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RMC Resimac Group Ltd

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  • 0.870
  • 0.0000.00%
20min DelayTrading Oct 1 16:00 AET
348.00MMarket Cap10.12P/E (Static)

Resimac Group 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
Cash, cash equivalents and federal funds sold
-19.75%871M
-19.75%871M
16.36%1.09B
16.36%1.09B
50.49%932.78M
50.49%932.78M
69.35%619.81M
69.35%619.81M
62.81%365.99M
62.81%365.99M
-Cash and cash equivalents
-19.75%871M
-19.75%871M
16.36%1.09B
16.36%1.09B
50.49%932.78M
50.49%932.78M
69.35%619.81M
69.35%619.81M
62.81%365.99M
62.81%365.99M
Securities and investments
----
----
2,976.92%8M
2,976.92%8M
0.00%260K
0.00%260K
0.00%260K
0.00%260K
0.00%260K
0.00%260K
-Short term investments
----
----
2,976.92%8M
2,976.92%8M
0.00%260K
0.00%260K
0.00%260K
0.00%260K
0.00%260K
0.00%260K
Long term equity investment
-9.38%18.66M
-9.38%18.66M
-11.35%20.59M
-11.35%20.59M
56.67%23.22M
56.67%23.22M
114.17%14.82M
114.17%14.82M
--6.92M
--6.92M
Derivative assets
88.91%47.6M
88.91%47.6M
-35.76%25.2M
-35.76%25.2M
1,638.48%39.22M
1,638.48%39.22M
-95.71%2.26M
-95.71%2.26M
-7.04%52.59M
-7.04%52.59M
Net loan
2.63%14.1B
2.63%14.1B
-12.34%13.74B
-12.34%13.74B
12.52%15.67B
12.52%15.67B
11.35%13.93B
11.35%13.93B
424.93%12.51B
424.93%12.51B
-Gross loan
2.63%14.1B
2.63%14.1B
-12.34%13.74B
-12.34%13.74B
12.52%15.67B
12.52%15.67B
11.35%13.93B
11.35%13.93B
424.93%12.51B
424.93%12.51B
Receivables
227.48%11.37M
227.48%11.37M
-38.67%3.47M
-38.67%3.47M
23.58%5.66M
23.58%5.66M
-23.32%4.58M
-23.32%4.58M
71.03%5.97M
71.03%5.97M
-Accounts receivable
45.77%5.06M
45.77%5.06M
-38.67%3.47M
-38.67%3.47M
23.58%5.66M
23.58%5.66M
-23.32%4.58M
-23.32%4.58M
71.03%5.97M
71.03%5.97M
-Other receivables
--6.31M
--6.31M
----
----
----
----
----
----
----
----
Net PPE
-52.81%6.29M
-52.81%6.29M
22.40%13.33M
22.40%13.33M
-13.30%10.89M
-13.30%10.89M
-13.23%12.56M
-13.23%12.56M
585.83%14.47M
585.83%14.47M
-Gross PPE
-52.81%6.29M
-52.81%6.29M
22.40%13.33M
22.40%13.33M
-13.30%10.89M
-13.30%10.89M
-13.23%12.56M
-13.23%12.56M
585.83%14.47M
585.83%14.47M
Goodwill and other intangible assets
0.00%28.38M
0.00%28.38M
3.21%28.38M
3.21%28.38M
-0.25%27.5M
-0.25%27.5M
-4.59%27.57M
-4.59%27.57M
23.17%28.89M
23.17%28.89M
-Goodwill
0.00%28.38M
0.00%28.38M
3.46%28.38M
3.46%28.38M
0.00%27.43M
0.00%27.43M
0.00%27.43M
0.00%27.43M
16.94%27.43M
16.94%27.43M
-Other intangible assets
----
----
----
----
-51.47%66K
-51.47%66K
-90.70%136K
-90.70%136K
--1.46M
--1.46M
Deferred assets
-57.39%3.47M
-57.39%3.47M
--8.15M
--8.15M
----
----
--482K
--482K
----
----
Other assets
-24.77%10.44M
-24.77%10.44M
-50.05%13.88M
-50.05%13.88M
-25.05%27.78M
-25.05%27.78M
-18.67%37.07M
-18.67%37.07M
--45.58M
--45.58M
Total assets
1.02%15.09B
1.02%15.09B
-10.73%14.94B
-10.73%14.94B
14.28%16.74B
14.28%16.74B
12.42%14.65B
12.42%14.65B
