ADVFN Logo
Registration Strip Icon for discussion Register to chat with like-minded investors on our interactive forums.
Resimac Group Limited

Resimac Group Limited (RMC)

0.92
0.01
(1.10%)
Closed November 29 12:00AM

Income Statement

Balance Sheet

Cash Flow

Year End June 29 2024 20172018201920202021202220232024
AUD (AUD)AUD (AUD)AUD (AUD)AUD (AUD)AUD (AUD)AUD (AUD)AUD (AUD)AUD (AUD)
Total Assets 6.93B8.97B10.72B13.03B14.63B16.74B14.94B15.09B
Total Current Assets 00000000
Cash and Equivalents 184.75M197.24M223.29M364.49M618.31M931.28M1.09B871M
Securities 62.45M260k5.12M7.18M15.08M23.48M28.59M18.66M
Loans 6.64B8.63B10.34B12.51B13.91B15.67B13.74B14.1B
Total Liabilities 6.79B8.81B10.52B12.79B14.31B16.36B14.53B14.68B
Total Deposits 00000000
Total Equity 141.21M162.73M196.12M241.69M321.14M378.07M415.38M416.36M
Common Equity 174.76M177.34M180.55M181.9M183.01M181M173.53M173.92M
Retained Earnings 31.14M49.94M84.31M128.69M219.13M288.6M322.87M327.36M

Your Recent History

Delayed Upgrade Clock