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SFR Sandfire Resources Ltd

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  • 9.170
  • -0.630-6.43%
20min DelayNot Open May 23 16:00 AET
4.19BMarket Cap-51807P/E (Static)

Sandfire Resources Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities
-24.28%726.36M
49.99%959.3M
44.46%639.59M
7.02%442.75M
-7.51%413.7M
8.85%447.3M
13.62%410.95M
-12.97%361.68M
-15.74%415.6M
15.09%493.26M
Revenue from customers
-24.28%726.36M
49.99%959.3M
44.46%639.59M
7.02%442.75M
-7.51%413.7M
8.85%447.3M
13.62%410.95M
-12.97%361.68M
-15.74%415.6M
15.09%493.26M
Cash paid
-26.53%-552.37M
-69.94%-436.54M
-19.23%-256.88M
-1.51%-215.44M
5.39%-212.23M
0.17%-224.34M
8.65%-224.71M
-2.09%-245.98M
15.57%-240.96M
-40.07%-285.41M
Payments to suppliers for goods and services
-33.87%-519.7M
-90.99%-388.2M
-15.49%-203.25M
-2.13%-175.99M
11.74%-172.33M
2.38%-195.24M
9.76%-200M
-0.31%-221.64M
15.19%-220.95M
-41.99%-260.53M
Other cash payments from operating activities
32.41%-32.68M
9.85%-48.35M
-35.94%-53.63M
1.14%-39.45M
-37.17%-39.91M
-17.74%-29.09M
-1.49%-24.71M
-21.66%-24.35M
19.56%-20.01M
-22.73%-24.88M
Direct interest received
195.99%3.62M
-20.00%1.22M
-35.88%1.53M
-29.47%2.38M
69.92%3.38M
85.83%1.99M
4.63%1.07M
-15.69%1.02M
-43.19%1.21M
-39.50%2.13M
Direct tax refund paid
54.08%-60.98M
-337.90%-132.79M
27.28%-30.32M
27.44%-41.7M
-27.72%-57.47M
-112.12%-45M
-26.82%-21.21M
-317.11%-16.73M
---4.01M
----
Operating cash flow
-70.19%116.62M
10.53%391.19M
88.26%353.92M
27.57%187.99M
-18.11%147.37M
8.34%179.95M
66.11%166.09M
-41.81%99.99M
-18.16%171.84M
-8.05%209.99M
Investing cash flow
Cash flow from continuing investing activities
81.77%-297.47M
-1,524.01%-1.63B
18.20%-100.49M
-3.38%-122.85M
-62.60%-118.83M
-14.49%-73.08M
-5.66%-63.84M
28.26%-60.41M
13.36%-84.21M
43.53%-97.2M
Capital expenditure reported
77.97%-1.52M
-8.99%-6.88M
-18.95%-6.31M
-818.09%-5.3M
2.17%-577.78K
-383.38%-590.61K
-140.61%-122.18K
22.11%-50.78K
97.80%-65.2K
---2.96M
Net PPE purchase and sale
-63.22%-325.47M
-135.28%-199.41M
-16.02%-84.75M
36.32%-73.05M
-79.99%-114.72M
-0.21%-63.74M
-0.79%-63.61M
12.25%-63.11M
19.21%-71.92M
48.09%-89.03M
Net intangibles purchas and sale
----
----
----
----
----
----
----
-308.93%-15.68K
95.47%-3.84K
-14.63%-84.73K
Net business purchase and sale
----
---1.49B
----
---30.65M
----
----
----
--2.76M
----
----
Net investment purchase and sale
-96.62%2.3M
830.75%68.25M
32.55%-9.34M
-292.12%-13.85M
59.69%-3.53M
-8,406.43%-8.76M
---102.97K
----
-138.62%-12.22M
-835.20%-5.12M
Net other investing changes
17,680.39%27.2M
269.70%153K
---90.16K
----
----
--7.35K
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
81.77%-297.47M
-1,524.01%-1.63B
18.20%-100.49M
-3.38%-122.85M
-62.60%-118.83M
-14.49%-73.08M
-5.66%-63.84M
28.26%-60.41M
13.36%-84.21M
43.53%-97.2M
Financing cash flow
Cash flow from continuing financing activities
-109.63%-124.39M
3,432.03%1.29B
-10.25%-38.76M
-39.25%-35.16M
-18.92%-25.25M
61.85%-21.23M
20.45%-55.65M
-41.01%-69.96M
62.16%-49.62M
-69.19%-131.13M
Net issuance payments of debt
-140.54%-195.62M
--482.53M
----
----
----
----
26.50%-38.42M
-70.39%-52.27M
73.93%-30.68M
