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FMR Resources Ltd (FMR)

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  • 0.260
  • 0.0000.00%
20min DelayTrading Jan 16 12:26 AET
13.09MMarket Cap-5.42P/E (Static)

FMR Resources Ltd (FMR) 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
-21.72%3.35M
-21.72%3.35M
28.48%4.29M
28.48%4.29M
-40.41%3.34M
-40.41%3.34M
153.59%5.6M
153.59%5.6M
-57.89%2.21M
-57.89%2.21M
-Cash and cash equivalents
-21.72%3.35M
-21.72%3.35M
28.48%4.29M
28.48%4.29M
-40.41%3.34M
-40.41%3.34M
153.59%5.6M
153.59%5.6M
-57.89%2.21M
-57.89%2.21M
Receivables
131.14%81.92K
131.14%81.92K
-49.94%35.44K
-49.94%35.44K
-0.48%70.81K
-0.48%70.81K
45.57%71.15K
45.57%71.15K
-88.24%48.88K
-88.24%48.88K
-Accounts receivable
131.14%81.92K
131.14%81.92K
-59.16%35.44K
-59.16%35.44K
353.97%86.79K
353.97%86.79K
-81.99%19.12K
-81.99%19.12K
-71.52%106.17K
-71.52%106.17K
-Other receivables
----
----
----
----
----
----
9,892.22%53.96K
9,892.22%53.96K
-99.73%540
-99.73%540
-Recievables adjustments allowances
----
----
----
----
-729.96%-15.99K
-729.96%-15.99K
96.67%-1.93K
96.67%-1.93K
63.34%-57.83K
63.34%-57.83K
Prepaid assets
-22.58%125.08K
-22.58%125.08K
146.37%161.55K
146.37%161.55K
-5.46%65.57K
-5.46%65.57K
-63.13%69.36K
-63.13%69.36K
-2.39%188.12K
-2.39%188.12K
Other current assets
----
----
----
----
5.42%117K
5.42%117K
491.33%110.99K
491.33%110.99K
22.63%18.77K
22.63%18.77K
Total current assets
-20.54%3.56M
-20.54%3.56M
24.90%4.48M
24.90%4.48M
-38.64%3.59M
-38.64%3.59M
137.47%5.85M
137.47%5.85M
-58.00%2.46M
-58.00%2.46M
Non current assets
Net PPE
113.54%1.98M
113.54%1.98M
2,970.73%927.67K
2,970.73%927.67K
33.14%30.21K
33.14%30.21K
-91.06%22.69K
-91.06%22.69K
5,456.66%253.72K
5,456.66%253.72K
-Gross PPE
113.54%1.98M
113.54%1.98M
1,744.68%927.67K
1,744.68%927.67K
67.62%50.29K
67.62%50.29K
-90.88%30K
-90.88%30K
607.90%329.01K
607.90%329.01K
-Accumulated depreciation
----
----
----
----
-174.64%-20.08K
-174.64%-20.08K
90.29%-7.31K
90.29%-7.31K
-79.65%-75.29K
-79.65%-75.29K
Investments and advances
----
----
----
----
----
----
----
----
--43.11K
--43.11K
-Other investment
----
----
----
----
----
----
----
----
--43.11K
--43.11K
Goodwill and other intangible assets
----
----
----
----
----
----
-39.90%537.69K
-39.90%537.69K
14.70%894.71K
14.70%894.71K
-Other intangible assets
----
----
----
----
----
----
-39.90%537.69K
-39.90%537.69K
14.70%894.71K
14.70%894.71K
Total non current assets
113.54%1.98M
113.54%1.98M
2,970.73%927.67K
2,970.73%927.67K
-94.61%30.21K
-94.61%30.21K
-52.97%560.38K
-52.97%560.38K
51.87%1.19M
51.87%1.19M
Total assets
2.45%5.54M
2.45%5.54M
49.49%5.41M
49.49%5.41M
-43.53%3.62M
-43.53%3.62M
75.37%6.41M
75.37%6.41M
-45.04%3.65M
-45.04%3.65M
Liabilities
Current liabilities
