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Trajan Group Holdings Ltd (AU:TRJ)
ASX:TRJ
Australian Market
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Trajan Group Holdings Ltd (TRJ) Financial Statements

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Trajan Group Holdings Ltd Financial Overview

Trajan Group Holdings Ltd's market cap is currently AU$25.99M. The company's EPS TTM is AU$-0.004; its P/E ratio is -42.50; Trajan Group Holdings Ltd is scheduled to report earnings on August 26, 2026, and the estimated EPS forecast is AU$―. See an overview of income statement, balance sheet, and cash flow financials.
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Income Statement
Total RevenueAU$ 161.38MAU$ 166.46MAU$ 155.02MAU$ 162.15MAU$ 107.57M
Gross ProfitAU$ 16.86MAU$ 63.47MAU$ 59.75MAU$ 22.93MAU$ 42.63M
Operating IncomeAU$ 4.24MAU$ 3.48MAU$ 3.39MAU$ 10.21MAU$ 2.91M
EBITDAAU$ 12.96MAU$ 8.14MAU$ -20.36MAU$ 14.16MAU$ 5.14M
Net IncomeAU$ -623.00KAU$ -4.46MAU$ -25.33MAU$ 1.89MAU$ 1.70M
Balance Sheet
Cash & Short-Term InvestmentsAU$ 12.62MAU$ 11.85MAU$ 11.24MAU$ 11.04MAU$ 13.16M
Total AssetsAU$ 183.94MAU$ 195.63MAU$ 188.00MAU$ 229.04MAU$ 206.78M
Total DebtAU$ 57.95MAU$ 55.49MAU$ 56.16MAU$ 61.30MAU$ 66.18M
Net DebtAU$ 45.33MAU$ 43.64MAU$ 44.92MAU$ 50.27MAU$ 53.02M
Total LiabilitiesAU$ 85.47MAU$ 90.01MAU$ 85.15MAU$ 99.51MAU$ 90.27M
Stockholders' EquityAU$ 98.47MAU$ 105.62MAU$ 102.85MAU$ 129.53MAU$ 116.51M
Cash Flow
Free Cash FlowAU$ -3.17MAU$ 6.74MAU$ 6.43MAU$ 998.00KAU$ -1.28M
Operating Cash FlowAU$ 242.00KAU$ 10.83MAU$ 9.47MAU$ 9.55MAU$ 2.13M
Investing Cash FlowAU$ -3.42MAU$ -4.09MAU$ -3.04MAU$ -8.55MAU$ -116.38M
Financing Cash FlowAU$ 3.36MAU$ -5.64MAU$ -6.40MAU$ -3.36MAU$ 74.69M
Currency in AUD

Trajan Group Holdings Ltd Earnings and Revenue History

Trajan Group Holdings Ltd Debt to Assets

Trajan Group Holdings Ltd Cash Flow

Trajan Group Holdings Ltd Forecast EPS vs Actual EPS