AU Stock MarketDetailed Quotes

TAT Tartana Minerals Ltd

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  • 0.028
  • 0.0000.00%
20min DelayMarket Closed Aug 15 11:57 AET
5.11MMarket Cap-2800P/E (Static)

Tartana Minerals 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
-89.09%125.8K
-89.09%125.8K
2,251.00%1.15M
2,251.00%1.15M
-62.79%49.05K
-62.79%49.05K
-70.59%131.83K
-70.59%131.83K
--448.29K
--448.29K
-Cash and cash equivalents
-89.09%125.8K
-89.09%125.8K
2,251.00%1.15M
2,251.00%1.15M
-62.79%49.05K
-62.79%49.05K
-70.59%131.83K
-70.59%131.83K
--448.29K
--448.29K
-Accounts receivable
17.31%200.46K
17.31%200.46K
4,689.46%170.89K
4,689.46%170.89K
-97.31%3.57K
-97.31%3.57K
-5.41%132.61K
-5.41%132.61K
--140.21K
--140.21K
-Notes receivable
52.03%8.01K
52.03%8.01K
--5.27K
--5.27K
----
----
----
----
----
----
-Other receivables
601.67%1.03M
601.67%1.03M
158.81%146.13K
158.81%146.13K
-65.02%56.46K
-65.02%56.46K
-5.83%161.42K
-5.83%161.42K
--171.42K
--171.42K
Total current assets
-8.06%1.67M
-8.06%1.67M
1,137.42%1.81M
1,137.42%1.81M
-27.98%146.53K
-27.98%146.53K
-62.86%203.45K
-62.86%203.45K
--547.82K
--547.82K
Non current assets
-Accumulated depreciation
0.00%-54.13K
0.00%-54.13K
---54.13K
---54.13K
----
----
-894.47%-58.06K
-894.47%-58.06K
---5.84K
---5.84K
Investment properties
----
----
----
----
336.36%32.16K
336.36%32.16K
95.08%7.37K
95.08%7.37K
--3.78K
--3.78K
-Long term equity investment
----
----
-90.21%46.76K
-90.21%46.76K
1,262.24%477.37K
1,262.24%477.37K
--35.04K
--35.04K
----
----
-Goodwill
----
----
----
----
----
----
----
----
--6.3K
--6.3K
Regulatory assets
203.70%1.25M
203.70%1.25M
20,694.08%411.31K
20,694.08%411.31K
-97.24%1.98K
-97.24%1.98K
-24.70%71.62K
-24.70%71.62K
--95.11K
--95.11K
Liabilities
Current liabilities
Current debt and capital lease obligation
213.39%2.09M
213.39%2.09M
264.60%668.36K
264.60%668.36K
106.83%183.31K
106.83%183.31K
-70.46%88.63K
-70.46%88.63K
--299.98K
--299.98K
-Current debt
235.47%2.05M
235.47%2.05M
233.00%610.42K
233.00%610.42K
2,133.32%183.31K
2,133.32%183.31K
-97.26%8.21K
-97.26%8.21K
--299.98K
--299.98K
-Current capital lease obligation
-19.29%46.76K
-19.29%46.76K
--57.93K
--57.93K
----
----
--80.42K
--80.42K
----
----
-accounts payable
70.95%1.39M
70.95%1.39M
129.93%812.66K
129.93%812.66K
1,026.13%353.44K
1,026.13%353.44K
-41.53%31.39K
-41.53%31.39K
--53.68K
--53.68K
-Total tax payable
14.05%2.77M
14.05%2.77M
408.86%2.43M
408.86%2.43M
1,262.24%477.37K
1,262.24%477.37K
--35.04K
--35.04K
--0
--0
Current provisions
0.00%200K
0.00%200K
--200K
--200K
----
----
----
----
----
----
Current liabilities
152.68%4.72M
152.68%4.72M
215.05%1.87M
215.05%1.87M
85.03%593.21K
85.03%593.21K
-39.93%320.61K
-39.93%320.61K
--533.74K
--533.74K
