AU Stock MarketDetailed Quotes

STX Strike Energy Ltd

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  • 0.210
  • 0.0000.00%
20min DelayNot Open Jul 17 16:00 AET
600.76MMarket Cap-26250P/E (Static)

Strike Energy 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
828.00%129.04M
828.00%129.04M
-81.39%13.91M
-81.39%13.91M
246.51%74.72M
246.51%74.72M
87.11%21.57M
87.11%21.57M
287.66%11.53M
287.66%11.53M
-Cash and cash equivalents
828.00%129.04M
828.00%129.04M
-81.39%13.91M
-81.39%13.91M
246.51%74.72M
246.51%74.72M
89.98%21.57M
89.98%21.57M
281.80%11.35M
281.80%11.35M
-Notes receivable
37.23%258K
37.23%258K
21.29%188K
21.29%188K
-3.73%155K
-3.73%155K
126.76%161K
126.76%161K
31.48%71K
31.48%71K
-Other receivables
8.07%5.37M
8.07%5.37M
-6.44%4.97M
-6.44%4.97M
2,935.43%5.31M
2,935.43%5.31M
-89.18%175K
-89.18%175K
-1.58%1.62M
-1.58%1.62M
Total current assets
683.12%130.91M
683.12%130.91M
-78.63%16.72M
-78.63%16.72M
250.47%78.21M
250.47%78.21M
69.31%22.32M
69.31%22.32M
251.37%13.18M
251.37%13.18M
Non current assets
-Accumulated depreciation
-460.00%-840K
-460.00%-840K
-108.33%-150K
-108.33%-150K
48.20%-72K
48.20%-72K
---139K
---139K
----
----
Investment properties
----
----
-0.83%10.26M
-0.83%10.26M
--10.35M
--10.35M
----
----
----
----
-Long term equity investment
-7.82%16.91M
-7.82%16.91M
203.32%18.34M
203.32%18.34M
1,529.92%6.05M
1,529.92%6.05M
-84.91%371K
-84.91%371K
0.66%2.46M
0.66%2.46M
-Goodwill
-20.45%1.3M
-20.45%1.3M
-18.60%1.63M
-18.60%1.63M
--2M
--2M
----
----
----
----
Regulatory assets
-52.10%1.02M
-52.10%1.02M
-18.78%2.12M
-18.78%2.12M
607.05%2.61M
607.05%2.61M
-76.75%369K
-76.75%369K
177.45%1.59M
177.45%1.59M
Liabilities
Current liabilities
Current debt and capital lease obligation
11,610.17%13.82M
11,610.17%13.82M
--118K
--118K
----
----
----
----
----
----
-Current debt
--13.56M
--13.56M
----
----
----
----
----
----
----
----
-Current capital lease obligation
118.64%258K
118.64%258K
--118K
--118K
----
----
----
----
----
----
-accounts payable
-85.54%492K
-85.54%492K
8.17%3.4M
8.17%3.4M
75.21%3.15M
75.21%3.15M
-45.12%1.8M
-45.12%1.8M
208.58%3.27M
208.58%3.27M
-Total tax payable
3.51%32.21M
3.51%32.21M
108.24%31.12M
108.24%31.12M
-27.51%14.94M
-27.51%14.94M
-6.18%20.61M
-6.18%20.61M
31.87%21.97M
31.87%21.97M
-Other payable
2,340.40%12.2M
2,340.40%12.2M
--500K
--500K
----
----
----
----
----
----
Current provisions
44.98%2.54M
44.98%2.54M
50.39%1.75M
50.39%1.75M
116.95%1.17M
116.95%1.17M
16.23%537K
16.23%537K
771.70%462K
771.70%462K
Current deferred liabilities
----
----
----
----
--1M
--1M
----
----
----
----
Current liabilities
112.19%22.82M
112.19%22.82M
-2.37%10.75M
-2.37%10.75M
280.62%11.02M
280.62%11.02M
-48.14%2.89M
-48.14%2.89M
-31.87%5.58M
-31.87%5.58M
Non current liabilities
-Long term debt
4,054.90%2.12M
4,054.90%2.12M
-81.65%51K
-81.65%51K
-25.07%278K
