AU Stock MarketDetailed Quotes

MIN Mineral Resources Ltd

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  • 32.880
  • -0.150-0.45%
20min DelayMarket Closed Dec 20 16:00 AET
6.46BMarket Cap51.78P/E (Static)

Mineral Resources 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
-34.16%908M
-34.16%908M
-43.20%1.38B
-43.20%1.38B
57.46%2.43B
57.46%2.43B
1.33%1.54B
1.33%1.54B
473.40%1.52B
473.40%1.52B
-Cash and cash equivalents
-34.16%908M
-34.16%908M
-43.20%1.38B
-43.20%1.38B
57.46%2.43B
57.46%2.43B
1.33%1.54B
1.33%1.54B
473.40%1.52B
473.40%1.52B
Receivables
56.13%1.03B
56.13%1.03B
4.98%657.8M
4.98%657.8M
89.13%626.6M
89.13%626.6M
86.65%331.3M
86.65%331.3M
5.99%177.5M
5.99%177.5M
-Accounts receivable
31.02%759M
31.02%759M
-3.79%579.3M
-3.79%579.3M
99.57%602.1M
99.57%602.1M
67.52%301.7M
67.52%301.7M
4.92%180.1M
4.92%180.1M
-Other receivables
233.33%273M
233.33%273M
234.29%81.9M
234.29%81.9M
-27.73%24.5M
-27.73%24.5M
2,018.75%33.9M
2,018.75%33.9M
--1.6M
--1.6M
-Recievables adjustments allowances
-47.06%-5M
-47.06%-5M
---3.4M
---3.4M
----
----
-2.38%-4.3M
-2.38%-4.3M
-0.17%-4.2M
-0.17%-4.2M
Inventory
0.10%607M
0.10%607M
140.06%606.4M
140.06%606.4M
106.04%252.6M
106.04%252.6M
-21.21%122.6M
-21.21%122.6M
-13.62%155.6M
-13.62%155.6M
Prepaid assets
73.17%71M
73.17%71M
-29.31%41M
-29.31%41M
54.26%58M
54.26%58M
-3.09%37.6M
-3.09%37.6M
32.02%38.8M
32.02%38.8M
Current deferred assets
----
----
2,960.00%15.3M
2,960.00%15.3M
--500K
--500K
----
----
----
----
Hedging assets-current
----
----
-106.98%-300K
-106.98%-300K
1,533.33%4.3M
1,533.33%4.3M
---300K
---300K
----
----
Holding assets for sale
----
----
--775.2M
--775.2M
----
----
----
----
----
----
Other current assets
--27M
--27M
----
----
----
----
----
----
----
----
Total current assets
-24.02%2.64B
-24.02%2.64B
3.09%3.47B
3.09%3.47B
65.75%3.37B
65.75%3.37B
7.37%2.03B
7.37%2.03B
56.92%1.89B
56.92%1.89B
Non current assets
Net PPE
94.73%8.81B
94.73%8.81B
25.70%4.53B
25.70%4.53B
41.19%3.6B
41.19%3.6B
38.44%2.55B
38.44%2.55B
7.79%1.84B
7.79%1.84B
-Gross PPE
88.84%10.6B
88.84%10.6B
23.61%5.61B
23.61%5.61B
37.65%4.54B
37.65%4.54B
34.59%3.3B
34.59%3.3B
8.48%2.45B
8.48%2.45B
-Accumulated depreciation
-64.34%-1.79B
-64.34%-1.79B
-15.59%-1.09B
-15.59%-1.09B
-25.59%-940.7M
-25.59%-940.7M
-22.95%-749M
-22.95%-749M
-10.62%-609.2M
-10.62%-609.2M
Investments and advances
-17.55%249M
-17.55%249M
87.93%302M
87.93%302M
-58.60%160.7M
-58.60%160.7M
817.73%388.2M
817.73%388.2M
-43.71%42.3M
-43.71%42.3M
-Long term equity investment
