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SGM Sims Ltd

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  • 13.520
  • -0.140-1.02%
20min DelayTrading Nov 8 15:04 AET
2.61BMarket Cap-45217P/E (Static)

Sims 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
-14.88%280.8M
-14.88%280.8M
22.91%329.9M
22.91%329.9M
-2.36%268.4M
-2.36%268.4M
14.49%274.9M
14.49%274.9M
-39.52%240.1M
-39.52%240.1M
-Cash and cash equivalents
-69.84%93.1M
-69.84%93.1M
22.11%308.7M
22.11%308.7M
5.20%252.8M
5.20%252.8M
5.72%240.3M
5.72%240.3M
-40.64%227.3M
-40.64%227.3M
-Short term investments
785.38%187.7M
785.38%187.7M
35.90%21.2M
35.90%21.2M
-54.91%15.6M
-54.91%15.6M
170.31%34.6M
170.31%34.6M
-9.22%12.8M
-9.22%12.8M
Receivables
-8.39%617.3M
-8.39%617.3M
2.59%673.8M
2.59%673.8M
14.46%656.8M
14.46%656.8M
45.75%573.8M
45.75%573.8M
1.68%393.7M
1.68%393.7M
-Accounts receivable
-5.18%455.9M
-5.18%455.9M
-3.96%480.8M
-3.96%480.8M
6.67%500.6M
6.67%500.6M
74.14%469.3M
74.14%469.3M
-3.54%269.5M
-3.54%269.5M
-Other receivables
-15.49%164.8M
-15.49%164.8M
22.80%195M
22.80%195M
48.97%158.8M
48.97%158.8M
-15.06%106.6M
-15.06%106.6M
15.35%125.5M
15.35%125.5M
-Recievables adjustments allowances
-70.00%-3.4M
-70.00%-3.4M
23.08%-2M
23.08%-2M
-23.81%-2.6M
-23.81%-2.6M
-61.54%-2.1M
-61.54%-2.1M
13.33%-1.3M
13.33%-1.3M
Inventory
-14.68%603.7M
-14.68%603.7M
-7.36%707.6M
-7.36%707.6M
19.44%763.8M
19.44%763.8M
91.30%639.5M
91.30%639.5M
-24.50%334.3M
-24.50%334.3M
Prepaid assets
-19.10%34.3M
-19.10%34.3M
4.43%42.4M
4.43%42.4M
24.92%40.6M
24.92%40.6M
--32.5M
--32.5M
----
----
Hedging assets-current
----
----
-56.87%18.2M
-56.87%18.2M
243.09%42.2M
243.09%42.2M
272.73%12.3M
272.73%12.3M
13.79%3.3M
13.79%3.3M
Holding assets for sale
208.50%584.6M
208.50%584.6M
94,650.00%189.5M
94,650.00%189.5M
-33.33%200K
-33.33%200K
-25.00%300K
-25.00%300K
300.00%400K
300.00%400K
Other current assets
----
----
----
----
----
----
----
----
--3M
--3M
Total current assets
8.12%2.12B
8.12%2.12B
10.69%1.96B
10.69%1.96B
15.57%1.77B
15.57%1.77B
57.29%1.53B
57.29%1.53B
-20.75%974.8M
-20.75%974.8M
Non current assets
Net PPE
-6.76%1.63B
-6.76%1.63B
8.30%1.75B
8.30%1.75B
15.25%1.61B
15.25%1.61B
-6.91%1.4B
-6.91%1.4B
18.70%1.5B
18.70%1.5B
-Gross PPE
-8.65%3.03B
-8.65%3.03B
10.96%3.32B
10.96%3.32B
9.33%2.99B
9.33%2.99B
-1.48%2.73B
-1.48%2.73B
11.46%2.78B
11.46%2.78B
-Accumulated depreciation
10.76%-1.4B
10.76%-1.4B
-14.08%-1.57B
-14.08%-1.57B
-3.13%-1.38B
-3.13%-1.38B
-4.95%-1.33B
-4.95%-1.33B
-3.96%-1.27B
-3.96%-1.27B
Investments and advances
-3.02%613.4M
-3.02%613.4M
