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GOR Gold Road Resources Ltd

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  • 1.835
  • +0.040+2.23%
20min DelayMarket Closed Jul 17 16:00 AET
1.99BMarket Cap17.15P/E (Static)

Gold Road Resources Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2023
(FY)Dec 30, 2022
(FY)Dec 30, 2021
(FY)Dec 30, 2020
(FY)Dec 30, 2019
(FY)Dec 30, 2018
(FY)Dec 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
23.33%473.56M
37.79%383.97M
-4.19%278.66M
284.91%290.85M
34,247.27%75.56M
30.18%220K
-88.75%169K
243.37%1.5M
1.05%437.4K
577.88%432.85K
Revenue from customers
23.33%473.56M
37.79%383.97M
-4.16%278.66M
285.39%290.75M
--75.44M
----
----
----
----
----
Other cash income from operating activities
----
----
----
-16.67%100K
-45.45%120K
30.18%220K
-88.75%169K
243.37%1.5M
1.05%437.4K
577.88%432.85K
Cash paid
3.11%-216.08M
-26.78%-223.01M
-23.81%-175.91M
-262.76%-142.08M
-50.47%-39.17M
-550.07%-26.03M
19.80%-4M
-51.48%-4.99M
-27.01%-3.3M
12.00%-2.59M
Payments to suppliers for goods and services
2.39%-188.37M
-37.24%-192.99M
-17.94%-140.63M
-434.51%-119.24M
-180.57%-22.31M
-98.58%-7.95M
19.80%-4M
-51.48%-4.99M
-27.01%-3.3M
12.00%-2.59M
Other cash payments from operating activities
7.71%-27.7M
14.91%-30.02M
-54.47%-35.28M
-35.48%-22.84M
6.75%-16.86M
---18.08M
----
----
----
----
Direct interest paid
-4.25%-6.81M
2.01%-6.54M
-1.86%-6.67M
-144.66%-6.55M
-417.60%-2.68M
---517K
----
---18
----
97.58%-126
Direct interest received
277.14%5.36M
178.28%1.42M
9.19%511K
-43.55%468K
-83.96%829K
51.76%5.17M
219.03%3.41M
115.52%1.07M
42.00%495.37K
-10.81%348.86K
Direct tax refund paid
5.10%-22.46M
-221.91%-23.67M
---7.35M
----
---508K
----
---397K
----
----
379.13%2.96M
Operating cash flow
76.72%233.57M
48.11%132.17M
-37.46%89.24M
319.16%142.69M
260.91%34.04M
-2,461.38%-21.16M
65.91%-826K
-2.54%-2.42M
-305.44%-2.36M
161.17%1.15M
Investing cash flow
Cash flow from continuing investing activities
13.47%-135.85M
-174.96%-157M
-111.60%-57.1M
41.78%-26.98M
73.07%-46.35M
-300.06%-172.11M
411.75%86.03M
-62.33%-27.6M
-70.69%-17M
-9.50%-9.96M
Capital expenditure reported
6.70%-2.48M
-566.17%-2.66M
75.31%-399K
61.30%-1.62M
-126.22%-4.18M
82.72%-1.85M
62.36%-10.68M
-46.34%-28.38M
-48.56%-19.39M
-33.39%-13.05M
Net PPE purchase and sale
-61.24%-78.16M
19.65%-48.47M
-38.86%-60.33M
-16.52%-43.44M
79.82%-37.28M
-27,559.88%-184.77M
41.85%-668K
-103.38%-1.15M
-171.00%-564.87K
-338.00%-208.44K
Net intangibles purchas and sale
----
----
----
----
----
----
----
----
-322.45%-109.08K
468.93%49.04K
Net business purchase and sale
-98.29%2K
--117K
----
----
----
----
----
----
----
----
Net investment purchase and sale
47.91%-55.21M
-3,023.75%-105.99M
-79.94%3.63M
3,310.48%18.08M
---563K
----
-2,229.17%-750K
--35.23K
----
----
Net other investing changes
----
----
----
----
-129.82%-4.33M
-85.22%14.51M
5,071.70%98.13M
-38.13%1.9M
-5.75%3.07M
332.82%3.25M
