AU Stock MarketDetailed Quotes

RIM Rimfire Pacific Mining Ltd

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  • 0.036
  • +0.002+5.88%
20min DelayMarket Closed Jul 22 16:00 AET
80.95MMarket Cap0.00P/E (Static)

Rimfire Pacific Mining Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-23.85%454.51K
-23.85%454.51K
-69.20%596.86K
-69.20%596.86K
523.56%1.94M
523.56%1.94M
224.74%310.79K
224.74%310.79K
-89.29%95.71K
-89.29%95.71K
-Cash and cash equivalents
38.94%377.23K
38.94%377.23K
-82.68%271.51K
-82.68%271.51K
404.34%1.57M
404.34%1.57M
224.74%310.79K
224.74%310.79K
-89.29%95.71K
-89.29%95.71K
-Notes receivable
69.55%19.79K
69.55%19.79K
-17.14%11.67K
-17.14%11.67K
102.36%14.08K
102.36%14.08K
147.51%6.96K
147.51%6.96K
265.19%2.81K
265.19%2.81K
-Other receivables
72.00%151.11K
72.00%151.11K
-42.26%87.85K
-42.26%87.85K
-40.59%152.15K
-40.59%152.15K
88.48%256.1K
88.48%256.1K
66.54%135.88K
66.54%135.88K
Total current assets
-21.69%540.17K
-21.69%540.17K
-67.38%689.78K
-67.38%689.78K
122.64%2.11M
122.64%2.11M
546.14%949.76K
546.14%949.76K
-84.50%146.99K
-84.50%146.99K
Non current assets
-Accumulated depreciation
-5.45%-457.95K
-5.45%-457.95K
-10.88%-434.28K
-10.88%-434.28K
23.21%-391.67K
23.21%-391.67K
-11.23%-510.02K
-11.23%-510.02K
-11.97%-458.53K
-11.97%-458.53K
-Long term equity investment
----
----
----
----
----
----
--9.23K
--9.23K
----
----
Regulatory assets
-6.88%72.74K
-6.88%72.74K
-54.93%78.12K
-54.93%78.12K
-72.66%173.31K
-72.66%173.31K
1,304.55%633.93K
1,304.55%633.93K
-4.45%45.13K
-4.45%45.13K
Non current deferred assets
-3.13%155K
-3.13%155K
-22.85%160K
-22.85%160K
22.00%207.4K
22.00%207.4K
6.25%170K
6.25%170K
6.67%160K
6.67%160K
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
----
----
-19.83%9.23K
-19.83%9.23K
--11.51K
--11.51K
----
----
-Current capital lease obligation
----
----
----
----
-19.83%9.23K
-19.83%9.23K
--11.51K
--11.51K
----
----
-accounts payable
467.55%349.76K
467.55%349.76K
-63.81%61.63K
-63.81%61.63K
61.54%170.29K
61.54%170.29K
40.44%105.42K
40.44%105.42K
-32.52%75.06K
-32.52%75.06K
-Total tax payable
69.55%19.79K
69.55%19.79K
-17.14%11.67K
-17.14%11.67K
-12.99%14.08K
-12.99%14.08K
475.64%16.19K
475.64%16.19K
265.19%2.81K
265.19%2.81K
Current liabilities
1.51%599.47K
1.51%599.47K
-29.03%590.57K
-29.03%590.57K
-13.44%832.12K
-13.44%832.12K
284.27%961.3K
284.27%961.3K
-7.29%250.16K
-7.29%250.16K
Non current liabilities
-Long term debt
----
----
----
----
----
----
--9.23K
--9.23K
----
----
Non current accrued expenses
5.42%16.26M
5.42%16.26M
2.57%15.43M
2.57%15.43M
5.43%15.04M
5.43%15.04M
3.92%14.27M
3.92%14.27M
7.32%13.73M
7.32%13.73M
Employee benefits
69.55%19.79K
69.55%19.79K
-17.14%11.67K
-17.14%11.67K
102.36%14.08K
102.36%14.08K
147.51%6.96K
147.51%6.96K
265.19%2.81K
265.19%2.81K
Preferred securities outside stock equity
13.69%57.05K
13.69%57.05K
-43.09%50.18K
-43.09%50.18K
44.56%88.18K
44.56%88.18K
55.50%61K
55.50%61K
-49.07%39.23K
-49.07%39.23K
Total non current liabilities
2.83%619.25K
2.83%619.25K
-28.83%602.24K
-28.83%602.24K
-13.43%846.21K
-13.43%846.21K
286.40%977.48K
286.40%977.48K
-6.52%252.97K
-6.52%252.97K
Shareholders'equity
Share capital
3.24%36.29M
3.24%36.29M
0.00%35.16M
0.00%35.16M
7.92%35.16M
7.92%35.16M
4.82%32.58M
4.82%32.58M
3.39%31.08M
3.39%31.08M
-common stock
3.24%36.29M
3.24%36.29M
0.00%35.16M
0.00%35.16M
7.92%35.16M
7.92%35.16M
4.82%32.58M
4.82%32.58M
3.39%31.08M
3.39%31.08M
Gains losses not affecting retained earnings
405.16%425.56K
405.16%425.56K
582.24%84.24K
582.24%84.24K
-88.85%12.35K
-88.85%12.35K
362.98%110.7K
362.98%110.7K
415.55%23.91K
415.55%23.91K
Other equity interest
----
----
360.40%14.8K
360.40%14.8K
--3.22K
--3.22K
----
----
----
