AU Stock MarketDetailed Quotes

RMY RMA Global Ltd

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  • 0.046
  • +0.001+2.22%
20min DelayMarket Closed Nov 5 15:34 AET
28.22MMarket Cap-6571P/E (Static)

RMA Global 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
-53.91%3M
-53.91%3M
13.11%6.52M
13.11%6.52M
-46.14%5.76M
-46.14%5.76M
167.76%10.7M
167.76%10.7M
8.19%4M
8.19%4M
-Cash and cash equivalents
-53.91%3M
-53.91%3M
13.11%6.52M
13.11%6.52M
-46.14%5.76M
-46.14%5.76M
167.76%10.7M
167.76%10.7M
8.19%4M
8.19%4M
Receivables
62.38%584.42K
62.38%584.42K
12.10%359.92K
12.10%359.92K
-1.02%321.08K
-1.02%321.08K
70.96%324.38K
70.96%324.38K
70.20%189.74K
70.20%189.74K
-Accounts receivable
62.38%584.42K
62.38%584.42K
12.10%359.92K
12.10%359.92K
-1.02%321.08K
-1.02%321.08K
70.96%324.38K
70.96%324.38K
70.20%189.74K
70.20%189.74K
Prepaid assets
-10.01%245.22K
-10.01%245.22K
26.95%272.5K
26.95%272.5K
-9.63%214.66K
-9.63%214.66K
-37.27%237.55K
-37.27%237.55K
-19.64%378.68K
-19.64%378.68K
Total current assets
-46.39%3.83M
-46.39%3.83M
13.53%7.15M
13.53%7.15M
-44.07%6.3M
-44.07%6.3M
146.73%11.26M
146.73%11.26M
6.07%4.56M
6.07%4.56M
Non current assets
Net PPE
-25.04%870.28K
-25.04%870.28K
-28.48%1.16M
-28.48%1.16M
-3.88%1.62M
-3.88%1.62M
143.96%1.69M
143.96%1.69M
220.00%692.23K
220.00%692.23K
-Gross PPE
-2.71%1.74M
-2.71%1.74M
-14.42%1.79M
-14.42%1.79M
-14.16%2.09M
-14.16%2.09M
104.53%2.44M
104.53%2.44M
212.08%1.19M
212.08%1.19M
-Accumulated depreciation
-38.33%-873.85K
-38.33%-873.85K
-33.95%-631.72K
-33.95%-631.72K
37.26%-471.62K
37.26%-471.62K
-50.04%-751.69K
-50.04%-751.69K
-201.76%-500.98K
-201.76%-500.98K
Investments and advances
1.01%273.11K
1.01%273.11K
-4.01%270.37K
-4.01%270.37K
9.66%281.67K
9.66%281.67K
-0.93%256.86K
-0.93%256.86K
3.31%259.27K
3.31%259.27K
-Other investment
1.01%273.11K
1.01%273.11K
-4.01%270.37K
-4.01%270.37K
9.66%281.67K
9.66%281.67K
-0.93%256.86K
-0.93%256.86K
3.31%259.27K
3.31%259.27K
Goodwill and other intangible assets
-38.83%4.78K
-38.83%4.78K
-78.07%7.82K
-78.07%7.82K
200.67%35.66K
200.67%35.66K
-72.97%11.86K
-72.97%11.86K
-37.89%43.87K
-37.89%43.87K
-Other intangible assets
-38.83%4.78K
-38.83%4.78K
-78.07%7.82K
-78.07%7.82K
200.67%35.66K
200.67%35.66K
-72.97%11.86K
-72.97%11.86K
-37.89%43.87K
-37.89%43.87K
Other non current assets
---1
---1
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Total non current assets
-20.22%1.15M
-20.22%1.15M
-25.84%1.44M
-25.84%1.44M
-0.86%1.94M
-0.86%1.94M
96.66%1.96M
96.66%1.96M
85.05%995.37K
85.05%995.37K
Total assets
-42.00%4.98M
-42.00%4.98M
4.26%8.59M
4.26%8.59M
-37.68%8.24M
-37.68%8.24M
137.76%13.22M
137.76%13.22M
14.84%5.56M
14.84%5.56M
Liabilities
Current liabilities
Current debt and capital lease obligation
-9.90%247.34K
-9.90%247.34K
-19.63%274.51K
-19.63%274.51K
-1.87%341.58K
-1.87%341.58K
-7.56%348.1K
-7.56%348.1K
--376.57K