Current debt and capital lease obligation
--15.61K
--15.61K
----
----
----
----
----
----
--150.66K
--150.66K
-Current capital lease obligation
--15.61K
--15.61K
----
----
----
----
----
----
--150.66K
--150.66K
Payables
-58.81%234.2K
-58.81%234.2K
141.28%568.58K
141.28%568.58K
-31.12%235.65K
-31.12%235.65K
-16.44%342.13K
-16.44%342.13K
-33.62%409.43K
-33.62%409.43K
-accounts payable
-41.22%175.87K
-41.22%175.87K
3,068.43%299.23K
3,068.43%299.23K
-90.80%9.44K
-90.80%9.44K
57.52%102.64K
57.52%102.64K
-80.49%65.16K
-80.49%65.16K
-Other payable
-78.34%58.33K
-78.34%58.33K
19.07%269.35K
19.07%269.35K
-5.54%226.21K
-5.54%226.21K
-30.44%239.49K
-30.44%239.49K
21.78%344.27K
21.78%344.27K
Pension and other retirement benefit plans
63.47%1.5K
63.47%1.5K
-99.74%917
-99.74%917
-1.86%355.21K
-1.86%355.21K
26.28%361.94K
26.28%361.94K
3.29%286.62K
3.29%286.62K
Current deferred liabilities
----
----
----
----
3.39%6K
3.39%6K
-97.88%5.81K
-97.88%5.81K
-25.29%273.74K
-25.29%273.74K
Other current liabilities
--168.63K
--168.63K
----
----
78.55%1.1M
78.55%1.1M
126.57%614.19K
126.57%614.19K
984.31%271.08K
984.31%271.08K
Current liabilities
-26.26%419.94K
-26.26%419.94K
-66.37%569.49K
-66.37%569.49K
27.90%1.69M
27.90%1.69M
-4.85%1.32M
-4.85%1.32M
8.23%1.39M
8.23%1.39M
Non current liabilities
Long term debt and capital lease obligation
--24.99K
--24.99K
----
----
----
----
----
----
--122.4K
--122.4K
-Long term capital lease obligation
--24.99K
--24.99K
----
----
----
----
----
----
--122.4K
--122.4K
Employee benefits
----
----
----
----
66.80%51.49K
66.80%51.49K
-14.62%30.87K
-14.62%30.87K
71.85%36.16K
71.85%36.16K
Non current deferred liabilities
----
----
----
----
----
----
----
----
--42.38K
--42.38K
Other non current liabilities
----
----
----
----
-25.31%29K
-25.31%29K
--38.83K
--38.83K
----
----
Total non current liabilities
--24.99K
--24.99K
--0
--0
15.49%80.49K
15.49%80.49K
-65.31%69.7K
-65.31%69.7K
854.94%200.93K
854.94%200.93K
Total liabilities
-21.87%444.93K
-21.87%444.93K
-67.90%569.49K
-67.90%569.49K
27.28%1.77M
27.28%1.77M
-12.48%1.39M
-12.48%1.39M
21.87%1.59M
21.87%1.59M
Shareholders'equity
Share capital
1.43%33.09M
1.43%33.09M
11.25%32.62M
11.25%32.62M
0.00%29.32M
0.00%29.32M
21.91%29.32M
21.91%29.32M
0.32%24.05M
0.32%24.05M
-common stock
1.43%33.09M
1.43%33.09M
11.25%32.62M
11.25%32.62M
0.00%29.32M
0.00%29.32M
21.91%29.32M
21.91%29.32M
0.32%24.05M
0.32%24.05M
Retained earnings
-3.86%-30.15M
-3.86%-30.15M
-1.89%-29.03M
-1.89%-29.03M
-12.69%-28.49M
-12.69%-28.49M
-12.10%-25.28M
-12.10%-25.28M
-14.18%-22.55M
-14.18%-22.55M
Gains losses not affecting retained earnings
72.91%2.16M
72.91%2.16M
23.12%1.25M
23.12%1.25M
3.86%1.01M
3.86%1.01M
16.97%976.52K
16.97%976.52K
-25.33%834.82K
-25.33%834.82K
Total stockholders'equity
5.31%5.1M