-8.78%632.5M
-8.78%632.5M
53.37%693.4M
53.37%693.4M
40.06%452.1M
40.06%452.1M
3.23%322.8M
3.23%322.8M
-Long term equity investment
-2.48%584.9M
-2.48%584.9M
-9.02%599.8M
-9.02%599.8M
58.07%659.3M
58.07%659.3M
29.21%417.1M
29.21%417.1M
3.23%322.8M
3.23%322.8M
-Other investment
-12.84%28.5M
-12.84%28.5M
-4.11%32.7M
-4.11%32.7M
-2.57%34.1M
-2.57%34.1M
--35M
--35M
----
----
Non current accounts receivable
-16.59%57.3M
-16.59%57.3M
15.27%68.7M
15.27%68.7M
-3.87%59.6M
-3.87%59.6M
-46.13%62M
-46.13%62M
535.91%115.1M
535.91%115.1M
Goodwill and other intangible assets
103.58%301.3M
103.58%301.3M
11.11%148M
11.11%148M
43.23%133.2M
43.23%133.2M
55.00%93M
55.00%93M
-69.04%60M
-69.04%60M
-Goodwill
77.72%197.8M
77.72%197.8M
8.59%111.3M
8.59%111.3M
28.29%102.5M
28.29%102.5M
34.74%79.9M
34.74%79.9M
-59.71%59.3M
-59.71%59.3M
-Other intangible assets
182.02%103.5M
182.02%103.5M
19.54%36.7M
19.54%36.7M
134.35%30.7M
134.35%30.7M
1,771.43%13.1M
1,771.43%13.1M
-98.50%700K
-98.50%700K
Defined pension benefit
-70.59%500K
-70.59%500K
-74.24%1.7M
-74.24%1.7M
-15.38%6.6M
-15.38%6.6M
6.85%7.8M
6.85%7.8M
170.37%7.3M
170.37%7.3M
Non current deferred assets
24.85%181.9M
24.85%181.9M
-9.50%145.7M
-9.50%145.7M
-19.26%161M
-19.26%161M
-10.14%199.4M
-10.14%199.4M
37.91%221.9M
37.91%221.9M
Total non current assets
1.45%2.78B
1.45%2.78B
2.88%2.74B
2.88%2.74B
20.46%2.67B
20.46%2.67B
-0.75%2.21B
-0.75%2.21B
14.11%2.23B
14.11%2.23B
Total assets
4.23%4.9B
4.23%4.9B
6.00%4.71B
6.00%4.71B
18.46%4.44B
18.46%4.44B
16.90%3.75B
16.90%3.75B
0.65%3.21B
0.65%3.21B
Liabilities
Current liabilities
Current debt and capital lease obligation
190.38%238.4M
190.38%238.4M
9.91%82.1M
9.91%82.1M
9.05%74.7M
9.05%74.7M
-2.84%68.5M
-2.84%68.5M
35,150.00%70.5M
35,150.00%70.5M
-Current debt
--164.9M
--164.9M
----
----
----
----
----
----
----
----
-Current capital lease obligation
-10.48%73.5M
-10.48%73.5M
9.91%82.1M
9.91%82.1M
9.05%74.7M
9.05%74.7M
-2.84%68.5M
-2.84%68.5M
35,150.00%70.5M
35,150.00%70.5M
Payables
-11.67%740.3M
-11.67%740.3M
16.05%838.1M
16.05%838.1M
15.00%722.2M
15.00%722.2M
70.05%628M
70.05%628M
-31.10%369.3M
-31.10%369.3M
-accounts payable
-22.77%363.9M
-22.77%363.9M
3.79%471.2M
3.79%471.2M
15.70%454M
15.70%454M
75.26%392.4M
75.26%392.4M
-31.74%223.9M
-31.74%223.9M
-Other payable
2.59%376.4M
2.59%376.4M
36.80%366.9M
36.80%366.9M
13.84%268.2M
13.84%268.2M
62.04%235.6M
62.04%235.6M
-30.10%145.4M
-30.10%145.4M
Current provisions
-35.65%57.4M
-35.65%57.4M
-55.22%89.2M
-55.22%89.2M
44.35%199.2M
44.35%199.2M
51.32%138M
51.32%138M
-11.46%91.2M
-11.46%91.2M
