Sheffield Resources Limited Annual Report 2025

CORPORATE DIRECTORY SHAREHOLDER INFORMATION CONTENTS FINANCIAL STATEMENTS YEAR IN REVIEW DIRECTORS’ REPORT Consolidated Statement of Financial Position as at 30 June 2025 Note 2025 $’000 2024 $’000 ASSETS Current assets Cash and cash equivalents 10 7,088 9,878 Trade and other receivables 11 35 53 Total Current Assets 7,123 9,931 Non-current assets Investment in joint venture 8 103,328 123,800 Financial assets at fair value through profit or loss - CMET 12 2,581 1,072 Exploration and evaluation assets 13 3,774 3,774 Total non-current assets 109,683 128,646 TOTAL ASSETS 116,806 138,577 LIABILITIES Current liabilities Trade and other payables 14 116 304 Provisions 15 127 143 Total current liabilities 243 447 Total liabilities 243 447 Net assets 116,563 138,130 Equity Issued capital 16 156,224 155,674 Reserves 17 13,965 14,032 Accumulated losses 18 (53,626) (31,576) Total equity 116,563 138,130 The consolidated statement of financial position should be read in conjunction with the accompanying notes. 43 Sheffield Resources Limited Annual Report 2025

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