5.31%5.1M
162.36%4.84M
162.36%4.84M
-63.21%1.84M
-63.21%1.84M
114.96%5.02M
114.96%5.02M
-56.32%2.33M
-56.32%2.33M
Total equity
5.31%5.1M
5.31%5.1M
162.36%4.84M
162.36%4.84M
-63.21%1.84M
-63.21%1.84M
114.96%5.02M
114.96%5.02M
-56.32%2.33M
-56.32%2.33M
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 -21.72%3.35M-21.72%3.35M28.48%4.29M28.48%4.29M-40.41%3.34M-40.41%3.34M153.59%5.6M153.59%5.6M-57.89%2.21M-57.89%2.21M
-Cash and cash equivalents -21.72%3.35M-21.72%3.35M28.48%4.29M28.48%4.29M-40.41%3.34M-40.41%3.34M153.59%5.6M153.59%5.6M-57.89%2.21M-57.89%2.21M
Receivables 131.14%81.92K131.14%81.92K-49.94%35.44K-49.94%35.44K-0.48%70.81K-0.48%70.81K45.57%71.15K45.57%71.15K-88.24%48.88K-88.24%48.88K
-Accounts receivable 131.14%81.92K131.14%81.92K-59.16%35.44K-59.16%35.44K353.97%86.79K353.97%86.79K-81.99%19.12K-81.99%19.12K-71.52%106.17K-71.52%106.17K
-Other receivables ------------------------9,892.22%53.96K9,892.22%53.96K-99.73%540-99.73%540
-Recievables adjustments allowances -----------------729.96%-15.99K-729.96%-15.99K96.67%-1.93K96.67%-1.93K63.34%-57.83K63.34%-57.83K
Prepaid assets -22.58%125.08K-22.58%125.08K146.37%161.55K146.37%161.55K-5.46%65.57K-5.46%65.57K-63.13%69.36K-63.13%69.36K-2.39%188.12K-2.39%188.12K
Other current assets ----------------5.42%117K5.42%117K491.33%110.99K491.33%110.99K22.63%18.77K22.63%18.77K
Total current assets -20.54%3.56M-20.54%3.56M24.90%4.48M24.90%4.48M-38.64%3.59M-38.64%3.59M137.47%5.85M137.47%5.85M-58.00%2.46M-58.00%2.46M
Non current assets
Net PPE 113.54%1.98M113.54%1.98M2,970.73%927.67K2,970.73%927.67K33.14%30.21K33.14%30.21K-91.06%22.69K-91.06%22.69K5,456.66%253.72K5,456.66%253.72K
-Gross PPE 113.54%1.98M113.54%1.98M1,744.68%927.67K1,744.68%927.67K67.62%50.29K67.62%50.29K-90.88%30K-90.88%30K607.90%329.01K607.90%329.01K
-Accumulated depreciation -----------------174.64%-20.08K-174.64%-20.08K90.29%-7.31K90.29%-7.31K-79.65%-75.29K-79.65%-75.29K
Investments and advances ----------------------------------43.11K--43.11K
-Other investment ----------------------------------43.11K--43.11K
Goodwill and other intangible assets -------------------------39.90%537.69K-39.90%537.69K14.70%894.71K14.70%894.71K
-Other intangible assets -------------------------39.90%537.69K-39.90%537.69K14.70%894.71K14.70%894.71K
Total non current assets 113.54%1.98M113.54%1.98M2,970.73%927.67K2,970.73%927.67K-94.61%30.21K-94.61%30.21K-52.97%560.38K-52.97%560.38K51.87%1.19M51.87%1.19M
Total assets 2.45%5.54M2.45%5.54M49.49%5.41M49.49%5.41M-43.53%3.62M-43.53%3.62M75.37%6.41M75.37%6.41M-45.04%3.65M-45.04%3.65M
Liabilities
Current liabilities
Current debt and capital lease obligation --15.61K--15.61K--------------------------150.66K--150.66K
-Current capital lease obligation --15.61K--15.61K--------------------------150.66K--150.66K
