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1VG Victory Goldfields Ltd

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  • 0.275
  • 0.0000.00%
20min DelayTrading Nov 24 16:00 AET
16.03MMarket Cap-3089P/E (Static)

Victory Goldfields Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
(FY)Jun 30, 2014
(FY)Jun 30, 2013
(FY)Jun 30, 2012
(FY)Jun 30, 2011
Assets
Current assets
Cash, cash equivalents and short term investments
--1.9M
--1.9M
-9.91%188.29K
-74.07%209K
-52.70%806K
300.00%1.7M
-92.02%426K
111.08%5.34M
1,552.29%2.53M
-18.18%153K
-Cash and cash equivalents
--1.9M
--1.9M
-9.91%188.29K
-74.07%209K
-52.70%806K
300.00%1.7M
-92.01%426K
112.00%5.33M
1,736.50%2.52M
-25.54%137K
-Accounts receivable
----
----
----
-99.01%151K
-33.08%15.3M
30.76%22.86M
130.39%17.48M
9.56%7.59M
169.88%6.93M
-57.00%2.57M
-Notes receivable
----
----
----
----
----
-10.33%486K
56.65%542K
-6.23%346K
--369K
----
-Other receivables
--64.34K
--64.34K
-94.46%65.57K
-79.76%1.18M
-57.14%5.85M
90.66%13.64M
111.91%7.15M
71.23%3.38M
-14.93%1.97M
80.87%2.32M
Holding assets for sale
----
----
----
----
-13.08%1.42M
1,153.08%1.63M
-88.00%130K
0.00%1.08M
-61.72%1.08M
--2.83M
Total current assets
--2.06M
--2.06M
-51.60%188.29K
-99.49%389K
8.43%76.44M
24.87%70.49M
40.48%56.45M
52.56%40.19M
235.77%26.34M
-38.77%7.85M
Non current assets
-Accumulated depreciation
---131.13K
---131.13K
----
----
-18.31%-68.45M
-14.20%-57.86M
-41.87%-50.67M
-30.23%-35.71M
-183.03%-27.42M
34.83%-9.69M
-Long term equity investment
--197.95K
--197.95K
----
--9.5M
----
31.41%23.2M
14.00%17.66M
10,022.22%15.49M
-95.34%153K
-53.18%3.28M
Non current note receivables
----
----
----
----
----
-39.47%2.56M
224.23%4.23M
-53.68%1.3M
-27.09%2.82M
-24.49%3.86M
-Goodwill
----
----
----
-99.98%3K
2.68%12.98M
57.70%12.64M
5.78%8.02M
89.07%7.58M
133,500.00%4.01M
0.00%3K
Regulatory assets
--86.04K
--86.04K
----
-99.01%151K
-34.48%15.3M
31.09%23.34M
98.11%17.81M
-4.15%8.99M
183.58%9.38M
-44.81%3.31M
Liabilities
Current liabilities
Current debt and capital lease obligation
--189.91K
--189.91K
----
-82.05%9.4M
65.71%52.34M
10.99%31.59M
141.50%28.46M
-53.88%11.78M
741.01%25.55M
-52.57%3.04M
-Current debt
----
----
----
-65.06%9.4M
50.01%26.89M
34.24%17.93M
1,164.58%13.35M
-44.36%1.06M
137.25%1.9M
-76.63%800K
-Current capital lease obligation
--189.91K
--189.91K
----
----
86.32%25.45M
-9.57%13.66M
40.79%15.1M
-54.64%10.73M
956.84%23.65M
-24.95%2.24M
-accounts payable
--433K
--433K
----
-99.51%153K
148.26%30.99M
3.29%12.48M
155.88%12.09M
-13.83%4.72M
50.91%5.48M
71.40%3.63M
-Total tax payable
--197.95K
--197.95K
--0
1,540.76%9.5M
-97.56%579K
30.16%23.69M
14.93%18.2M
678.80%15.83M
-58.05%2.03M
-52.61%4.85M
-Other payable
----
----
----
----
--1M
----
----
----
----
----