12.15%108M
12.15%108M
-6.23%96.3M
-6.23%96.3M
11.51%102.7M
11.51%102.7M
--92.1M
--92.1M
----
----
-Financial asset investment
-46.52%110M
-46.52%110M
254.66%205.7M
254.66%205.7M
-80.41%58M
-80.41%58M
600.00%296.1M
600.00%296.1M
-43.71%42.3M
-43.71%42.3M
-Including:Trading securities
-46.52%110M
-46.52%110M
254.66%205.7M
254.66%205.7M
-80.41%58M
-80.41%58M
600.00%296.1M
600.00%296.1M
-43.71%42.3M
-43.71%42.3M
-Other investment
--31M
--31M
----
----
----
----
----
----
----
----
Non current accounts receivable
528.04%439M
528.04%439M
-89.32%69.9M
-89.32%69.9M
0.17%654.5M
0.17%654.5M
0.58%653.4M
0.58%653.4M
1,524.97%649.6M
1,524.97%649.6M
Goodwill and other intangible assets
-64.44%8M
-64.44%8M
-9.64%22.5M
-9.64%22.5M
-32.15%24.9M
-32.15%24.9M
-23.38%36.7M
-23.38%36.7M
-43.52%47.9M
-43.52%47.9M
-Goodwill
----
----
----
----
--1.4M
--1.4M
----
----
-1.27%1.4M
-1.27%1.4M
-Other intangible assets
-64.44%8M
-64.44%8M
-4.26%22.5M
-4.26%22.5M
-35.97%23.5M
-35.97%23.5M
-21.08%36.7M
-21.08%36.7M
-44.24%46.5M
-44.24%46.5M
Non current deferred assets
--82M
--82M
----
----
----
----
7.26%128.5M
7.26%128.5M
163.55%119.8M
163.55%119.8M
Other non current assets
----
----
----
----
----
----
76.77%62.4M
76.77%62.4M
--35.3M
--35.3M
Total non current assets
94.93%9.59B
94.93%9.59B
10.80%4.92B
10.80%4.92B
16.27%4.44B
16.27%4.44B
39.54%3.82B
39.54%3.82B
40.05%2.74B
40.05%2.74B
Total assets
45.70%12.23B
45.70%12.23B
7.48%8.4B
7.48%8.4B
33.46%7.81B
33.46%7.81B
26.39%5.85B
26.39%5.85B
46.49%4.63B
46.49%4.63B
Liabilities
Current liabilities
Current debt and capital lease obligation
168.70%255M
168.70%255M
-26.55%94.9M
-26.55%94.9M
-17.86%129.2M
-17.86%129.2M
56.52%157.3M
56.52%157.3M
81.84%100.5M
81.84%100.5M
-Current debt
--243M
--243M
----
----
-46.21%14.2M
-46.21%14.2M
2,100.00%26.4M
2,100.00%26.4M
4.90%1.2M
4.90%1.2M
-Current capital lease obligation
-87.36%12M
-87.36%12M
-17.48%94.9M
-17.48%94.9M
-12.15%115M
-12.15%115M
31.82%130.9M
31.82%130.9M
83.46%99.3M
83.46%99.3M
Payables
100.11%1.78B
100.11%1.78B
40.24%891.5M
40.24%891.5M
9.26%635.7M
9.26%635.7M
82.33%581.8M
82.33%581.8M
23.00%319.1M
23.00%319.1M
-accounts payable
97.38%1.7B
97.38%1.7B
46.43%861.3M
46.43%861.3M
5.54%588.2M
5.54%588.2M
82.18%557.3M
82.18%557.3M
23.01%305.9M
23.01%305.9M
-Other payable
178.15%84M
178.15%84M
-36.42%30.2M
-36.42%30.2M
93.88%47.5M
93.88%47.5M
85.61%24.5M
85.61%24.5M
22.69%13.2M
22.69%13.2M
Current provisions
93.37%140M
93.37%140M
30.45%72.4M
30.45%72.4M
503.26%55.5M
503.26%55.5M
-68.81%9.2M
