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MMI Metro Mining Ltd

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  • 0.048
  • +0.005+11.63%
20min DelayMarket Closed Apr 24 16:00 AET
292.41MMarket Cap-12.00P/E (Static)

Metro Mining Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 30, 2024
(FY)Dec 30, 2023
(FY)Dec 30, 2022
(FY)Dec 30, 2021
(FY)Dec 30, 2020
(FY)Dec 30, 2019
(FY)Dec 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities
38.93%315.2M
18.57%226.87M
31.61%191.35M
7.84%145.39M
-35.40%134.83M
148.65%208.71M
28,922.05%83.94M
14.66%289.22K
-41.62%252.24K
-60.71%432.03K
Revenue from customers
38.93%315.2M
19.25%226.87M
31.01%190.25M
7.80%145.22M
-35.43%134.71M
148.54%208.61M
28,922.05%83.94M
14.66%289.22K
-41.62%252.24K
-7.25%432.03K
Other cash income from operating activities
----
----
536.42%1.1M
47.86%173K
17.00%117K
--100K
----
----
----
----
Cash paid
-25.19%-268.69M
-11.42%-214.62M
-18.14%-192.62M
-20.78%-163.04M
21.06%-134.99M
-112.89%-170.99M
-2,032.71%-80.32M
-20.23%-3.77M
10.76%-3.13M
-39.37%-3.51M
Payments to suppliers for goods and services
-25.19%-268.69M
-11.42%-214.62M
-18.14%-192.62M
-20.78%-163.04M
21.06%-134.99M
-112.89%-170.99M
-2,032.71%-80.32M
-20.23%-3.77M
10.76%-3.13M
-39.37%-3.51M
Direct interest received
98.39%123K
-31.87%62K
550.00%91K
-80.56%14K
-67.71%72K
8.25%223K
-8.02%206K
121.32%223.96K
-64.41%101.19K
-12.17%284.35K
Operating cash flow
278.68%46.64M
1,137.57%12.32M
93.27%-1.19M
-19,075.00%-17.64M
-100.24%-92K
892.73%37.94M
217.49%3.82M
-17.05%-3.25M
0.52%-2.78M
-155.10%-2.79M
Investing cash flow
Cash flow from continuing investing activities
-3.39%-37.54M
-442.38%-36.31M
-82.25%-6.69M
-183.63%-3.67M
144.48%4.39M
-167.98%-9.88M
93.00%-3.69M
-1,849.99%-52.65M
-67.49%-2.7M
35.79%-1.61M
Capital expenditure reported
74.50%-228K
-473.08%-894K
65.71%-156K
-116.67%-455K
80.13%-210K
-304.98%-1.06M
93.88%-261K
-35.13%-4.26M
-26.51%-3.15M
-2.38%-2.49M
Net PPE purchase and sale
-48.30%-17.15M
-329.73%-11.56M
11.42%-2.69M
-29.44%-3.04M
72.42%-2.35M
-139.92%-8.51M
-3,059.83%-3.55M
-113.02%-112.25K
3,872.51%862.02K
-153.92%-22.85K
Net intangibles purchas and sale
----
----
----
----
----
----
----
----
----
--377.09K
Net business purchase and sale
----
---11.72M
----
----
----
----
----
---34.36M
----
----
Net investment purchase and sale
-1.76%-11.92M
---11.72M
----
----
----
----
----
-2,098.18%-8.96M
---407.49K
----
Net other investing changes
32.10%-8.24M
-215.34%-12.13M
-2,037.22%-3.85M
-102.59%-180K
2,356.17%6.95M
-350.41%-308K
102.48%123K
-877.46%-4.95M
20.91%637.29K
--527.09K
Cash from discontinued investing activities
Investing cash flow
-3.39%-37.54M
-442.38%-36.31M
-82.25%-6.69M
-183.63%-3.67M
144.48%4.39M
-167.98%-9.88M
93.00%-3.69M
-1,849.99%-52.65M
-67.49%-2.7M
35.79%-1.61M
Financing cash flow
Cash flow from continuing financing activities
-48.94%12.24M
214.31%23.96M
-16.79%7.62M
186.54%9.16M
36.66%-10.59M