--376.57K
-Current capital lease obligation
-9.90%247.34K
-9.90%247.34K
-19.63%274.51K
-19.63%274.51K
-1.87%341.58K
-1.87%341.58K
-7.56%348.1K
-7.56%348.1K
--376.57K
--376.57K
Payables
20.41%1.61M
20.41%1.61M
-17.13%1.34M
-17.13%1.34M
23.67%1.61M
23.67%1.61M
23.33%1.31M
23.33%1.31M
-17.91%1.06M
-17.91%1.06M
-accounts payable
28.56%1.03M
28.56%1.03M
-30.58%800.52K
-30.58%800.52K
40.42%1.15M
40.42%1.15M
-4.79%821.26K
-4.79%821.26K
-10.22%862.61K
-10.22%862.61K
-Other payable
8.27%582.21K
8.27%582.21K
16.47%537.73K
16.47%537.73K
-4.71%461.69K
-4.71%461.69K
146.95%484.53K
146.95%484.53K
-40.36%196.2K
-40.36%196.2K
Current provisions
--117.82K
--117.82K
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----
----
----
----
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Pension and other retirement benefit plans
-4.25%643.14K
-4.25%643.14K
-1.97%671.7K
-1.97%671.7K
13.49%685.19K
13.49%685.19K
60.80%603.76K
60.80%603.76K
99.00%375.48K
99.00%375.48K
Current deferred liabilities
3.60%5.02M
3.60%5.02M
16.12%4.85M
16.12%4.85M
51.24%4.17M
51.24%4.17M
322.28%2.76M
322.28%2.76M
127.90%653.5K
127.90%653.5K
Current liabilities
7.15%7.64M
7.15%7.64M
4.63%7.13M
4.63%7.13M
35.84%6.82M
35.84%6.82M
103.59%5.02M
103.59%5.02M
35.91%2.46M
35.91%2.46M
Non current liabilities
Long term debt and capital lease obligation
-26.72%542.28K
-26.72%542.28K
-28.74%740.06K
-28.74%740.06K
-13.94%1.04M
-13.94%1.04M
416.27%1.21M
416.27%1.21M
140.44%233.73K
140.44%233.73K
-Long term capital lease obligation
-26.72%542.28K
-26.72%542.28K
-28.74%740.06K
-28.74%740.06K
-13.94%1.04M
-13.94%1.04M
416.27%1.21M
416.27%1.21M
140.44%233.73K
140.44%233.73K
Long term provisions
--20K
--20K
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Employee benefits
-16.68%208.33K
-16.68%208.33K
34.19%250.04K
34.19%250.04K
25.73%186.33K
25.73%186.33K
118.69%148.2K
118.69%148.2K
41.69%67.76K
41.69%67.76K
Total non current liabilities
-22.17%770.61K
-22.17%770.61K
-19.16%990.09K
-19.16%990.09K
-9.60%1.22M
-9.60%1.22M
349.39%1.35M
349.39%1.35M
107.88%301.5K
107.88%301.5K
Total liabilities
3.57%8.41M
3.57%8.41M
1.00%8.12M
1.00%8.12M
26.17%8.04M
26.17%8.04M
130.38%6.37M
130.38%6.37M
41.24%2.77M
41.24%2.77M
Shareholders'equity
Share capital
0.00%45.49M
0.00%45.49M
12.55%45.49M
12.55%45.49M
0.00%40.42M
0.00%40.42M
46.38%40.42M
46.38%40.42M
53.12%27.61M
53.12%27.61M
-common stock
0.00%45.49M
0.00%45.49M
12.55%45.49M
12.55%45.49M
0.00%40.42M
0.00%40.42M
46.38%40.42M
46.38%40.42M
53.12%27.61M
53.12%27.61M
Retained earnings
-6.96%-56.67M
-6.96%-56.67M
-10.09%-52.98M
-10.09%-52.98M
-16.20%-48.12M
-16.20%-48.12M
-27.19%-41.42M
-27.19%-41.42M
-42.35%-32.56M
-42.35%-32.56M
Gains losses not affecting retained earnings
-2.66%7.75M
-2.66%7.75M
0.70%7.96M
0.70%7.96M
0.75%7.91M
0.75%7.91M
1.33%7.85M
1.33%7.85M
0.25%7.74M
0.25%7.74M
Total stockholders'equity
-831.46%-3.43M