Pension and other retirement benefit plans
33.86%68M
33.86%68M
--50.8M
--50.8M
----
----
----
----
----
----
Current deferred liabilities
166.67%88.8M
166.67%88.8M
14.04%33.3M
14.04%33.3M
80.25%29.2M
80.25%29.2M
252.17%16.2M
252.17%16.2M
-76.41%4.6M
-76.41%4.6M
Other current liabilities
--236.4M
--236.4M
----
----
----
----
----
----
----
----
Current liabilities
30.71%1.43B
30.71%1.43B
6.65%1.09B
6.65%1.09B
20.52%1.03B
20.52%1.03B
58.83%850.7M
58.83%850.7M
-18.69%535.6M
-18.69%535.6M
Non current liabilities
Long term debt and capital lease obligation
-1.63%710.9M
-1.63%710.9M
15.26%722.7M
15.26%722.7M
28.33%627M
28.33%627M
19.20%488.6M
19.20%488.6M
1,064.49%409.9M
1,064.49%409.9M
-Long term debt
13.69%505M
13.69%505M
24.95%444.2M
24.95%444.2M
53.23%355.5M
53.23%355.5M
98.46%232M
98.46%232M
232.10%116.9M
232.10%116.9M
-Long term capital lease obligation
-26.07%205.9M
-26.07%205.9M
2.58%278.5M
2.58%278.5M
5.81%271.5M
5.81%271.5M
-12.42%256.6M
-12.42%256.6M
--293M
--293M
Long term accounts payable and other payables
-63.08%7.9M
-63.08%7.9M
34.59%21.4M
34.59%21.4M
-14.52%15.9M
-14.52%15.9M
41.98%18.6M
41.98%18.6M
-5.07%13.1M
-5.07%13.1M
Derivative product liabilities
----
----
----
----
----
----
----
----
--1.8M
--1.8M
Long term provisions
-92.26%2.6M
-92.26%2.6M
-62.16%33.6M
-62.16%33.6M
4.35%88.8M
4.35%88.8M
43.27%85.1M
43.27%85.1M
-2.46%59.4M
-2.46%59.4M
Employee benefits
10.55%24.1M
10.55%24.1M
1,262.50%21.8M
1,262.50%21.8M
-33.33%1.6M
-33.33%1.6M
-46.67%2.4M
-46.67%2.4M
55.17%4.5M
55.17%4.5M
Non current deferred liabilities
7.18%167.2M
7.18%167.2M
8.79%156M
8.79%156M
-21.77%143.4M
-21.77%143.4M
-8.12%183.3M
-8.12%183.3M
73.18%199.5M
73.18%199.5M
Total non current liabilities
-4.48%912.7M
-4.48%912.7M
8.99%955.5M
8.99%955.5M
12.69%876.7M
12.69%876.7M
13.05%778M
13.05%778M
201.84%688.2M
201.84%688.2M
Total liabilities
14.30%2.34B
14.30%2.34B
7.73%2.05B
7.73%2.05B
16.78%1.9B
16.78%1.9B
33.09%1.63B
33.09%1.63B
38.02%1.22B
38.02%1.22B
Shareholders'equity
Share capital
0.69%2.59B
0.69%2.59B
-0.29%2.58B
-0.29%2.58B
-5.30%2.58B
-5.30%2.58B
-0.24%2.73B
-0.24%2.73B
-0.57%2.73B
-0.57%2.73B
-common stock
0.69%2.59B
0.69%2.59B
-0.29%2.58B
-0.29%2.58B
-5.30%2.58B
-5.30%2.58B
-0.24%2.73B
-0.24%2.73B
-0.57%2.73B
-0.57%2.73B
Retained earnings
-37.13%-478.6M
-37.13%-478.6M
6.03%-349M
6.03%-349M
54.80%-371.4M
54.80%-371.4M
19.37%-821.6M
19.37%-821.6M
-48.15%-1.02B
-48.15%-1.02B
Gains losses not affecting retained earnings
4.16%448M
4.16%448M
32.05%430.1M
32.05%430.1M
52.98%325.7M
52.98%325.7M
-20.23%212.9M
-20.23%212.9M
