Rectifier Technologies Limited

ASX:RFT.AX

0.008 (AUD) • At close November 7, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) AUD.

2024202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7.3436.3497.2966.2416.8742.8342.1832.6281.6350.9580.1760.1050.1980.4510.3390.1710.1730.1590.0940.0290.230.1990.1020.3431.7847.3440.0920.1651.0262.1530.031
Kortetermijnbeleggingen 0000000000000000000000000000000
Liquide middelen en kortetermijnbeleggingen 7.3436.3497.2966.2416.8742.8342.1832.6281.6350.9580.1760.1050.1980.4510.3390.1710.1730.1590.0940.0290.230.1990.1020.3431.7847.3440.0920.1651.0262.1530.031
Nettovorderingen 2.8854.2542.911.7291.6761.4321.4241.4641.7951.2121.8211.5161.2281.7230.8751.4111.1651.8571.9482.8511.7111.3811.5542.3018.50.4310.0530.3390.1870.050.001
Voorraad 14.42318.4490.7341.9062.5555.5782.7222.0691.982.1581.6022.2712.4822.5372.4842.6713.2653.4263.0812.5231.8591.4911.7762.1976.7030.7020.1420.2170.240.2030.038
Overige vlottende activa 0.7060.6315.8781.0660.7270.4940.6740.5140.0860.0840.0550.0850.0170.1130.0940.0910.1230.0950.0780.0790.0880.1680.10.0820.6620.0440-0.058000
Totaal vlottende activa 25.77929.68316.81810.94211.83210.3386.76.6755.4114.3283.5993.8923.9244.8243.7924.3445.2545.4425.2015.4823.8883.2393.5324.69717.6438.5220.2870.6631.4532.4060.07
Niet-vlottende activa:
Materiële vaste activa, netto 5.4265.8865.4925.3265.6523.6712.7462.1540.210.20.1790.2160.2820.2750.3051.2690.470.5441.9350.5970.5740.4170.5360.5744.5580.3520.0270.1750.3520.3810.143
Goodwill 0000000000000000000.3530.337000014.5421.29700000
Immateriële activa 0.0140.1050.0950.1060.106000000000001.1561.1290.3490.808002.2821.61515.7392.5451.8472.162.1551.8972.16
Goodwill en immateriële activa 0.0140.1050.0950.1060.106000000000001.1561.1290.7020.808002.2821.61515.7392.5451.8472.162.1551.8972.16
Langetermijnbeleggingen -0.1095.8955.4920-0.106000000000000.0130.0140.0150.014000.3160.30000000
Belastingvorderingen 0.8240.80.5730.4640.4520.2160.2610.4570.4570.0040000001.1561.1290000-0.316-0.2490000000
Overige niet-vlottende activa 0.204-5.895-5.492-000-0.121-0.196-00.1130.1110.1120.112000-1.156-1.12901.5691.5141.6020.3160.30.480-0.003-000.0410.109
Totaal niet-vlottende activa 6.3596.796.165.8966.1043.8872.8862.4150.6670.3170.290.3280.3940.2750.3051.2691.6391.6872.6522.9882.0882.0193.1342.5420.7772.8971.8712.3352.5062.3192.412
Totaal activa 32.13836.47322.97816.83817.93614.2259.5879.0896.0784.6443.8894.2214.3185.0994.0975.6136.8937.1297.8538.475.9765.2586.6667.23738.4211.4192.1582.9983.9594.7252.482
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1.1747.2775.552.652.2512.571.6421.4711.4712.6242.3953.2342.9381.5131.1790.9532.0052.5892.2712.6681.0511.7821.0231.4959.8370.8130.1320.1550.0860.0470.012
Kortlopende schulden 0.1421.1811.3350.450.4620.5430.0920.0650.010.0110.2990.3520.3440.35700.8760.8240.80.3510.4580.0771.0840.9914.2096.0310.4150.020.0980.1870.1930.067