Cash from discontinued investing activities
Investing cash flow
13.47%-135.85M
-174.96%-157M
-111.60%-57.1M
41.78%-26.98M
73.07%-46.35M
-300.06%-172.11M
411.75%86.03M
-62.33%-27.6M
-70.69%-17M
-9.50%-9.96M
Financing cash flow
Cash flow from continuing financing activities
12.29%-28.3M
-19.42%-32.27M
70.20%-27.02M
-230.10%-90.65M
16,333.96%69.68M
51.43%424K
-99.60%280K
19.13%70.88M
519.69%59.5M
36.71%9.6M
Net issuance payments of debt
----
---8.16M
----
-203.88%-80.42M
2,480.63%77.42M
--3M
----
----
----
----
Net common stock issuance
----
----
----
----
----
----
-99.60%280K
19.13%70.88M
519.69%59.5M
36.71%9.6M
Cash dividends paid
-22.30%-15.53M
25.28%-12.7M
---16.99M
----
----
----
----
----
----
----
Net other financing activities
-11.95%-12.77M
-13.77%-11.41M
2.04%-10.03M
-32.25%-10.24M
-200.43%-7.74M
---2.58M
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
12.29%-28.3M
-19.42%-32.27M
70.20%-27.02M
-230.10%-90.65M
16,333.96%69.68M
51.43%424K
-99.60%280K
19.13%70.88M
519.69%59.5M
36.71%9.6M
Net cash flow
Beginning cash position
-43.41%74.42M
4.06%131.51M
24.73%126.39M
130.53%101.33M
-81.44%43.96M
56.49%236.8M
203.85%151.32M
415.25%49.8M
8.92%9.67M
-30.82%8.87M
Current changes in cash
221.61%69.43M
-1,213.97%-57.09M
-79.55%5.13M
-56.33%25.06M
129.75%57.38M
-325.59%-192.84M
109.20%85.48M
1.81%40.86M
4,969.24%40.13M
120.03%791.73K
End cash Position
93.29%143.85M
-43.41%74.42M
4.06%131.51M
24.73%126.39M
130.53%101.33M
-81.44%43.96M
161.19%236.8M
82.05%90.66M
415.25%49.8M
8.92%9.67M
Free cash from
88.46%152.61M
184.15%80.98M
-70.80%28.5M
1,412.22%97.62M
96.42%-7.44M
-1,606.26%-207.77M
61.89%-12.18M
-42.42%-31.95M
-85.22%-22.43M
-3.28%-12.11M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2023(FY)Dec 30, 2022(FY)Dec 30, 2021(FY)Dec 30, 2020(FY)Dec 30, 2019(FY)Dec 30, 2018(FY)Dec 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities 23.33%473.56M37.79%383.97M-4.19%278.66M284.91%290.85M34,247.27%75.56M30.18%220K-88.75%169K243.37%1.5M1.05%437.4K577.88%432.85K
Revenue from customers 23.33%473.56M37.79%383.97M-4.16%278.66M285.39%290.75M--75.44M--------------------
Other cash income from operating activities -------------16.67%100K-45.45%120K30.18%220K-88.75%169K243.37%1.5M1.05%437.4K577.88%432.85K
Cash paid 3.11%-216.08M-26.78%-223.01M-23.81%-175.91M-262.76%-142.08M-50.47%-39.17M-550.07%-26.03M19.80%-4M-51.48%-4.99M-27.01%-3.3M12.00%-2.59M
Payments to suppliers for goods and services 2.39%-188.37M-37.24%-192.99M-17.94%-140.63M-434.51%-119.24M-180.57%-22.31M-98.58%-7.95M19.80%-4M-51.48%-4.99M-27.01%-3.3M12.00%-2.59M
Other cash payments from operating activities 7.71%-27.7M14.91%-30.02M-54.47%-35.28M-35.48%-22.84M6.75%-16.86M---18.08M----------------
Direct interest paid -4.25%-6.81M2.01%-6.54M-1.86%-6.67M-144.66%-6.55M-417.60%-2.68M---517K-------18----97.58%-126
Direct interest received 277.14%5.36M178.28%1.42M9.19%511K-43.55%468K-83.96%829K51.76%5.17M219.03%3.41M115.52%1.07M42.00%495.37K-10.81%348.86K
