AU Stock MarketDetailed Quotes

DEG De Grey Mining Ltd

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  • 1.900
  • -0.045-2.31%
20min DelayMarket Closed Dec 13 16:00 AET
4.55BMarket Cap-211.11P/E (Static)

De Grey Mining Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
-82.95%47.35K
-45.17%277.67K
42.53%506.39K
-52.27%355.29K
-15.20%744.29K
1,250.34%877.66K
232.25%65K
32.69%19.56K
-61.79%14.74K
-90.83%38.58K
Revenue from customers
4.74%26.37K
-31.10%25.18K
32.09%36.54K
--27.66K
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Other cash income from operating activities
-91.69%20.98K
-46.26%252.49K
43.41%469.84K
-55.98%327.62K
-15.20%744.29K
1,250.34%877.66K
232.25%65K
32.69%19.56K
-61.79%14.74K
-90.83%38.58K
Cash paid
-45.60%-23.31M
-129.70%-16.01M
-47.60%-6.97M
74.08%-4.72M
-76.68%-18.22M
-43.76%-10.31M
-135.65%-7.17M
-431.40%-3.04M
29.91%-572.85K
-2.35%-817.25K
Payments to suppliers for goods and services
-45.60%-23.31M
-129.70%-16.01M
-47.60%-6.97M
-70.96%-4.72M
-34.82%-2.76M
-1.46%-2.05M
-119.84%-2.02M
-142.71%-918.75K
-12.52%-378.53K
30.97%-336.43K
Other cash payments from operating activities
----
----
----
----
-87.06%-15.46M
-60.34%-8.26M
-142.48%-5.15M
-993.78%-2.13M
59.59%-194.31K
-54.55%-480.82K
Direct interest paid
25.17%-62.5K
-31.84%-83.52K
-378.89%-63.35K
---13.23K
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----
----
----
----
----
Direct interest received
263.60%11.82M
1,208.37%3.25M
-9.28%248.47K
424.78%273.89K
124.34%52.19K
2.96%23.27K
210.90%22.6K
-12.85%7.27K
64.04%8.34K
-24.51%5.08K
Operating cash flow
8.42%-11.51M
-100.13%-12.57M
-52.90%-6.28M
76.43%-4.11M
-85.12%-17.42M
-32.82%-9.41M
-134.84%-7.09M
-448.83%-3.02M
28.93%-549.76K
-108.54%-773.58K
Investing cash flow
Cash flow from continuing investing activities
-252.38%-288.46M
32.60%-81.86M
-112.08%-121.46M
-421.23%-57.27M
-1,111.17%-10.99M
63.54%-907.21K
-473.83%-2.49M
-11,921.57%-433.62K
-100.97%-3.61K
1,393.60%373.4K
Capital expenditure reported
-31.84%-90.78M
41.61%-68.86M
-131.77%-117.92M
---50.88M
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----
----
----
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Net PPE purchase and sale
-470.62%-17.15M
15.20%-3.01M
44.90%-3.54M
-660.46%-6.43M
-180.77%-845.71K
61.79%-301.21K
-81.78%-788.22K
-11,921.57%-433.62K
-100.97%-3.61K
273.40%373.4K
Net business purchase and sale
----
----
----
----
-1,348.88%-10.14M
53.33%-700K
---1.5M
----
----
----
Net investment purchase and sale
-1,705.35%-180.54M
---10M
----
----
----
147.00%94K
---200K
----
----
----
Net other investing changes
----
----
----
--36.8K
----
----
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Cash from discontinued investing activities
Investing cash flow
-252.38%-288.46M
32.60%-81.86M
-112.08%-121.46M
-421.23%-57.27M
-1,111.17%-10.99M
63.54%-907.21K
-473.83%-2.49M
-11,921.57%-433.62K
-100.97%-3.61K
1,393.60%373.4K
Financing cash flow
Cash flow from continuing financing activities
508.39%873.9M
19.42%143.64M
15.46%120.29M
88.63%104.18M
425.65%55.23M
8.15%10.51M
198.87%9.71M
114.06%3.25M
1,599.53%1.52M
-86.50%89.35K
Net common stock issuance
506.84%874.52M
19.45%144.11M
15.68%120.65M
87.25%104.29M
422.60%55.7M
9.71%10.66M
198.87%9.71M
114.06%3.25M
1,227.95%1.52M
-81.32%114.35K
Net other financing activities
-31.90%-621.3K
-30.00%-471.04K
-206.97%-362.35K
74.80%-118.04K
-210.33%-468.48K
---150.96K
----
----
----
---25K
Cash from discontinued financing activities
Financing cash flow
508.39%873.9M
19.42%143.64M
15.46%120.29M
88.63%104.18M
425.65%55.23M
8.15%10.51M
198.87%9.71M
114.06%3.25M
1,599.53%1.52M
-86.50%89.35K
Net cash flow
Beginning cash position
77.50%112.71M
-10.51%63.49M
152.02%70.95M
2,008.18%28.15M
16.37%1.34M
13.95%1.15M
-16.61%1.01M
398.02%1.21M
-56.18%242.47K
132.99%553.31K
Current changes in cash
1,066.27%573.93M
760.06%49.21M
-117.42%-7.46M
59.59%42.8M
14,175.11%26.82M
33.70%187.86K
170.07%140.51K
-120.78%-200.53K
410.48%965.09K
-198.42%-310.84K
End cash Position
509.23%686.64M
77.50%112.71M
-10.51%63.49M