Payables -58.81%234.2K-58.81%234.2K141.28%568.58K141.28%568.58K-31.12%235.65K-31.12%235.65K-16.44%342.13K-16.44%342.13K-33.62%409.43K-33.62%409.43K
-accounts payable -41.22%175.87K-41.22%175.87K3,068.43%299.23K3,068.43%299.23K-90.80%9.44K-90.80%9.44K57.52%102.64K57.52%102.64K-80.49%65.16K-80.49%65.16K
-Other payable -78.34%58.33K-78.34%58.33K19.07%269.35K19.07%269.35K-5.54%226.21K-5.54%226.21K-30.44%239.49K-30.44%239.49K21.78%344.27K21.78%344.27K
Pension and other retirement benefit plans 63.47%1.5K63.47%1.5K-99.74%917-99.74%917-1.86%355.21K-1.86%355.21K26.28%361.94K26.28%361.94K3.29%286.62K3.29%286.62K
Current deferred liabilities ----------------3.39%6K3.39%6K-97.88%5.81K-97.88%5.81K-25.29%273.74K-25.29%273.74K
Other current liabilities --168.63K--168.63K--------78.55%1.1M78.55%1.1M126.57%614.19K126.57%614.19K984.31%271.08K984.31%271.08K
Current liabilities -26.26%419.94K-26.26%419.94K-66.37%569.49K-66.37%569.49K27.90%1.69M27.90%1.69M-4.85%1.32M-4.85%1.32M8.23%1.39M8.23%1.39M
Non current liabilities
Long term debt and capital lease obligation --24.99K--24.99K--------------------------122.4K--122.4K
-Long term capital lease obligation --24.99K--24.99K--------------------------122.4K--122.4K
Employee benefits ----------------66.80%51.49K66.80%51.49K-14.62%30.87K-14.62%30.87K71.85%36.16K71.85%36.16K
Non current deferred liabilities ----------------------------------42.38K--42.38K
Other non current liabilities -----------------25.31%29K-25.31%29K--38.83K--38.83K--------
Total non current liabilities --24.99K--24.99K--0--015.49%80.49K15.49%80.49K-65.31%69.7K-65.31%69.7K854.94%200.93K854.94%200.93K
Total liabilities -21.87%444.93K-21.87%444.93K-67.90%569.49K-67.90%569.49K27.28%1.77M27.28%1.77M-12.48%1.39M-12.48%1.39M21.87%1.59M21.87%1.59M
Shareholders'equity
Share capital 1.43%33.09M1.43%33.09M11.25%32.62M11.25%32.62M0.00%29.32M0.00%29.32M21.91%29.32M21.91%29.32M0.32%24.05M0.32%24.05M
-common stock 1.43%33.09M1.43%33.09M11.25%32.62M11.25%32.62M0.00%29.32M0.00%29.32M21.91%29.32M21.91%29.32M0.32%24.05M0.32%24.05M
Retained earnings -3.86%-30.15M-3.86%-30.15M-1.89%-29.03M-1.89%-29.03M-12.69%-28.49M-12.69%-28.49M-12.10%-25.28M-12.10%-25.28M-14.18%-22.55M-14.18%-22.55M
Gains losses not affecting retained earnings 72.91%2.16M72.91%2.16M23.12%1.25M23.12%1.25M3.86%1.01M3.86%1.01M16.97%976.52K16.97%976.52K-25.33%834.82K-25.33%834.82K
Total stockholders'equity 5.31%5.1M5.31%5.1M162.36%4.84M162.36%4.84M-63.21%1.84M-63.21%1.84M114.96%5.02M114.96%5.02M-56.32%2.33M-56.32%2.33M
Total equity 5.31%5.1M5.31%5.1M162.36%4.84M162.36%4.84M-63.21%1.84M-63.21%1.84M114.96%5.02M114.96%5.02M-56.32%2.33M-56.32%2.33M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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