-68.81%9.2M
158.27%29.5M
158.27%29.5M
Pension and other retirement benefit plans
135.14%269M
135.14%269M
39.51%114.4M
39.51%114.4M
18.16%82M
18.16%82M
29.96%69.4M
29.96%69.4M
50.15%53.4M
50.15%53.4M
Current deferred liabilities
-74.07%14M
-74.07%14M
382.14%54M
382.14%54M
-93.28%11.2M
-93.28%11.2M
-59.92%166.7M
-59.92%166.7M
--415.9M
--415.9M
Other current liabilities
----
----
--27.2M
--27.2M
----
----
----
----
-90.65%5.9M
-90.65%5.9M
Current liabilities
96.27%2.46B
96.27%2.46B
37.30%1.25B
37.30%1.25B
-7.19%913.6M
-7.19%913.6M
6.50%984.4M
6.50%984.4M
117.59%924.3M
117.59%924.3M
Non current liabilities
Long term debt and capital lease obligation
61.86%5.08B
61.86%5.08B
4.76%3.14B
4.76%3.14B
171.27%3B
171.27%3B
-7.19%1.1B
-7.19%1.1B
10.03%1.19B
10.03%1.19B
-Long term debt
59.01%4.64B
59.01%4.64B
4.14%2.92B
4.14%2.92B
204.44%2.8B
204.44%2.8B
-8.59%920.2M
-8.59%920.2M
2.45%1.01B
2.45%1.01B
-Long term capital lease obligation
99.28%442M
99.28%442M
13.74%221.8M
13.74%221.8M
5.75%195M
5.75%195M
0.49%184.4M
0.49%184.4M
85.25%183.5M
85.25%183.5M
Long term accounts payable and other payables
887.60%637M
887.60%637M
-67.41%64.5M
-67.41%64.5M
--197.9M
--197.9M
----
----
----
----
Long term provisions
45.30%459M
45.30%459M
49.57%315.9M
49.57%315.9M
8.25%211.2M
8.25%211.2M
98.47%195.1M
98.47%195.1M
10.48%98.3M
10.48%98.3M
Employee benefits
104.55%9M
104.55%9M
--4.4M
--4.4M
----
----
----
----
----
----
Non current deferred liabilities
----
----
-56.97%95M
-56.97%95M
-31.58%220.8M
-31.58%220.8M
163.43%322.7M
163.43%322.7M
-33.99%122.5M
-33.99%122.5M
Total non current liabilities
70.93%6.19B
70.93%6.19B
-0.20%3.62B
-0.20%3.62B
123.52%3.63B
123.52%3.63B
14.98%1.62B
14.98%1.62B
4.04%1.41B
4.04%1.41B
Total liabilities
77.45%8.65B
77.45%8.65B
7.34%4.87B
7.34%4.87B
74.16%4.54B
74.16%4.54B
11.63%2.61B
11.63%2.61B
31.12%2.34B
31.12%2.34B
Shareholders'equity
Share capital
7.57%954M
7.57%954M
75.80%886.9M
75.80%886.9M
-1.94%504.5M
-1.94%504.5M
-0.35%514.5M
-0.35%514.5M
1.66%516.3M
1.66%516.3M
-common stock
7.57%954M
7.57%954M
75.80%886.9M
75.80%886.9M
-1.94%504.5M
-1.94%504.5M
-0.35%514.5M
-0.35%514.5M
1.66%516.3M
1.66%516.3M
Retained earnings
-2.37%2.46B
-2.37%2.46B
-6.49%2.52B
-6.49%2.52B
0.76%2.69B
0.76%2.69B
53.78%2.67B
53.78%2.67B
107.63%1.74B
107.63%1.74B
Gains losses not affecting retained earnings
90.20%132M
90.20%132M
140.14%69.4M
140.14%69.4M
84.08%28.9M
84.08%28.9M
55.45%15.7M
55.45%15.7M
-37.31%10.1M
-37.31%10.1M
Total stockholders'equity
2.01%3.55B
2.01%3.55B
7.69%3.48B