-25.07%278K
--371K
--371K
----
----
Non current accrued expenses
52.32%197.47M
52.32%197.47M
76.32%129.64M
76.32%129.64M
92.47%73.53M
92.47%73.53M
-66.54%38.2M
-66.54%38.2M
35.60%114.17M
35.60%114.17M
Long term provisions
-19.15%14.79M
-19.15%14.79M
217.06%18.29M
217.06%18.29M
--5.77M
--5.77M
----
----
0.66%2.46M
0.66%2.46M
Employee benefits
37.23%258K
37.23%258K
21.29%188K
21.29%188K
-3.73%155K
-3.73%155K
126.76%161K
126.76%161K
31.48%71K
31.48%71K
Trust preferred securities
----
----
-0.83%10.26M
-0.83%10.26M
--10.35M
--10.35M
----
----
----
----
Preferred securities outside stock equity
16.80%598K
16.80%598K
30.28%512K
30.28%512K
1.55%393K
1.55%393K
68.26%387K
68.26%387K
36.09%230K
36.09%230K
Total non current liabilities
31.42%55.03M
31.42%55.03M
61.31%41.87M
61.31%41.87M
10.42%25.96M
10.42%25.96M
-14.68%23.51M
-14.68%23.51M
10.86%27.55M
10.86%27.55M
Shareholders'equity
Share capital
49.63%450.89M
49.63%450.89M
1.13%301.34M
1.13%301.34M
40.56%297.96M
40.56%297.96M
18.15%211.98M
18.15%211.98M
27.34%179.42M
27.34%179.42M
-common stock
49.63%450.89M
49.63%450.89M
1.13%301.34M
1.13%301.34M
40.56%297.96M
40.56%297.96M
18.15%211.98M
18.15%211.98M
27.34%179.42M
27.34%179.42M
Gains losses not affecting retained earnings
781.00%33.8M
781.00%33.8M
-69.87%3.84M
-69.87%3.84M
190.77%12.73M
190.77%12.73M
88.83%4.38M
88.83%4.38M
54.29%2.32M
54.29%2.32M
Other equity interest
65.94%380K
65.94%380K
-67.24%229K
-67.24%229K
219.18%699K
219.18%699K
--219K
--219K
----
----
Total equity
115.36%341.87M
115.36%341.87M
-3.25%158.75M
-3.25%158.75M
171.14%164.08M
171.14%164.08M
-52.48%60.52M
-52.48%60.52M
44.75%127.35M
44.75%127.35M
(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 828.00%129.04M828.00%129.04M-81.39%13.91M-81.39%13.91M246.51%74.72M246.51%74.72M87.11%21.57M87.11%21.57M287.66%11.53M287.66%11.53M
-Cash and cash equivalents 828.00%129.04M828.00%129.04M-81.39%13.91M-81.39%13.91M246.51%74.72M246.51%74.72M89.98%21.57M89.98%21.57M281.80%11.35M281.80%11.35M
-Notes receivable 37.23%258K37.23%258K21.29%188K21.29%188K-3.73%155K-3.73%155K126.76%161K126.76%161K31.48%71K31.48%71K
-Other receivables 8.07%5.37M8.07%5.37M-6.44%4.97M-6.44%4.97M2,935.43%5.31M2,935.43%5.31M-89.18%175K-89.18%175K-1.58%1.62M-1.58%1.62M
Total current assets 683.12%130.91M683.12%130.91M-78.63%16.72M-78.63%16.72M250.47%78.21M250.47%78.21M69.31%22.32M69.31%22.32M251.37%13.18M251.37%13.18M
Non current assets
-Accumulated depreciation -460.00%-840K-460.00%-840K-108.33%-150K-108.33%-150K48.20%-72K48.20%-72K---139K---139K--------
Investment properties ---------0.83%10.26M-0.83%10.26M--10.35M--10.35M----------------
-Long term equity investment -7.82%16.91M-7.82%16.91M203.32%18.34M203.32%18.34M1,529.92%6.05M1,529.92%6.05M-84.91%371K-84.91%371K0.66%2.46M0.66%2.46M
-Goodwill -20.45%1.3M-20.45%1.3M-18.60%1.63M-18.60%1.63M--2M--2M----------------