-5,703.82%-16.72M
-100.42%-288K
1,258.53%68.56M
5.05M
Net issuance payments of debt
-130.35%-11.93M
337.55%39.31M
898.67%8.99M
-63.28%-1.13M
84.18%-689K
---4.36M
----
--13.15M
----
----
Net common stock issuance
--51.01M
----
-19.17%19.84M
1,227,100.00%24.54M
-100.63%-2K
-92.67%315K
-92.81%4.3M
1,084.54%59.78M
--5.05M
----
Interest paid (cash flow from financing activities)
-228.46%-13.13M
44.40%-4M
-51.64%-7.19M
18.00%-4.74M
17.21%-5.78M
-155.77%-6.99M
-58.81%-2.73M
---1.72M
----
----
Net other financing activities
44.19%-13.71M
12.30%-24.56M
-47.25%-28.01M
-132.66%-19.02M
28.36%-8.18M
-207.93%-11.41M
-39.41%-3.71M
---2.66M
----
----
Cash from discontinued financing activities
Financing cash flow
-48.94%12.24M
214.31%23.96M
-16.79%7.62M
186.54%9.16M
36.66%-10.59M
-5,703.82%-16.72M
-100.42%-288K
1,258.53%68.56M
--5.05M
----
Net cash flow
Beginning cash position
2.76%12.07M
-15.39%11.75M
-45.44%13.88M
-21.81%25.45M
39.29%32.55M
0.31%23.37M
767.82%23.3M
-13.87%2.68M
-58.57%3.12M
-32.40%7.52M
Current changes in cash
76,296.43%21.34M
89.11%-28K
97.89%-257K
-93.29%-12.15M
-155.38%-6.29M
7,617.88%11.35M
-101.19%-151K
3,029.27%12.66M
90.19%-432.24K
-22.19%-4.41M
Effect of exchange rate changes
-728.69%-2.21M
118.72%352K
-419.73%-1.88M
172.32%588K
62.57%-813K
-1,073.99%-2.17M
--223K
----
----
----
End cash Position
158.43%31.19M
2.76%12.07M
-15.39%11.75M
-45.44%13.88M
-21.81%25.45M
39.29%32.55M
52.27%23.37M
471.68%15.35M
-13.87%2.68M
-58.57%3.12M
Free cash from
20,706.34%29.26M
96.48%-142K
80.93%-4.03M
-675.34%-21.16M
-109.62%-2.73M
218,169.23%28.38M
100.17%13K
-29.20%-7.68M
-11.99%-5.95M
-50.02%-5.31M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 30, 2024(FY)Dec 30, 2023(FY)Dec 30, 2022(FY)Dec 30, 2021(FY)Dec 30, 2020(FY)Dec 30, 2019(FY)Dec 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015
Operating cash flow (direct method)
Cash income from operating activities 38.93%315.2M18.57%226.87M31.61%191.35M7.84%145.39M-35.40%134.83M148.65%208.71M28,922.05%83.94M14.66%289.22K-41.62%252.24K-60.71%432.03K
Revenue from customers 38.93%315.2M19.25%226.87M31.01%190.25M7.80%145.22M-35.43%134.71M148.54%208.61M28,922.05%83.94M14.66%289.22K-41.62%252.24K-7.25%432.03K
Other cash income from operating activities --------536.42%1.1M47.86%173K17.00%117K--100K----------------
Cash paid -25.19%-268.69M-11.42%-214.62M-18.14%-192.62M-20.78%-163.04M21.06%-134.99M-112.89%-170.99M-2,032.71%-80.32M-20.23%-3.77M10.76%-3.13M-39.37%-3.51M
Payments to suppliers for goods and services -25.19%-268.69M-11.42%-214.62M-18.14%-192.62M-20.78%-163.04M21.06%-134.99M-112.89%-170.99M-2,032.71%-80.32M-20.23%-3.77M10.76%-3.13M-39.37%-3.51M
Direct interest received 98.39%123K-31.87%62K550.00%91K-80.56%14K-67.71%72K8.25%223K-8.02%206K121.32%223.96K-64.41%101.19K-12.17%284.35K
Operating cash flow 278.68%46.64M1,137.57%12.32M93.27%-1.19M-19,075.00%-17.64M-100.24%-92K892.73%37.94M217.49%3.82M-17.05%-3.25M0.52%-2.78M-155.10%-2.79M
