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Sun 16 May 2021 - 05:46:am (Sydney)

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CASSIUS MINING LIMITEDCMDMaterials

CMD Company Information

Name:

Cassius Mining Limited

Sector:

Basic Materials

Industry:

Other Industrial Metals & Mining

GIC Industry:

Metals & Mining

GIC Sub Industry:

Diversified Metals & Mining

Address:

3 Spring Street Sydney NSW Australia 2000

Phone:

61 2 8226 3323

Independent Exec. Chairman & CEO:

Mr. James Socrates Arkoudis B.Law, B.Com

MD & Independent Exec. Director:

Mr. Anthony Joseph Karam LLB, B.Bus, B.Com (Fin)

Technical Director & Independent Non-Exec. Director:

Mr. David Chidlow

Company Sec. & Non-Exec. Director:

Mr. Wayne John Kernaghan A.C.A., A.C.I.S., B.Bus, ACA, FAICD, ACIS

Head of Country Operations - Madagascar:

Mr. Robert Owen Barnes

Chief Geologist:

Mr. Willet Angongo

Company Overview:

Cassius Mining Limited engages in the mining, exploration, and development of industrial minerals in Australia and Africa. The company operates through two segments, Industrial Minerals Development and Mining Exploration. It holds interest in the Soalara limestone project covering an area of 1,875 hectares located in the south-west of Madagascar; and Gbane gold project covering an area of 13.791 square kilometers located in the Upper East region in northeastern Ghana. The company was formerly known as Gulf Industrials Limited and changed its name to Cassius Mining Limited in December 2017. Cassius Mining Limited was incorporated in 2005 and is based in Sydney, Australia.

CMD Share Price Information

Shares Issued:

287.25M

Market Capitalisation:

$5.46M

Revenue (TTM):

$178.09K

Revenue Per Share (TTM):

$0

Earnings per Share:

$-0.002

Operating Margin (TTM):

$-0.48

Return On Assets (TTM):

$-0.01

Return On Equity (TTM):

$-1.49

Quarterly Revenue Growth (YOY):

576.889

Gross Profit(TTM):

$74.25K

Diluted Earnings Per Share (TTM):

$-0.018

CMD CashFlow Statement

CashFlow Date:

2020-06-30

Investments:

$-198,999

Change To Liabilities:

$5.95K

Total Cashflow From Investing Activities:

$-198,999

Net Income:

$-10,628,147

Total Cash From Operating Activities:

$-206,334

Other Cashflow From Investing Activities:

$-199,000

Change To Account Receivables:

$-1,732

Sale Purchase Of Stock:

$156K

Capital Expenditures:

$0

CMD Income Statement

Income Date:

2020-06-30

Income Before Tax:

$-10,628,150

Net Income:

$-10,628,150

Operating Income:

$-10,628,150

Total Revenue:

$74.25K

CMD Balance Sheet

Balance Sheet Date:

2020-06-30

Total Liabilities:

$35.01K

Total Stockholder Equity:

$0.98M

Total Assets:

$1.02M

Common Stock:

$45.44M

Retained Earnings:

$-45,021,529

Cash:

$98.85K

Total Current Liabilities:

$35.01K

Property - Plant & Equipment:

$0.92M

Net Tangible Assets:

$0.98M

Total Current Assets:

$101.17K

Net Receivables:

$2.32K

Short-Term Investments:

$0.92M

Accounts Payable:

$35.01K

Short-Term Investments:

$0.92

Non Current Liabilities Total:

$0

CMD Share Price History

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