7.69%3.48B
0.73%3.23B
0.73%3.23B
41.45%3.2B
41.45%3.2B
66.38%2.26B
66.38%2.26B
Noncontrolling interests
-16.49%39M
-16.49%39M
5.66%46.7M
5.66%46.7M
3.76%44.2M
3.76%44.2M
38.31%42.6M
38.31%42.6M
62.22%30.8M
62.22%30.8M
Total equity
1.77%3.58B
1.77%3.58B
7.66%3.52B
7.66%3.52B
0.77%3.27B
0.77%3.27B
41.41%3.25B
41.41%3.25B
66.32%2.3B
66.32%2.3B
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 -34.16%908M-34.16%908M-43.20%1.38B-43.20%1.38B57.46%2.43B57.46%2.43B1.33%1.54B1.33%1.54B473.40%1.52B473.40%1.52B
-Cash and cash equivalents -34.16%908M-34.16%908M-43.20%1.38B-43.20%1.38B57.46%2.43B57.46%2.43B1.33%1.54B1.33%1.54B473.40%1.52B473.40%1.52B
Receivables 56.13%1.03B56.13%1.03B4.98%657.8M4.98%657.8M89.13%626.6M89.13%626.6M86.65%331.3M86.65%331.3M5.99%177.5M5.99%177.5M
-Accounts receivable 31.02%759M31.02%759M-3.79%579.3M-3.79%579.3M99.57%602.1M99.57%602.1M67.52%301.7M67.52%301.7M4.92%180.1M4.92%180.1M
-Other receivables 233.33%273M233.33%273M234.29%81.9M234.29%81.9M-27.73%24.5M-27.73%24.5M2,018.75%33.9M2,018.75%33.9M--1.6M--1.6M
-Recievables adjustments allowances -47.06%-5M-47.06%-5M---3.4M---3.4M---------2.38%-4.3M-2.38%-4.3M-0.17%-4.2M-0.17%-4.2M
Inventory 0.10%607M0.10%607M140.06%606.4M140.06%606.4M106.04%252.6M106.04%252.6M-21.21%122.6M-21.21%122.6M-13.62%155.6M-13.62%155.6M
Prepaid assets 73.17%71M73.17%71M-29.31%41M-29.31%41M54.26%58M54.26%58M-3.09%37.6M-3.09%37.6M32.02%38.8M32.02%38.8M
Current deferred assets --------2,960.00%15.3M2,960.00%15.3M--500K--500K----------------
Hedging assets-current ---------106.98%-300K-106.98%-300K1,533.33%4.3M1,533.33%4.3M---300K---300K--------
Holding assets for sale ----------775.2M--775.2M------------------------
Other current assets --27M--27M--------------------------------
Total current assets -24.02%2.64B-24.02%2.64B3.09%3.47B3.09%3.47B65.75%3.37B65.75%3.37B7.37%2.03B7.37%2.03B56.92%1.89B56.92%1.89B
Non current assets
Net PPE 94.73%8.81B94.73%8.81B25.70%4.53B25.70%4.53B41.19%3.6B41.19%3.6B38.44%2.55B38.44%2.55B7.79%1.84B7.79%1.84B
-Gross PPE 88.84%10.6B88.84%10.6B23.61%5.61B23.61%5.61B37.65%4.54B37.65%4.54B34.59%3.3B34.59%3.3B8.48%2.45B8.48%2.45B
-Accumulated depreciation -64.34%-1.79B-64.34%-1.79B-15.59%-1.09B-15.59%-1.09B-25.59%-940.7M-25.59%-940.7M-22.95%-749M-22.95%-749M-10.62%-609.2M-10.62%-609.2M
Investments and advances -17.55%249M-17.55%249M87.93%302M87.93%302M-58.60%160.7M-58.60%160.7M817.73%388.2M817.73%388.2M-43.71%42.3M-43.71%42.3M
-Long term equity investment 12.15%108M12.15%108M-6.23%96.3M-6.23%96.3M11.51%102.7M11.51%102.7M--92.1M--92.1M--------