Non current liabilities
-Long term debt
----
----
--46.76K
--46.76K
----
----
--35.04K
--35.04K
----
----
Non current accrued expenses
25.15%10.63M
25.15%10.63M
--8.5M
--8.5M
----
----
3,493.98%117.7K
3,493.98%117.7K
--3.28K
--3.28K
Long term provisions
----
----
----
----
--477.37K
--477.37K
----
----
----
----
Employee benefits
52.03%8.01K
52.03%8.01K
--5.27K
--5.27K
----
----
----
----
----
----
Regulatory liabilities
----
----
----
----
97.39%-1.59K
97.39%-1.59K
-35.26%-60.99K
-35.26%-60.99K
---45.09K
---45.09K
Trust preferred securities
----
----
----
----
336.36%32.16K
336.36%32.16K
95.08%7.37K
95.08%7.37K
--3.78K
--3.78K
Preferred securities outside stock equity
-95.59%1.45K
-95.59%1.45K
--32.88K
--32.88K
----
----
----
----
--8.66K
--8.66K
Total non current liabilities
74.33%7.49M
74.33%7.49M
301.47%4.3M
301.47%4.3M
201.02%1.07M
201.02%1.07M
-33.37%355.65K
-33.37%355.65K
--533.74K
--533.74K
Shareholders'equity
Share capital
6.35%20.84M
6.35%20.84M
-68.42%19.59M
-68.42%19.59M
-0.05%62.03M
-0.05%62.03M
0.47%62.06M
0.47%62.06M
--61.77M
--61.77M
-common stock
6.35%20.84M
6.35%20.84M
-68.42%19.59M
-68.42%19.59M
-0.05%62.03M
-0.05%62.03M
0.47%62.06M
0.47%62.06M
--61.77M
--61.77M
Gains losses not affecting retained earnings
5.05%158.56K
5.05%158.56K
4,424.37%150.93K
4,424.37%150.93K
1,212.00%3.34K
1,212.00%3.34K
---300
---300
----
----
Other equity interest
--2.75K
--2.75K
----
----
----
----
----
----
----
----
Total equity
26.72%14.3M
26.72%14.3M
6,213.67%11.28M
6,213.67%11.28M
-48.69%178.69K
-48.69%178.69K
-37.95%348.23K
-37.95%348.23K
--561.16K
--561.16K
(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 -89.09%125.8K-89.09%125.8K2,251.00%1.15M2,251.00%1.15M-62.79%49.05K-62.79%49.05K-70.59%131.83K-70.59%131.83K--448.29K--448.29K
-Cash and cash equivalents -89.09%125.8K-89.09%125.8K2,251.00%1.15M2,251.00%1.15M-62.79%49.05K-62.79%49.05K-70.59%131.83K-70.59%131.83K--448.29K--448.29K
-Accounts receivable 17.31%200.46K17.31%200.46K4,689.46%170.89K4,689.46%170.89K-97.31%3.57K-97.31%3.57K-5.41%132.61K-5.41%132.61K--140.21K--140.21K
-Notes receivable 52.03%8.01K52.03%8.01K--5.27K--5.27K------------------------
-Other receivables 601.67%1.03M601.67%1.03M158.81%146.13K158.81%146.13K-65.02%56.46K-65.02%56.46K-5.83%161.42K-5.83%161.42K--171.42K--171.42K
Total current assets -8.06%1.67M-8.06%1.67M1,137.42%1.81M1,137.42%1.81M-27.98%146.53K-27.98%146.53K-62.86%203.45K-62.86%203.45K--547.82K--547.82K
Non current assets
-Accumulated depreciation 0.00%-54.13K0.00%-54.13K---54.13K---54.13K---------894.47%-58.06K-894.47%-58.06K---5.84K---5.84K
Investment properties ----------------336.36%32.16K336.36%32.16K95.08%7.37K95.08%7.37K--3.78K--3.78K