21.56%13.03B
21.56%13.03B
Liabilities
Current debt and capital lease obligation
-0.40%14.42B
-0.40%14.42B
-11.16%14.48B
-11.16%14.48B
14.92%16.3B
14.92%16.3B
386.11%14.18B
386.11%14.18B
21.39%2.92B
21.39%2.92B
-Current debt
-0.40%14.42B
-0.40%14.42B
-11.16%14.48B
-11.16%14.48B
14.92%16.3B
14.92%16.3B
386.11%14.18B
386.11%14.18B
21.39%2.92B
21.39%2.92B
Derivative product liabilities
31,740.14%135.64M
31,740.14%135.64M
81.28%426K
81.28%426K
-99.61%235K
-99.61%235K
1,760.73%60.98M
1,760.73%60.98M
109.39%3.28M
109.39%3.28M
Payables
0.17%27.19M
0.17%27.19M
-9.70%27.15M
-9.70%27.15M
-12.96%30.06M
-12.96%30.06M
11.80%34.54M
11.80%34.54M
22.13%30.89M
22.13%30.89M
-Accounts payable
-17.90%22.29M
-17.90%22.29M
-9.70%27.15M
-9.70%27.15M
-12.96%30.06M
-12.96%30.06M
33.39%34.54M
33.39%34.54M
2.36%25.89M
2.36%25.89M
-Due to related parties
----
----
----
----
----
----
----
----
--5M
--5M
-Other payable
--4.91M
--4.91M
----
----
----
----
----
----
----
----
Current provisions
-60.96%1.05M
-60.96%1.05M
-38.64%2.69M
-38.64%2.69M
857.86%4.39M
857.86%4.39M
-10.89%458K
-10.89%458K
-84.45%514K
-84.45%514K
Current deferred liabilities
----
----
----
----
-82.81%3.58M
-82.81%3.58M
-14.26%20.83M
-14.26%20.83M
263.12%24.29M
263.12%24.29M
Long term debt and capital lease obligation
----
----
----
----
----
----
----
----
21.49%9.78B
21.49%9.78B
-Long term debt
----
----
----
----
----
----
----
----
21.49%9.78B
21.49%9.78B
Employee benefits
8.74%5.05M
8.74%5.05M
-23.34%4.65M
-23.34%4.65M
27.35%6.06M
27.35%6.06M
15.65%4.76M
15.65%4.76M
--4.12M
--4.12M
Non current deferred liabilities
----
----
----
----
----
----
----
----
-43.85%3.54M
-43.85%3.54M
Other liabilities
664.79%86.46M
664.79%86.46M
-25.75%11.31M
-25.75%11.31M
-21.25%15.23M
-21.25%15.23M
-19.90%19.33M
-19.90%19.33M
--24.14M
--24.14M
Total liabilities
1.04%14.68B
1.04%14.68B
-11.20%14.53B
-11.20%14.53B
14.21%16.36B
14.21%16.36B
12.04%14.32B
12.04%14.32B
21.53%12.79B
21.53%12.79B
Shareholders'equity
Share capital
0.22%173.92M
0.22%173.92M
-1.67%173.53M
-1.67%173.53M
-2.86%176.48M
-2.86%176.48M
-0.12%181.68M
-0.12%181.68M
0.75%181.9M
0.75%181.9M
-common stock
0.22%173.92M
0.22%173.92M
-1.67%173.53M
-1.67%173.53M
-2.86%176.48M
-2.86%176.48M
-0.12%181.68M
-0.12%181.68M
0.75%181.9M
0.75%181.9M
Retained earnings
1.39%327.36M
1.39%327.36M
11.88%322.87M
11.88%322.87M
31.70%288.6M
31.70%288.6M
70.27%219.13M
70.27%219.13M
52.64%128.69M
52.64%128.69M
Gains losses not affecting retained earnings
-5.05%-85.23M
-5.05%-85.23M
6.75%-81.13M
6.75%-81.13M
-9.21%-87.01M
-9.21%-87.01M
-15.30%-79.67M
-15.30%-79.67M
-0.52%-69.1M
-0.52%-69.1M
Total stockholders'equity
0.19%416.05M
0.19%416.05M
9.84%415.27M
9.84%415.27M
17.73%378.07M
17.73%378.07M
32.98%321.14M
32.98%321.14M
23.13%241.49M
23.13%241.49M
Noncontrolling interests
182.73%311K
182.73%311K
--110K
--110K
----
----
----
----
--194K
