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Tempus Resources Ltd. (AU:TMR)
ASX:TMR
Holding AU:TMR?
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Tempus Resources Ltd. (TMR) Financial Statements

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Tempus Resources Ltd. Financial Overview

Tempus Resources Ltd.'s market cap is currently ―. The company's EPS TTM is AU$-0.018; its P/E ratio is -0.66; Tempus Resources Ltd. is scheduled to report earnings on ―, and the estimated EPS forecast is AU$―. See an overview of income statement, balance sheet, and cash flow financials.
Dec 23Sep 23Jun 23Mar 23Dec 22
Income Statement-
Total RevenueAU$ 5.16KAU$ 1.93KAU$ -73.10KAU$ -562.00AU$ 72.99K
Gross ProfitAU$ 5.16KAU$ 1.93KAU$ -73.10KAU$ -562.00AU$ 72.99K
EBITAU$ -565.21KAU$ -542.71KAU$ -4.35MAU$ -599.83KAU$ -145.90K
EBITDAAU$ -565.21KAU$ -539.47KAU$ -4.29MAU$ -594.47KAU$ -140.25K
Net Income Common StockholdersAU$ -565.21KAU$ -542.74KAU$ -4.67MAU$ -600.23KAU$ -146.38K
Balance Sheet-
Cash, Cash Equivalents and Short-Term InvestmentsAU$ 177.76KAU$ 558.16KAU$ 1.45MAU$ 278.85KAU$ 1.15M
Total AssetsAU$ 22.45MAU$ 22.97MAU$ 23.58MAU$ 22.88MAU$ 22.98M
Total DebtAU$ 0.00AU$ 0.00AU$ 0.00AU$ 51.57KAU$ 50.56K
Net DebtAU$ -177.76KAU$ -558.16KAU$ -1.45MAU$ -227.28KAU$ -1.10M
Total LiabilitiesAU$ 8.29MAU$ 8.51MAU$ 8.75MAU$ 4.17MAU$ 4.00M
Stockholders EquityAU$ 14.18MAU$ 14.48MAU$ 14.86MAU$ 18.73MAU$ 19.01M
Cash Flow-
Free Cash FlowAU$ -493.94KAU$ -366.63KAU$ -753.77KAU$ 3.81MAU$ -1.97M
Operating Cash FlowAU$ -493.94KAU$ -366.63KAU$ -754.16KAU$ 3.81MAU$ -1.98M
Investing Cash FlowAU$ -405.33KAU$ -652.69KAU$ -428.24KAU$ -4.56MAU$ 1.34K
Financing Cash FlowAU$ 662.04K-AU$ 2.31MAU$ 32.97KAU$ 663.15K
Currency in AUD

Tempus Resources Ltd. Earnings and Revenue History

Tempus Resources Ltd. Debt to Assets

Tempus Resources Ltd. Cash Flow

Tempus Resources Ltd. Forecast EPS vs Actual EPS

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