Belastingschulden 1.4522.2960.7950.9351.1431.2290.4750.0510.1020000000000000000000000
Uitgestelde opbrengsten 0.5534.6820000-0.0730.0510.1030.0270.0870.28-00.20601.2980.8160.4670.0250.270.01-0.7830.023-11.753-1.199-0.415-0.02-0.213-0.187-0.1930
Overige kortlopende verplichtingen 10.4210.6681.7421.6821.7521.6761.0860.3920.3230.2450.2050.3290.2921.4711.4510.4910.4760.0040.5760.0460.191.020.1670.20730.47300.1140.2410.1930.275
Totaal kortlopende verplichtingen 12.28913.8078.6274.7824.4654.7892.7471.981.9072.9072.9864.1953.5743.5472.633.6174.1223.863.2233.4421.3283.1032.2034.15817.6691.2850.1320.1540.3270.240.354
Langlopende verplichtingen:
Langetermijnschulden 2.045.9484.6093.0283.432.0891.7031.6740.0180.0310.040.0160.0230.028000.0110.0180.0710.10.1020.05812.1730.05911.4521.0500000
Uitgestelde opbrengsten niet-vlottend 0.0830.05100000000.004-0-0-0.026000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 0.1670.2210.3130.0590.3440.055000-0.0040.0040.0050.0250.00800000000000000000
Overige niet-vlottende verplichtingen 0.3010.4420.0560.2720.1010.0480.0720.0560.0450.0320.0250.0240.0250.8850.9190.0420.0070.1420.1570.1770.1220.110.08111.731-0.2070.00200000
Totaal niet-vlottende verplichtingen 2.5926.6624.9793.3593.8752.1921.7751.730.0630.0630.0680.0450.0470.9210.9190.0420.0180.160.2280.2770.2240.16812.25411.7911.2451.05200000
Totaal passiva 14.88120.46913.6058.1418.346.9814.5213.711.972.973.0544.2393.6224.4683.5483.6594.144.023.4513.7191.5523.27114.45715.94828.9142.3370.1320.1540.3270.240.354
Eigen vermogen:
Preferente aandelen 0000000000000000000000000000000
Gewone aandelen 40.13440.07339.99339.99339.85239.81739.81739.81638.94138.08937.4437.37937.37937.33937.33336.74936.74936.74934.87333.73732.10330.0725.60725.60722.38617.1565.5545.5545.0965.0962.367
Ingehouden winsten -23.437-24.184-31.254-31.763-30.897-32.784-33.864-34.793-35.361-36.589-36.716-37.292-36.532-36.537-36.682-34.805-33.971-33.694-30.51-29.009-27.679-28.083-33.398-34.256-11.22-8.075-5.827-5.009-3.333-2.48-0.225
Overige gereserveerde algehele resultaten 0.5590.1150.6330.4670.6720.1770.050.0390.070.1750.112-0.106-0.151-0.171-0.1030.01-0.0250.0540.0390.0230-1.13-1.063-0.016-1.415-0.1282.2982.3131.871.8690.013
Overige totale aandeelhoudersvermogen 000-0.001-0.0310.035-0.9380.3180.458-0-000000000001.131.063-0.046-0.2450.1280-0.015000
Totaal eigen vermogen van aandeelhouders 17.25716.0049.3728.6969.5967.2455.0655.384.1081.6750.836-0.0190.6960.6310.5491.9542.7533.1094.4024.7514.4241.987-7.791-8.7119.5069.0822.0262.8443.6334.4852.155
Totaal eigen vermogen 17.25716.0049.3728.6969.5967.2455.0655.384.1081.6750.836-0.0190.6960.6310.5491.9542.7533.1094.4024.7514.4241.987-7.791-8.7119.5069.0822.0262.8443.6334.4852.128
Totaal passiva en aandeelhoudersvermogen 32.13836.47322.97816.83817.93614.2259.5879.0896.0784.6443.8894.2214.3185.0994.0975.6136.8937.1297.8538.475.9765.2586.6667.23738.4211.4192.1582.9983.9594.7252.482