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Ragusa Minerals Ltd (AU:RAS)
:RAS
Australian Market

Ragusa Minerals Ltd (RAS) Financial Statements

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Ragusa Minerals Ltd Financial Overview

Ragusa Minerals Ltd's market cap is currently AU$3.28M. The company's EPS TTM is AU$-0.014; its P/E ratio is ―; Ragusa Minerals Ltd is scheduled to report earnings on March 6, 2025, and the estimated EPS forecast is AU$―. See an overview of income statement, balance sheet, and cash flow financials.
Jun 24Jun 23Jun 22Jun 21Jun 20
Income Statement
Total RevenueAU$ 12.68KAU$ 44.95KAU$ 14.75KAU$ 6.72KAU$ -159.24K
Gross ProfitAU$ -264.18KAU$ -43.68KAU$ -123.25KAU$ -54.09KAU$ -203.90K
Operating IncomeAU$ -756.45KAU$ -912.98KAU$ -1.50MAU$ -534.61KAU$ -259.54K
EBITDAAU$ -710.13KAU$ -934.20KAU$ 0.00AU$ 0.00AU$ 0.00
Net IncomeAU$ -2.12MAU$ -2.19MAU$ -1.50MAU$ -548.72KAU$ -294.71K
Balance Sheet
Cash & Short-Term InvestmentsAU$ 440.02KAU$ 1.89MAU$ 2.52MAU$ 4.20MAU$ 9.16K
Total AssetsAU$ 2.45MAU$ 4.76MAU$ 5.00MAU$ 4.86MAU$ 24.94K
Total DebtAU$ 0.00AU$ 0.00AU$ 0.00AU$ 0.00AU$ 419.13K
Net DebtAU$ -440.02KAU$ -1.89MAU$ -2.52MAU$ -4.20MAU$ 409.97K
Total LiabilitiesAU$ 80.58KAU$ 368.19KAU$ 87.67KAU$ 69.99KAU$ 602.83K
Stockholders' EquityAU$ 2.37MAU$ 4.39MAU$ 4.91MAU$ 4.79MAU$ -577.89K
Cash Flow
Free Cash FlowAU$ -1.45MAU$ -2.17MAU$ -1.90MAU$ -661.50KAU$ -191.65K
Operating Cash FlowAU$ -740.05KAU$ -766.49KAU$ -894.67KAU$ -569.50KAU$ -191.65K
Investing Cash FlowAU$ -710.28KAU$ -1.41MAU$ -1.23MAU$ -92.00KAU$ 0.00
Financing Cash FlowAU$ 0.00AU$ 1.54MAU$ 431.47KAU$ 4.85MAU$ 143.00K
Currency in AUD

Ragusa Minerals Ltd Earnings and Revenue History

Ragusa Minerals Ltd Debt to Assets

Ragusa Minerals Ltd Cash Flow

Ragusa Minerals Ltd Forecast EPS vs Actual EPS

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