-831.46%-3.43M
135.74%468.83K
135.74%468.83K
-97.10%198.88K
-97.10%198.88K
145.07%6.85M
145.07%6.85M
-3.09%2.79M
-3.09%2.79M
Total equity
-831.46%-3.43M
-831.46%-3.43M
135.74%468.83K
135.74%468.83K
-97.10%198.88K
-97.10%198.88K
145.07%6.85M
145.07%6.85M
-3.09%2.79M
-3.09%2.79M
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 -53.91%3M-53.91%3M13.11%6.52M13.11%6.52M-46.14%5.76M-46.14%5.76M167.76%10.7M167.76%10.7M8.19%4M8.19%4M
-Cash and cash equivalents -53.91%3M-53.91%3M13.11%6.52M13.11%6.52M-46.14%5.76M-46.14%5.76M167.76%10.7M167.76%10.7M8.19%4M8.19%4M
Receivables 62.38%584.42K62.38%584.42K12.10%359.92K12.10%359.92K-1.02%321.08K-1.02%321.08K70.96%324.38K70.96%324.38K70.20%189.74K70.20%189.74K
-Accounts receivable 62.38%584.42K62.38%584.42K12.10%359.92K12.10%359.92K-1.02%321.08K-1.02%321.08K70.96%324.38K70.96%324.38K70.20%189.74K70.20%189.74K
Prepaid assets -10.01%245.22K-10.01%245.22K26.95%272.5K26.95%272.5K-9.63%214.66K-9.63%214.66K-37.27%237.55K-37.27%237.55K-19.64%378.68K-19.64%378.68K
Total current assets -46.39%3.83M-46.39%3.83M13.53%7.15M13.53%7.15M-44.07%6.3M-44.07%6.3M146.73%11.26M146.73%11.26M6.07%4.56M6.07%4.56M
Non current assets
Net PPE -25.04%870.28K-25.04%870.28K-28.48%1.16M-28.48%1.16M-3.88%1.62M-3.88%1.62M143.96%1.69M143.96%1.69M220.00%692.23K220.00%692.23K
-Gross PPE -2.71%1.74M-2.71%1.74M-14.42%1.79M-14.42%1.79M-14.16%2.09M-14.16%2.09M104.53%2.44M104.53%2.44M212.08%1.19M212.08%1.19M
-Accumulated depreciation -38.33%-873.85K-38.33%-873.85K-33.95%-631.72K-33.95%-631.72K37.26%-471.62K37.26%-471.62K-50.04%-751.69K-50.04%-751.69K-201.76%-500.98K-201.76%-500.98K
Investments and advances 1.01%273.11K1.01%273.11K-4.01%270.37K-4.01%270.37K9.66%281.67K9.66%281.67K-0.93%256.86K-0.93%256.86K3.31%259.27K3.31%259.27K
-Other investment 1.01%273.11K1.01%273.11K-4.01%270.37K-4.01%270.37K9.66%281.67K9.66%281.67K-0.93%256.86K-0.93%256.86K3.31%259.27K3.31%259.27K
Goodwill and other intangible assets -38.83%4.78K-38.83%4.78K-78.07%7.82K-78.07%7.82K200.67%35.66K200.67%35.66K-72.97%11.86K-72.97%11.86K-37.89%43.87K-37.89%43.87K
-Other intangible assets -38.83%4.78K-38.83%4.78K-78.07%7.82K-78.07%7.82K200.67%35.66K200.67%35.66K-72.97%11.86K-72.97%11.86K-37.89%43.87K-37.89%43.87K
Other non current assets ---1---1--------------------------------
Total non current assets -20.22%1.15M-20.22%1.15M-25.84%1.44M-25.84%1.44M-0.86%1.94M-0.86%1.94M96.66%1.96M96.66%1.96M85.05%995.37K85.05%995.37K
Total assets -42.00%4.98M-42.00%4.98M4.26%8.59M4.26%8.59M-37.68%8.24M-37.68%8.24M137.76%13.22M137.76%13.22M14.84%5.56M14.84%5.56M
Liabilities
Current liabilities
Current debt and capital lease obligation -9.90%247.34K-9.90%247.34K-19.63%274.51K-19.63%274.51K-1.87%341.58K-1.87%341.58K-7.56%348.1K-7.56%348.1K--376.57K--376.57K
-Current capital lease obligation -9.90%247.34K-9.90%247.34K-19.63%274.51K-19.63%274.51K-1.87%341.58K-1.87%341.58K-7.56%348.1K-7.56%348.1K--376.57K--376.57K