152.02%70.95M
2,008.18%28.15M
16.37%1.34M
13.95%1.15M
-16.61%1.01M
398.02%1.21M
-56.18%242.47K
Free cash from
-41.46%-119.44M
33.91%-84.43M
-107.99%-127.74M
-236.18%-61.42M
-88.09%-18.27M
-23.35%-9.71M
-128.17%-7.87M
-523.62%-3.45M
28.47%-553.37K
-73.47%-773.58K
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(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities -82.95%47.35K-45.17%277.67K42.53%506.39K-52.27%355.29K-15.20%744.29K1,250.34%877.66K232.25%65K32.69%19.56K-61.79%14.74K-90.83%38.58K
Revenue from customers 4.74%26.37K-31.10%25.18K32.09%36.54K--27.66K------------------------
Other cash income from operating activities -91.69%20.98K-46.26%252.49K43.41%469.84K-55.98%327.62K-15.20%744.29K1,250.34%877.66K232.25%65K32.69%19.56K-61.79%14.74K-90.83%38.58K
Cash paid -45.60%-23.31M-129.70%-16.01M-47.60%-6.97M74.08%-4.72M-76.68%-18.22M-43.76%-10.31M-135.65%-7.17M-431.40%-3.04M29.91%-572.85K-2.35%-817.25K
Payments to suppliers for goods and services -45.60%-23.31M-129.70%-16.01M-47.60%-6.97M-70.96%-4.72M-34.82%-2.76M-1.46%-2.05M-119.84%-2.02M-142.71%-918.75K-12.52%-378.53K30.97%-336.43K
Other cash payments from operating activities -----------------87.06%-15.46M-60.34%-8.26M-142.48%-5.15M-993.78%-2.13M59.59%-194.31K-54.55%-480.82K
Direct interest paid 25.17%-62.5K-31.84%-83.52K-378.89%-63.35K---13.23K------------------------
Direct interest received 263.60%11.82M1,208.37%3.25M-9.28%248.47K424.78%273.89K124.34%52.19K2.96%23.27K210.90%22.6K-12.85%7.27K64.04%8.34K-24.51%5.08K
Operating cash flow 8.42%-11.51M-100.13%-12.57M-52.90%-6.28M76.43%-4.11M-85.12%-17.42M-32.82%-9.41M-134.84%-7.09M-448.83%-3.02M28.93%-549.76K-108.54%-773.58K
Investing cash flow
Cash flow from continuing investing activities -252.38%-288.46M32.60%-81.86M-112.08%-121.46M-421.23%-57.27M-1,111.17%-10.99M63.54%-907.21K-473.83%-2.49M-11,921.57%-433.62K-100.97%-3.61K1,393.60%373.4K
Capital expenditure reported -31.84%-90.78M41.61%-68.86M-131.77%-117.92M---50.88M------------------------
Net PPE purchase and sale -470.62%-17.15M15.20%-3.01M44.90%-3.54M-660.46%-6.43M-180.77%-845.71K61.79%-301.21K-81.78%-788.22K-11,921.57%-433.62K-100.97%-3.61K273.40%373.4K
Net business purchase and sale -----------------1,348.88%-10.14M53.33%-700K---1.5M------------
Net investment purchase and sale -1,705.35%-180.54M---10M------------147.00%94K---200K------------
Net other investing changes --------------36.8K------------------------
Cash from discontinued investing activities
Investing cash flow -252.38%-288.46M32.60%-81.86M-112.08%-121.46M-421.23%-57.27M-1,111.17%-10.99M63.54%-907.21K-473.83%-2.49M-11,921.57%-433.62K-100.97%-3.61K1,393.60%373.4K
Financing cash flow
Cash flow from continuing financing activities 508.39%873.9M19.42%143.64M15.46%120.29M88.63%104.18M425.65%55.23M8.15%10.51M198.87%9.71M114.06%3.25M1,599.53%1.52M-86.50%89.35K
Net common stock issuance 506.84%874.52M19.45%144.11M15.68%120.65M87.25%104.29M422.60%55.7M9.71%10.66M198.87%9.71M114.06%3.25M1,227.95%1.52M-81.32%114.35K
Net other financing activities -31.90%-621.3K-30.00%-471.04K-206.97%-362.35K74.80%-118.04K-210.33%-468.48K---150.96K---------------25K
Cash from discontinued financing activities
Financing cash flow 508.39%873.9M19.42%143.64M15.46%120.29M88.63%104.18M425.65%55.23M8.15%10.51M198.87%9.71M114.06%3.25M1,599.53%1.52M-86.50%89.35K
Net cash flow
Beginning cash position 77.50%112.71M-10.51%63.49M152.02%70.95M2,008.18%28.15M16.37%1.34M13.95%1.15M-16.61%1.01M398.02%1.21M-56.18%242.47K132.99%553.31K
Current changes in cash 1,066.27%573.93M760.06%49.21M-117.42%-7.46M59.59%42.8M14,175.11%26.82M33.70%187.86K170.07%140.51K-120.78%-200.53K410.48%965.09K-198.42%-310.84K
End cash Position 509.23%686.64M77.50%112.71M-10.51%63.49M152.02%70.95M2,008.18%28.15M16.37%1.34M13.95%1.15M-16.61%1.01M398.02%1.21M-56.18%242.47K
Free cash from -41.46%-119.44M33.91%-84.43M-107.99%-127.74M-236.18%-61.42M-88.09%-18.27M-23.35%-9.71M-128.17%-7.87M-523.62%-3.45M28.47%-553.37K-73.47%-773.58K
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP