Meteoric Resources NL

ASX:MEI.AX

0.1 (AUD) • At close November 15, 2024
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004
Operating Activities:
Net Income -45.27-37.784-3.175-9.044-7.146-0.004-0.007-0-0.001-0-0.001-0.615-1.284-1.586-1.708-0.486-0.362-1.023-2.114-2.0470
Depreciation & Amortization 0.0660.020.0220.0180.0070000000.0080.0150.0160.0170.0090.010.0140.00300
Deferred Income Tax 0-0.367-0.0150.138-0.119-0.001-0.0030-0.001000000000000
Stock Based Compensation 024.0630.4322.9350.841.1832.5700.001000000000000
Change In Working Capital -23.061-4.1060.0150.190.735-0-00-0-0-00000000000
Accounts Receivables 0.039-0.3740.117-0.1120.059-0-00-0-0-00000000000
Inventory 00000-0.9620-0.08-0.005000000000000
Accounts Payables 00.07-0.0880.29-0.1620.0110.0840.0760.01000000000000
Other Working Capital -23.1-3.802-0.0140.0120.8390.95-0.084-0.076-0.01-0.0030.0040.001000000000
Other Non Cash Items 34.40625.763-1.8681.4790.7650.0020.00400000.1781.0151.3311.4680.2550.0910.7111.8051.8560
Operating Cash Flow -33.86-16.451-5.02-7.215-5.756-0.002-0.003-0-0-0-0-0.43-0.255-0.238-0.224-0.222-0.26-0.298-0.306-0.1910
Investing Activities:
Investments In Property Plant And Equipment -1.224-0.017-0.008-0.084-0.072-0.001-0-0.096-0-0-0-0.41-0.831-1.65-1.055-0.29-0.75-0.633-1.48-1.430
Acquisitions Net 27.743.87600.528-0.8-0.95000.3010-0.069-0.30300000-0.618000
Purchases Of Investments 000-0.528000000.026-0.021-0.0050-0.002000-0.019-0.163-0.0710
Sales Maturities Of Investments 0000.5280000000.090.00100000.7930.082000
Other Investing Activites 00.00400.001-0.80.9500.096-0.301-0.026-0.0690.453000.021000.611-0.043-0.4320
Investing Cash Flow 26.5163.859-0.0080.443-0.871-0.001-000-0-0-0.263-0.831-1.652-1.034-0.290.043-0.577-1.686-1.9330
Financing Activities:
Debt Repayment 0.291.610000000000000000000
Common Stock Issued 4.94626.7172.6154.22710.6092.4825.3551.1390.3630.1120.73900.7210.93.0350.36400.0831.0010.9490
Common Stock Repurchased 0-0.991-0.1740-0.483-0.158-0.186-0.028-0.024-0.007-0.0430-0.034-0.046-0.107-0.01900-0.044-0.3180
Dividends Paid 000000000000000000000
Other Financing Activities 000000000000000000000
Financing Cash Flow 5.23628.3272.6154.22710.6090.0020.0050.001000.00100.6870.8542.9280.34500.0830.9560.6310
Other Information:
Effect Of Forex Changes On Cash -1.3070000-0-00000000000-0000
Net Change In Cash -3.41515.735-2.413-2.5453.982-0.0010.0020.0010-00-0.693-0.399-1.0371.671-0.167-0.217-0.791-1.035-1.4920
Cash At End Of Period 13.87517.291.5553.9686.5130.0030.0030.001000.0010.4761.1691.5682.6050.9341.1011.3182.113.1450