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CVN Carnarvon Energy Ltd

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  • 0.165
  • 0.0000.00%
20min DelayNot Open Oct 21 16:00 AET
295.20MMarket Cap0.00P/E (Static)

Carnarvon Energy Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
(FY)Jun 30, 2020
(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
88.40%179.55M
88.40%179.55M
-15.23%95.3M
-15.23%95.3M
14.21%112.42M
14.21%112.42M
-13.37%98.44M
-13.37%98.44M
53.76%113.63M
53.76%113.63M
-Cash and cash equivalents
88.40%179.55M
88.40%179.55M
-15.23%95.3M
-15.23%95.3M
14.21%112.42M
14.21%112.42M
-13.37%98.44M
-13.37%98.44M
53.76%113.63M
53.76%113.63M
Receivables
-8.97%974K
-8.97%974K
58.75%1.07M
58.75%1.07M
92.02%674K
92.02%674K
24.91%351K
24.91%351K
-8.77%281K
-8.77%281K
-Other receivables
-8.97%974K
-8.97%974K
58.75%1.07M
58.75%1.07M
92.02%674K
92.02%674K
24.91%351K
24.91%351K
-8.77%281K
-8.77%281K
Prepaid assets
-54.83%290K
-54.83%290K
248.91%642K
248.91%642K
-74.73%184K
-74.73%184K
-10.57%728K
-10.57%728K
77.34%814K
77.34%814K
Total current assets
86.38%180.82M
86.38%180.82M
-14.36%97.01M
-14.36%97.01M
13.83%113.28M
13.83%113.28M
-13.26%99.52M
-13.26%99.52M
53.65%114.73M
53.65%114.73M
Non current assets
Net PPE
-49.20%86.16M
-49.20%86.16M
7.53%169.61M
7.53%169.61M
21.13%157.73M
21.13%157.73M
5.46%130.22M
5.46%130.22M
38.88%123.48M
38.88%123.48M
-Gross PPE
-48.92%87.11M
-48.92%87.11M
7.66%170.53M
7.66%170.53M
21.08%158.4M
21.08%158.4M
5.48%130.82M
5.48%130.82M
38.68%124.03M
38.68%124.03M
-Accumulated depreciation
-3.03%-951K
-3.03%-951K
-38.38%-923K
-38.38%-923K
-10.98%-667K
-10.98%-667K
-9.67%-601K
-9.67%-601K
-5.59%-548K
-5.59%-548K
Investments and advances
----
----
-25.87%1.95M
-25.87%1.95M
-90.43%2.64M
-90.43%2.64M
2,555.54%27.54M
2,555.54%27.54M
64.86%1.04M
64.86%1.04M
-Long term equity investment
----
----
-38.10%1.29M
-38.10%1.29M
-92.06%2.08M
-92.06%2.08M
--26.2M
--26.2M
----
----
-Other investment
----
----
19.75%667K
19.75%667K
-58.40%557K
-58.40%557K
29.12%1.34M
29.12%1.34M
64.86%1.04M
64.86%1.04M
Goodwill and other intangible assets
--616K
--616K
----
----
----
----
----
----
----
----
-Other intangible assets
--616K
--616K
----
----
----
----
----
----
----
----
Total non current assets
-49.42%86.78M
-49.42%86.78M
6.98%171.56M
6.98%171.56M
1.65%160.37M
1.65%160.37M
26.70%157.76M
26.70%157.76M
39.06%124.52M
39.06%124.52M
Total assets
-0.37%267.59M
-0.37%267.59M
-1.86%268.57M
-1.86%268.57M
6.37%273.65M
6.37%273.65M
7.54%257.27M
7.54%257.27M
45.69%239.24M
45.69%239.24M
Liabilities
Current liabilities
Current debt and capital lease obligation
-13.64%190K
-13.64%190K
-0.45%220K
-0.45%220K
8.87%221K
8.87%221K
9.14%203K
9.14%203K
--186K
--186K
-Current capital lease obligation
-13.64%190K
-13.64%190K
-0.45%220K
-0.45%220K
8.87%221K
8.87%221K
9.14%203K
9.14%203K
--186K
--186K
Payables
-75.82%287K
-75.82%287K
-53.10%1.19M
-53.10%1.19M
93.21%2.53M
93.21%2.53M
38.33%1.31M
38.33%1.31M
-46.68%947K
-46.68%947K
-accounts payable
-82.78%180K
-82.78%180K
-53.22%1.05M
-53.22%1.05M
124.52%2.23M
124.52%2.23M
27.24%995K
27.24%995K
-53.92%782K
-53.92%782K
-Other payable
-24.65%107K
-24.65%107K
-52.19%142K
-52.19%142K
-5.71%297K
-5.71%297K
90.91%315K
90.91%315K
108.86%165K
108.86%165K
Pension and other retirement benefit plans
-54.00%305K
-54.00%305K
16.52%663K
16.52%663K
-5.79%569K
-5.79%569K