Current deferred liabilities
----
----
----
----
----
----
----
--25K
----
----
Current liabilities
--687.25K
--687.25K
-99.39%65.57K
-88.77%10.73M
57.93%95.54M
22.14%60.5M
141.43%49.53M
-38.82%20.52M
260.31%33.53M
-12.68%9.31M
Non current liabilities
-Long term debt
--197.95K
--197.95K
----
----
----
-23.42%13M
9.58%16.97M
10,022.22%15.49M
-95.34%153K
-53.18%3.28M
Non current accrued expenses
--2.19M
--2.19M
----
----
10.50%80.79M
15.01%73.11M
52.67%63.57M
52.75%41.64M
159.93%27.26M
-54.72%10.49M
Long term provisions
----
----
----
--9.5M
----
1,391.81%10.2M
--684K
----
----
----
Employee benefits
----
----
----
----
----
-10.33%486K
56.65%542K
-6.23%346K
--369K
----
Preferred securities outside stock equity
----
----
----
----
92.12%5.36M
52.24%2.79M
201.64%1.83M
14.29%608K
66.25%532K
-62.49%320K
Total non current liabilities
--885.19K
--885.19K
-99.68%65.57K
-78.95%20.23M
14.18%96.12M
24.30%84.18M
86.33%67.73M
2.20%36.35M
151.30%35.57M
-32.23%14.15M
Shareholders'equity
Share capital
--7.48M
--7.48M
1.08%64.86M
67.86%64.17M
0.00%38.23M
0.00%38.23M
28.35%38.23M
151.29%29.78M
-66.89%11.85M
8.61%35.79M
-common stock
--7.48M
--7.48M
1.08%64.86M
67.86%64.17M
0.00%38.23M
0.00%38.23M
28.35%38.23M
151.29%29.78M
-66.89%11.85M
8.61%35.79M
Gains losses not affecting retained earnings
--488.42K
--488.42K
0.01%2.73M
-25.57%2.73M
14.41%3.66M
131.05%3.2M
11.60%1.39M
417.08%1.24M
-87.98%240K
0.66%2M
Other equity interest
--2K
--2K
----
----
----
----
----
----
----
----
Total equity
--4.29M
--4.29M
-51.97%188.29K
-99.77%392K
7.81%171.2M
20.06%158.8M
45.82%132.27M
50.12%90.71M
172.22%60.42M
-45.98%22.2M
(FY)Jun 30, 2022(Q4)Jun 30, 2022(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015(FY)Jun 30, 2014(FY)Jun 30, 2013(FY)Jun 30, 2012(FY)Jun 30, 2011
Assets
Current assets
Cash, cash equivalents and short term investments --1.9M--1.9M-9.91%188.29K-74.07%209K-52.70%806K300.00%1.7M-92.02%426K111.08%5.34M1,552.29%2.53M-18.18%153K
-Cash and cash equivalents --1.9M--1.9M-9.91%188.29K-74.07%209K-52.70%806K300.00%1.7M-92.01%426K112.00%5.33M1,736.50%2.52M-25.54%137K
-Accounts receivable -------------99.01%151K-33.08%15.3M30.76%22.86M130.39%17.48M9.56%7.59M169.88%6.93M-57.00%2.57M
-Notes receivable ---------------------10.33%486K56.65%542K-6.23%346K--369K----
-Other receivables --64.34K--64.34K-94.46%65.57K-79.76%1.18M-57.14%5.85M90.66%13.64M111.91%7.15M71.23%3.38M-14.93%1.97M80.87%2.32M
Holding assets for sale -----------------13.08%1.42M1,153.08%1.63M-88.00%130K0.00%1.08M-61.72%1.08M--2.83M
Total current assets --2.06M--2.06M-51.60%188.29K-99.49%389K8.43%76.44M24.87%70.49M40.48%56.45M52.56%40.19M235.77%26.34M-38.77%7.85M
Non current assets
-Accumulated depreciation ---131.13K---131.13K---------18.31%-68.45M-14.20%-57.86M-41.87%-50.67M-30.23%-35.71M-183.03%-27.42M34.83%-9.69M