Investing cash flow
Cash flow from continuing investing activities -3.39%-37.54M-442.38%-36.31M-82.25%-6.69M-183.63%-3.67M144.48%4.39M-167.98%-9.88M93.00%-3.69M-1,849.99%-52.65M-67.49%-2.7M35.79%-1.61M
Capital expenditure reported 74.50%-228K-473.08%-894K65.71%-156K-116.67%-455K80.13%-210K-304.98%-1.06M93.88%-261K-35.13%-4.26M-26.51%-3.15M-2.38%-2.49M
Net PPE purchase and sale -48.30%-17.15M-329.73%-11.56M11.42%-2.69M-29.44%-3.04M72.42%-2.35M-139.92%-8.51M-3,059.83%-3.55M-113.02%-112.25K3,872.51%862.02K-153.92%-22.85K
Net intangibles purchas and sale --------------------------------------377.09K
Net business purchase and sale -------11.72M-----------------------34.36M--------
Net investment purchase and sale -1.76%-11.92M---11.72M---------------------2,098.18%-8.96M---407.49K----
Net other investing changes 32.10%-8.24M-215.34%-12.13M-2,037.22%-3.85M-102.59%-180K2,356.17%6.95M-350.41%-308K102.48%123K-877.46%-4.95M20.91%637.29K--527.09K
Cash from discontinued investing activities
Investing cash flow -3.39%-37.54M-442.38%-36.31M-82.25%-6.69M-183.63%-3.67M144.48%4.39M-167.98%-9.88M93.00%-3.69M-1,849.99%-52.65M-67.49%-2.7M35.79%-1.61M
Financing cash flow
Cash flow from continuing financing activities -48.94%12.24M214.31%23.96M-16.79%7.62M186.54%9.16M36.66%-10.59M-5,703.82%-16.72M-100.42%-288K1,258.53%68.56M5.05M
Net issuance payments of debt -130.35%-11.93M337.55%39.31M898.67%8.99M-63.28%-1.13M84.18%-689K---4.36M------13.15M--------
Net common stock issuance --51.01M-----19.17%19.84M1,227,100.00%24.54M-100.63%-2K-92.67%315K-92.81%4.3M1,084.54%59.78M--5.05M----
Interest paid (cash flow from financing activities) -228.46%-13.13M44.40%-4M-51.64%-7.19M18.00%-4.74M17.21%-5.78M-155.77%-6.99M-58.81%-2.73M---1.72M--------
Net other financing activities 44.19%-13.71M12.30%-24.56M-47.25%-28.01M-132.66%-19.02M28.36%-8.18M-207.93%-11.41M-39.41%-3.71M---2.66M--------
Cash from discontinued financing activities
Financing cash flow -48.94%12.24M214.31%23.96M-16.79%7.62M186.54%9.16M36.66%-10.59M-5,703.82%-16.72M-100.42%-288K1,258.53%68.56M--5.05M----
Net cash flow
Beginning cash position 2.76%12.07M-15.39%11.75M-45.44%13.88M-21.81%25.45M39.29%32.55M0.31%23.37M767.82%23.3M-13.87%2.68M-58.57%3.12M-32.40%7.52M
Current changes in cash 76,296.43%21.34M89.11%-28K97.89%-257K-93.29%-12.15M-155.38%-6.29M7,617.88%11.35M-101.19%-151K3,029.27%12.66M90.19%-432.24K-22.19%-4.41M
Effect of exchange rate changes -728.69%-2.21M118.72%352K-419.73%-1.88M172.32%588K62.57%-813K-1,073.99%-2.17M--223K------------
End cash Position 158.43%31.19M2.76%12.07M-15.39%11.75M-45.44%13.88M-21.81%25.45M39.29%32.55M52.27%23.37M471.68%15.35M-13.87%2.68M-58.57%3.12M
Free cash from 20,706.34%29.26M96.48%-142K80.93%-4.03M-675.34%-21.16M-109.62%-2.73M218,169.23%28.38M100.17%13K-29.20%-7.68M-11.99%-5.95M-50.02%-5.31M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP

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