-6.93%604K
-6.93%604K
71.69%649K
71.69%649K
Current liabilities
-62.22%782K
-62.22%782K
-37.67%2.07M
-37.67%2.07M
56.87%3.32M
56.87%3.32M
18.80%2.12M
18.80%2.12M
-17.27%1.78M
-17.27%1.78M
Non current liabilities
Long term debt and capital lease obligation
--411K
--411K
----
----
-50.11%220K
-50.11%220K
-31.52%441K
-31.52%441K
--644K
--644K
-Long term capital lease obligation
--411K
--411K
----
----
-50.11%220K
-50.11%220K
-31.52%441K
-31.52%441K
--644K
--644K
Employee benefits
-56.46%64K
-56.46%64K
11.36%147K
11.36%147K
-34.65%132K
-34.65%132K
26.25%202K
26.25%202K
-43.46%160K
-43.46%160K
Total non current liabilities
223.13%475K
223.13%475K
-58.24%147K
-58.24%147K
-45.26%352K
-45.26%352K
-20.02%643K
-20.02%643K
184.10%804K
184.10%804K
Total liabilities
-43.30%1.26M
-43.30%1.26M
-39.64%2.22M
-39.64%2.22M
33.08%3.67M
33.08%3.67M
6.73%2.76M
6.73%2.76M
6.11%2.59M
6.11%2.59M
Shareholders'equity
Share capital
-0.97%311.14M
-0.97%311.14M
0.03%314.18M
0.03%314.18M
27.54%314.1M
27.54%314.1M
0.17%246.27M
0.17%246.27M
48.03%245.86M
48.03%245.86M
-common stock
-0.97%311.14M
-0.97%311.14M
0.03%314.18M
0.03%314.18M
27.54%314.1M
27.54%314.1M
0.17%246.27M
0.17%246.27M
48.03%245.86M
48.03%245.86M
Retained earnings
-1.33%-49.88M
-1.33%-49.88M
-9.08%-49.23M
-9.08%-49.23M
-623.30%-45.13M
-623.30%-45.13M
201.32%8.62M
201.32%8.62M
-94.56%-8.51M
-94.56%-8.51M
Gains losses not affecting retained earnings
261.82%5.08M
261.82%5.08M
38.87%1.4M
38.87%1.4M
367.46%1.01M
367.46%1.01M
44.90%-378K
44.90%-378K
-1,139.39%-686K
-1,139.39%-686K
Total stockholders'equity
-0.01%266.33M
-0.01%266.33M
-1.34%266.36M
-1.34%266.36M
6.08%269.98M
6.08%269.98M
7.55%254.51M
7.55%254.51M
46.29%236.66M
46.29%236.66M
Total equity
-0.01%266.33M
-0.01%266.33M
-1.34%266.36M
-1.34%266.36M
6.08%269.98M
6.08%269.98M
7.55%254.51M
7.55%254.51M
46.29%236.66M
46.29%236.66M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2024(Q4)Jun 30, 2024(FY)Jun 30, 2023(Q4)Jun 30, 2023(FY)Jun 30, 2022(Q4)Jun 30, 2022(FY)Jun 30, 2021(Q4)Jun 30, 2021(FY)Jun 30, 2020(Q4)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 88.40%179.55M88.40%179.55M-15.23%95.3M-15.23%95.3M14.21%112.42M14.21%112.42M-13.37%98.44M-13.37%98.44M53.76%113.63M53.76%113.63M
-Cash and cash equivalents 88.40%179.55M88.40%179.55M-15.23%95.3M-15.23%95.3M14.21%112.42M14.21%112.42M-13.37%98.44M-13.37%98.44M53.76%113.63M53.76%113.63M
Receivables -8.97%974K-8.97%974K58.75%1.07M58.75%1.07M92.02%674K92.02%674K24.91%351K24.91%351K-8.77%281K-8.77%281K
-Other receivables -8.97%974K-8.97%974K58.75%1.07M58.75%1.07M92.02%674K92.02%674K24.91%351K24.91%351K-8.77%281K-8.77%281K
Prepaid assets -54.83%290K-54.83%290K248.91%642K248.91%642K-74.73%184K-74.73%184K-10.57%728K-10.57%728K77.34%814K77.34%814K
Total current assets 86.38%180.82M86.38%180.82M-14.36%97.01M-14.36%97.01M13.83%113.28M13.83%113.28M-13.26%99.52M-13.26%99.52M53.65%114.73M53.65%114.73M
Non current assets
Net PPE -49.20%86.16M-49.20%86.16M7.53%169.61M7.53%169.61M21.13%157.73M21.13%157.73M5.46%130.22M5.46%130.22M38.88%123.48M38.88%123.48M
-Gross PPE -48.92%87.11M-48.92%87.11M7.66%170.53M7.66%170.53M21.08%158.4M21.08%158.4M5.48%130.82M5.48%130.82M38.68%124.03M38.68%124.03M
-Accumulated depreciation -3.03%-951K-3.03%-951K-38.38%-923K-38.38%-923K-10.98%-667K-10.98%-667K-9.67%-601K-9.67%-601K-5.59%-548K-5.59%-548K
