Strategic Minerals Corpo... Financial Data

Nombre de la Compañía:Strategic Minerals Corp NLStatus:Active
End of fiscal year:30 Diciembre 2018ISINAU000000SMC6
Auditor:BDO Audit (WA) Pty LtdYear established:1979
Company sector name:Basic MaterialsTrading currency:AUD
Industry name:GoldPlace of incorporation:Australia (AU)
Industry group nameMetals & MiningDoing business in:Australia (AU)
Address1 Eagle Street
Level 29 Waterfront Place, 4000
Tel.:+61 861413500
City/Country:Brisbane, AustraliaFax:+61 861413599
Web address:http://www.stratmin.com.au
Descripción de Negocio:Strategic Minerals Corp NL is an exploration company with interests in gold and uranium projects within Australia. The company's primary focus is on the exploration of the Woolgar Gold Project in Queensland.
Precio Variación [%]Precio Compra Venta Apetura Máximo. Mínimo. Volumen
0.44  0.00[0.0%] 0.45 0.90 0.00 0.00 0.00 0.00
Capitalización de Mercado [m] Acciones en circulación [m] Beta UPA DPA Ratio P/U Rendimiento Rango 52 semanas
32.4223108 85.907376 0.67 -0.01 - -38.14 - 0.35 - 0.53

SMC KEY FIGURES (at previous day's close)

Yesterday's Close
0.44
PE Ratio
-38.14
Market Capitalisation
32.42M
Latest Shares Outstanding
85.91M
Earnings pS (EPS)
-0.01
Dividend pS (DPS)
-
Dividend Yield
-
Sales per Employee
-
Effective Tax Rate
-
Foreign Sales
-
Domestic Sales
-
Selling, General & Adm/tive (SG...
-
Research & Devlopment (R&D) as ...
-
Gross Profit Margin
-
EBITDA Margin
-
Pre-Tax Profit Margin
-
Assets Turnover
-
Return on Assets (ROA)
-0.03%
Return on Equity (ROE)
-0.03%
Return on Capital Invested (ROC...
-0.03%
Current Ratio
3.74
Leverage Ratio (Assets/Equity)
1.01%
Interest Cover
-
Total Debt/Equity (Gearing Rati...
0.00%
LT Debt/Total Capital
-
Working Capital pS
0.36
Cash pS
0.01
Book-Value pS
0.36
Tangible Book-Value pS
0.35
Cash Flow pS
-
Free Cash Flow pS
-0.03
Spread
0.45
Gross gearing
0.00%
Net Debt
-860.57k

SMC Balance Sheet Chart (29 Diciembre 2018)

:liab eq:assets
Period † High Low
1 Week0.000.00
1 Month0.000.00
3 Months0.440.36
6 Months0.460.35
1 Year0.530.35
3 Years0.530.28
5 Years0.530.023

Share price performance previous 3 years

Share price performance intraday

Period † Open Open Avg. VWAP Min Vol Max Vol Avg. Daily Vol Change %
1 Week0.000.000.000.000.000.000.000.0%
1 Month0.000.000.000.000.000.000.000.0%
3 Months0.400.4133330.4343363,81030,00017,9370.0410.0%
6 Months0.4550.3931580.4010021,07859,48411,326-0.015-3.3%
1 Year0.460.4250.42874933459,48410,889-0.02-4.35%
3 Years0.300.386770.39219613,364,023146,4680.1446.67%
5 Years0.0310.2862430.17472514,389,000183,7040.4091,319.35%

SMC Growth Ratios (29 Diciembre 2018)

1 year 3 years 5 years 10 years
Diluted EPS growth
-
-
-
-
Diluted continuous EPS growth
-
-
-
-
Dividend growth
-
-
-
-
Equity per share growth
-0.03
-0.03
-0.04
-0.07
Revenue growth
-
-
-
-
Operating income growth
-
-
-
-
Net income growth
-
-
-
-
Net income cont growth
-
-
-
-
CFO growth
-
-
-
-
FCF growth
-
-
-
-
Operating revenue growth
-
-
-
-

SMC Income Statement 29 Diciembre 2018 (AUD)

Operating Expenses
0.84881
Selling,General and Administr...
0.61463
General and Administrative Ex...
0.61463
Salary and Benefit
0.323782
Rent and Landing Fees
0.053197
OtherGandA
0.237651
Depreciation,Amortization and...
4,631.00
Depreciation and Amortization
4,631.00
Depreciation
4,631.00
Other Operating Expenses
0.229549
Operating Income
-0.84881
Interest Income/Expense,Net-N...
6,988.00
Interest Income-Non Operating
6,988.00
Other Income/Expense,Net
-9,250.00
Special Income/Charges
-0.01125
Impairment of Capital Assets
0.01125
Other Non-Operating Income/Ex...
2,000.00
Pretax Income
-0.851072
Provision for Income Tax
0.00
Net Income Available to Commo...
-0.851072
Net Income
-0.851072
Net Income Including Noncontr...
-0.851072
Net Income from Continuing Op...
-0.851072
Basic EPS
-0.01
Basic EPS from Continuing Ope...
-0.01
Basic EPS from Discontinued O...
0.00
Diluted EPS
-0.01
Diluted EPS from Continuing O...
-0.01
Diluted EPS from Discontinued...
0.00
Basic Weighted Average Shares...
73.68707
Diluted Weighted Average Shar...
73.68707
Net Income from Continuing an...
-0.851072
Normalized Income
-0.839822
Basic EPS,Continuing and Disc...
-0.01
Diluted EPS,Continuing and Di...
-0.01
Interest and Dividend Income
6,988.00
Net Interest Income
6,988.00
Earning Before Interest and T...
-0.84881
Earning Before Interest Tax D...
-0.844179
Depreciation,Reconciled
4,631.00
Net Income from Continuing Op...
-0.851072
TotalUnusualItemsExcludingGoo...
-0.01125
TotalUnusualItems
-0.01125
Normalized Basic EPS
-0.01
Normalized Diluted EPS
-0.01
NormalizedEBITDA
-0.832929
Tax rate for calculations
0.00