--194K
Total equity
0.24%416.36M
0.24%416.36M
9.87%415.38M
9.87%415.38M
17.73%378.07M
17.73%378.07M
32.87%321.14M
32.87%321.14M
23.23%241.69M
23.23%241.69M
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
Cash, cash equivalents and federal funds sold -19.75%871M-19.75%871M16.36%1.09B16.36%1.09B50.49%932.78M50.49%932.78M69.35%619.81M69.35%619.81M62.81%365.99M62.81%365.99M
-Cash and cash equivalents -19.75%871M-19.75%871M16.36%1.09B16.36%1.09B50.49%932.78M50.49%932.78M69.35%619.81M69.35%619.81M62.81%365.99M62.81%365.99M
Securities and investments --------2,976.92%8M2,976.92%8M0.00%260K0.00%260K0.00%260K0.00%260K0.00%260K0.00%260K
-Short term investments --------2,976.92%8M2,976.92%8M0.00%260K0.00%260K0.00%260K0.00%260K0.00%260K0.00%260K
Long term equity investment -9.38%18.66M-9.38%18.66M-11.35%20.59M-11.35%20.59M56.67%23.22M56.67%23.22M114.17%14.82M114.17%14.82M--6.92M--6.92M
Derivative assets 88.91%47.6M88.91%47.6M-35.76%25.2M-35.76%25.2M1,638.48%39.22M1,638.48%39.22M-95.71%2.26M-95.71%2.26M-7.04%52.59M-7.04%52.59M
Net loan 2.63%14.1B2.63%14.1B-12.34%13.74B-12.34%13.74B12.52%15.67B12.52%15.67B11.35%13.93B11.35%13.93B424.93%12.51B424.93%12.51B
-Gross loan 2.63%14.1B2.63%14.1B-12.34%13.74B-12.34%13.74B12.52%15.67B12.52%15.67B11.35%13.93B11.35%13.93B424.93%12.51B424.93%12.51B
Receivables 227.48%11.37M227.48%11.37M-38.67%3.47M-38.67%3.47M23.58%5.66M23.58%5.66M-23.32%4.58M-23.32%4.58M71.03%5.97M71.03%5.97M
-Accounts receivable 45.77%5.06M45.77%5.06M-38.67%3.47M-38.67%3.47M23.58%5.66M23.58%5.66M-23.32%4.58M-23.32%4.58M71.03%5.97M71.03%5.97M
-Other receivables --6.31M--6.31M--------------------------------
Net PPE -52.81%6.29M-52.81%6.29M22.40%13.33M22.40%13.33M-13.30%10.89M-13.30%10.89M-13.23%12.56M-13.23%12.56M585.83%14.47M585.83%14.47M
-Gross PPE -52.81%6.29M-52.81%6.29M22.40%13.33M22.40%13.33M-13.30%10.89M-13.30%10.89M-13.23%12.56M-13.23%12.56M585.83%14.47M585.83%14.47M
Goodwill and other intangible assets 0.00%28.38M0.00%28.38M3.21%28.38M3.21%28.38M-0.25%27.5M-0.25%27.5M-4.59%27.57M-4.59%27.57M23.17%28.89M23.17%28.89M
-Goodwill 0.00%28.38M0.00%28.38M3.46%28.38M3.46%28.38M0.00%27.43M0.00%27.43M0.00%27.43M0.00%27.43M16.94%27.43M16.94%27.43M
-Other intangible assets -----------------51.47%66K-51.47%66K-90.70%136K-90.70%136K--1.46M--1.46M
Deferred assets -57.39%3.47M-57.39%3.47M--8.15M--8.15M----------482K--482K--------
Other assets -24.77%10.44M-24.77%10.44M-50.05%13.88M-50.05%13.88M-25.05%27.78M-25.05%27.78M-18.67%37.07M-18.67%37.07M--45.58M--45.58M
Total assets 1.02%15.09B1.02%15.09B-10.73%14.94B-10.73%14.94B14.28%16.74B14.28%16.74B12.42%14.65B12.42%14.65B21.56%13.03B21.56%13.03B
Liabilities
Current debt and capital lease obligation -0.40%14.42B-0.40%14.42B-11.16%14.48B-11.16%14.48B14.92%16.3B14.92%16.3B386.11%14.18B386.11%14.18B21.39%2.92B21.39%2.92B