----
Total equity
4.19%16.96M
4.19%16.96M
-6.25%16.28M
-6.25%16.28M
12.85%17.36M
12.85%17.36M
9.63%15.39M
9.63%15.39M
1.04%14.03M
1.04%14.03M
(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(FY)Jun 30, 2019(Q4)Jun 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -23.85%454.51K-23.85%454.51K-69.20%596.86K-69.20%596.86K523.56%1.94M523.56%1.94M224.74%310.79K224.74%310.79K-89.29%95.71K-89.29%95.71K
-Cash and cash equivalents 38.94%377.23K38.94%377.23K-82.68%271.51K-82.68%271.51K404.34%1.57M404.34%1.57M224.74%310.79K224.74%310.79K-89.29%95.71K-89.29%95.71K
-Notes receivable 69.55%19.79K69.55%19.79K-17.14%11.67K-17.14%11.67K102.36%14.08K102.36%14.08K147.51%6.96K147.51%6.96K265.19%2.81K265.19%2.81K
-Other receivables 72.00%151.11K72.00%151.11K-42.26%87.85K-42.26%87.85K-40.59%152.15K-40.59%152.15K88.48%256.1K88.48%256.1K66.54%135.88K66.54%135.88K
Total current assets -21.69%540.17K-21.69%540.17K-67.38%689.78K-67.38%689.78K122.64%2.11M122.64%2.11M546.14%949.76K546.14%949.76K-84.50%146.99K-84.50%146.99K
Non current assets
-Accumulated depreciation -5.45%-457.95K-5.45%-457.95K-10.88%-434.28K-10.88%-434.28K23.21%-391.67K23.21%-391.67K-11.23%-510.02K-11.23%-510.02K-11.97%-458.53K-11.97%-458.53K
-Long term equity investment --------------------------9.23K--9.23K--------
Regulatory assets -6.88%72.74K-6.88%72.74K-54.93%78.12K-54.93%78.12K-72.66%173.31K-72.66%173.31K1,304.55%633.93K1,304.55%633.93K-4.45%45.13K-4.45%45.13K
Non current deferred assets -3.13%155K-3.13%155K-22.85%160K-22.85%160K22.00%207.4K22.00%207.4K6.25%170K6.25%170K6.67%160K6.67%160K
Liabilities
Current liabilities
Current debt and capital lease obligation -----------------19.83%9.23K-19.83%9.23K--11.51K--11.51K--------
-Current capital lease obligation -----------------19.83%9.23K-19.83%9.23K--11.51K--11.51K--------
-accounts payable 467.55%349.76K467.55%349.76K-63.81%61.63K-63.81%61.63K61.54%170.29K61.54%170.29K40.44%105.42K40.44%105.42K-32.52%75.06K-32.52%75.06K
-Total tax payable 69.55%19.79K69.55%19.79K-17.14%11.67K-17.14%11.67K-12.99%14.08K-12.99%14.08K475.64%16.19K475.64%16.19K265.19%2.81K265.19%2.81K
Current liabilities 1.51%599.47K1.51%599.47K-29.03%590.57K-29.03%590.57K-13.44%832.12K-13.44%832.12K284.27%961.3K284.27%961.3K-7.29%250.16K-7.29%250.16K
Non current liabilities
-Long term debt --------------------------9.23K--9.23K--------
Non current accrued expenses 5.42%16.26M5.42%16.26M2.57%15.43M2.57%15.43M5.43%15.04M5.43%15.04M3.92%14.27M3.92%14.27M7.32%13.73M7.32%13.73M
Employee benefits 69.55%19.79K69.55%19.79K-17.14%11.67K-17.14%11.67K102.36%14.08K102.36%14.08K147.51%6.96K147.51%6.96K265.19%2.81K265.19%2.81K
Preferred securities outside stock equity 13.69%57.05K13.69%57.05K-43.09%50.18K-43.09%50.18K44.56%88.18K44.56%88.18K55.50%61K55.50%61K-49.07%39.23K-49.07%39.23K
Total non current liabilities 2.83%619.25K2.83%619.25K-28.83%602.24K-28.83%602.24K-13.43%846.21K-13.43%846.21K286.40%977.48K286.40%977.48K-6.52%252.97K-6.52%252.97K
Shareholders'equity
Share capital 3.24%36.29M3.24%36.29M0.00%35.16M0.00%35.16M7.92%35.16M7.92%35.16M4.82%32.58M4.82%32.58M3.39%31.08M3.39%31.08M
-common stock 3.24%36.29M3.24%36.29M0.00%35.16M0.00%35.16M7.92%35.16M7.92%35.16M4.82%32.58M4.82%32.58M3.39%31.08M3.39%31.08M
Gains losses not affecting retained earnings 405.16%425.56K405.16%425.56K582.24%84.24K582.24%84.24K-88.85%12.35K-88.85%12.35K362.98%110.7K362.98%110.7K415.55%23.91K415.55%23.91K
Other equity interest --------360.40%14.8K360.40%14.8K--3.22K--3.22K----------------
Total equity 4.19%16.96M4.19%16.96M-6.25%16.28M-6.25%16.28M12.85%17.36M12.85%17.36M9.63%15.39M9.63%15.39M1.04%14.03M1.04%14.03M

Analysis

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