Regulatory assets -52.10%1.02M-52.10%1.02M-18.78%2.12M-18.78%2.12M607.05%2.61M607.05%2.61M-76.75%369K-76.75%369K177.45%1.59M177.45%1.59M
Liabilities
Current liabilities
Current debt and capital lease obligation 11,610.17%13.82M11,610.17%13.82M--118K--118K------------------------
-Current debt --13.56M--13.56M--------------------------------
-Current capital lease obligation 118.64%258K118.64%258K--118K--118K------------------------
-accounts payable -85.54%492K-85.54%492K8.17%3.4M8.17%3.4M75.21%3.15M75.21%3.15M-45.12%1.8M-45.12%1.8M208.58%3.27M208.58%3.27M
-Total tax payable 3.51%32.21M3.51%32.21M108.24%31.12M108.24%31.12M-27.51%14.94M-27.51%14.94M-6.18%20.61M-6.18%20.61M31.87%21.97M31.87%21.97M
-Other payable 2,340.40%12.2M2,340.40%12.2M--500K--500K------------------------
Current provisions 44.98%2.54M44.98%2.54M50.39%1.75M50.39%1.75M116.95%1.17M116.95%1.17M16.23%537K16.23%537K771.70%462K771.70%462K
Current deferred liabilities ------------------1M--1M----------------
Current liabilities 112.19%22.82M112.19%22.82M-2.37%10.75M-2.37%10.75M280.62%11.02M280.62%11.02M-48.14%2.89M-48.14%2.89M-31.87%5.58M-31.87%5.58M
Non current liabilities
-Long term debt 4,054.90%2.12M4,054.90%2.12M-81.65%51K-81.65%51K-25.07%278K-25.07%278K--371K--371K--------
Non current accrued expenses 52.32%197.47M52.32%197.47M76.32%129.64M76.32%129.64M92.47%73.53M92.47%73.53M-66.54%38.2M-66.54%38.2M35.60%114.17M35.60%114.17M
Long term provisions -19.15%14.79M-19.15%14.79M217.06%18.29M217.06%18.29M--5.77M--5.77M--------0.66%2.46M0.66%2.46M
Employee benefits 37.23%258K37.23%258K21.29%188K21.29%188K-3.73%155K-3.73%155K126.76%161K126.76%161K31.48%71K31.48%71K
Trust preferred securities ---------0.83%10.26M-0.83%10.26M--10.35M--10.35M----------------
Preferred securities outside stock equity 16.80%598K16.80%598K30.28%512K30.28%512K1.55%393K1.55%393K68.26%387K68.26%387K36.09%230K36.09%230K
Total non current liabilities 31.42%55.03M31.42%55.03M61.31%41.87M61.31%41.87M10.42%25.96M10.42%25.96M-14.68%23.51M-14.68%23.51M10.86%27.55M10.86%27.55M
Shareholders'equity
Share capital 49.63%450.89M49.63%450.89M1.13%301.34M1.13%301.34M40.56%297.96M40.56%297.96M18.15%211.98M18.15%211.98M27.34%179.42M27.34%179.42M
-common stock 49.63%450.89M49.63%450.89M1.13%301.34M1.13%301.34M40.56%297.96M40.56%297.96M18.15%211.98M18.15%211.98M27.34%179.42M27.34%179.42M
Gains losses not affecting retained earnings 781.00%33.8M781.00%33.8M-69.87%3.84M-69.87%3.84M190.77%12.73M190.77%12.73M88.83%4.38M88.83%4.38M54.29%2.32M54.29%2.32M
Other equity interest 65.94%380K65.94%380K-67.24%229K-67.24%229K219.18%699K219.18%699K--219K--219K--------
Total equity 115.36%341.87M115.36%341.87M-3.25%158.75M-3.25%158.75M171.14%164.08M171.14%164.08M-52.48%60.52M-52.48%60.52M44.75%127.35M44.75%127.35M

Analysis

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