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Blackstone Minerals Ltd (BSX)

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  • 0.052
  • -0.001-1.89%
20min DelayMarket Closed May 14 16:00 AET
89.49MMarket Cap-3.25P/E (Static)

Blackstone Minerals Ltd (BSX) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2025
(Q4)Jun 30, 2025
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-86.00%582.89K
-86.00%582.89K
-66.38%4.16M
-66.38%4.16M
-69.62%12.38M
-69.62%12.38M
86.93%40.75M
86.93%40.75M
221.24%21.8M
221.24%21.8M
-Cash and cash equivalents
-86.00%582.89K
-86.00%582.89K
-66.38%4.16M
-66.38%4.16M
-69.62%12.38M
-69.62%12.38M
86.93%40.75M
86.93%40.75M
221.24%21.8M
221.24%21.8M
Receivables
-83.77%279.02K
-83.77%279.02K
-31.48%1.72M
-31.48%1.72M
14.81%2.51M
14.81%2.51M
108.02%2.18M
108.02%2.18M
-52.82%1.05M
-52.82%1.05M
-Other receivables
-83.77%279.02K
-83.77%279.02K
-31.48%1.72M
-31.48%1.72M
14.81%2.51M
14.81%2.51M
108.02%2.18M
108.02%2.18M
-52.82%1.05M
-52.82%1.05M
Total current assets
-85.34%861.91K
-85.34%861.91K
-60.50%5.88M
-60.50%5.88M
-65.32%14.89M
-65.32%14.89M
87.90%42.94M
87.90%42.94M
153.55%22.85M
153.55%22.85M
Non current assets
Net PPE
727.33%80.13M
727.33%80.13M
-23.19%9.68M
-23.19%9.68M
-5.68%12.61M
-5.68%12.61M
-22.16%13.37M
-22.16%13.37M
-44.73%17.18M
-44.73%17.18M
-Gross PPE
517.37%84.07M
517.37%84.07M
-11.77%13.62M
-11.77%13.62M
1.65%15.43M
1.65%15.43M
-16.98%15.18M
-16.98%15.18M
-41.65%18.29M
-41.65%18.29M
-Accumulated depreciation
-0.21%-3.94M
-0.21%-3.94M
-39.22%-3.93M
-39.22%-3.93M
-55.75%-2.82M
-55.75%-2.82M
-63.15%-1.81M
-63.15%-1.81M
-319.11%-1.11M
-319.11%-1.11M
Investments and advances
-69.49%1.12M
-69.49%1.12M
-60.01%3.69M
-60.01%3.69M
-32.88%9.22M
-32.88%9.22M
11,848.18%13.74M
11,848.18%13.74M
--114.96K
--114.96K
-Long term equity investment
-72.04%463.72K
-72.04%463.72K
-80.26%1.66M
-80.26%1.66M
-34.75%8.4M
-34.75%8.4M
--12.88M
--12.88M
----
----
-Other investment
-67.40%661.19K
-67.40%661.19K
148.37%2.03M
148.37%2.03M
-4.80%816.59K
-4.80%816.59K
646.14%857.79K
646.14%857.79K
--114.96K
--114.96K
Goodwill and other intangible assets
----
----
----
----
----
----
--87.16K
--87.16K
----
----
-Other intangible assets
----
----
----
----
----
----
--87.16K
--87.16K
----
----
Non current deferred assets
--1.54M
--1.54M
----
----
----
----
----
----
----
----
Other non current assets
----
----
----
----
----
----
----
----
--460.21K
--460.21K
Total non current assets
519.15%82.79M
519.15%82.79M
-38.74%13.37M
-38.74%13.37M
-19.73%21.83M
-19.73%21.83M
53.19%27.19M
53.19%27.19M
-43.09%17.75M
-43.09%17.75M
Total assets
334.49%83.65M
334.49%83.65M
-47.57%19.25M
-47.57%19.25M
-47.64%36.72M
-47.64%36.72M
72.73%70.13M
72.73%70.13M
0.99%40.6M
0.99%40.6M
Liabilities
Current liabilities
Current debt and capital lease obligation
-92.06%88.76K
-92.06%88.76K
268.78%1.12M
268.78%1.12M
9.82%303.08K
9.82%303.08K
74.40%275.98K
74.40%275.98K
15.74%158.25K
15.74%158.25K
-Current debt
----
----
--1M
--1M
----
----
----
----
----
----
-Current capital lease obligation
