Kingsrose Mining Limited

ASX:KRM.AX

0.035 (AUD) • At close September 19, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) AUD.

20232022202120202019201820172016201520142013201220112010200920082007
Operating Activities:
Net Income -2.245-1.345-6.61419.325-0.0140.007-0.052-0.0020.009-20.5921.52517.55212.245-0.952-5.562-11.3630
Depreciation & Amortization 0.0940.0950.9834.390.0110.0030.0430.0070.0052.0394.7979.0777.2120.0090.1510.0960
Deferred Income Tax 0.3330.938.965-15.4070.002-010.814-1.4180.008-0.001-0.001000000
Stock Based Compensation 00.00100000000.0010.001000000
Change In Working Capital 0.6250.8569.845-8.98-0.00200.006-0.001-0.0080.001-0000000
Accounts Receivables 0.7090.9353.408-0.4390.001-00.005-0.001-0.0050-0.001000000
Inventory -0.0020.0778.855-1.702-0.0030.0010.001-0-0.00300.001000000
Accounts Payables -0.1860.11-1.333-4.4852.562-2.5551.69-0.076000000000
Other Working Capital 0.104-0.266-1.086-2.354-2.5622.555-1.690.076000000000
Other Non Cash Items -2.708-4.825-3.23622.06-0.002-0.001-10.8121.4160.00312.56-18.74-2.6516.04-1.3041.9579.1590
Operating Cash Flow -3.901-4.2879.94321.388-0.0040.009-0.0010.0030.01-5.992-12.41723.97835.496-2.247-3.455-2.1080
Investing Activities:
Investments In Property Plant And Equipment -0.849-0.847-0.096-2.075-0.002-0.003-0.009-0.008-0.007-9.595-14.287-22.534-16.58-17.683-2.065-0.6810
Acquisitions Net 11.008-0.2850.0280.0330.0430.05200.00400-0.005002-0.6920.3560
Purchases Of Investments 00000000000000000
Sales Maturities Of Investments 0000000000002.1430000
Other Investing Activites -1.07200-0-0.043-0.052-0-0.0040-0.1170.034-0.121-0.2080.057-0.02-0.3860
Investing Cash Flow 9.088-1.132-0.068-2.042-0.002-0.003-0.009-0.008-0.007-9.712-14.259-22.654-14.645-15.626-2.777-0.710
Financing Activities:
Debt Repayment -0-0-0-0-0-0.002-0-0.002-0.001-0.001-0.0010-8.520-1.18-0.0310
Common Stock Issued 00.20700008.2320023.3280.6255.0794.51110.80220.9816.4960
Common Stock Repurchased 000000-0.47500-1.230.00100-0.48-1-0.40
Dividends Paid 0000000000-12.568000000
Other Financing Activities -0.051-0.072-0.077-0.095-0.119-0-7.743-0.605-0.809-0.7139.774-0.391-0.446-0.215-0.0930.0130
Financing Cash Flow -0.0510.135-0.077-0.096-0-0.0020.014-0.002-0.00121.384-2.174.687-4.45510.10718.7085.9560
Other Information:
Effect Of Forex Changes On Cash 0.0010.002-0.002-000-000-0.3270.0280.163-0.279-0.008-0.0100
Net Change In Cash 6.214-2.9457.518.757-0.0060.0040.004-0.0080.0035.353-28.8176.17416.118-7.77412.4663.1370
Cash At End Of Period 33.8427.62730.57123.0720.0040.010.0060.0020.016.6611.30830.12523.9517.83315.6073.1370