ANDEAN SILVER LIMITED (ASL)
Share Price Analysis and Chart
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ASL - ANDEAN SILVER LIMITED
FNArena Sector :
Gold & Silver
Year End: June
GICS Industry Group : Materials
Debt/EBITDA: -0.02
Index:
FNArena Sector : Gold & Silver
Year End: June
GICS Industry Group : Materials
Debt/EBITDA: -0.02
LAST PRICE | CHANGE +/- | CHANGE % | VOLUME |
---|---|---|---|
$0.93
15 Nov |
0.010 OPEN $0.94 |
1.09% HIGH $0.98 |
843,188 LOW $0.93 |
OTHER COMPANIES IN THE SAME SECTOR | |||
A1M . AAM . ADT . ALK . AMI . BC8 . BEZ . BGL . BTR . CAI . CEL . CMM . CNB . CVV . CYL . DEG . EMR . EVN . EVR . FFM . FFM . FND . GMD . GOR . GPR . HGO . IGO . KCN . KGL . MAU . MEI . NEM . NST . NVA . OBM . PDI . PNR . PRU . RMS . RRL . RSG . RXL . SBM . SMI . SPR . SSR . STM . STN . SVL . TBR . TCG . TRE . TTM . VAU . WAF . WGX . |
FNARENA'S MARKET CONSENSUS FORECASTS
- No Record -
Last ex-div: 08/10 - ex-div 3.5c (franking 100%)
HISTORICAL DATA ARE ALL IN AUD
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Title | 2022 | 2023 | 2024 |
---|---|---|---|
EPS Basic | xxx | xxx | -15.0 |
DPS All | xxx | xxx | 0.0 |
Sales/Revenue | xxx | xxx | 0.0 M |
Book Value Per Share | xxx | xxx | 14.9 |
Net Operating Cash Flow | xxx | xxx | -3.9 M |
Net Profit Margin | xxx | xxx | - |
EPS Basic
DPS All
Sales/Revenue
Book Value Per Share
Net Operating Cash Flow
Net Profit Margin
Title | 2022 | 2023 | 2024 |
---|---|---|---|
Return on Capital Employed | xxx | xxx | -97.02 % |
Return on Invested Capital | xxx | xxx | -96.88 % |
Return on Assets | xxx | xxx | -48.39 % |
Return on Equity | xxx | xxx | -97.02 % |
Return on Total Capital | xxx | xxx | -83.34 % |
Free Cash Flow ex dividends | xxx | xxx | -4.0 M |
Return on Capital Employed
Return on Invested Capital
Return on Assets
Return on Equity
Return on Total Capital
Free Cash Flow ex dividends
Title | 2022 | 2023 | 2024 |
---|---|---|---|
Short-Term Debt | xxx | xxx | 0 M |
Long Term Debt | xxx | xxx | 0 M |
Total Debt | xxx | xxx | 0 M |
Goodwill - Gross | xxx | xxx | - |
Cash & Equivalents - Generic | xxx | xxx | 10 M |
Price To Book Value | xxx | xxx | 5.31 |
Short-Term Debt
Long Term Debt
Total Debt
Goodwill - Gross
Cash & Equivalents - Generic
Price To Book Value
Title | 2022 | 2023 | 2024 |
---|---|---|---|
Capex | xxx | xxx | 2.1 M |
Capex % of Sales | xxx | xxx | - |
Cost of Goods Sold | xxx | xxx | 0 M |
Selling, General & Admin. Exp & Other | xxx | xxx | 9 M |
Research & Development | xxx | xxx | - |
Investments - Total | xxx | xxx | 0 M |
Capex
Capex % of Sales
Cost of Goods Sold
Selling, General & Admin. Exp & Other
Research & Development
Investments - Total
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