-24.59%88.76K
-24.59%88.76K
-61.16%117.7K
-61.16%117.7K
9.82%303.08K
9.82%303.08K
74.40%275.98K
74.40%275.98K
15.74%158.25K
15.74%158.25K
Payables
141.08%2.61M
141.08%2.61M
-76.70%1.08M
-76.70%1.08M
9.84%4.64M
9.84%4.64M
-3.52%4.23M
-3.52%4.23M
-35.79%4.38M
-35.79%4.38M
-accounts payable
370.54%1.48M
370.54%1.48M
-88.97%315.46K
-88.97%315.46K
19.61%2.86M
19.61%2.86M
92.53%2.39M
92.53%2.39M
-17.67%1.24M
-17.67%1.24M
-Other payable
46.64%1.12M
46.64%1.12M
-56.99%766.49K
-56.99%766.49K
-2.89%1.78M
-2.89%1.78M
-41.53%1.84M
-41.53%1.84M
-40.93%3.14M
-40.93%3.14M
Current provisions
-43.88%23.42K
-43.88%23.42K
-86.92%41.73K
-86.92%41.73K
-24.13%318.93K
-24.13%318.93K
86.42%420.33K
86.42%420.33K
-72.24%225.48K
-72.24%225.48K
Pension and other retirement benefit plans
-34.05%183.18K
-34.05%183.18K
-31.85%277.77K
-31.85%277.77K
-3.37%407.59K
-3.37%407.59K
156.08%421.8K
156.08%421.8K
84.23%164.72K
84.23%164.72K
Current liabilities
15.27%2.9M
15.27%2.9M
-55.59%2.52M
-55.59%2.52M
6.13%5.67M
6.13%5.67M
8.43%5.35M
8.43%5.35M
-37.29%4.93M
-37.29%4.93M
Non current liabilities
Long term debt and capital lease obligation
--152.84K
--152.84K
----
----
-68.38%133.83K
-68.38%133.83K
206.65%423.25K
206.65%423.25K
-46.67%138.03K
-46.67%138.03K
-Long term capital lease obligation
--152.84K
--152.84K
----
----
-68.38%133.83K
-68.38%133.83K
206.65%423.25K
206.65%423.25K
-46.67%138.03K
-46.67%138.03K
Derivative product liabilities
--130K
--130K
----
----
----
----
----
----
----
----
Long term provisions
2.57%487.83K
2.57%487.83K
-8.78%475.6K
-8.78%475.6K
12.73%521.39K
12.73%521.39K
8.73%462.53K
8.73%462.53K
-8.71%425.38K
-8.71%425.38K
Non current deferred liabilities
----
----
----
----
----
----
----
----
-4.81%2.23M
-4.81%2.23M
Other non current liabilities
----
----
----
----
----
----
--385.7K
--385.7K
----
----
Total non current liabilities
62.04%770.67K
62.04%770.67K
-27.41%475.6K
-27.41%475.6K
-48.47%655.22K
-48.47%655.22K
-54.41%1.27M
-54.41%1.27M
-8.94%2.79M
-8.94%2.79M
Total liabilities
22.70%3.67M
22.70%3.67M
-52.68%2.99M
-52.68%2.99M
-4.36%6.33M
-4.36%6.33M
-14.27%6.62M
-14.27%6.62M
-29.34%7.72M
-29.34%7.72M
Shareholders'equity
Share capital
52.23%200.23M
52.23%200.23M
3.27%131.53M
3.27%131.53M
0.00%127.37M
0.00%127.37M
107.57%127.37M
107.57%127.37M
60.75%61.36M
60.75%61.36M
-common stock
52.23%200.23M
52.23%200.23M
3.27%131.53M
3.27%131.53M
0.00%127.37M
0.00%127.37M
107.57%127.37M
107.57%127.37M
60.75%61.36M
60.75%61.36M
Retained earnings
-8.12%-129.56M
-8.12%-129.56M
-13.25%-119.83M
-13.25%-119.83M
-43.65%-105.81M
-43.65%-105.81M
-105.52%-73.66M
-105.52%-73.66M
-67.63%-35.84M
-67.63%-35.84M
Gains losses not affecting retained earnings
61.12%13.47M
61.12%13.47M
-16.05%8.36M
-16.05%8.36M
11.35%9.96M
11.35%9.96M
110.74%8.95M
110.74%8.95M
213.50%4.24M
213.50%4.24M
Total stockholders'equity
319.51%84.14M
319.51%84.14M
-36.36%20.06M
-36.36%20.06M
-49.70%31.52M
-49.70%31.52M
110.49%62.65M
110.49%62.65M
64.04%29.77M
64.04%29.77M
Noncontrolling interests
-9.67%-4.17M
-9.67%-4.17M
-237.94%-3.8M
-237.94%-3.8M
-230.54%-1.12M
