Sheffield Resources Limited

ASX:SFX Stock Report

Market Cap: AU$77.0m

Sheffield Resources Balance Sheet Health

Financial Health criteria checks 6/6

Sheffield Resources has a total shareholder equity of A$138.1M and total debt of A$0.0, which brings its debt-to-equity ratio to 0%. Its total assets and total liabilities are A$138.6M and A$447.0K respectively.

Key information

0%

Debt to equity ratio

AU$0

Debt

Interest coverage ration/a
CashAU$9.88m
EquityAU$138.13m
Total liabilitiesAU$447.00k
Total assetsAU$138.58m

Recent financial health updates

Recent updates

Sheffield Resources' (ASX:SFX) Robust Profit May Be Overstating Its True Earnings Potential

Sep 15
Sheffield Resources' (ASX:SFX) Robust Profit May Be Overstating Its True Earnings Potential

We're Not Very Worried About Sheffield Resources' (ASX:SFX) Cash Burn Rate

Mar 30
We're Not Very Worried About Sheffield Resources' (ASX:SFX) Cash Burn Rate

Read This Before Selling Sheffield Resources Limited (ASX:SFX) Shares

Feb 23
Read This Before Selling Sheffield Resources Limited (ASX:SFX) Shares

What Percentage Of Sheffield Resources Limited (ASX:SFX) Shares Do Insiders Own?

Jan 19
What Percentage Of Sheffield Resources Limited (ASX:SFX) Shares Do Insiders Own?

Are Insiders Buying Sheffield Resources Limited (ASX:SFX) Stock?

Nov 23
Are Insiders Buying Sheffield Resources Limited (ASX:SFX) Stock?

Financial Position Analysis

Short Term Liabilities: SFX's short term assets (A$9.9M) exceed its short term liabilities (A$447.0K).

Long Term Liabilities: SFX has no long term liabilities.


Debt to Equity History and Analysis

Debt Level: SFX is debt free.

Reducing Debt: SFX has not had any debt for past 5 years.


Balance Sheet


Cash Runway Analysis

For companies that have on average been loss-making in the past, we assess whether they have at least 1 year of cash runway.

Stable Cash Runway: SFX has sufficient cash runway for more than a year based on its current free cash flow.

Forecast Cash Runway: SFX has sufficient cash runway for more than 3 years if free cash flow continues to grow at historical rates of 40.3% each year


Discover healthy companies