Rand Mining Limited

ASX:RND.AX

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

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

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998199719961995199419931992199119901989
Operating Activities:
Net Income 8.22110.65815.202-1.53667.38822.10316.52115.2877.3022.947.5563.1535.3884.1491.592.1551.9930.585-1.9651.971.22-0.356-1.2730.0670.277-0.574-0.495-0.122-0.361-0.55-0.573-1.8010.449-0.7590.448
Depreciation & Amortization 2.823.1294.3954.6865.6184.9624.935.4848.3073.0345.7813.6941.6253.2791.820.3191.4520.8740.0212.7053.6490.19300000.0380.0470.0520.0470.0520.0430.0470.9590.56
Deferred Income Tax 00.3270.691-1.052-12.4872.6033.2452.59000000000000000000000000000
Stock Based Compensation 00000000000000000000000000000000000
Change In Working Capital -4.881-4.559-9.661-40.81910.798-3.577-7.138-7.438-6.3274.169-6.69000000000000000000000000
Accounts Receivables 0.1050.1390.0613.187-0.058-0.089-0.141-0.044-0.055-0.016-0.157000000000000000000000000
Inventory -2.3-3.138-12.402-25.46610.856-3.488-6.997-7.394-6.2724.185-6.594000000000000000000000000
Accounts Payables -0.616-0.299-0.409-1.735-0.19-0.6232.192-0.153000000000000000000000000000
Other Working Capital -2.07-1.2623.089-16.8050.190.623-2.1920.1530.0480.7620.061000000000000000000000000
Other Non Cash Items 3.0911.10523.55331.252-25.268-14.286-8.129-6.033-0.759-3.2180.679-3.799-6.514-2.79-0.8812.4722.012.8230.312-0.912-4.869-1.0140.227-0.067-0.2770.5740.129-0.299-0.43-0.0410.1931.698-0.863-0.2-1.008
Operating Cash Flow 9.2511.10512.639-40.85547.73812.7799.4299.8918.5236.9269.333.0480.4994.6382.5284.9455.4564.281-1.6323.7630-1.176-1.046000-0.328-0.373-0.739-0.544-0.328-0.06-0.36700
Investing Activities:
Investments In Property Plant And Equipment -3.423-4.052-4.955-6.254-8.368-9.809-8.877-8.114-7.777-2.088-5.719-7.599-3.014-3.583-2.866-2.059-1.574-4.285-1.525-0.019-0.01-0.328-0.0050-0.003-00-0.003-0.052-0.279-0.006-0.058-0.08800
Acquisitions Net 0.0410.0340.1540.0140.0580.0150.0310000000001.3513.11500000000000000000
Purchases Of Investments 00-9.378-9.465-42.507-0.550-0.199-0.353-2.270-0.15-0.076-0-0.015-1.415-0.363-0.307-1.62-2.342-0.191-0.295-0.12-0.0130-0.01-0.004-0.004-0.207-0.218-0.1330-0.03900
Sales Maturities Of Investments 009.2249.22442.4490.53500000000000.0220.0430.27400000.070.08200.120.2320.5160.11700000
Other Investing Activites 0.0410.0340.1549.46591.2012.0970.031-0.1990.0180.0080.0090.0360.89000-1.351-3.11500-0.267-0.727000.0370.01500.08201.449-1.421-0.3186.72500
Investing Cash Flow -3.382-4.018-4.8022.98382.833-7.712-8.846-8.313-8.111-4.351-5.71-7.713-2.2-3.583-2.882-3.474-1.915-4.549-2.87-2.361-0.468-1.35-0.1250.0570.1160.0050.1160.3070.2571.069-1.56-0.3766.59800
Financing Activities:
Debt Repayment -0.183-0.591-1.113-1.234-0.983-0.672-0.351-0.238-2.35-1.75-3.250-0.656-0.744-0.45-0.193-4.526-0.297-0.4010-1.609-0.1280-0.0050-0.021-0.0470-0.048-0.249-0.1730-3.74400
Common Stock Issued 05.5786.10100000000000.63500000.46002.511.09700.12700.114000.0100000
Common Stock Repurchased 0-4.987-4.98700000-0.8790000-0.365000000-0.02500000000000000
Dividends Paid -5.688-5.688-6.015-6.015-81.2-3.38300000000000000000000000000000
Other Financing Activities -0.183-0.591-6.101-1.234-75.1860002.35003.7251.4741.2190.4500.271.6563.0250.7610.4791.0050.5940.01600.1280.14100.0480.24900000
Financing Cash Flow -5.87-6.279-12.115-7.249-82.184-6.687-0.351-0.238-0.879-1.75-3.253.7250.8180.095-0-0.193-4.2561.3593.0840.761-1.1543.3871.6910.0110.1270.1070.2080-0.0480.01-0.1730-3.74400
Other Information:
Effect Of Forex Changes On Cash 00000000001.68500000000.0090000000000.048000000
Net Change In Cash -0.0020.808-4.278-45.12148.387-1.620.2331.339-0.4670.8250.369-0.94-0.8821.15-0.3541.278-0.7151.091-1.4092.1621.1930.8610.52-0.1090.0710.045-0.004-0.067-0.4820.535-2.061-0.4362.48700
Cash At End Of Period 2.1592.1611.3535.63150.7512.3643.9843.7522.4122.8792.0551.6852.6253.5082.3582.7121.4342.1493.3354.7452.5821.3890.5280.0080.1170.0460.0010.0050.0710.5530.0182.0792.51500