-230.54%-1.12M
-72.37%861.35K
-72.37%861.35K
2,893.90%3.12M
2,893.90%3.12M
Total equity
391.92%79.98M
391.92%79.98M
-46.50%16.26M
-46.50%16.26M
-52.15%30.39M
-52.15%30.39M
93.15%63.51M
93.15%63.51M
82.34%32.88M
82.34%32.88M
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, 2025(Q4)Jun 30, 2025(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
Assets
Current assets
Cash, cash equivalents and short term investments -86.00%582.89K-86.00%582.89K-66.38%4.16M-66.38%4.16M-69.62%12.38M-69.62%12.38M86.93%40.75M86.93%40.75M221.24%21.8M221.24%21.8M
-Cash and cash equivalents -86.00%582.89K-86.00%582.89K-66.38%4.16M-66.38%4.16M-69.62%12.38M-69.62%12.38M86.93%40.75M86.93%40.75M221.24%21.8M221.24%21.8M
Receivables -83.77%279.02K-83.77%279.02K-31.48%1.72M-31.48%1.72M14.81%2.51M14.81%2.51M108.02%2.18M108.02%2.18M-52.82%1.05M-52.82%1.05M
-Other receivables -83.77%279.02K-83.77%279.02K-31.48%1.72M-31.48%1.72M14.81%2.51M14.81%2.51M108.02%2.18M108.02%2.18M-52.82%1.05M-52.82%1.05M
Total current assets -85.34%861.91K-85.34%861.91K-60.50%5.88M-60.50%5.88M-65.32%14.89M-65.32%14.89M87.90%42.94M87.90%42.94M153.55%22.85M153.55%22.85M
Non current assets
Net PPE 727.33%80.13M727.33%80.13M-23.19%9.68M-23.19%9.68M-5.68%12.61M-5.68%12.61M-22.16%13.37M-22.16%13.37M-44.73%17.18M-44.73%17.18M
-Gross PPE 517.37%84.07M517.37%84.07M-11.77%13.62M-11.77%13.62M1.65%15.43M1.65%15.43M-16.98%15.18M-16.98%15.18M-41.65%18.29M-41.65%18.29M
-Accumulated depreciation -0.21%-3.94M-0.21%-3.94M-39.22%-3.93M-39.22%-3.93M-55.75%-2.82M-55.75%-2.82M-63.15%-1.81M-63.15%-1.81M-319.11%-1.11M-319.11%-1.11M
Investments and advances -69.49%1.12M-69.49%1.12M-60.01%3.69M-60.01%3.69M-32.88%9.22M-32.88%9.22M11,848.18%13.74M11,848.18%13.74M--114.96K--114.96K
-Long term equity investment -72.04%463.72K-72.04%463.72K-80.26%1.66M-80.26%1.66M-34.75%8.4M-34.75%8.4M--12.88M--12.88M--------
-Other investment -67.40%661.19K-67.40%661.19K148.37%2.03M148.37%2.03M-4.80%816.59K-4.80%816.59K646.14%857.79K646.14%857.79K--114.96K--114.96K
Goodwill and other intangible assets --------------------------87.16K--87.16K--------
-Other intangible assets --------------------------87.16K--87.16K--------
Non current deferred assets --1.54M--1.54M--------------------------------
Other non current assets ----------------------------------460.21K--460.21K
Total non current assets 519.15%82.79M519.15%82.79M-38.74%13.37M-38.74%13.37M-19.73%21.83M-19.73%21.83M53.19%27.19M53.19%27.19M-43.09%17.75M-43.09%17.75M
Total assets 334.49%83.65M334.49%83.65M-47.57%19.25M-47.57%19.25M-47.64%36.72M-47.64%36.72M72.73%70.13M72.73%70.13M0.99%40.6M0.99%40.6M
Liabilities
Current liabilities
Current debt and capital lease obligation -92.06%88.76K-92.06%88.76K268.78%1.12M268.78%1.12M9.82%303.08K9.82%303.08K74.40%275.98K74.40%275.98K15.74%158.25K15.74%158.25K
-Current debt ----------1M--1M------------------------
-Current capital lease obligation -24.59%88.76K-24.59%88.76K-61.16%117.7K-61.16%117.7K9.82%303.08K9.82%303.08K74.40%275.98K74.40%275.98K15.74%158.25K15.74%158.25K