-Financial asset investment -46.52%110M-46.52%110M254.66%205.7M254.66%205.7M-80.41%58M-80.41%58M600.00%296.1M600.00%296.1M-43.71%42.3M-43.71%42.3M
-Including:Trading securities -46.52%110M-46.52%110M254.66%205.7M254.66%205.7M-80.41%58M-80.41%58M600.00%296.1M600.00%296.1M-43.71%42.3M-43.71%42.3M
-Other investment --31M--31M--------------------------------
Non current accounts receivable 528.04%439M528.04%439M-89.32%69.9M-89.32%69.9M0.17%654.5M0.17%654.5M0.58%653.4M0.58%653.4M1,524.97%649.6M1,524.97%649.6M
Goodwill and other intangible assets -64.44%8M-64.44%8M-9.64%22.5M-9.64%22.5M-32.15%24.9M-32.15%24.9M-23.38%36.7M-23.38%36.7M-43.52%47.9M-43.52%47.9M
-Goodwill ------------------1.4M--1.4M---------1.27%1.4M-1.27%1.4M
-Other intangible assets -64.44%8M-64.44%8M-4.26%22.5M-4.26%22.5M-35.97%23.5M-35.97%23.5M-21.08%36.7M-21.08%36.7M-44.24%46.5M-44.24%46.5M
Non current deferred assets --82M--82M----------------7.26%128.5M7.26%128.5M163.55%119.8M163.55%119.8M
Other non current assets ------------------------76.77%62.4M76.77%62.4M--35.3M--35.3M
Total non current assets 94.93%9.59B94.93%9.59B10.80%4.92B10.80%4.92B16.27%4.44B16.27%4.44B39.54%3.82B39.54%3.82B40.05%2.74B40.05%2.74B
Total assets 45.70%12.23B45.70%12.23B7.48%8.4B7.48%8.4B33.46%7.81B33.46%7.81B26.39%5.85B26.39%5.85B46.49%4.63B46.49%4.63B
Liabilities
Current liabilities
Current debt and capital lease obligation 168.70%255M168.70%255M-26.55%94.9M-26.55%94.9M-17.86%129.2M-17.86%129.2M56.52%157.3M56.52%157.3M81.84%100.5M81.84%100.5M
-Current debt --243M--243M---------46.21%14.2M-46.21%14.2M2,100.00%26.4M2,100.00%26.4M4.90%1.2M4.90%1.2M
-Current capital lease obligation -87.36%12M-87.36%12M-17.48%94.9M-17.48%94.9M-12.15%115M-12.15%115M31.82%130.9M31.82%130.9M83.46%99.3M83.46%99.3M
Payables 100.11%1.78B100.11%1.78B40.24%891.5M40.24%891.5M9.26%635.7M9.26%635.7M82.33%581.8M82.33%581.8M23.00%319.1M23.00%319.1M
-accounts payable 97.38%1.7B97.38%1.7B46.43%861.3M46.43%861.3M5.54%588.2M5.54%588.2M82.18%557.3M82.18%557.3M23.01%305.9M23.01%305.9M
-Other payable 178.15%84M178.15%84M-36.42%30.2M-36.42%30.2M93.88%47.5M93.88%47.5M85.61%24.5M85.61%24.5M22.69%13.2M22.69%13.2M
Current provisions 93.37%140M93.37%140M30.45%72.4M30.45%72.4M503.26%55.5M503.26%55.5M-68.81%9.2M-68.81%9.2M158.27%29.5M158.27%29.5M
Pension and other retirement benefit plans 135.14%269M135.14%269M39.51%114.4M39.51%114.4M18.16%82M18.16%82M29.96%69.4M29.96%69.4M50.15%53.4M50.15%53.4M
