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SUV Suvo Strategic Minerals Ltd

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  • 0.058
  • 0.0000.00%
20min DelayMarket Closed May 29 14:37 AET
56.04MMarket Cap-5272P/E (Static)

Suvo Strategic 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
-63.43%3.23M
-63.43%3.23M
50.50%8.84M
50.50%8.84M
1,465.23%5.88M
1,465.23%5.88M
-81.57%375.44K
-81.57%375.44K
-30.72%2.04M
-30.72%2.04M
-Cash and cash equivalents
-64.23%3.16M
-64.23%3.16M
50.50%8.84M
50.50%8.84M
1,582.27%5.88M
1,582.27%5.88M
-82.67%349.32K
-82.67%349.32K
-31.44%2.02M
-31.44%2.02M
-Accounts receivable
-30.57%1.42M
-30.57%1.42M
-20.38%2.04M
-20.38%2.04M
--2.56M
--2.56M
----
----
-69.27%86.33K
-69.27%86.33K
-Notes receivable
3.48%55.68K
3.48%55.68K
-84.33%53.81K
-84.33%53.81K
--343.29K
--343.29K
----
----
----
----
-Other receivables
-41.77%673.62K
-41.77%673.62K
193.68%1.16M
193.68%1.16M
519.40%393.9K
519.40%393.9K
-55.77%63.59K
-55.77%63.59K
16.40%143.79K
16.40%143.79K
Current deferred assets
----
----
----
----
--153.77K
--153.77K
----
----
----
----
Total current assets
-43.26%7.53M
-43.26%7.53M
31.31%13.27M
31.31%13.27M
2,062.71%10.1M
2,062.71%10.1M
-78.41%467.21K
-78.41%467.21K
-33.74%2.16M
-33.74%2.16M
Non current assets
-Accumulated depreciation
-57.09%-1.27M
-57.09%-1.27M
95.48%-806.27K
95.48%-806.27K
---17.82M
---17.82M
----
----
----
----
-Long term equity investment
28.48%642.34K
28.48%642.34K
244.26%499.96K
244.26%499.96K
--145.23K
--145.23K
----
----
----
----
Regulatory assets
-20.27%1.63M
-20.27%1.63M
-20.38%2.04M
-20.38%2.04M
2,691.36%2.56M
2,691.36%2.56M
-27.63%91.77K
-27.63%91.77K
-61.07%126.8K
-61.07%126.8K
Liabilities
Current liabilities
Current debt and capital lease obligation
152.19%1.03M
152.19%1.03M
188.19%407.93K
188.19%407.93K
--141.55K
--141.55K
----
----
----
----
-Current debt
--641.16K
--641.16K
----
----
----
----
----
----
----
----
-Current capital lease obligation
-4.98%387.59K
-4.98%387.59K
188.19%407.93K
188.19%407.93K
--141.55K
--141.55K
----
----
----
----
-accounts payable
-45.52%1.23M
-45.52%1.23M
57.23%2.25M
57.23%2.25M
1,516.82%1.43M
1,516.82%1.43M
-15.75%88.56K
-15.75%88.56K
-62.22%105.11K
-62.22%105.11K
-Total tax payable
6.82%3.21M
6.82%3.21M
-23.88%3M
-23.88%3M
--3.95M
--3.95M
--0
--0
--0
--0
-Other payable
----
----
--129.23K
--129.23K
----
----
----
----
----
----
Current provisions
1,376.43%232.54K
1,376.43%232.54K
-96.24%15.75K
-96.24%15.75K
--418.81K
--418.81K
----
----
----
----
Current liabilities
-17.80%3.74M
-17.80%3.74M
68.07%4.55M
68.07%4.55M
1,678.14%2.71M
1,678.14%2.71M
-38.87%152.15K
-38.87%152.15K
-38.05%248.9K
-38.05%248.9K
Non current liabilities
-Long term debt
-77.26%113.69K
-77.26%113.69K
244.26%499.96K
244.26%499.96K
--145.23K
--145.23K
----
----
----
----
Non current accrued expenses
-2.67%12.5M
-2.67%12.5M
44.12%12.84M
44.12%12.84M
--8.91M
--8.91M
----
----
----
----
Long term provisions
--528.65K
--528.65K
----
----
----
----
----
----
----
----
Employee benefits
3.48%55.68K
3.48%55.68K
-84.33%53.81K
-84.33%53.81K
--343.29K
--343.29K
----
----
----
----
Preferred securities outside stock equity
-19.44%576.31K
-19.44%576.31K
123.97%715.35K
123.97%715.35K
--319.39K
--319.39K
----
----
----
----
Total non current liabilities
-8.00%6.95M
-8.00%6.95M
13.51%7.55M
13.51%7.55M
4,272.32%6.65M
4,272.32%6.65M
-38.87%152.15K
-38.87%152.15K
-38.05%248.9K
-38.05%248.9K
Shareholders'equity
Share capital
9.03%42.23M
9.03%42.23M
24.17%38.73M
24.17%38.73M
66.09%31.19M
66.09%31.19M
2.73%18.78M
2.73%18.78M
7.03%18.28M
7.03%18.28M
-common stock
9.03%42.23M
9.03%42.23M
24.17%38.73M
24.17%38.73M
66.09%31.19M
66.09%31.19M
2.73%18.78M
2.73%18.78M
7.03%18.28M
7.03%18.28M
Gains losses not affecting retained earnings
21.77%7.77M
21.77%7.77M
13.04%6.38M
13.04%6.38M
73.51%5.64M
73.51%5.64M
-10.10%3.25M
-10.10%3.25M
3.55%3.62M
3.55%3.62M
Other equity interest
-94.52%26.78K
-94.52%26.78K
136.21%488.56K
136.21%488.56K
--206.83K
--206.83K
----
----
--1.4279
--1.4279
