澳洲市场个股详情

TRL Tanga Resources Ltd

添加自选
  • 0.069
  • 0.0000.00%
延时20分钟行情休市中 12/03 16:00 (悉尼)
3948.99万总市值-23.00市盈率(静)

Tanga Resources Ltd关键统计数据

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2022/06/30
(Q4)2022/06/30
(FY)2021/06/30
(Q4)2021/06/30
(FY)2020/06/30
(Q4)2020/06/30
(FY)2019/06/30
(Q4)2019/06/30
(FY)2018/06/30
(Q4)2018/06/30
资产
流动资产
现金及现金等价物和短期投资
-55.22%231.99万
-55.22%231.99万
726.32%518.1万
726.32%518.1万
-4.73%62.7万
-4.73%62.7万
-10.09%65.81万
-10.09%65.81万
129.32%73.2万
129.32%73.2万
-现金和现金等价物
-55.22%231.99万
-55.22%231.99万
726.32%518.1万
726.32%518.1万
-4.73%62.7万
-4.73%62.7万
-10.09%65.81万
-10.09%65.81万
129.32%73.2万
129.32%73.2万
应收款项
898.63%74.17万
898.63%74.17万
83.18%7.43万
83.18%7.43万
58.96%4.05万
58.96%4.05万
1.30%2.55万
1.30%2.55万
25.47%2.52万
25.47%2.52万
-其他应收款
898.63%74.17万
898.63%74.17万
83.18%7.43万
83.18%7.43万
58.96%4.05万
58.96%4.05万
1.30%2.55万
1.30%2.55万
25.47%2.52万
25.47%2.52万
预付费用
62.99%2.37万
62.99%2.37万
-4.88%1.45万
-4.88%1.45万
--1.53万
--1.53万
----
----
----
----
流动资产合计
-41.45%308.52万
-41.45%308.52万
671.78%526.98万
671.78%526.98万
-0.12%68.28万
-0.12%68.28万
-9.71%68.36万
-9.71%68.36万
123.17%75.72万
123.17%75.72万
非流动资产
固定资产净额
170.73%867.58万
170.73%867.58万
14.74%320.46万
14.74%320.46万
74.84%279.29万
74.84%279.29万
-78.34%159.75万
-78.34%159.75万
18.52%737.59万
18.52%737.59万
-固定资产
167.57%875.8万
167.57%875.8万
16.62%327.32万
16.62%327.32万
37.52%280.68万
37.52%280.68万
-73.52%204.1万
-73.52%204.1万
19.06%770.85万
19.06%770.85万
-累计折旧
-19.76%-8.22万
-19.76%-8.22万
-395.70%-6.86万
-395.70%-6.86万
96.88%-1.38万
96.88%-1.38万
-33.35%-44.36万
-33.35%-44.36万
-32.61%-33.26万
-32.61%-33.26万
投资和预付款
----
----
27.59%8,325
27.59%8,325
190.00%6,525
190.00%6,525
0.00%2,250
0.00%2,250
21.95%2,250
21.95%2,250
-金融资产投资
----
----
27.59%8,325
27.59%8,325
190.00%6,525
190.00%6,525
0.00%2,250
0.00%2,250
21.95%2,250
21.95%2,250
-其中:交易性证券
----
----
27.59%8,325
27.59%8,325
190.00%6,525
190.00%6,525
0.00%2,250
0.00%2,250
21.95%2,250
21.95%2,250
非流动资产合计
170.03%867.58万
170.03%867.58万
14.77%321.29万
14.77%321.29万
75.00%279.94万
75.00%279.94万
-78.32%159.97万
-78.32%159.97万
18.52%737.81万
18.52%737.81万
总资产
38.65%1,176.11万
38.65%1,176.11万
143.60%848.27万
143.60%848.27万
52.51%348.23万
52.51%348.23万
-71.93%228.33万
-71.93%228.33万
23.93%813.53万
23.93%813.53万
负债
流动负债
应付款项
7.87%20.47万
7.87%20.47万
0.48%18.97万
0.48%18.97万
-13.20%18.88万
-13.20%18.88万
55.34%21.75万
55.34%21.75万
-32.41%14万
-32.41%14万
-应付账款
-36.00%12.14万
-36.00%12.14万
23.34%18.97万
23.34%18.97万
-29.28%15.38万
-29.28%15.38万
55.34%21.75万
55.34%21.75万
-32.41%14万