Payables 20.41%1.61M20.41%1.61M-17.13%1.34M-17.13%1.34M23.67%1.61M23.67%1.61M23.33%1.31M23.33%1.31M-17.91%1.06M-17.91%1.06M
-accounts payable 28.56%1.03M28.56%1.03M-30.58%800.52K-30.58%800.52K40.42%1.15M40.42%1.15M-4.79%821.26K-4.79%821.26K-10.22%862.61K-10.22%862.61K
-Other payable 8.27%582.21K8.27%582.21K16.47%537.73K16.47%537.73K-4.71%461.69K-4.71%461.69K146.95%484.53K146.95%484.53K-40.36%196.2K-40.36%196.2K
Current provisions --117.82K--117.82K--------------------------------
Pension and other retirement benefit plans -4.25%643.14K-4.25%643.14K-1.97%671.7K-1.97%671.7K13.49%685.19K13.49%685.19K60.80%603.76K60.80%603.76K99.00%375.48K99.00%375.48K
Current deferred liabilities 3.60%5.02M3.60%5.02M16.12%4.85M16.12%4.85M51.24%4.17M51.24%4.17M322.28%2.76M322.28%2.76M127.90%653.5K127.90%653.5K
Current liabilities 7.15%7.64M7.15%7.64M4.63%7.13M4.63%7.13M35.84%6.82M35.84%6.82M103.59%5.02M103.59%5.02M35.91%2.46M35.91%2.46M
Non current liabilities
Long term debt and capital lease obligation -26.72%542.28K-26.72%542.28K-28.74%740.06K-28.74%740.06K-13.94%1.04M-13.94%1.04M416.27%1.21M416.27%1.21M140.44%233.73K140.44%233.73K
-Long term capital lease obligation -26.72%542.28K-26.72%542.28K-28.74%740.06K-28.74%740.06K-13.94%1.04M-13.94%1.04M416.27%1.21M416.27%1.21M140.44%233.73K140.44%233.73K
Long term provisions --20K--20K--------------------------------
Employee benefits -16.68%208.33K-16.68%208.33K34.19%250.04K34.19%250.04K25.73%186.33K25.73%186.33K118.69%148.2K118.69%148.2K41.69%67.76K41.69%67.76K
Total non current liabilities -22.17%770.61K-22.17%770.61K-19.16%990.09K-19.16%990.09K-9.60%1.22M-9.60%1.22M349.39%1.35M349.39%1.35M107.88%301.5K107.88%301.5K
Total liabilities 3.57%8.41M3.57%8.41M1.00%8.12M1.00%8.12M26.17%8.04M26.17%8.04M130.38%6.37M130.38%6.37M41.24%2.77M41.24%2.77M
Shareholders'equity
Share capital 0.00%45.49M0.00%45.49M12.55%45.49M12.55%45.49M0.00%40.42M0.00%40.42M46.38%40.42M46.38%40.42M53.12%27.61M53.12%27.61M
-common stock 0.00%45.49M0.00%45.49M12.55%45.49M12.55%45.49M0.00%40.42M0.00%40.42M46.38%40.42M46.38%40.42M53.12%27.61M53.12%27.61M
Retained earnings -6.96%-56.67M-6.96%-56.67M-10.09%-52.98M-10.09%-52.98M-16.20%-48.12M-16.20%-48.12M-27.19%-41.42M-27.19%-41.42M-42.35%-32.56M-42.35%-32.56M
Gains losses not affecting retained earnings -2.66%7.75M-2.66%7.75M0.70%7.96M0.70%7.96M0.75%7.91M0.75%7.91M1.33%7.85M1.33%7.85M0.25%7.74M0.25%7.74M
Total stockholders'equity -831.46%-3.43M-831.46%-3.43M135.74%468.83K135.74%468.83K-97.10%198.88K-97.10%198.88K145.07%6.85M145.07%6.85M-3.09%2.79M-3.09%2.79M
Total equity -831.46%-3.43M-831.46%-3.43M135.74%468.83K135.74%468.83K-97.10%198.88K-97.10%198.88K145.07%6.85M145.07%6.85M-3.09%2.79M-3.09%2.79M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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