.62%286.89万-17.52%114.02万-17.52%114.02万
非流动资产
固定资产净额 -9.05%616.07万-9.05%616.07万61.00%677.37万61.00%677.37万537.49%420.71万537.49%420.71万-15.48%66万-15.48%66万-53.27%78.08万-53.27%78.08万
-固定资产 -8.88%617.3万-8.88%617.3万61.02%677.43万61.02%677.43万537.49%420.71万537.49%420.71万-15.48%66万-15.48%66万-54.26%78.08万-54.26%78.08万
-累计折旧 -1,771.98%-1.22万-1,771.98%-1.22万---653---653------------------------
投资和预付款 --5.58万--5.58万------------------180.7万--180.7万--------
-其他投资 --5.58万--5.58万------------------180.7万--180.7万--------
非流动资产合计 -8.22%621.65万-8.22%621.65万61.00%677.37万61.00%677.37万70.54%420.71万70.54%420.71万215.94%246.69万215.94%246.69万-53.27%78.08万-53.27%78.08万
总资产 -33.39%643.49万-33.39%643.49万72.04%966万72.04%966万5.23%561.49万5.23%561.49万177.76%533.58万177.76%533.58万-37.08%192.1万-37.08%192.1万
负债
流动负债
短期借款与资本租赁负债 --2.94万--2.94万--------------------------------
-短期借款 --2.94万--2.94万--------------------------------
应付款项 -76.19%18.42万-76.19%18.42万1,012.34%77.37万1,012.34%77.37万-41.88%6.96万-41.88%6.96万402.66%11.97万402.66%11.97万-0.59%2.38万-0.59%2.38万
-应付账款 -94.00%1.03万-94.00%1.03万401.52%17.16万401.52%17.16万-62.67%3.42万-62.67%3.42万488.68%9.17万488.68%9.17万28.29%1.56万28.29%1.56万
-其他应付款 -71.11%17.39万-71.11%17.39万1,603.91%60.2万1,603.91%60.2万26.19%3.53万26.19%3.53万240.01%2.8万240.01%2.8万-30.28%8,235-30.28%8,235
养老金及其他退休福利计划 --1.97万--1.97万--------------------------------
流动负债总额 -69.86%23.32万-69.86%23.32万1,012.34%77.37万1,012.34%77.37万-41.88%6.96万-41.88%6.96万402.66%11.97万402.66%11.97万-0.59%2.38万-0.59%2.38万
非流动负债
非流动负债总额 --0--0--0--0--0--0--0--0--0--0
负债总额 -69.86%23.32万-69.86%23.32万1,012.34%77.37万1,012.34%77.37万-41.88%6.96万-41.88%6.96万402.66%11.97万402.66%11.97万-0.59%2.38万-0.59%2.38万
所有者权益
股本 3.71%2,925.52万3.71%2,925.52万16.07%2,820.92万16.07%2,820.92万4.57%2,430.47万4.57%2,430.47万20.82%2,324.19万20.82%2,324.19万0.00%1,923.71万0.00%1,923.71万
-普通股股本 3.71%2,925.52万3.71%2,925.52万16.07%2,820.92万16.07%2,820.92万4.57%2,430.47万4.57%2,430.47万20.82%2,324.19万20.82%2,324.19万0.00%1,923.71万0.00%1,923.71万
留存收益 -16.01%-2,592.71万-16.01%-2,592.71万-3.64%-2,234.94万-3.64%-2,234.94万-3.48%-2,156.4万-3.48%-2,156.4万-19.94%-2,083.89万-19.94%-2,083.89万-6.98%-1,737.46万-6.98%-1,737.46万
不影响留存收益的损益 -89.62%31.41万-89.62%31.41万7.91%302.66万7.91%302.66万-0.30%280.47万-0.30%280.47万8,012.61%281.31万8,012.61%281.31万5.77%3.47万5.77%3.47万
股东权益总额 -59.01%364.22万-59.01%364.22万60.25%888.64万60.25%888.64万6.31%554.53万6.31%554.53万174.94%521.62万174.94%521.62万-37.37%189.72万-37.37%189.72万
非控制性权益 --255.95万--255.95万--------------------------------
总权益 -30.21%620.17万-30.21%620.17万60.25%888.64万60.25%888.64万6.31%554.53万6.31%554.53万174.94%521.62万174.94%521.62万-37.37%189.72万-37.37%189.72万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP