ADVFN Logo
Registration Strip Icon for default Register for Free to get streaming real-time quotes, interactive charts, live options flow, and more.
Peregrine Gold Ltd

Peregrine Gold Ltd (PGD)

0.11
-0.015
(-12.00%)
Closed March 10 1:00AM

Income Statement

Balance Sheet

Cash Flow

Year End June 29 2024 20202021202220232024
AUD (AUD)AUD (AUD)AUD (AUD)AUD (AUD)AUD (AUD)
Total Assets 7.18M6.84M8.41M7.91M6.59M
Total Current Assets 5.32M4.92M4.4M3.61M2.03M
Cash and Equivalents 5.32M4.83M4.33M3.49M1.91M
Total Non-Current Assets 7.18M6.47M8.18M7.3M5.99M
Total Liabilities 0372k229k605k598k
Total Current Liabilities 0372k229k470k577k
Total Non-Current Liabilities 000135k21k
Total Equity 7.18M6.47M8.18M7.3M5.99M
Common Equity 7.29M7.36M10.94M13.81M16.34M
Retained Earnings -341k-1.22M-4.36M-8.51M-12.43M