Investments and advances ---------25.87%1.95M-25.87%1.95M-90.43%2.64M-90.43%2.64M2,555.54%27.54M2,555.54%27.54M64.86%1.04M64.86%1.04M
-Long term equity investment ---------38.10%1.29M-38.10%1.29M-92.06%2.08M-92.06%2.08M--26.2M--26.2M--------
-Other investment --------19.75%667K19.75%667K-58.40%557K-58.40%557K29.12%1.34M29.12%1.34M64.86%1.04M64.86%1.04M
Goodwill and other intangible assets --616K--616K--------------------------------
-Other intangible assets --616K--616K--------------------------------
Total non current assets -49.42%86.78M-49.42%86.78M6.98%171.56M6.98%171.56M1.65%160.37M1.65%160.37M26.70%157.76M26.70%157.76M39.06%124.52M39.06%124.52M
Total assets -0.37%267.59M-0.37%267.59M-1.86%268.57M-1.86%268.57M6.37%273.65M6.37%273.65M7.54%257.27M7.54%257.27M45.69%239.24M45.69%239.24M
Liabilities
Current liabilities
Current debt and capital lease obligation -13.64%190K-13.64%190K-0.45%220K-0.45%220K8.87%221K8.87%221K9.14%203K9.14%203K--186K--186K
-Current capital lease obligation -13.64%190K-13.64%190K-0.45%220K-0.45%220K8.87%221K8.87%221K9.14%203K9.14%203K--186K--186K
Payables -75.82%287K-75.82%287K-53.10%1.19M-53.10%1.19M93.21%2.53M93.21%2.53M38.33%1.31M38.33%1.31M-46.68%947K-46.68%947K
-accounts payable -82.78%180K-82.78%180K-53.22%1.05M-53.22%1.05M124.52%2.23M124.52%2.23M27.24%995K27.24%995K-53.92%782K-53.92%782K
-Other payable -24.65%107K-24.65%107K-52.19%142K-52.19%142K-5.71%297K-5.71%297K90.91%315K90.91%315K108.86%165K108.86%165K
Pension and other retirement benefit plans -54.00%305K-54.00%305K16.52%663K16.52%663K-5.79%569K-5.79%569K-6.93%604K-6.93%604K71.69%649K71.69%649K
Current liabilities -62.22%782K-62.22%782K-37.67%2.07M-37.67%2.07M56.87%3.32M56.87%3.32M18.80%2.12M18.80%2.12M-17.27%1.78M-17.27%1.78M
Non current liabilities
Long term debt and capital lease obligation --411K--411K---------50.11%220K-50.11%220K-31.52%441K-31.52%441K--644K--644K
-Long term capital lease obligation --411K--411K---------50.11%220K-50.11%220K-31.52%441K-31.52%441K--644K--644K
Employee benefits -56.46%64K-56.46%64K11.36%147K11.36%147K-34.65%132K-34.65%132K26.25%202K26.25%202K-43.46%160K-43.46%160K
Total non current liabilities 223.13%475K223.13%475K-58.24%147K-58.24%147K-45.26%352K-45.26%352K-20.02%643K-20.02%643K184.10%804K184.10%804K
Total liabilities -43.30%1.26M-43.30%1.26M-39.64%2.22M-39.64%2.22M33.08%3.67M33.08%3.67M6.73%2.76M6.73%2.76M6.11%2.59M6.11%2.59M
Shareholders'equity
Share capital -0.97%311.14M-0.97%311.14M0.03%314.18M0.03%314.18M27.54%314.1M27.54%314.1M0.17%246.27M0.17%246.27M48.03%245.86M48.03%245.86M
-common stock -0.97%311.14M-0.97%311.14M0.03%314.18M0.03%314.18M27.54%314.1M27.54%314.1M0.17%246.27M0.17%246.27M48.03%245.86M48.03%245.86M
Retained earnings -1.33%-49.88M-1.33%-49.88M-9.08%-49.23M-9.08%-49.23M-623.30%-45.13M-623.30%-45.13M201.32%8.62M201.32%8.62M-94.56%-8.51M-94.56%-8.51M
Gains losses not affecting retained earnings 261.82%5.08M261.82%5.08M38.87%1.4M38.87%1.4M367.46%1.01M367.46%1.01M44.90%-378K44.90%-378K-1,139.39%-686K-1,139.39%-686K
Total stockholders'equity -0.01%266.33M-0.01%266.33M-1.34%266.36M-1.34%266.36M6.08%269.98M6.08%269.98M7.55%254.51M7.55%254.51M46.29%236.66M46.29%236.66M
Total equity -0.01%266.33M-0.01%266.33M-1.34%266.36M-1.34%266.36M6.08%269.98M6.08%269.98M7.55%254.51M7.55%254.51M46.29%236.66M46.29%236.66M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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