Resolute Mining Limited

ASX:RSG.AX

0.67 (AUD) • At close November 8, 2024
Overzicht | Financiële gegevens

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003200220012000199919981997199619951994199319921991199019891988
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 89.66280.87367.60788.59187.15642.60731.18216.74959.6487.58217.4612.77449.53611.98415.51810.2528.44557.38810.38328.313.03511.8778.79514.67431.81131.30440.02840.5589.4370.2411.0490.1591.3630.0070.0360.03
Kortetermijnbeleggingen 0020.82836.00479.20628.32416.7922.763139.2290.08722.14726.38243.6390.740.6950.8934.50411.43321.922-1.675-0.793.6552.3380.540.4412.0141.6564.1033.1921.4810.9280.8240.656-2.953-0.219-0.131
Liquide middelen en kortetermijnbeleggingen 89.66280.87388.435124.595166.36270.93147.972219.512198.8777.66939.60829.15793.17512.72416.21311.14432.94968.82232.30528.313.03515.53211.13315.21432.25233.31841.68444.66112.6291.7221.9770.9832.0190.0070.0360.03
Nettovorderingen 90.73350.19993.75177.37192.25774.38345.0975.7487.00511.4514.0849.1475.95718.49816.1954.65314.92216.35810.85912.9588.9277.9521.7692.3333.10344.05613.1576.3225.36912.77124.8061.3760.4930.4953.8290.49
Voorraad 198.457146.43156.589158.929132.944178.623172.423155.284-1.774149.263141.956185.178145.221103.09772.8860.74341.3427.00122.18917.51118.13711.08610.8439.60614.1738.610.01810.51312.5244.6594.2373.29410.771.623.3742.312
Overige vlottende activa 16.15311.14112.8688.785102.8088.2967.2112.0591.6262.7112.4893.7934.6743.4953.2865.05114.10722.70116.1922.1781.7480.7380.78222.58121.02121.4766.37912.50521.43516.34828.77713.1689.8012.2292.5911.42
Totaal vlottende activa 395.005288.643351.642469.68372.411332.233272.703382.973205.734168.426187.898226.475252.221139.098106.21880.692102.682133.93880.46961.72739.93735.30823.75448.59270.549107.45171.238121.86173.8146.92254.71833.74523.0824.3519.834.252
Niet-vlottende activa:
Materiële vaste activa, netto 688.689473.52504.272816.946949.66288.481387.847241.723168.129146.296697.176470.643394.471448.082393.723410.368397.03203.433127.926134.278111.04831.38727.6256.9163.498147.997322.57231.334171.6192.75226.22518.92823.77619.0117.11114.704
Goodwill 0000000000000000000000000000000.1720.210.2940.3610.4360.474
Immateriële activa 000495.2810405.382000000000000000000000000000000
Goodwill en immateriële activa 000495.28179.206405.382-2.8520-14.52600000000-0.046-00000-2.3840.47200.489-43.942-0-00.1720.210.2940.3610.4360.474
Langetermijnbeleggingen 79.80779.114-19.463-31.355-74.8999.61510.7459.4913.69902.90865.3922.2235.0925.8926.4578.9510.34.8767.0542.6252.7097.1596.5922.02924.0043.4526.10511.98310.9685.70400.00512.671.0580.535
Belastingvorderingen 4.4040010.08119.45219.2616.94611.78310.827000000006.3111.43600001.5340.49701.1424.8430.8590.2140.3840.11.596000
Overige niet-vlottende activa 82.30127.516147.75-335.67544.24366.51311.652-2.1982.7623.1771.06163.04531.13526.37914.82818.2476.0135.352-1.258-1.649-0.75516.1125.10516.11620.842-147.9972.17343.387-2.287-2.944-1.53602.238-2.904-0.184-0.093
Totaal niet-vlottende activa 855.2580.15632.559955.2781,017.662789.252414.338260.799170.891149.473701.146599.08427.828479.552414.443435.072411.995215.349142.98139.683112.91850.20839.88378.76887.33824.004329.825241.726182.165100.99130.94919.23827.90929.13718.42115.619
Totaal activa 1,250.206868.793984.2011,424.9581,390.0721,121.485687.042643.772376.625317.899889.044825.556680.049618.65520.66515.764514.676349.288223.449201.411152.85685.51663.638127.36157.88724.004401.06389.171255.976147.91285.66752.98350.99233.48828.25119.872
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 51.69963.791.54283.832103.96446.92226.61727.9198.62327.98446.73265.09543.95350.69540.49845.30437.80529.30822.15918.8518.6319.73814.72110.52822.59911.69832.7138.86220.63315.0528.2635.896.4353.3200
Kortlopende schulden 109.42299.00795.71773.807253.66968.51334.73326.55619.92376.26328.90331.8878.06225.15825.02419.59312.0192.8568.04313.8773.075.5880.0156.71823.66115.97315.46626.9380.093.5921.1740.8240.65603.7835.684