-98.40%-117.69M
Net common stock issuance
-85.14%132.01M
63,941.38%888.23M
429.80%1.39M
-93.71%261.79K
23.74%4.16M
158.95%3.36M
19,422.65%1.3M
-100.26%-6.72K
--2.63M
----
Cash dividends paid
----
-43.92%-42.4M
-14.70%-29.46M
11.58%-25.69M
-19.22%-29.05M
-42.17%-24.37M
-20.44%-17.14M
6.70%-14.23M
---15.25M
----
Interest paid (cash flow from financing activities)
-1,906.62%-40.03M
-318.15%-2M
29.51%-477.1K
-496.55%-676.81K
-100.58%-113.45K
93.76%-56.56K
64.22%-906.77K
51.19%-2.53M
58.17%-5.19M
44.32%-12.41M
Net other financing activities
40.45%-20.75M
-241.34%-34.84M
-12.73%-10.21M
-3,636.50%-9.05M
-44.68%-242.32K
65.18%-167.49K
47.37%-481.05K
18.37%-914.06K
-8.92%-1.12M
-21.01%-1.03M
Cash from discontinued financing activities
Financing cash flow
-109.63%-124.39M
3,432.03%1.29B
-10.25%-38.76M
-39.25%-35.16M
-18.92%-25.25M
61.85%-21.23M
20.45%-55.65M
-41.01%-69.96M
62.16%-49.62M
-69.19%-131.13M
Net cash flow
Beginning cash position
7.37%463.09M
97.18%431.31M
28.65%218.75M
-0.24%170.03M
83.06%170.44M
82.96%93.1M
-36.41%50.89M
81.16%80.02M
-39.12%44.17M
-20.80%72.56M
Current changes in cash
-701.80%-305.24M
-76.37%50.72M
615.99%214.67M
813.19%29.98M
-96.17%3.28M
83.76%85.63M
253.36%46.6M
-179.93%-30.39M
307.28%38.02M
13.82%-18.34M
Effect of exchange rate changes
15.97%-15.92M
-701.58%-18.94M
-5,928.69%-2.36M
109.55%40.54K
-1,255.49%-424.41K
138.55%36.73K
47.05%-95.29K
---179.97K
----
----
End cash Position
-69.35%141.94M
7.43%463.09M
115.47%431.05M
15.44%200.05M
-3.06%173.3M
83.56%178.78M
96.94%97.4M
-39.83%49.45M
51.58%82.19M
-22.91%54.22M
Free cash from
-213.77%-210.36M
-29.65%184.91M
139.97%262.83M
242.46%109.53M
-72.21%31.98M
12.62%115.1M
180.06%102.2M
-63.44%36.49M
-15.34%99.82M
107.69%117.91M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015(FY)Jun 30, 2014
Operating cash flow (direct method)
Cash income from operating activities -24.28%726.36M49.99%959.3M44.46%639.59M7.02%442.75M-7.51%413.7M8.85%447.3M13.62%410.95M-12.97%361.68M-15.74%415.6M15.09%493.26M
Revenue from customers -24.28%726.36M49.99%959.3M44.46%639.59M7.02%442.75M-7.51%413.7M8.85%447.3M13.62%410.95M-12.97%361.68M-15.74%415.6M15.09%493.26M
Cash paid -26.53%-552.37M-69.94%-436.54M-19.23%-256.88M-1.51%-215.44M5.39%-212.23M0.17%-224.34M8.65%-224.71M-2.09%-245.98M15.57%-240.96M-40.07%-285.41M
Payments to suppliers for goods and services -33.87%-519.7M-90.99%-388.2M-15.49%-203.25M-2.13%-175.99M11.74%-172.33M2.38%-195.24M9.76%-200M-0.31%-221.64M15.19%-220.95M-41.99%-260.53M
Other cash payments from operating activities 32.41%-32.68M9.85%-48.35M-35.94%-53.63M1.14%-39.45M-37.17%-39.91M-17.74%-29.09M-1.49%-24.71M-21.66%-24.35M19.56%-20.01M-22.73%-24.88M
Direct interest received 195.99%3.62M-20.00%1.22M-35.88%1.53M-29.47%2.38M69.92%3.38M85.83%1.99M4.63%1.07M-15.69%1.02M-43.19%1.21M-39.50%2.13M
Direct tax refund paid 54.08%-60.98M-337.90%-132.79M27.28%-30.32M27.44%-41.7M-27.72%-57.47M-112.12%-45M-26.82%-21.21M-317.11%-16.73M---4.01M----
Operating cash flow -70.19%116.62M10.53%391.19M88.26%353.92M27.57%187.99M-18.11%147.37M8.34%179.95M66.11%166.09M-41.81%99.99M-18.16%171.84M-8.05%209.99M
Investing cash flow