12.95%266.9M
12.95%266.9M
Total stockholders'equity
-3.54%2.56B
-3.54%2.56B
4.70%2.66B
4.70%2.66B
19.74%2.54B
19.74%2.54B
6.90%2.12B
6.90%2.12B
-13.76%1.98B
-13.76%1.98B
Total equity
-3.54%2.56B
-3.54%2.56B
4.70%2.66B
4.70%2.66B
19.74%2.54B
19.74%2.54B
6.90%2.12B
6.90%2.12B
-13.76%1.98B
-13.76%1.98B
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 -14.88%280.8M-14.88%280.8M22.91%329.9M22.91%329.9M-2.36%268.4M-2.36%268.4M14.49%274.9M14.49%274.9M-39.52%240.1M-39.52%240.1M
-Cash and cash equivalents -69.84%93.1M-69.84%93.1M22.11%308.7M22.11%308.7M5.20%252.8M5.20%252.8M5.72%240.3M5.72%240.3M-40.64%227.3M-40.64%227.3M
-Short term investments 785.38%187.7M785.38%187.7M35.90%21.2M35.90%21.2M-54.91%15.6M-54.91%15.6M170.31%34.6M170.31%34.6M-9.22%12.8M-9.22%12.8M
Receivables -8.39%617.3M-8.39%617.3M2.59%673.8M2.59%673.8M14.46%656.8M14.46%656.8M45.75%573.8M45.75%573.8M1.68%393.7M1.68%393.7M
-Accounts receivable -5.18%455.9M-5.18%455.9M-3.96%480.8M-3.96%480.8M6.67%500.6M6.67%500.6M74.14%469.3M74.14%469.3M-3.54%269.5M-3.54%269.5M
-Other receivables -15.49%164.8M-15.49%164.8M22.80%195M22.80%195M48.97%158.8M48.97%158.8M-15.06%106.6M-15.06%106.6M15.35%125.5M15.35%125.5M
-Recievables adjustments allowances -70.00%-3.4M-70.00%-3.4M23.08%-2M23.08%-2M-23.81%-2.6M-23.81%-2.6M-61.54%-2.1M-61.54%-2.1M13.33%-1.3M13.33%-1.3M
Inventory -14.68%603.7M-14.68%603.7M-7.36%707.6M-7.36%707.6M19.44%763.8M19.44%763.8M91.30%639.5M91.30%639.5M-24.50%334.3M-24.50%334.3M
Prepaid assets -19.10%34.3M-19.10%34.3M4.43%42.4M4.43%42.4M24.92%40.6M24.92%40.6M--32.5M--32.5M--------
Hedging assets-current ---------56.87%18.2M-56.87%18.2M243.09%42.2M243.09%42.2M272.73%12.3M272.73%12.3M13.79%3.3M13.79%3.3M
Holding assets for sale 208.50%584.6M208.50%584.6M94,650.00%189.5M94,650.00%189.5M-33.33%200K-33.33%200K-25.00%300K-25.00%300K300.00%400K300.00%400K
Other current assets ----------------------------------3M--3M
Total current assets 8.12%2.12B8.12%2.12B10.69%1.96B10.69%1.96B15.57%1.77B15.57%1.77B57.29%1.53B57.29%1.53B-20.75%974.8M-20.75%974.8M
Non current assets
Net PPE -6.76%1.63B-6.76%1.63B8.30%1.75B8.30%1.75B15.25%1.61B15.25%1.61B-6.91%1.4B-6.91%1.4B18.70%1.5B18.70%1.5B
-Gross PPE -8.65%3.03B-8.65%3.03B10.96%3.32B10.96%3.32B9.33%2.99B9.33%2.99B-1.48%2.73B-1.48%2.73B11.46%2.78B11.46%2.78B
-Accumulated depreciation 10.76%-1.4B10.76%-1.4B-14.08%-1.57B-14.08%-1.57B-3.13%-1.38B-3.13%-1.38B-4.95%-1.33B-4.95%-1.33B-3.96%-1.27B-3.96%-1.27B
Investments and advances -3.02%613.4M-3.02%613.4M-8.78%632.5M-8.78%632.5M53.37%693.4M53.37%693.4M40.06%452.1M40.06%452.1M3.23%322.8M3.23%322.8M
-Long term equity investment -2.48%584.9M-2.48%584.9M-9.02%599.8M-9.02%599.8M58.07%659.3M58.07%659.3M29.21%417.1M29.21%417.1M3.23%322.8M3.23%322.8M
-Other investment -12.84%28.5M-12.84%28.5M-4.11%32.7M-4.11%32.7M-2.57%34.1M-2.57%34.1M--35M--35M--------
Non current accounts receivable -16.59%57.3M-16.59%57.3M15.27%68.7M15.27%68.7M-3.87%59.6M-3.87%59.6M-46.13%62M-46.13%62M535.91%115.1M535.91%115.1M
Goodwill and other intangible assets 103.58%301.3M103.58%301.3M11.11%148M11.11%148M43.23%133.2M43.23%133.2M55.00%93M55.00%93M-69.04%60M-69.04%60M
-Goodwill 77.72%197.8M77.72%197.8M8.59%111.3M8.59%111.3M28.29%102.5M28.29%102.5M34.74%79.9M34.74%79.9M-59.71%59.3M-59.71%59.3M
-Other intangible assets 182.02%103.5M182.02%103.5M19.54%36.7M19.54%36.7M134.35%30.7M134.35%30.7M1,771.43%13.1M1,771.43%13.1M-98.50%700K-98.50%700K
Defined pension benefit -70.59%500K-70.59%500K-74.24%1.7M-74.24%1.7M-15.38%6.6M-15.38%6.6M6.85%7.8M6.85%7.8M170.37%7.3M170.37%7.3M
Non current deferred assets 24.85%181.9M24.85%181.9M-9.50%145.7M-9.50%145.7M-19.26%161M-19.26%161M-10.14%199.4M-10.14%199.4M37.91%221.9M37.91%221.9M
Total non current assets 1.45%2.78B1.45%2.78B2.88%2.74B2.88%2.74B20.46%2.67B20.46%2.67B-0.75%2.21B-0.75%2.21B14.11%2.23B14.11%2.23B
Total assets 4.23%4.9B4.23%4.9B6.00%4.71B6.00%4.71B18.46%4.44B18.46%4.44B16.90%3.75B16.90%3.75B0.65%3.21B0.65%3.21B
Liabilities
Current liabilities
Current debt and capital lease obligation 190.38%238.4M190.38%238.4M9.91%82.1M9.91%82.1M9.05%74.7M9.05%74.7M-2.84%68.5M-2.84%68.5M35,150.00%70.5M35,150.00%70.5M
-Current debt --164.9M--164.9M--------------------------------
-Current capital lease obligation -10.48%73.5M-10.48%73.5M9.91%82.1M9.91%82.1M9.05%74.7M9.05%74.7M-2.84%68.5M-2.84%68.5M35,150.00%70.5M35,150.00%70.5M
Payables -11.67%740.3M-11.67%740.3M16.05%838.1M16.05%838.1M15.00%722.2M15.00%722.2M70.05%628M70.05%628M-31.10%369.3M-31.10%369.3M
-accounts payable -22.77%363.9M-22.77%363.9M3.79%471.2M3.79%471.2M15.70%454M15.70%454M75.26%392.4M75.26%392.4M-31.74%223.9M-31.74%223.9M
-Other payable 2.59%376.4M2.59%376.4M36.80%366.9M36.80%366.9M13.84%268.2M13.84%268.2M62.04%235.6M62.04%235.6M-30.10%145.4M-30.10%145.4M
Current provisions -35.65%57.4M-35.65%57.4M-55.22%89.2M-55.22%89.2M44.35%199.2M44.35%199.2M51.32%138M51.32%138M-11.46%91.2M-11.46%91.2M
Pension and other retirement benefit plans 33.86%68M33.86%68M--50.8M--50.8M------------------------
Current deferred liabilities 166.67%88.8M166.67%88.8M14.04%33.3M14.04%33.3M80.25%29.2M80.25%29.2M252.17%16.2M252.17%16.2M-76.41%4.6M-76.41%4.6M
