Mining

Gold Road Resources Limited (ASX:GOR)

Industry Group : Materials | Industry Group Name : Metals & Mining

Market Price : AUD 1.425-0.025 (1.724%)

(as on 2022-01-19 20:56:10 AEDT)

Market Cap : AUD 1.257 B

Dividend Yield (Annualized) : 1.380%

Previous Close Open Close* Day Range 52 WEEK HIGH LOW
1.45 1.455 1.425 1.425L 1.455 H 1.040L 1.670 H
Last Trade 1.425
Change% -1.7241
52 W H/L 1.670/1.040
EBITDA 165.25 M
NPAT After Abnormal Items 80.818 M
Equity 419.467 M
ROE% 19.27%
Total Liabilities 207.651 M
Total Revenue 314.533 M
Cash and Cash Equivalents 126.387 M

Stock Information

Share price 1.425
Market Cap 1.257 B
Price/Gross Cash Flow 8.68
Dividend Yield Excluding Special 1.13%
Ending Shares 879.925 M
52-Week Range 1.670-1.040
P/E ratio 16.779
Sector P/E --
EPS 9.13
EV/EBITDA 6.77
Net Profit Margin (%) 27.43%
Gross Cash Flows Per Share 0.15
Net Gearing -2.48%
Gross DPS (AUD) 0.0214
Gross Dividend Yield (Annualized) 1.62%
Earnings Yield 5.960
Net Tangible Asset (NTA) 0.48
Sales Per Share 0.33
Book Value Per Share 0.48

Announcements

Heading Date/Time
Ceasing to be a substantial holder  11/11/2021 8:15AM
Completion of Dispatch of Bidder's Statement  10/11/2021 1:52PM
Acceptance of Ramelius' Offer for Apollo Consolidated Shares  10/11/2021 9:11AM
Dispatch of Bidder's Statement for Apollo Consolidated  08/11/2021 4:53PM
Update on Gold Road's Offer for Apollo Consolidated  08/11/2021 9:16AM
Notification regarding unquoted securities - GOR  29/10/2021 5:21PM
Change of Director's Interest Notice  29/10/2021 5:13PM
Change of Director's Interest Notice  29/10/2021 5:11PM
Application for quotation of securities - GOR  28/10/2021 5:47PM
Investor Presentation - Ore Reserve & Sept Quarterly Results  27/10/2021 9:28AM
Quarterly Activities and Cash Flow Report - September 2021  27/10/2021 9:28AM
Material Increase in Gruyere JV Ore Reserve  27/10/2021 9:28AM
Ore Reserve & Sept 2021 Qtr Results Conference Call Details  26/10/2021 7:57PM
Trading Halt  26/10/2021 9:31AM
Appointment of Chief Financial Officer  15/10/2021 4:15PM
Update - Dividend/Distribution - GOR  13/10/2021 6:41PM
Notification of cessation of securities - GOR  12/10/2021 6:43PM
Final Director's Interest Notice  04/10/2021 6:32PM
Gruyere Production and Production Guidance Update  04/10/2021 8:18AM
Gruyere Production Update  29/09/2021 2:41PM
Change of Director's Interest Notice  17/09/2021 6:30PM
Application for quotation of securities - GOR  14/09/2021 6:18PM
Encouraging Exploration Progress  14/09/2021 8:18AM
Investor Presentation - September 2021  09/09/2021 8:17AM
Letter to Shareholders - Dividend Reinvestment Plan  09/09/2021 8:16AM
Half Yearly Results - 30 June 2021  09/09/2021 8:16AM
Dividend/Distribution - GOR  09/09/2021 8:16AM
Half Yearly Report and Accounts - 30 June 2021  09/09/2021 8:16AM
Initial Director's Interest Notice  07/09/2021 2:36PM

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About Company

Gold Road Resources Limited (ASX: GOR) is under metals and mining sector, and the company is into Gold and minerals exploration. The company is based out of Collins Street, Perth, Australia. Across Western Australia, the company is engaged in the mineral development. Development of the Yamarna greenstone Belt which is located approximately 150 kilometers east of Laverton, is being done by the company. Including approximately 6.2 million ounces at the Gruyere deposit, its tenements contain a gold resource of approximately 6.6 million ounces. The Gruyere project, Yamarna Belt-Central Bore Trend, Yamarna Belt-Attila trend and Gold Road are the projects included in the company’s pipeline. The company was incorporated in 2004 and is pioneering development of Australia’s newest goldfield – the Yamarna Belt.

