Dome Gold Mines Ltd

  • IPO date:
  • Sector: Basic Materials
  • GIC Group: Materials
  • Industry: Other Industrial Metals & Mining
  • Company website

Company description

Dome Gold Mines Ltd, together with its subsidiaries, engages in the exploration and evaluation of mineral projects in Fiji. It explores for gold, copper, and silver deposits, as well as mineral sands. The company holds 100% interests in three special prospecting licenses (SPLs), including the SPL 1495 Sigatoka Iron and Industrial Sand project covering an area of approximately 2,522.69 hectares, which is located in the south coast of Viti Levu; the SPL 1451 Ono Island project includes an area of 3,028 hectares that is located in Ono Island; and the SPL 1452 Nadrau project covering an area of approximately 33,213 hectares, which is located in the main island of Viti Levu. Dome Gold Mines Ltd was incorporated in 2011 and is headquartered in Sydney, Australia.

Financial highlights

Market Capitalization$65.3446 million
P/E Ratio0
P/E Growth Ratio
Book Value0.101
Dividend Per Share0
Earnings Per Share-0.01
EBITDA-2,991.901
Profit Margin0
Operating Margin TTM-330.746
Return on Assets TTM-0.0503
Return on Equity TTM-0.0815
Revenue TTM9.064

Income statement highlights

All numbers are in thousands

Date Total Revenue Cost of Revenue Gross Profit Total Operating Expenses
2012-06-30
2013-06-30
2014-06-30 0 0 0 1,426.628
2015-06-30 42.76 467.33 -424.57 2,766.667
2016-06-30 318.47 655.73 -337.26 1,761.218
2017-06-30 16 523.26 -507.26 1,556.279
2018-06-30 9.38 538.98 -529.6 1,686.821
2019-06-30 5.31 579.29 -573.98 1,748.492
2020-06-30 5.04 658.66 -653.62 1,957.204
2021-06-30 2.46 613.38 -610.92 1,903.55
2022-06-30 1.71 461.91 -460.2 1,984.276
2023-06-30

Balance sheet highlights

All numbers are in thousands

Date Cash Total Assets Total Liabilities Short Term Debt Long Term Debt Common Stock
2013-06-30 3,376 4,313 69 6,217
2014-06-30 1,671.348 4,092.686 1,288.254 6,377.744
2015-06-30 2,245.95 30,006.487 2,465.274 1,848.279 1,848.28 33,769.58
2016-06-30 319.028 28,671.576 1,554.958 1,443.93 1,443.93 34,752.434
2017-06-30 1,182.258 30,189.419 1,364.397 1,217.959 1,217.96 38,120.421
2018-06-30 1,004.93 31,844.273 660.21 472.561 472.56 42,049.157
2019-06-30 19.809 32,219.322 1,325.452 50.452 995.47 43,378.192
2020-06-30 13.642 33,164.08 1,663.751 209.055 1,138.65 45,980.034
2021-06-30 200.568 33,053.687 1,189.99 0 899.45 47,261.94
2022-06-30 4,131.27 38,351.184 439.927 22.662 0 48,809.155
2023-06-30 100.465 36,110.961 574.988 16.272 286.523 49,149.196

Cash flow highlights

All numbers are in thousands

Date Net Income Total Cash Change in Cash Begin period cash End period cash Dividends
2012-06-30
2013-06-30 1,015.845
2014-06-30 -1,609.834 -1,566.54 655.503 1,015.845 1,671.348
2015-06-30 -2,654.043 -1,582.7 574.602 1,671.348 2,245.95
2016-06-30 -1,393.34 -1,546.66 -1,926.922 2,245.95 319.028
2017-06-30 -1,596.892 -1,553.381 863.23 319.028 1,182.258
2018-06-30 -1,704.321 -1,573.09 -177.328 1,182.258 1,004.93
2019-06-30 -1,770.486 -1,551.646 -985.121 1,004.93 19.809
2020-06-30 -2,003.468 -1,683.466 -6.167 19.809 13.642 -314.93
2021-06-30 -2,238.036 -1,884.854 186.926 13.642 200.568
2022-06-30 -2,001.323 -1,994.672 3,930.702 200.568 4,131.27
2023-06-30 -2,991.215 -2,001.46 -4,030.805 4,131.27 100.465