Other current liabilities --236.4M--236.4M--------------------------------
Current liabilities 30.71%1.43B30.71%1.43B6.65%1.09B6.65%1.09B20.52%1.03B20.52%1.03B58.83%850.7M58.83%850.7M-18.69%535.6M-18.69%535.6M
Non current liabilities
Long term debt and capital lease obligation -1.63%710.9M-1.63%710.9M15.26%722.7M15.26%722.7M28.33%627M28.33%627M19.20%488.6M19.20%488.6M1,064.49%409.9M1,064.49%409.9M
-Long term debt 13.69%505M13.69%505M24.95%444.2M24.95%444.2M53.23%355.5M53.23%355.5M98.46%232M98.46%232M232.10%116.9M232.10%116.9M
-Long term capital lease obligation -26.07%205.9M-26.07%205.9M2.58%278.5M2.58%278.5M5.81%271.5M5.81%271.5M-12.42%256.6M-12.42%256.6M--293M--293M
Long term accounts payable and other payables -63.08%7.9M-63.08%7.9M34.59%21.4M34.59%21.4M-14.52%15.9M-14.52%15.9M41.98%18.6M41.98%18.6M-5.07%13.1M-5.07%13.1M
Derivative product liabilities ----------------------------------1.8M--1.8M
Long term provisions -92.26%2.6M-92.26%2.6M-62.16%33.6M-62.16%33.6M4.35%88.8M4.35%88.8M43.27%85.1M43.27%85.1M-2.46%59.4M-2.46%59.4M
Employee benefits 10.55%24.1M10.55%24.1M1,262.50%21.8M1,262.50%21.8M-33.33%1.6M-33.33%1.6M-46.67%2.4M-46.67%2.4M55.17%4.5M55.17%4.5M
Non current deferred liabilities 7.18%167.2M7.18%167.2M8.79%156M8.79%156M-21.77%143.4M-21.77%143.4M-8.12%183.3M-8.12%183.3M73.18%199.5M73.18%199.5M
Total non current liabilities -4.48%912.7M-4.48%912.7M8.99%955.5M8.99%955.5M12.69%876.7M12.69%876.7M13.05%778M13.05%778M201.84%688.2M201.84%688.2M
Total liabilities 14.30%2.34B14.30%2.34B7.73%2.05B7.73%2.05B16.78%1.9B16.78%1.9B33.09%1.63B33.09%1.63B38.02%1.22B38.02%1.22B
Shareholders'equity
Share capital 0.69%2.59B0.69%2.59B-0.29%2.58B-0.29%2.58B-5.30%2.58B-5.30%2.58B-0.24%2.73B-0.24%2.73B-0.57%2.73B-0.57%2.73B
-common stock 0.69%2.59B0.69%2.59B-0.29%2.58B-0.29%2.58B-5.30%2.58B-5.30%2.58B-0.24%2.73B-0.24%2.73B-0.57%2.73B-0.57%2.73B
Retained earnings -37.13%-478.6M-37.13%-478.6M6.03%-349M6.03%-349M54.80%-371.4M54.80%-371.4M19.37%-821.6M19.37%-821.6M-48.15%-1.02B-48.15%-1.02B
Gains losses not affecting retained earnings 4.16%448M4.16%448M32.05%430.1M32.05%430.1M52.98%325.7M52.98%325.7M-20.23%212.9M-20.23%212.9M12.95%266.9M12.95%266.9M
Total stockholders'equity -3.54%2.56B-3.54%2.56B4.70%2.66B4.70%2.66B19.74%2.54B19.74%2.54B6.90%2.12B6.90%2.12B-13.76%1.98B-13.76%1.98B
Total equity -3.54%2.56B-3.54%2.56B4.70%2.66B4.70%2.66B19.74%2.54B19.74%2.54B6.90%2.12B6.90%2.12B-13.76%1.98B-13.76%1.98B
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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