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St. Barbara Ltd. (STBMF)
OTHER OTC:STBMF
US Market

St. Barbara (STBMF) Financial Statements

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St. Barbara Financial Overview

St. Barbara's market cap is currently $201.26M. The company's EPS TTM is $-0.046; its P/E ratio is ―; St. Barbara is scheduled to report earnings on ―, and the estimated EPS forecast is $―. See an overview of income statement, balance sheet, and cash flow financials.
Jun 24Jun 23Jun 22Jun 21Jun 20
Income Statement
Total RevenueAU$ 223.60MAU$ 323.85MAU$ 201.27MAU$ 740.25MAU$ 811.14M
Gross ProfitAU$ -23.12MAU$ 1.61MAU$ -70.81MAU$ 153.94MAU$ 235.41M
Operating IncomeAU$ -69.08MAU$ -62.53MAU$ -111.73MAU$ 77.10MAU$ 173.87M
EBITDAAU$ -41.96MAU$ -583.93MAU$ -25.48MAU$ -61.90MAU$ 341.07M
Net IncomeAU$ -53.91MAU$ -489.91MAU$ -160.82MAU$ -176.60MAU$ 128.23M
Balance Sheet
Cash & Short-Term InvestmentsAU$ 145.87MAU$ 293.94MAU$ 98.51MAU$ 133.37MAU$ 411.54M
Total AssetsAU$ 568.63MAU$ 917.91MAU$ 1.60BAU$ 1.64BAU$ 2.18B
Total DebtAU$ 7.53MAU$ 12.88MAU$ 171.64MAU$ 109.25MAU$ 331.77M
Net DebtAU$ -138.34MAU$ -281.07MAU$ 73.13MAU$ -24.12MAU$ -73.78M
Total LiabilitiesAU$ 219.34MAU$ 524.46MAU$ 489.67MAU$ 522.09MAU$ 826.04M
Stockholders' EquityAU$ 349.29MAU$ 393.45MAU$ 1.11BAU$ 1.11BAU$ 1.35B
Cash Flow
Free Cash FlowAU$ -90.25MAU$ -33.80MAU$ -51.14MAU$ 93.67MAU$ 145.18M
Operating Cash FlowAU$ -57.41MAU$ 51.90MAU$ 87.66MAU$ 227.10MAU$ 279.53M
Investing Cash FlowAU$ -36.14MAU$ 285.89MAU$ -170.01MAU$ -199.26MAU$ -896.88M
Financing Cash FlowAU$ -3.54MAU$ -197.94MAU$ 38.43MAU$ -293.78MAU$ 147.37M
Currency in AUD

St. Barbara Earnings and Revenue History

St. Barbara Debt to Assets

St. Barbara Cash Flow

St. Barbara Forecast EPS vs Actual EPS

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