-Long term equity investment ---------90.21%46.76K-90.21%46.76K1,262.24%477.37K1,262.24%477.37K--35.04K--35.04K--------
-Goodwill ----------------------------------6.3K--6.3K
Regulatory assets 203.70%1.25M203.70%1.25M20,694.08%411.31K20,694.08%411.31K-97.24%1.98K-97.24%1.98K-24.70%71.62K-24.70%71.62K--95.11K--95.11K
Liabilities
Current liabilities
Current debt and capital lease obligation 213.39%2.09M213.39%2.09M264.60%668.36K264.60%668.36K106.83%183.31K106.83%183.31K-70.46%88.63K-70.46%88.63K--299.98K--299.98K
-Current debt 235.47%2.05M235.47%2.05M233.00%610.42K233.00%610.42K2,133.32%183.31K2,133.32%183.31K-97.26%8.21K-97.26%8.21K--299.98K--299.98K
-Current capital lease obligation -19.29%46.76K-19.29%46.76K--57.93K--57.93K----------80.42K--80.42K--------
-accounts payable 70.95%1.39M70.95%1.39M129.93%812.66K129.93%812.66K1,026.13%353.44K1,026.13%353.44K-41.53%31.39K-41.53%31.39K--53.68K--53.68K
-Total tax payable 14.05%2.77M14.05%2.77M408.86%2.43M408.86%2.43M1,262.24%477.37K1,262.24%477.37K--35.04K--35.04K--0--0
Current provisions 0.00%200K0.00%200K--200K--200K------------------------
Current liabilities 152.68%4.72M152.68%4.72M215.05%1.87M215.05%1.87M85.03%593.21K85.03%593.21K-39.93%320.61K-39.93%320.61K--533.74K--533.74K
Non current liabilities
-Long term debt ----------46.76K--46.76K----------35.04K--35.04K--------
Non current accrued expenses 25.15%10.63M25.15%10.63M--8.5M--8.5M--------3,493.98%117.7K3,493.98%117.7K--3.28K--3.28K
Long term provisions ------------------477.37K--477.37K----------------
Employee benefits 52.03%8.01K52.03%8.01K--5.27K--5.27K------------------------
Regulatory liabilities ----------------97.39%-1.59K97.39%-1.59K-35.26%-60.99K-35.26%-60.99K---45.09K---45.09K
Trust preferred securities ----------------336.36%32.16K336.36%32.16K95.08%7.37K95.08%7.37K--3.78K--3.78K
Preferred securities outside stock equity -95.59%1.45K-95.59%1.45K--32.88K--32.88K------------------8.66K--8.66K
Total non current liabilities 74.33%7.49M74.33%7.49M301.47%4.3M301.47%4.3M201.02%1.07M201.02%1.07M-33.37%355.65K-33.37%355.65K--533.74K--533.74K
Shareholders'equity
Share capital 6.35%20.84M6.35%20.84M-68.42%19.59M-68.42%19.59M-0.05%62.03M-0.05%62.03M0.47%62.06M0.47%62.06M--61.77M--61.77M
-common stock 6.35%20.84M6.35%20.84M-68.42%19.59M-68.42%19.59M-0.05%62.03M-0.05%62.03M0.47%62.06M0.47%62.06M--61.77M--61.77M
Gains losses not affecting retained earnings 5.05%158.56K5.05%158.56K4,424.37%150.93K4,424.37%150.93K1,212.00%3.34K1,212.00%3.34K---300---300--------
Other equity interest --2.75K--2.75K--------------------------------
Total equity 26.72%14.3M26.72%14.3M6,213.67%11.28M6,213.67%11.28M-48.69%178.69K-48.69%178.69K-37.95%348.23K-37.95%348.23K--561.16K--561.16K

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