-Long term equity investment --197.95K--197.95K------9.5M----31.41%23.2M14.00%17.66M10,022.22%15.49M-95.34%153K-53.18%3.28M
Non current note receivables ---------------------39.47%2.56M224.23%4.23M-53.68%1.3M-27.09%2.82M-24.49%3.86M
-Goodwill -------------99.98%3K2.68%12.98M57.70%12.64M5.78%8.02M89.07%7.58M133,500.00%4.01M0.00%3K
Regulatory assets --86.04K--86.04K-----99.01%151K-34.48%15.3M31.09%23.34M98.11%17.81M-4.15%8.99M183.58%9.38M-44.81%3.31M
Liabilities
Current liabilities
Current debt and capital lease obligation --189.91K--189.91K-----82.05%9.4M65.71%52.34M10.99%31.59M141.50%28.46M-53.88%11.78M741.01%25.55M-52.57%3.04M
-Current debt -------------65.06%9.4M50.01%26.89M34.24%17.93M1,164.58%13.35M-44.36%1.06M137.25%1.9M-76.63%800K
-Current capital lease obligation --189.91K--189.91K--------86.32%25.45M-9.57%13.66M40.79%15.1M-54.64%10.73M956.84%23.65M-24.95%2.24M
-accounts payable --433K--433K-----99.51%153K148.26%30.99M3.29%12.48M155.88%12.09M-13.83%4.72M50.91%5.48M71.40%3.63M
-Total tax payable --197.95K--197.95K--01,540.76%9.5M-97.56%579K30.16%23.69M14.93%18.2M678.80%15.83M-58.05%2.03M-52.61%4.85M
-Other payable ------------------1M--------------------
Current deferred liabilities ------------------------------25K--------
Current liabilities --687.25K--687.25K-99.39%65.57K-88.77%10.73M57.93%95.54M22.14%60.5M141.43%49.53M-38.82%20.52M260.31%33.53M-12.68%9.31M
Non current liabilities
-Long term debt --197.95K--197.95K-------------23.42%13M9.58%16.97M10,022.22%15.49M-95.34%153K-53.18%3.28M
Non current accrued expenses --2.19M--2.19M--------10.50%80.79M15.01%73.11M52.67%63.57M52.75%41.64M159.93%27.26M-54.72%10.49M
Long term provisions --------------9.5M----1,391.81%10.2M--684K------------
Employee benefits ---------------------10.33%486K56.65%542K-6.23%346K--369K----
Preferred securities outside stock equity ----------------92.12%5.36M52.24%2.79M201.64%1.83M14.29%608K66.25%532K-62.49%320K
Total non current liabilities --885.19K--885.19K-99.68%65.57K-78.95%20.23M14.18%96.12M24.30%84.18M86.33%67.73M2.20%36.35M151.30%35.57M-32.23%14.15M
Shareholders'equity
Share capital --7.48M--7.48M1.08%64.86M67.86%64.17M0.00%38.23M0.00%38.23M28.35%38.23M151.29%29.78M-66.89%11.85M8.61%35.79M
-common stock --7.48M--7.48M1.08%64.86M67.86%64.17M0.00%38.23M0.00%38.23M28.35%38.23M151.29%29.78M-66.89%11.85M8.61%35.79M
Gains losses not affecting retained earnings --488.42K--488.42K0.01%2.73M-25.57%2.73M14.41%3.66M131.05%3.2M11.60%1.39M417.08%1.24M-87.98%240K0.66%2M
Other equity interest --2K--2K--------------------------------
Total equity --4.29M--4.29M-51.97%188.29K-99.77%392K7.81%171.2M20.06%158.8M45.82%132.27M50.12%90.71M172.22%60.42M-45.98%22.2M

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