Belastingschulden 90.58719.1077.13788.81421.091004.2410.24000000000000000000000000000
Uitgestelde opbrengsten 90.78600000.135020.8699.0833.3079.731-0.2150.5053.412-12.529-9.8120.471-1.035-19.3134.37.729-0.2751.3991.387-7.431000.208-0.7212.6860.959-1.5550.506000
Overige kortlopende verplichtingen 63.791121.0362.85484.956112.57796.18456.87618.72628.47923.88929.50126.12621.57333.365103.00859.88536.89137.11675.5642.3371.4526.4986.18510.4916.8919.4614.9461.9295.9824.8278.0438.3475.9560.0792.9713.037
Totaal kortlopende verplichtingen 315.699283.737250.113242.595470.21211.754118.22694.0766.108131.443114.867122.89374.093112.63156.001114.9787.18568.24486.45339.36330.88121.54922.3229.12355.7237.13253.12267.93725.98426.15718.43813.50513.5533.3996.7548.721
Langlopende verplichtingen:
Langetermijnschulden 9.62542.018232.065285.971213.073138.71100.3840.38410.95754.93851.4563.21683.72879.29381.30152.8073.6739.4969.14522.8759.4350.0041.93716.39124.48295.10310.05416.0510.085000003.6
Uitgestelde opbrengsten niet-vlottend 0000000-17.633-11.21103.148034.40335.7370.0310114.168-11.633-31.9125.241-7.3691.692-3.39-4.2461.983-11.004-54.8360.093-9.934-9.767000002.076
Uitgestelde belastingverplichtingen niet-vlottend 001.5919.4229.2540017.24910.82706.20400.4971.2022.59101.2721.4190.0765.74.9573.9244.7927.9184.13714.1937.9092.18613.80311.7526.6873.5790.988000.008
Overige niet-vlottende verplichtingen 130.31571.54474.87271.86374.50770.32148.25350.82548.84248.7751.49450.16612.1444.87642.19674.710.3163.12797.2615.54720.9850.2236.6227.9184.13615.04357.0321.07611.00310.4060003.323.783-2.076
Totaal niet-vlottende verplichtingen 139.94113.562308.528367.256296.834209.03248.25350.82548.84259.728115.784101.62250.26125.543124.112156.011168.55856.58574.9235.63341.44815.2748.02813.52726.64842.714105.20813.40930.92412.4766.6873.5790.9883.323.7833.607
Totaal passiva 455.639397.299558.641609.851767.043420.786166.479144.895114.95191.171230.651224.514124.353238.173280.113270.981255.743124.83161.37374.99672.32936.82230.34842.6582.36720.979158.33181.34656.90838.63425.12517.08414.5413.3996.75412.328
Eigen vermogen:
Preferente aandelen 032.3765.097056.77200000000002.613000000049.95558.44800000000000
Gewone aandelen 1,293.663882.731777.021777.021580.38559.809400.332418.796295.127291.694358.055346.993376.657306.869201.49169.222164.43396.62283.81885.76849.94938.11627.531154.783181.096267.82826.81232.54724.35718.29415.46411.45812.62112.0355.9693.782
Ingehouden winsten -368.966-317.341-277.68241.52112.458115.61698.48964.037-23.957-161.521274.963236.49210.677109.48734.89460.523100.843127.429-19.80957.1542.67319.6357.803-140.028-171.601-79.2931.04425.04947.39225.15923.40619.22218.72514.5645.935-2.056
Overige gereserveerde algehele resultaten -59.824-32.376-5.09722.282-56.77234.95637.01138.40833.26373.02640.08433.8162.424-0.44722.6918.633-9.333-1.936-11.801-22.899-18.81-11.468-4.51337.459-56.581-4.513-2.795287.711152.0383.1829.6597.8136.8344.55112.0947.705
Overige totale aandeelhoudersvermogen -0-21.956-3.706-5.08820.5170-9.823-8.893-8.423-17.015-2.345-2.9560.057-0.031-3.406-6.2080.4040.2943.0445.4395.6591.51.972-18.34463.41921.636185.804-70.891-32.306-24.105-7.987-2.594-1.729-1.061-2.501-1.888
Totaal eigen vermogen van aandeelhouders 864.873543.434495.633835.736613.355710.381526.009512.347296.01186.184670.757614.344589.815415.879255.667244.783256.347222.40955.252125.45779.47147.78332.79383.82674.781205.661240.865274.417191.472102.52860.54135.89936.45130.08921.4977.543
Totaal eigen vermogen 794.567471.494425.56815.107623.029700.699520.563498.877261.675126.728658.392601.041555.696380.477240.547244.783258.934224.45862.076126.41480.52748.69433.2984.7175.52208.685242.732282.241199.068109.27960.54135.89936.45130.08921.4977.543
Totaal passiva en aandeelhoudersvermogen 1,250.206868.793984.2011,424.9581,390.0721,121.485687.042643.772376.625317.899889.044825.556680.049618.65520.66515.764514.676349.288223.449201.411152.85685.51663.638127.36157.88724.004160.19889.171255.976147.91285.66752.98350.99233.48828.25119.872