Direct tax refund paid 5.10%-22.46M-221.91%-23.67M---7.35M-------508K-------397K--------379.13%2.96M
Operating cash flow 76.72%233.57M48.11%132.17M-37.46%89.24M319.16%142.69M260.91%34.04M-2,461.38%-21.16M65.91%-826K-2.54%-2.42M-305.44%-2.36M161.17%1.15M
Investing cash flow
Cash flow from continuing investing activities 13.47%-135.85M-174.96%-157M-111.60%-57.1M41.78%-26.98M73.07%-46.35M-300.06%-172.11M411.75%86.03M-62.33%-27.6M-70.69%-17M-9.50%-9.96M
Capital expenditure reported 6.70%-2.48M-566.17%-2.66M75.31%-399K61.30%-1.62M-126.22%-4.18M82.72%-1.85M62.36%-10.68M-46.34%-28.38M-48.56%-19.39M-33.39%-13.05M
Net PPE purchase and sale -61.24%-78.16M19.65%-48.47M-38.86%-60.33M-16.52%-43.44M79.82%-37.28M-27,559.88%-184.77M41.85%-668K-103.38%-1.15M-171.00%-564.87K-338.00%-208.44K
Net intangibles purchas and sale ---------------------------------322.45%-109.08K468.93%49.04K
Net business purchase and sale -98.29%2K--117K--------------------------------
Net investment purchase and sale 47.91%-55.21M-3,023.75%-105.99M-79.94%3.63M3,310.48%18.08M---563K-----2,229.17%-750K--35.23K--------
Net other investing changes -----------------129.82%-4.33M-85.22%14.51M5,071.70%98.13M-38.13%1.9M-5.75%3.07M332.82%3.25M
Cash from discontinued investing activities
Investing cash flow 13.47%-135.85M-174.96%-157M-111.60%-57.1M41.78%-26.98M73.07%-46.35M-300.06%-172.11M411.75%86.03M-62.33%-27.6M-70.69%-17M-9.50%-9.96M
Financing cash flow
Cash flow from continuing financing activities 12.29%-28.3M-19.42%-32.27M70.20%-27.02M-230.10%-90.65M16,333.96%69.68M51.43%424K-99.60%280K19.13%70.88M519.69%59.5M36.71%9.6M
Net issuance payments of debt -------8.16M-----203.88%-80.42M2,480.63%77.42M--3M----------------
Net common stock issuance -------------------------99.60%280K19.13%70.88M519.69%59.5M36.71%9.6M
Cash dividends paid -22.30%-15.53M25.28%-12.7M---16.99M----------------------------
Net other financing activities -11.95%-12.77M-13.77%-11.41M2.04%-10.03M-32.25%-10.24M-200.43%-7.74M---2.58M----------------
Cash from discontinued financing activities
Financing cash flow 12.29%-28.3M-19.42%-32.27M70.20%-27.02M-230.10%-90.65M16,333.96%69.68M51.43%424K-99.60%280K19.13%70.88M519.69%59.5M36.71%9.6M
Net cash flow
Beginning cash position -43.41%74.42M4.06%131.51M24.73%126.39M130.53%101.33M-81.44%43.96M56.49%236.8M203.85%151.32M415.25%49.8M8.92%9.67M-30.82%8.87M
Current changes in cash 221.61%69.43M-1,213.97%-57.09M-79.55%5.13M-56.33%25.06M129.75%57.38M-325.59%-192.84M109.20%85.48M1.81%40.86M4,969.24%40.13M120.03%791.73K
End cash Position 93.29%143.85M-43.41%74.42M4.06%131.51M24.73%126.39M130.53%101.33M-81.44%43.96M161.19%236.8M82.05%90.66M415.25%49.8M8.92%9.67M
Free cash from 88.46%152.61M184.15%80.98M-70.80%28.5M1,412.22%97.62M96.42%-7.44M-1,606.26%-207.77M61.89%-12.18M-42.42%-31.95M-85.22%-22.43M-3.28%-12.11M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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