-32.41%14万
-其他应付款
--8.32万
--8.32万
----
----
--3.5万
--3.5万
----
----
----
----
现行拨备
----
----
-89.07%2,394
-89.07%2,394
--2.19万
--2.19万
----
----
----
----
流动负债总额
6.53%20.47万
6.53%20.47万
-8.83%19.21万
-8.83%19.21万
-3.13%21.07万
-3.13%21.07万
55.34%21.75万
55.34%21.75万
-36.30%14万
-36.30%14万
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
6.53%20.47万
6.53%20.47万
-8.83%19.21万
-8.83%19.21万
-3.13%21.07万
-3.13%21.07万
55.34%21.75万
55.34%21.75万
-36.30%14万
-36.30%14万
所有者权益
股本
13.12%3,726.04万
13.12%3,726.04万
26.05%3,293.84万
26.05%3,293.84万
8.74%2,613.18万
8.74%2,613.18万
8.95%2,403.12万
8.95%2,403.12万
15.13%2,205.63万
15.13%2,205.63万
-普通股股本
13.12%3,726.04万
13.12%3,726.04万
26.05%3,293.84万
26.05%3,293.84万
8.74%2,613.18万
8.74%2,613.18万
8.95%2,403.12万
8.95%2,403.12万
15.13%2,205.63万
15.13%2,205.63万
留存收益
-5.30%-2,659.55万
-5.30%-2,659.55万
-4.03%-2,525.64万
-4.03%-2,525.64万
-3.29%-2,427.88万
-3.29%-2,427.88万
-52.58%-2,350.64万
-52.58%-2,350.64万
-12.99%-1,540.64万
-12.99%-1,540.64万
不影响留存收益的损益
46.49%89.14万
46.49%89.14万
-57.10%60.85万
-57.10%60.85万
-7.95%141.85万
-7.95%141.85万
14.54%154.1万
14.54%154.1万
63.81%134.53万
63.81%134.53万
股东权益总额
39.39%1,155.64万
39.39%1,155.64万
153.42%829.06万
153.42%829.06万
58.37%327.15万
58.37%327.15万
-74.16%206.58万
-74.16%206.58万
26.02%799.52万
26.02%799.52万
总权益
39.39%1,155.64万
39.39%1,155.64万
153.42%829.06万
153.42%829.06万
58.37%327.15万
58.37%327.15万
-74.16%206.58万
-74.16%206.58万
26.02%799.52万
26.02%799.52万
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)2022/06/30(Q4)2022/06/30(FY)2021/06/30(Q4)2021/06/30(FY)2020/06/30(Q4)2020/06/30(FY)2019/06/30(Q4)2019/06/30(FY)2018/06/30(Q4)2018/06/30
资产
流动资产
现金及现金等价物和短期投资 -55.22%231.99万-55.22%231.99万726.32%518.1万726.32%518.1万-4.73%62.7万-4.73%62.7万-10.09%65.81万-10.09%65.81万129.32%73.2万129.32%73.2万
-现金和现金等价物 -55.22%231.99万-55.22%231.99万726.32%518.1万726.32%518.1万-4.73%62.7万-4.73%62.7万-10.09%65.81万-10.09%65.81万129.32%73.2万129.32%73.2万
应收款项 898.63%74.17万898.63%74.17万83.18%7.43万83.18%7.43万58.96%4.05万58.96%4.05万1.30%2.55万1.30%2.55万25.47%2.52万25.47%2.52万
-其他应收款 898.63%74.17万898.63%74.17万83.18%7.43万83.18%7.43万58.96%4.05万58.96%4.05万1.30%2.55万1.30%2.55万25.47%2.52万25.47%2.52万
预付费用 62.99%2.37万62.99%2.37万-4.88%1.45万-4.88%1.45万--1.53万--1.53万----------------
流动资产合计 -41.45%308.52万-41.45%308.52万671.78%526.98万671.78%526.98万-0.12%68.28万-0.12%68.28万-9.71%68.36万-9.71%68.36万123.17%75.72万123.17%75.72万
非流动资产
固定资产净额 170.73%867.58万170.73%867.58万14.74%320.46万14.74%320.46万74.84%279.29万74.84%279.29万-78.34%159.75万-78.34%159.75万18.52%737.59万18.52%737.59万