Noncontrolling interests
--208.86K
--208.86K
----
----
----
----
----
----
----
----
Total equity
-14.56%22.42M
-14.56%22.42M
38.00%26.24M
38.00%26.24M
3,969.29%19.01M
3,969.29%19.01M
-78.41%467.21K
-78.41%467.21K
-78.05%2.16M
-78.05%2.16M
(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 -63.43%3.23M-63.43%3.23M50.50%8.84M50.50%8.84M1,465.23%5.88M1,465.23%5.88M-81.57%375.44K-81.57%375.44K-30.72%2.04M-30.72%2.04M
-Cash and cash equivalents -64.23%3.16M-64.23%3.16M50.50%8.84M50.50%8.84M1,582.27%5.88M1,582.27%5.88M-82.67%349.32K-82.67%349.32K-31.44%2.02M-31.44%2.02M
-Accounts receivable -30.57%1.42M-30.57%1.42M-20.38%2.04M-20.38%2.04M--2.56M--2.56M---------69.27%86.33K-69.27%86.33K
-Notes receivable 3.48%55.68K3.48%55.68K-84.33%53.81K-84.33%53.81K--343.29K--343.29K----------------
-Other receivables -41.77%673.62K-41.77%673.62K193.68%1.16M193.68%1.16M519.40%393.9K519.40%393.9K-55.77%63.59K-55.77%63.59K16.40%143.79K16.40%143.79K
Current deferred assets ------------------153.77K--153.77K----------------
Total current assets -43.26%7.53M-43.26%7.53M31.31%13.27M31.31%13.27M2,062.71%10.1M2,062.71%10.1M-78.41%467.21K-78.41%467.21K-33.74%2.16M-33.74%2.16M
Non current assets
-Accumulated depreciation -57.09%-1.27M-57.09%-1.27M95.48%-806.27K95.48%-806.27K---17.82M---17.82M----------------
-Long term equity investment 28.48%642.34K28.48%642.34K244.26%499.96K244.26%499.96K--145.23K--145.23K----------------
Regulatory assets -20.27%1.63M-20.27%1.63M-20.38%2.04M-20.38%2.04M2,691.36%2.56M2,691.36%2.56M-27.63%91.77K-27.63%91.77K-61.07%126.8K-61.07%126.8K
Liabilities
Current liabilities
Current debt and capital lease obligation 152.19%1.03M152.19%1.03M188.19%407.93K188.19%407.93K--141.55K--141.55K----------------
-Current debt --641.16K--641.16K--------------------------------
-Current capital lease obligation -4.98%387.59K-4.98%387.59K188.19%407.93K188.19%407.93K--141.55K--141.55K----------------
-accounts payable -45.52%1.23M-45.52%1.23M57.23%2.25M57.23%2.25M1,516.82%1.43M1,516.82%1.43M-15.75%88.56K-15.75%88.56K-62.22%105.11K-62.22%105.11K
-Total tax payable 6.82%3.21M6.82%3.21M-23.88%3M-23.88%3M--3.95M--3.95M--0--0--0--0
-Other payable ----------129.23K--129.23K------------------------
Current provisions 1,376.43%232.54K1,376.43%232.54K-96.24%15.75K-96.24%15.75K--418.81K--418.81K----------------
Current liabilities -17.80%3.74M-17.80%3.74M68.07%4.55M68.07%4.55M1,678.14%2.71M1,678.14%2.71M-38.87%152.15K-38.87%152.15K-38.05%248.9K-38.05%248.9K
Non current liabilities
-Long term debt -77.26%113.69K-77.26%113.69K244.26%499.96K244.26%499.96K--145.23K--145.23K----------------
Non current accrued expenses -2.67%12.5M-2.67%12.5M44.12%12.84M44.12%12.84M--8.91M--8.91M----------------
Long term provisions --528.65K--528.65K--------------------------------
Employee benefits 3.48%55.68K3.48%55.68K-84.33%53.81K-84.33%53.81K--343.29K--343.29K----------------
Preferred securities outside stock equity -19.44%576.31K-19.44%576.31K123.97%715.35K123.97%715.35K--319.39K--319.39K----------------
Total non current liabilities -8.00%6.95M-8.00%6.95M13.51%7.55M13.51%7.55M4,272.32%6.65M4,272.32%6.65M-38.87%152.15K-38.87%152.15K-38.05%248.9K-38.05%248.9K
Shareholders'equity
Share capital 9.03%42.23M9.03%42.23M24.17%38.73M24.17%38.73M66.09%31.19M66.09%31.19M2.73%18.78M2.73%18.78M7.03%18.28M7.03%18.28M
-common stock 9.03%42.23M9.03%42.23M24.17%38.73M24.17%38.73M66.09%31.19M66.09%31.19M2.73%18.78M2.73%18.78M7.03%18.28M7.03%18.28M
Gains losses not affecting retained earnings 21.77%7.77M21.77%7.77M13.04%6.38M13.04%6.38M73.51%5.64M73.51%5.64M-10.10%3.25M-10.10%3.25M3.55%3.62M3.55%3.62M
Other equity interest -94.52%26.78K-94.52%26.78K136.21%488.56K136.21%488.56K--206.83K--206.83K----------1.4279--1.4279
Noncontrolling interests --208.86K--208.86K--------------------------------
Total equity -14.56%22.42M-14.56%22.42M38.00%26.24M38.00%26.24M3,969.29%19.01M3,969.29%19.01M-78.41%467.21K-78.41%467.21K-78.05%2.16M-78.05%2.16M

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