Payables 141.08%2.61M141.08%2.61M-76.70%1.08M-76.70%1.08M9.84%4.64M9.84%4.64M-3.52%4.23M-3.52%4.23M-35.79%4.38M-35.79%4.38M
-accounts payable 370.54%1.48M370.54%1.48M-88.97%315.46K-88.97%315.46K19.61%2.86M19.61%2.86M92.53%2.39M92.53%2.39M-17.67%1.24M-17.67%1.24M
-Other payable 46.64%1.12M46.64%1.12M-56.99%766.49K-56.99%766.49K-2.89%1.78M-2.89%1.78M-41.53%1.84M-41.53%1.84M-40.93%3.14M-40.93%3.14M
Current provisions -43.88%23.42K-43.88%23.42K-86.92%41.73K-86.92%41.73K-24.13%318.93K-24.13%318.93K86.42%420.33K86.42%420.33K-72.24%225.48K-72.24%225.48K
Pension and other retirement benefit plans -34.05%183.18K-34.05%183.18K-31.85%277.77K-31.85%277.77K-3.37%407.59K-3.37%407.59K156.08%421.8K156.08%421.8K84.23%164.72K84.23%164.72K
Current liabilities 15.27%2.9M15.27%2.9M-55.59%2.52M-55.59%2.52M6.13%5.67M6.13%5.67M8.43%5.35M8.43%5.35M-37.29%4.93M-37.29%4.93M
Non current liabilities
Long term debt and capital lease obligation --152.84K--152.84K---------68.38%133.83K-68.38%133.83K206.65%423.25K206.65%423.25K-46.67%138.03K-46.67%138.03K
-Long term capital lease obligation --152.84K--152.84K---------68.38%133.83K-68.38%133.83K206.65%423.25K206.65%423.25K-46.67%138.03K-46.67%138.03K
Derivative product liabilities --130K--130K--------------------------------
Long term provisions 2.57%487.83K2.57%487.83K-8.78%475.6K-8.78%475.6K12.73%521.39K12.73%521.39K8.73%462.53K8.73%462.53K-8.71%425.38K-8.71%425.38K
Non current deferred liabilities ---------------------------------4.81%2.23M-4.81%2.23M
Other non current liabilities --------------------------385.7K--385.7K--------
Total non current liabilities 62.04%770.67K62.04%770.67K-27.41%475.6K-27.41%475.6K-48.47%655.22K-48.47%655.22K-54.41%1.27M-54.41%1.27M-8.94%2.79M-8.94%2.79M
Total liabilities 22.70%3.67M22.70%3.67M-52.68%2.99M-52.68%2.99M-4.36%6.33M-4.36%6.33M-14.27%6.62M-14.27%6.62M-29.34%7.72M-29.34%7.72M
Shareholders'equity
Share capital 52.23%200.23M52.23%200.23M3.27%131.53M3.27%131.53M0.00%127.37M0.00%127.37M107.57%127.37M107.57%127.37M60.75%61.36M60.75%61.36M
-common stock 52.23%200.23M52.23%200.23M3.27%131.53M3.27%131.53M0.00%127.37M0.00%127.37M107.57%127.37M107.57%127.37M60.75%61.36M60.75%61.36M
Retained earnings -8.12%-129.56M-8.12%-129.56M-13.25%-119.83M-13.25%-119.83M-43.65%-105.81M-43.65%-105.81M-105.52%-73.66M-105.52%-73.66M-67.63%-35.84M-67.63%-35.84M
Gains losses not affecting retained earnings 61.12%13.47M61.12%13.47M-16.05%8.36M-16.05%8.36M11.35%9.96M11.35%9.96M110.74%8.95M110.74%8.95M213.50%4.24M213.50%4.24M
Total stockholders'equity 319.51%84.14M319.51%84.14M-36.36%20.06M-36.36%20.06M-49.70%31.52M-49.70%31.52M110.49%62.65M110.49%62.65M64.04%29.77M64.04%29.77M
Noncontrolling interests -9.67%-4.17M-9.67%-4.17M-237.94%-3.8M-237.94%-3.8M-230.54%-1.12M-230.54%-1.12M-72.37%861.35K-72.37%861.35K2,893.90%3.12M2,893.90%3.12M
Total equity 391.92%79.98M391.92%79.98M-46.50%16.26M-46.50%16.26M-52.15%30.39M-52.15%30.39M93.15%63.51M93.15%63.51M82.34%32.88M82.34%32.88M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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