SLD 0.42 ▲0.00% MBG 0.21 ▲0.00% FDC 3.93 ▼-0.76% LF1 1.87 ▼-2.12% LGF 2.38 ▲0.86% DN1 98.00 ▼-0.17% WMX 1.58 ▼-2.46% RG8 2.52 ▲0.40% CTS 0.89 ▲2.89% TET 0.42 ▲1.20% MRE 1.68 ▲0.00% BST 0.27 ▲3.85% EFR 0.01 ▲0.00% RIV 1.20 ▼-0.42% KIT 1.80 ▲0.56% EMUCA 0.89 RF1 3.38 ▲0.00% AIX 9.00 ▲0.22% SLD 0.42 ▲0.00% MBG 0.21 ▲0.00% FDC 3.93 ▼-0.76% LF1 1.87 ▼-2.12% LGF 2.38 ▲0.86% DN1 98.00 ▼-0.17% WMX 1.58 ▼-2.46% RG8 2.52 ▲0.40% CTS 0.89 ▲2.89% TET 0.42 ▲1.20% MRE 1.68 ▲0.00% BST 0.27 ▲3.85% EFR 0.01 ▲0.00% RIV 1.20 ▼-0.42% KIT 1.80 ▲0.56% EMUCA 0.89 RF1 3.38 ▲0.00% AIX 9.00 ▲0.22%

GT3 Green360 Technologies LImited

Industrials · Conglomerates · website
$0.03
52wk 0.03 – 0.05
Overall
53.9
Value
84.4
Growth
53.8
Health
86.5
Quality
0.0
Momentum
24.1
Dividend
—
Price
About Green360 Technologies LImited

Green360 Technologies Limited operates as a hydrous kaolin producer and exploration company in Australia, New Zealand, Asia, and internationally. The company also explores for silica sand deposits. Its products are used in adhesive, ink, paint, paper and board, pharmaceutical, and rubber applications. In addition, the company provides low carbon cement, and concrete products. The company was formerly known as Suvo Strategic Minerals Limited and changed its name to Green360 Technologies Limited in March 2025. Green360 Technologies LImited is based in Perth, Australia.

Price analytics

Returns

1 day 0.0%
1 week 11.5%
1 month -3.3%
3 months 3.6%
6 months -9.4%
1 year -6.5%
3 years 0.0%

Risk

Volatility (1y ann.) 79.7%
Beta vs ASX 200 0.82
Sharpe (1y) 0.25
VaR 95% (1-day) -7.3%
Max drawdown (1y) -47.9%
Off 1-year high -39.6%

Technicals

RSI(14) 67
vs 50DMA 2.7%
vs 200DMA -12.2%
Trend Death cross
Fundamental trends
Financial statements
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Scoring breakdown (2 Oct 2026)
Value 84.4
Trailing P/E
—
Forward P/E
—
PEG ratio
—
EV / EBITDA
100
Price / Book
71
Price / Sales
72
Growth 53.8
Revenue growth (1y)
54
Revenue CAGR (3y)
—
EPS growth (1y)
—
EPS CAGR (3y)
—
Financial Health 86.5
Net debt / EBITDA
—
Interest coverage (EBIT/interest)
—
Current ratio
70
Debt / Equity
100
Quality (Profitability & Cash Flow) 0.0
Return on equity
0
Return on assets
0
Operating margin
0
Net margin
0
Cash conversion (OCF / net income)
—
Dividend / Income —
No meaningful dividend — pillar excluded from the overall score.
Momentum 24.1
6-month return vs ASX 200
15
Price vs 200-day average
9
Price vs 50-day average
64
Position in 52-week range
17

Hover a row's info icon for the exact rule. Bounds and weights are configurable in the Django admin (Scoring configuration).

Score history
Key metrics
Market cap
$38.78M
P/E (trailing)
—
P/E (forward)
—
EPS (trailing)
0.00
Dividend yield
—
Payout ratio
0.0%
Beta
—
EV / EBITDA
-8.80
Price / Book
2.90
ROE
-34.9%
Operating margin
-42.4%
Net margin
-37.1%
Total cash
$3.20M
Total debt
$664,576
Current ratio
1.98
Debt / Equity
0.05
Free cash flow
$-4.93M
Avg volume
700,444
Latest annual results (FY ending 30 Jun 2025)
  • Revenue—
  • Gross profit—
  • Operating income—
  • Net income—
  • Diluted EPS-0.00
  • Free cash flow—
  • Net debt—
Sector peers (Industrials)
TickerMkt cap P/EScore
TCL $40.91B 109.2 29.1
BXB $25.26B 19.0 54.6
QAN $13.30B 10.5 48.5
AIA $11.49B 42.3 39.0
IFT $11.18B 50.9 36.5
ALQ $10.64B 33.3 52.8
REH $10.30B 33.5 49.3
QUB $9.12B 42.6 37.9