Cash flow from continuing investing activities 81.77%-297.47M-1,524.01%-1.63B18.20%-100.49M-3.38%-122.85M-62.60%-118.83M-14.49%-73.08M-5.66%-63.84M28.26%-60.41M13.36%-84.21M43.53%-97.2M
Capital expenditure reported 77.97%-1.52M-8.99%-6.88M-18.95%-6.31M-818.09%-5.3M2.17%-577.78K-383.38%-590.61K-140.61%-122.18K22.11%-50.78K97.80%-65.2K---2.96M
Net PPE purchase and sale -63.22%-325.47M-135.28%-199.41M-16.02%-84.75M36.32%-73.05M-79.99%-114.72M-0.21%-63.74M-0.79%-63.61M12.25%-63.11M19.21%-71.92M48.09%-89.03M
Net intangibles purchas and sale -----------------------------308.93%-15.68K95.47%-3.84K-14.63%-84.73K
Net business purchase and sale -------1.49B-------30.65M--------------2.76M--------
Net investment purchase and sale -96.62%2.3M830.75%68.25M32.55%-9.34M-292.12%-13.85M59.69%-3.53M-8,406.43%-8.76M---102.97K-----138.62%-12.22M-835.20%-5.12M
Net other investing changes 17,680.39%27.2M269.70%153K---90.16K----------7.35K----------------
Cash from discontinued investing activities
Investing cash flow 81.77%-297.47M-1,524.01%-1.63B18.20%-100.49M-3.38%-122.85M-62.60%-118.83M-14.49%-73.08M-5.66%-63.84M28.26%-60.41M13.36%-84.21M43.53%-97.2M
Financing cash flow
Cash flow from continuing financing activities -109.63%-124.39M3,432.03%1.29B-10.25%-38.76M-39.25%-35.16M-18.92%-25.25M61.85%-21.23M20.45%-55.65M-41.01%-69.96M62.16%-49.62M-69.19%-131.13M
Net issuance payments of debt -140.54%-195.62M--482.53M----------------26.50%-38.42M-70.39%-52.27M73.93%-30.68M-98.40%-117.69M
Net common stock issuance -85.14%132.01M63,941.38%888.23M429.80%1.39M-93.71%261.79K23.74%4.16M158.95%3.36M19,422.65%1.3M-100.26%-6.72K--2.63M----
Cash dividends paid -----43.92%-42.4M-14.70%-29.46M11.58%-25.69M-19.22%-29.05M-42.17%-24.37M-20.44%-17.14M6.70%-14.23M---15.25M----
Interest paid (cash flow from financing activities) -1,906.62%-40.03M-318.15%-2M29.51%-477.1K-496.55%-676.81K-100.58%-113.45K93.76%-56.56K64.22%-906.77K51.19%-2.53M58.17%-5.19M44.32%-12.41M
Net other financing activities 40.45%-20.75M-241.34%-34.84M-12.73%-10.21M-3,636.50%-9.05M-44.68%-242.32K65.18%-167.49K47.37%-481.05K18.37%-914.06K-8.92%-1.12M-21.01%-1.03M
Cash from discontinued financing activities
Financing cash flow -109.63%-124.39M3,432.03%1.29B-10.25%-38.76M-39.25%-35.16M-18.92%-25.25M61.85%-21.23M20.45%-55.65M-41.01%-69.96M62.16%-49.62M-69.19%-131.13M
Net cash flow
Beginning cash position 7.37%463.09M97.18%431.31M28.65%218.75M-0.24%170.03M83.06%170.44M82.96%93.1M-36.41%50.89M81.16%80.02M-39.12%44.17M-20.80%72.56M
Current changes in cash -701.80%-305.24M-76.37%50.72M615.99%214.67M813.19%29.98M-96.17%3.28M83.76%85.63M253.36%46.6M-179.93%-30.39M307.28%38.02M13.82%-18.34M
Effect of exchange rate changes 15.97%-15.92M-701.58%-18.94M-5,928.69%-2.36M109.55%40.54K-1,255.49%-424.41K138.55%36.73K47.05%-95.29K---179.97K--------
End cash Position -69.35%141.94M7.43%463.09M115.47%431.05M15.44%200.05M-3.06%173.3M83.56%178.78M96.94%97.4M-39.83%49.45M51.58%82.19M-22.91%54.22M
Free cash from -213.77%-210.36M-29.65%184.91M139.97%262.83M242.46%109.53M-72.21%31.98M12.62%115.1M180.06%102.2M-63.44%36.49M-15.34%99.82M107.69%117.91M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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