-固定资产 167.57%875.8万167.57%875.8万16.62%327.32万16.62%327.32万37.52%280.68万37.52%280.68万-73.52%204.1万-73.52%204.1万19.06%770.85万19.06%770.85万
-累计折旧 -19.76%-8.22万-19.76%-8.22万-395.70%-6.86万-395.70%-6.86万96.88%-1.38万96.88%-1.38万-33.35%-44.36万-33.35%-44.36万-32.61%-33.26万-32.61%-33.26万
投资和预付款 --------27.59%8,32527.59%8,325190.00%6,525190.00%6,5250.00%2,2500.00%2,25021.95%2,25021.95%2,250
-金融资产投资 --------27.59%8,32527.59%8,325190.00%6,525190.00%6,5250.00%2,2500.00%2,25021.95%2,25021.95%2,250
-其中:交易性证券 --------27.59%8,32527.59%8,325190.00%6,525190.00%6,5250.00%2,2500.00%2,25021.95%2,25021.95%2,250
非流动资产合计 170.03%867.58万170.03%867.58万14.77%321.29万14.77%321.29万75.00%279.94万75.00%279.94万-78.32%159.97万-78.32%159.97万18.52%737.81万18.52%737.81万
总资产 38.65%1,176.11万38.65%1,176.11万143.60%848.27万143.60%848.27万52.51%348.23万52.51%348.23万-71.93%228.33万-71.93%228.33万23.93%813.53万23.93%813.53万
负债
流动负债
应付款项 7.87%20.47万7.87%20.47万0.48%18.97万0.48%18.97万-13.20%18.88万-13.20%18.88万55.34%21.75万55.34%21.75万-32.41%14万-32.41%14万
-应付账款 -36.00%12.14万-36.00%12.14万23.34%18.97万23.34%18.97万-29.28%15.38万-29.28%15.38万55.34%21.75万55.34%21.75万-32.41%14万-32.41%14万
-其他应付款 --8.32万--8.32万----------3.5万--3.5万----------------
现行拨备 ---------89.07%2,394-89.07%2,394--2.19万--2.19万----------------
流动负债总额 6.53%20.47万6.53%20.47万-8.83%19.21万-8.83%19.21万-3.13%21.07万-3.13%21.07万55.34%21.75万55.34%21.75万-36.30%14万-36.30%14万
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 6.53%20.47万6.53%20.47万-8.83%19.21万-8.83%19.21万-3.13%21.07万-3.13%21.07万55.34%21.75万55.34%21.75万-36.30%14万-36.30%14万
所有者权益
股本 13.12%3,726.04万13.12%3,726.04万26.05%3,293.84万26.05%3,293.84万8.74%2,613.18万8.74%2,613.18万8.95%2,403.12万8.95%2,403.12万15.13%2,205.63万15.13%2,205.63万
-普通股股本 13.12%3,726.04万13.12%3,726.04万26.05%3,293.84万26.05%3,293.84万8.74%2,613.18万8.74%2,613.18万8.95%2,403.12万8.95%2,403.12万15.13%2,205.63万15.13%2,205.63万
留存收益 -5.30%-2,659.55万-5.30%-2,659.55万-4.03%-2,525.64万-4.03%-2,525.64万-3.29%-2,427.88万-3.29%-2,427.88万-52.58%-2,350.64万-52.58%-2,350.64万-12.99%-1,540.64万-12.99%-1,540.64万
不影响留存收益的损益 46.49%89.14万46.49%89.14万-57.10%60.85万-57.10%60.85万-7.95%141.85万-7.95%141.85万14.54%154.1万14.54%154.1万63.81%134.53万63.81%134.53万
股东权益总额 39.39%1,155.64万39.39%1,155.64万153.42%829.06万153.42%829.06万58.37%327.15万58.37%327.15万-74.16%206.58万-74.16%206.58万26.02%799.52万26.02%799.52万
总权益 39.39%1,155.64万39.39%1,155.64万153.42%829.06万153.42%829.06万58.37%327.15万58.37%327.15万-74.16%206.58万-74.16%206.58万26.02%799.52万26.02%799.52万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP