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%

LKY Locksley Resources Limited

Basic Materials · Other Precious Metals & Mining · website
$0.06
52wk 0.04 – 0.65
Overall
41.6
Value
72.4
Growth
0.0
Health
100.0
Quality
0.0
Momentum
19.7
Dividend
—
Price
About Locksley Resources Limited

Locksley Resources Limited engages in the acquisition, exploration, and development of mineral resources projects in Australia and the United States. The company primarily explores for copper, antimony, and gold deposits, as well as rare earth elements. It holds interests in the Tottenham project, which comprises four granted exploration licenses covering an area of approximately 470 square kilometers located in the Cobar-Girilambone District in Central New South Wales; and the Mojave project that includes 297 claims covering an area of approximately 20 square kilometers located in California. It also holds 100% interest in the Iron Duke Copper Gold Project located in New South Wales, Australia. The company has a strategic collaboration with Columbia University to develop methods for recovering and processing rare earth elements and critical metals for its Mojave Project. The company was incorporated in 2018 and is based in Northbridge, Australia.

Commodity exposure

Primary exposure: Gold (detected from the company profile: gold)

Gold primary
4,213.80 USD/oz
1m: -3.5% · 1y: 9.7%
Copper
6.58 USD/lb
1m: 1.3% · 1y: 34.4%
Rare Earths (REMX ETF proxy)
62.95 USD (ETF)
1m: -17.4% · 1y: -7.4%
Price analytics

Returns

1 day -1.5%
1 week 3.2%
1 month 23.1%
3 months 6.7%
6 months -64.4%
1 year -87.6%
3 years 60.0%

Risk

Volatility (1y ann.) 101.9%
Beta vs ASX 200 2.05
Sharpe (1y) -1.57
VaR 95% (1-day) -9.5%
Max drawdown (1y) -92.2%
Off 1-year high -90.0%

Technicals

RSI(14) 60
vs 50DMA 7.9%
vs 200DMA -48.7%
Trend Death cross
Fundamental trends
Financial statements
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Scoring breakdown (2 Oct 2026)
Value 72.4
Trailing P/E
—
Forward P/E
—
PEG ratio
—
EV / EBITDA
100
Price / Book
99
Price / Sales
0
Growth 0.0
Revenue growth (1y)
0
Revenue CAGR (3y)
—
EPS growth (1y)
—
EPS CAGR (3y)
—
Financial Health 100.0
Net debt / EBITDA
—
Interest coverage (EBIT/interest)
—
Current ratio
100
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 19.7
6-month return vs ASX 200
0
Price vs 200-day average
0
Price vs 50-day average
90
Position in 52-week range
4

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
$24.05M
P/E (trailing)
—
P/E (forward)
—
EPS (trailing)
-0.04
Dividend yield
—
Payout ratio
0.0%
Beta
—
EV / EBITDA
-1.09
Price / Book
0.88
ROE
-108.6%
Operating margin
-2,271.7%
Net margin
0.0%
Total cash
$8.94M
Total debt
$108,872
Current ratio
29.91
Debt / Equity
0.01
Free cash flow
$-12.24M
Avg volume
3.88M
Latest annual results (FY ending 30 Jun 2025)
  • Revenue—
  • Gross profit—
  • Operating income—
  • Net income—
  • Diluted EPS-0.01
  • Free cash flow—
  • Net debt—
Sector peers (Basic Materials)
TickerMkt cap P/EScore
BHP $311.13B 22.0 68.1
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NST $34.22B 20.7 76.0
EVN $26.76B 17.9 79.4
S32 $22.08B 14.5 67.1
JHX $20.94B 112.7 45.6