SMC Efficency Ratios (29 Diciembre 2018)

Days in sales
-
Days in inventory
-
Days in payment
-
Cash conversion cycle
-
Receivable turnover
-
Inventory turnover
-
Payable turnover
-
Fixed assets turnover
-
Assets turnover
-
ROE
-0.03
ROA
-0.03
ROIC
-0.03
FCF sales ratio
-
FCF net income ratio
-
Capital expenditure sales ratio
-

SMC Financial Health Ratios (29 Diciembre 2018)

Current ratio
3.74
Quick ratio
3.57
Debt total capital ratio
-
Debt equity ratio
-
Financial leverage
1.01
Total debt to equity
0.00

SMC Avearge Growth Ratios Over 5 Years (29 Diciembre 2018)

Growth ann capital spending
-0.02
Growth ann gross profit
-
Avg gross margin
-
Avg post tax margin
-
Avg pre tax marginr
-
Avg net profit
-
Avg ret commonr
-0.04
Avg ret assets
-0.04
Avg ret invested capital
-0.04

SMC Profitability Ratios (29 Diciembre 2018)

Gross margin
-
Operating margin
-
EBT margin
-
Tax rate
-
Net margin
-
Sales per employee
-
EBIT margin
-
EBITDA margin
-
Normalized net profit margin
-
Interest coverage
-
Inc per employee tot ops
-

SMC Valuation Ratios (30 Diciembre 2018)

Sales per share
-
Growth ann sales per share 5 ye...
-
Book value per share
0.31
CF per share
-0.01
Price to EPS
-
Ratio PE 5 year high
-
Ratio PE 5 year low
-
Price to book
0.94
Price to sales
-
Price to cash flow
-
Price to free cash flow
-
Div rate
-
Dividend yield
-
Div payout tot ops
-
Div payout 5 year
-
Payout ratio
0.00
Sustainable growth rate
-0.04
Cash return
-0.13

SMC Balance Sheet 29 Diciembre 2018 (AUD)

Total Assets
26.845891
Current Assets
0.967398
Cash,Cash Equivalents,and Sho...
0.860565
Cash and Cash Equivalents
0.860565
Cash
0.860565
Receivables
0.063075
Other Receivables
0.063075
Prepaid Assets and Others
0.043758
Total Non-Current Assets
25.878493
Net Property,Plant,and Equipm...
25.804705
Gross Property,Plant,and Equi...
26.113906
Machinery,Furniture/Equipment
0.323422
Other Properties
25.790484
Accumulated Depreciation
-0.309201
Investments and Advances
0.070641
Investment in Financial Asset...
6,250.00
Trading Securities
6,250.00
OtherInvestments
0.064391
Other Non-Current Assets
3,147.00
Total Liabilities
0.279304
Current Liabilities
0.258625
Payables and Accrued Expenses
0.174324
Payables
0.174324
Other Payable
0.174324
Pension and Other Post-Retire...
0.05036
Current Debt and Capital Leas...
0.033941
Current Debt
0.033941
Other Current Borrowings
0.033941
Total Non-Current Liabilities
0.020679
Employee Benefits
0.020679
Pension and Other Postretirem...
0.020679
Total Equity
26.566587
Stockholder's Equity
26.572598
Capital Stock
55.026942
Common Stock
55.026942
Retained Earnings
-28.454344
Minority Interest
-6,011.00
Total Capitalization
26.572598
Common Stock Equity
26.572598
Net Tangible Assets
26.572598
Working Capital
0.708773
Invested Capital
26.606539
Tangible Book Value
26.572598
Total Debt
0.033941
Ordinary Shares Number
78.646161
TotalLiabilitiesAsReported
0.279304
TotalEquityAsReported
26.566587

SMC Cash Flow 29 Diciembre 2018 (AUD)

Classes of Cash Payments
-0.790704
Payments to Suppliers for Goo...
-0.790704
Interest Received, Direct
6,855.00
Cash Flow from Investing Acti...
-1.576641
Cash Flow from Continuing Inv...
-1.576641
CapitalExpenditureReported
-1.590645
Other Investing Changes,Net
0.014004
Cash Flow from Financing Acti...
2.815353
Cash Flow from Continuing Fin...
2.815353
Issuance/Payments of Debt,Net
0.024428
Issuance/Payments of Long Ter...
0.024428
Proceeds or Issuance of Long ...
0.024428
Issuance/Payments of Common S...
2.790925
Proceeds or Issuance of Commo...
2.793123
Payments for Common Stock
-2,198.00
Cash and Cash Equivalents,End...
0.860565
Change in Cash
0.454863
Cash and Cash Equivalents,Beg...
0.405702
Capital Expenditure
-1.590645
Issuance of Capital Stock
2.793123
Issuance of Debt
0.024428
Repurchase of Capital Stock
-2,198.00
Free Cash Flow
-2.374494
ChangeinCashSupplementalAsRep...
0.454863
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