Corporate Information

company address LEVEL 2, 26 COLIN STREET, WEST PERTH, WA, AUSTRALIA, 6005

company phone(08) 9200 1600

company websitehttp://www.goldroad.com.au/

Dividends

Year-end Date Franking DPS (AUD) Dividend Yield
30/12/2020 100% 0.015 1.62%
30/12/2019 -- 0.000 0.00%
30/12/2018 -- 0.000 0.00%
30/12/2017 -- 0.000 0.00%
30/06/2016 -- 0.000 0.00%
30/06/2015 -- 0.000 0.00%
30/06/2014 -- 0.000 0.00%
30/06/2013 -- 0.000 0.00%
30/06/2012 -- 0.000 0.00%
30/06/2011 -- 0.000 0.00%

Event Calendar

Event Type Event Date Event Year
Report (Quarterly) 2022-10-26 2022
Report (Quarterly) 2022-07-27 2022
Report (Quarterly) 2022-04-19 2022
Report (Annual) 2022-03-09 2022
Report (Quarterly) 2022-01-21 2022

Financials

Breakdown 30/12/2020 30/12/2019 30/12/2018 30/12/2017 30/06/2016
Trading Revenue 294.65 M 75.444 M -- -- --
Other Revenue 19.883 M 0 204,000 665,000 462,676
Total Revenue 314.533 M 75.444 M 204,000 665,000 462,676
Interest Income 480,000 845,000 3.85 M 2.953 M 1.271 M
Interest Expenses -7.984 M -1.958 M -827,000 0 0
Expenses -143.963 M -67.274 M -36.131 M -6.721 M -11.458 M
EBITDA 170.57 M 8.17 M -35.927 M -6.056 M -10.995 M
Depreciation and Amortization -49.596 M -12.272 M -684,000 -301,000 -580,314
Depreciation -49.596 M -12.272 M -684,000 -301,000 -580,314
Amortisation 0 0 0 0 0
EBIT 120.974 M -4.102 M -36.611 M -6.357 M -11.576 M
Pre Tax Profit 113.47 M -5.215 M -33.588 M -3.404 M -10.305 M
Tax Expense -32.652 M 560,000 9.737 M 923,000 1.08 M
Net Profit After Tax 80.818 M -4.655 M -23.851 M -2.481 M -9.225 M
Minority Interest 0 0 0 0 0
Preference Dividend 0 0 0 0 0
Net Abnormal Items 0 0 0 0 0
Reported Net Profit After Abnormal Items 80.818 M -4.655 M -23.851 M -2.481 M -9.225 M
Ending Shares 879.925 M 878.902 M 877.498 M 877.09 M 868.886 M
Weighted Average Shares 885.192 M 878.902 M 877.445 M 874.819 M 716.583 M
EPS After Abnormal Items (cents) 9.13 -0.53 -2.72 -0.28 -1.29
Breakdown 30/12/2020 30/12/2019 30/12/2018 30/12/2017 30/06/2016
Total Current Assets 157.308 M 122.67 M 58.769 M 256.854 M 91.95 M
Total Non Current Assets 469.81 M 484.358 M 436.579 M 169.222 M 70.894 M
Total Assets 627.118 M 607.028 M 495.348 M 426.076 M 162.844 M
Total Current Liabilities 57.292 M 97.793 M 20.102 M 18.385 M 5.444 M
Total Non Current Liabilities 150.359 M 173.103 M 136.28 M 20.941 M 182,267
Total Liabilities 207.651 M 270.896 M 156.382 M 39.326 M 5.626 M
Net Assets 419.467 M 336.132 M 338.966 M 386.75 M 157.218 M
Breakdown 30/12/2020 30/12/2019 30/12/2018 30/12/2017 30/06/2016
Net Operating Cash 142.693 M 34.043 M -21.157 M -826,000 -2.423 M
Net Invested Cash -26.984 M -46.348 M -172.109 M 86.03 M -27.596 M
Net Financing Cash Flows -90.654 M 69.68 M 424,000 280,000 70.88 M
Beginning Cash 101.332 M 43.957 M 236.799 M 151.315 M 49.8 M
End Cash Position 126.387 M 101.332 M 43.957 M 236.799 M 90.661 M
Exchange Rate Adjustments 0 0 0 0 0
Other Cash Adjustments 0 0 0 0 0
Ending Cash 126.387 M 101.332 M 43.957 M 236.799 M 90.661 M

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