-Current debt -0.40%14.42B-0.40%14.42B-11.16%14.48B-11.16%14.48B14.92%16.3B14.92%16.3B386.11%14.18B386.11%14.18B21.39%2.92B21.39%2.92B
Derivative product liabilities 31,740.14%135.64M31,740.14%135.64M81.28%426K81.28%426K-99.61%235K-99.61%235K1,760.73%60.98M1,760.73%60.98M109.39%3.28M109.39%3.28M
Payables 0.17%27.19M0.17%27.19M-9.70%27.15M-9.70%27.15M-12.96%30.06M-12.96%30.06M11.80%34.54M11.80%34.54M22.13%30.89M22.13%30.89M
-Accounts payable -17.90%22.29M-17.90%22.29M-9.70%27.15M-9.70%27.15M-12.96%30.06M-12.96%30.06M33.39%34.54M33.39%34.54M2.36%25.89M2.36%25.89M
-Due to related parties ----------------------------------5M--5M
-Other payable --4.91M--4.91M--------------------------------
Current provisions -60.96%1.05M-60.96%1.05M-38.64%2.69M-38.64%2.69M857.86%4.39M857.86%4.39M-10.89%458K-10.89%458K-84.45%514K-84.45%514K
Current deferred liabilities -----------------82.81%3.58M-82.81%3.58M-14.26%20.83M-14.26%20.83M263.12%24.29M263.12%24.29M
Long term debt and capital lease obligation --------------------------------21.49%9.78B21.49%9.78B
-Long term debt --------------------------------21.49%9.78B21.49%9.78B
Employee benefits 8.74%5.05M8.74%5.05M-23.34%4.65M-23.34%4.65M27.35%6.06M27.35%6.06M15.65%4.76M15.65%4.76M--4.12M--4.12M
Non current deferred liabilities ---------------------------------43.85%3.54M-43.85%3.54M
Other liabilities 664.79%86.46M664.79%86.46M-25.75%11.31M-25.75%11.31M-21.25%15.23M-21.25%15.23M-19.90%19.33M-19.90%19.33M--24.14M--24.14M
Total liabilities 1.04%14.68B1.04%14.68B-11.20%14.53B-11.20%14.53B14.21%16.36B14.21%16.36B12.04%14.32B12.04%14.32B21.53%12.79B21.53%12.79B
Shareholders'equity
Share capital 0.22%173.92M0.22%173.92M-1.67%173.53M-1.67%173.53M-2.86%176.48M-2.86%176.48M-0.12%181.68M-0.12%181.68M0.75%181.9M0.75%181.9M
-common stock 0.22%173.92M0.22%173.92M-1.67%173.53M-1.67%173.53M-2.86%176.48M-2.86%176.48M-0.12%181.68M-0.12%181.68M0.75%181.9M0.75%181.9M
Retained earnings 1.39%327.36M1.39%327.36M11.88%322.87M11.88%322.87M31.70%288.6M31.70%288.6M70.27%219.13M70.27%219.13M52.64%128.69M52.64%128.69M
Gains losses not affecting retained earnings -5.05%-85.23M-5.05%-85.23M6.75%-81.13M6.75%-81.13M-9.21%-87.01M-9.21%-87.01M-15.30%-79.67M-15.30%-79.67M-0.52%-69.1M-0.52%-69.1M
Total stockholders'equity 0.19%416.05M0.19%416.05M9.84%415.27M9.84%415.27M17.73%378.07M17.73%378.07M32.98%321.14M32.98%321.14M23.13%241.49M23.13%241.49M
Noncontrolling interests 182.73%311K182.73%311K--110K--110K------------------194K--194K
Total equity 0.24%416.36M0.24%416.36M9.87%415.38M9.87%415.38M17.73%378.07M17.73%378.07M32.87%321.14M32.87%321.14M23.23%241.69M23.23%241.69M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

Analysis

Analyst Rating

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Price Target

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Heat List
AU
Overall
Symbol
Latest Price
% Chg

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