Barton Gold Holdings logo
BGD

Barton Gold Holdings

Materials

Barton Gold Holdings is an Australian precious metals developer focused on gold and silver production. The company operates in South Australia's Gawler Craton, owning the region's only gold mill and targeting a dual hub-and-spoke model at its Central Gawler Mill and planned Tunkillia Project.

Short position

short percentage0.02%
reported shorts49.4K
shares on issue271.036M

Barton Gold Holdings (ASX:BGD) has 0.02% of its shares on issue reported as short positions as of 5 Oct 2026, or about 49,429 shares. Over the past 30 days that figure has been broadly flat, and over 90 days it has been broadly flat. Its highest recorded short interest was 2.46% in January 2017. BGD is classified in the Materials industry. All figures come from official ASIC short position reports, published with a four trading-day (T+4) delay.

Price & short interest

Toggle series, zoom, and compare · ASIC daily, T+4

Barton Gold Holdings (BGD) financials

Results, ratios and statements

Latest result

Year to 30 Jun 2026 (FY26) vs FY25, figures in AUD, the reporting currency · Company filing, 30 Sep 2026

Revenue
n/avs $0 (source: ASX (Markit)) (FY25)
NPAT
−$22.4M (source: Company filing (extracted))vs −$1.8M (source: ASX (Markit)) (FY25)
Company filing (extracted), as at 1 Oct 2026
EPS (basic)
n/avs −$0.008 (source: Derived: trailing 12 months at year end) (FY25)
Rev YoY
n/aFY
EPS YoY
n/aTTM
  • ASX (Markit)
  • Company filing (extracted)
  • Derived: trailing 12 months at year end

Summary of Annual Report to shareholders, 30 Sep 2026

Barton Gold reported a net loss of $22.4 million for the year ended 30 June 2026, compared to a $1.8 million loss in the prior year, reflecting increased exploration and project expenditure. No dividend was declared. The company is advancing its Tunkillia project toward a Pre-feasibility Study and evaluating recommissioning its Central Gawler Mill, with a focus on transitioning from developer to producer.

Automated summary of the filing; the filing itself is the record.

Key ratios

Year to 30 Jun 2025 (FY); no balance sheet aligned with this period; prices to 9 Oct 2026

Gross margin
n/a
Operating margin
n/a
Net margin
n/a
FCF margin
n/a
ROE
n/a
ROA
n/a
FCF conversion
n/a
Net debt (excl. leases)
n/a
Net debt / EBITDA
n/a
Current ratio
n/a
Interest cover
n/a
Cash dividends paid / net profit
n/a
Market cap
n/a (no share count we can vouch for)
P/E
n/a
P/B
n/a (no share count we can vouch for)

Ratios use the reporting currency (AUD); market cap is in AUD. Source: ASX (Markit), as at 29 Sep 2026.

Financial statements

Figures in AUD, the reporting currency; Yahoo Finance unless marked

BGD income, newest period first, figures in AUD
Line itemFY26FY25FY24FY23
Revenuen/a$0 (source: ASX (Markit))$0 (source: ASX (Markit))$0 (source: ASX (Markit))
Operating incomen/an/a−$9.6M−$8.2M
EBITDAn/an/a−$8.6M−$5.0M
EBITn/an/a−$8.8M−$5.1M
Interest expensen/an/a$553.0K$556.0K
Pretax incomen/an/a−$9.4M−$5.7M
Taxn/an/a$0$0
NPAT−$22.4M (source: Company filing (extracted))−$1.8M (source: ASX (Markit))−$9.4M−$5.7M
Net interest incomen/an/a−$261.0K−$320.0K
EPS basicn/a−$0.008 (source: Derived: trailing 12 months at year end)−$0.047−$0.032
EPS dilutedn/a−$0.008 (source: Derived: trailing 12 months at year end)−$0.047−$0.032
Sharesn/an/a218.7M190.4M
  • ASX (Markit)
  • Company filing (extracted)
  • Derived: trailing 12 months at year end