Ora Gold Limited

ASX:OAU.AX

0.009 (AUD) • At close November 19, 2024
Overview | Financials

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

202420232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Operating Activities:
Net Income 0-2.157-2.312-2.403-2.82-3.296-5.136-2.568-5.515-3.696-2.25-4.956000000-1.96300000
Depreciation & Amortization 00.0520.0130.0210.030.050.0610.0340.0450.0580.0580.0870000000.10200000
Deferred Income Tax 00.391-0.01-0.175-0.4120.024-0.03-0.401-0.025-0.126-0.3360.012000000000000
Stock Based Compensation 00.1520.0040.1460.3010.0040.030.3190.0710.120.2150.074000000000000
Change In Working Capital 00.6040.0190.025-0.009-0.02800.082-0.0460.0050.121-0.086000000-0.26600000
Accounts Receivables 00-0.0020.0190.021-0.02800.082-0.0460.0050.121-0.0860000000.01700000
Inventory 00000-0.0210.153-0.580.148000000000000000
Accounts Payables 00.8070.022-0.005-0.0720.065-0.1850.559-0.067000000000-0.28400000
Other Working Capital 0-0.203-0.0010.0110.042-0.0450.032-0.5590.067-0.0090.013-0.076000000000000
Other Non Cash Items 00.1911.3791.3521.7831.7073.8193.4824.2152.8481.0393.3620000000.54800000
Operating Cash Flow 0-0.766-0.906-1.035-1.129-1.54-1.2561.349-1.23-0.665-0.818-1.519000000-1.5800000
Investing Activities:
Investments In Property Plant And Equipment -0.365-3.332-1.157-1.166-1.484-1.196-4.272-3.155-3.13-2.752-2.375-3.395-5.614-12.02-8.222-5.009-7.537-2.745-1.438-2.368-1.6-1.023-1.415-2.131
Acquisitions Net 000.002000.0030.110.0090.008-0.083-0.3313.3485.59607.69604.1522.6220.0552.190000
Purchases Of Investments 0000-0.004-0.111-0.112-0.45-0.058-0.003-0.021-0.155-0.2830-0.1640-0.076-0.344-0.142-0.221-0.15000
Sales Maturities Of Investments 00000.0380.1080.0020.4410.050.0850.3530.2660.1010.00525.5680.249.4730.78400.0040000
Other Investing Activites -5.805-0.3390.01200.1180.1830.1120.450.0580.0831.4550.0530.0220.040.23500.0040.0550.010.106-0.0220.01400
Investing Cash Flow -6.17-3.671-1.142-1.166-1.332-1.013-4.16-2.704-3.072-2.669-0.588-3.23-5.774-11.97517.417-4.7691.863-2.251-1.515-2.48-1.772-1.01-1.415-2.131
Financing Activities:
Debt Repayment 0-2.8740.610.71.441.2500000.2000000000.2250000
Common Stock Issued 11.0629.5211.2890.0232.58802.2582.1684.1150.0128.1093.4691.110.782.3592.7261.2023.93.2720.6266.0073.3791.5294.253
Common Stock Repurchased -0.56-1.061-0.1150-0.138-0.002-0.064-0.375-0.0560-0.449-0.059-0.10600-0.2220-0.1870-0.02500-0.028-0.189
Dividends Paid 0000000000000000000-0.450000
Other Financing Activities -0.064-0.0161.28902.58800000000000000.46-0.507-0.251000
Financing Cash Flow 10.4386.6311.8990.7234.0281.2492.2582.1684.1150.0127.863.411.0040.782.3592.5032.0263.7133.7320.3195.7563.3791.5014.063
Other Information:
Effect Of Forex Changes On Cash 000000000000000000000000
Net Change In Cash 1.092.194-0.149-1.4781.567-1.304-3.1580.812-0.186-3.3236.455-1.338-5.815-11.17518.265-3.8641.9860.0630-2.9422.9491.474-0.8421.129
Cash At End Of Period 3.3932.3030.1090.2571.7350.1681.4724.633.8184.0047.3270.8722.218.02619.2010.9364.8012.8152.7522.1145.0562.1070.7531.768