Current deferred liabilities -74.07%14M-74.07%14M382.14%54M382.14%54M-93.28%11.2M-93.28%11.2M-59.92%166.7M-59.92%166.7M--415.9M--415.9M
Other current liabilities ----------27.2M--27.2M-----------------90.65%5.9M-90.65%5.9M
Current liabilities 96.27%2.46B96.27%2.46B37.30%1.25B37.30%1.25B-7.19%913.6M-7.19%913.6M6.50%984.4M6.50%984.4M117.59%924.3M117.59%924.3M
Non current liabilities
Long term debt and capital lease obligation 61.86%5.08B61.86%5.08B4.76%3.14B4.76%3.14B171.27%3B171.27%3B-7.19%1.1B-7.19%1.1B10.03%1.19B10.03%1.19B
-Long term debt 59.01%4.64B59.01%4.64B4.14%2.92B4.14%2.92B204.44%2.8B204.44%2.8B-8.59%920.2M-8.59%920.2M2.45%1.01B2.45%1.01B
-Long term capital lease obligation 99.28%442M99.28%442M13.74%221.8M13.74%221.8M5.75%195M5.75%195M0.49%184.4M0.49%184.4M85.25%183.5M85.25%183.5M
Long term accounts payable and other payables 887.60%637M887.60%637M-67.41%64.5M-67.41%64.5M--197.9M--197.9M----------------
Long term provisions 45.30%459M45.30%459M49.57%315.9M49.57%315.9M8.25%211.2M8.25%211.2M98.47%195.1M98.47%195.1M10.48%98.3M10.48%98.3M
Employee benefits 104.55%9M104.55%9M--4.4M--4.4M------------------------
Non current deferred liabilities ---------56.97%95M-56.97%95M-31.58%220.8M-31.58%220.8M163.43%322.7M163.43%322.7M-33.99%122.5M-33.99%122.5M
Total non current liabilities 70.93%6.19B70.93%6.19B-0.20%3.62B-0.20%3.62B123.52%3.63B123.52%3.63B14.98%1.62B14.98%1.62B4.04%1.41B4.04%1.41B
Total liabilities 77.45%8.65B77.45%8.65B7.34%4.87B7.34%4.87B74.16%4.54B74.16%4.54B11.63%2.61B11.63%2.61B31.12%2.34B31.12%2.34B
Shareholders'equity
Share capital 7.57%954M7.57%954M75.80%886.9M75.80%886.9M-1.94%504.5M-1.94%504.5M-0.35%514.5M-0.35%514.5M1.66%516.3M1.66%516.3M
-common stock 7.57%954M7.57%954M75.80%886.9M75.80%886.9M-1.94%504.5M-1.94%504.5M-0.35%514.5M-0.35%514.5M1.66%516.3M1.66%516.3M
Retained earnings -2.37%2.46B-2.37%2.46B-6.49%2.52B-6.49%2.52B0.76%2.69B0.76%2.69B53.78%2.67B53.78%2.67B107.63%1.74B107.63%1.74B
Gains losses not affecting retained earnings 90.20%132M90.20%132M140.14%69.4M140.14%69.4M84.08%28.9M84.08%28.9M55.45%15.7M55.45%15.7M-37.31%10.1M-37.31%10.1M
Total stockholders'equity 2.01%3.55B2.01%3.55B7.69%3.48B7.69%3.48B0.73%3.23B0.73%3.23B41.45%3.2B41.45%3.2B66.38%2.26B66.38%2.26B
Noncontrolling interests -16.49%39M-16.49%39M5.66%46.7M5.66%46.7M3.76%44.2M3.76%44.2M38.31%42.6M38.31%42.6M62.22%30.8M62.22%30.8M
Total equity 1.77%3.58B1.77%3.58B7.66%3.52B7.66%3.52B0.77%3.27B0.77%3.27B41.41%3.25B41.41%3.25B66.32%2.3B66.32%2.3B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP