(FY)Jun 30, 2024 | (Q4)Jun 30, 2024 | (FY)Jun 30, 2023 | (Q4)Jun 30, 2023 | (FY)Jun 30, 2022 | (Q4)Jun 30, 2022 | (FY)Jun 30, 2021 | (Q4)Jun 30, 2021 | (FY)Jun 30, 2020 | (Q4)Jun 30, 2020 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -1.46%2.9M | -1.46%2.9M | -41.15%2.94M | -41.15%2.94M | -80.75%5M | -80.75%5M | 38.45%25.98M | 38.45%25.98M | 267.14%18.77M | 267.14%18.77M |
-Cash and cash equivalents | -1.46%2.9M | -1.46%2.9M | -41.15%2.94M | -41.15%2.94M | -80.75%5M | -80.75%5M | 38.45%25.98M | 38.45%25.98M | 267.14%18.77M | 267.14%18.77M |
Receivables | -3.79%4.97M | -3.79%4.97M | -82.39%5.17M | -82.39%5.17M | 130.01%29.34M | 130.01%29.34M | 173.29%12.76M | 173.29%12.76M | -41.82%4.67M | -41.82%4.67M |
-Accounts receivable | -1.82%4.7M | -1.82%4.7M | -83.34%4.79M | -83.34%4.79M | 124.15%28.72M | 124.15%28.72M | 206.48%12.81M | 206.48%12.81M | -46.19%4.18M | -46.19%4.18M |
-Other receivables | -22.28%607K | -22.28%607K | 3.86%781K | 3.86%781K | 876.62%752K | 876.62%752K | -87.29%77K | -87.29%77K | 87.62%606K | 87.62%606K |
-Recievables adjustments allowances | 16.25%-335K | 16.25%-335K | -203.03%-400K | -203.03%-400K | 1.49%-132K | 1.49%-132K | -12.61%-134K | -12.61%-134K | -72.46%-119K | -72.46%-119K |
Inventory | -43.29%8.71M | -43.29%8.71M | -46.70%15.37M | -46.70%15.37M | 73.12%28.83M | 73.12%28.83M | -0.92%16.65M | -0.92%16.65M | 74.97%16.81M | 74.97%16.81M |
Prepaid assets | -37.04%3.25M | -37.04%3.25M | -39.82%5.17M | -39.82%5.17M | 68.78%8.59M | 68.78%8.59M | 119.93%5.09M | 119.93%5.09M | -15.68%2.31M | -15.68%2.31M |
Other current assets | -13.08%93K | -13.08%93K | -13.71%107K | -13.71%107K | -15.07%124K | -15.07%124K | -51.33%146K | -51.33%146K | 19.05%300K | 19.05%300K |
Total current assets | -30.68%19.93M | -30.68%19.93M | -60.01%28.75M | -60.01%28.75M | 18.57%71.89M | 18.57%71.89M | 41.47%60.63M | 41.47%60.63M | 66.52%42.86M | 66.52%42.86M |
Non current assets | ||||||||||
Net PPE | -24.05%5.03M | -24.05%5.03M | -16.12%6.63M | -16.12%6.63M | 45.82%7.9M | 45.82%7.9M | -53.39%5.42M | -53.39%5.42M | 594.92%11.63M | 594.92%11.63M |
-Gross PPE | -2.30%15.23M | -2.30%15.23M | -3.72%15.59M | -3.72%15.59M | 46.34%16.19M | 46.34%16.19M | -31.05%11.07M | -31.05%11.07M | 497.77%16.05M | 497.77%16.05M |
-Accumulated depreciation | -13.78%-10.2M | -13.78%-10.2M | -8.10%-8.96M | -8.10%-8.96M | -46.84%-8.29M | -46.84%-8.29M | -27.64%-5.65M | -27.64%-5.65M | -337.15%-4.42M | -337.15%-4.42M |
Investments and advances | ---- | ---- | 6,321.43%1.8M | 6,321.43%1.8M | --28K | --28K | ---- | ---- | ---- | ---- |
-Other investment | ---- | ---- | 6,321.43%1.8M | 6,321.43%1.8M | --28K | --28K | ---- | ---- | ---- | ---- |
Goodwill and other intangible assets | ---- | ---- | ---- | ---- | 15.06%28.94M | 15.06%28.94M | 0.22%25.15M | 0.22%25.15M | 196.22%25.1M | 196.22%25.1M |
-Goodwill | ---- | ---- | ---- | ---- | 0.00%15.07M | 0.00%15.07M | 0.00%15.07M | 0.00%15.07M | --15.07M | --15.07M |
-Other intangible assets | ---- | ---- | ---- | ---- | 37.55%13.87M | 37.55%13.87M | 0.56%10.08M | 0.56%10.08M | 18.37%10.03M | 18.37%10.03M |
Total non current assets | -40.26%5.03M | -40.26%5.03M | -77.15%8.43M | -77.15%8.43M | 20.60%36.87M | 20.60%36.87M | -16.75%30.57M | -16.75%30.57M | 261.97%36.72M | 261.97%36.72M |
Total assets | -32.85%24.96M | -32.85%24.96M | -65.82%37.18M | -65.82%37.18M | 19.25%108.75M | 19.25%108.75M | 14.60%91.2M | 14.60%91.2M | 121.78%79.58M | 121.78%79.58M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -75.93%1.05M | -75.93%1.05M | -65.82%4.37M | -65.82%4.37M | 2,108.29%12.79M | 2,108.29%12.79M | -53.53%579K | -53.53%579K | -16.93%1.25M | -16.93%1.25M |
-Current debt | -95.95%136K | -95.95%136K | -71.47%3.36M | -71.47%3.36M | --11.77M | --11.77M | ---- | ---- | -90.73%139K | -90.73%139K |
-Current capital lease obligation | -9.40%916K | -9.40%916K | -0.30%1.01M | -0.30%1.01M | 75.13%1.01M | 75.13%1.01M | -47.70%579K | -47.70%579K | --1.11M | --1.11M |
Payables | -18.77%11.31M | -18.77%11.31M | -40.07%13.92M | -40.07%13.92M | 11.93%23.23M | 11.93%23.23M | 93.79%20.75M | 93.79%20.75M | 1.78%10.71M | 1.78%10.71M |
-accounts payable | -23.19%9.56M | -23.19%9.56M | -43.96%12.45M | -43.96%12.45M | 24.06%22.22M | 24.06%22.22M | 81.12%17.91M | 81.12%17.91M | 0.35%9.89M | 0.35%9.89M |
-Other payable | 18.65%1.74M | 18.65%1.74M | 45.30%1.47M | 45.30%1.47M | -64.45%1.01M | -64.45%1.01M | 246.41%2.84M | 246.41%2.84M | 22.90%821K | 22.90%821K |
Current provisions | 133.14%3.97M | 133.14%3.97M | 75.10%1.7M | 75.10%1.7M | 36.52%972K | 36.52%972K | 209.57%712K | 209.57%712K | 15.00%230K | 15.00%230K |
Pension and other retirement benefit plans | -24.04%635K | -24.04%635K | -7.73%836K | -7.73%836K | 27.43%906K | 27.43%906K | 35.43%711K | 35.43%711K | 28.05%525K | 28.05%525K |
Current deferred liabilities | --1.46M | --1.46M | ---- | ---- | --8.69M | --8.69M | ---- | ---- | ---- | ---- |
Current liabilities | -11.57%18.42M | -11.57%18.42M | -55.29%20.83M | -55.29%20.83M | 104.72%46.58M | 104.72%46.58M | 79.03%22.75M | 79.03%22.75M | 0.62%12.71M | 0.62%12.71M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -20.38%4.11M | -20.38%4.11M | -7.09%5.17M | -7.09%5.17M | 112.74%5.56M | 112.74%5.56M | -68.46%2.61M | -68.46%2.61M | --8.29M | --8.29M |
-Long term capital lease obligation | -20.38%4.11M | -20.38%4.11M | -7.09%5.17M | -7.09%5.17M | 112.74%5.56M | 112.74%5.56M | -68.46%2.61M | -68.46%2.61M | --8.29M | --8.29M |
Long term accounts payable and other payables | ---- | ---- | -10.51%1.32M | -10.51%1.32M | 29.16%1.48M | 29.16%1.48M | --1.14M | --1.14M | ---- | ---- |
Long term provisions | ---- | ---- | -38.89%55K | -38.89%55K | 38.46%90K | 38.46%90K | -40.91%65K | -40.91%65K | --110K | --110K |
Employee benefits | 130.56%83K | 130.56%83K | -20.00%36K | -20.00%36K | 9.76%45K | 9.76%45K | 105.00%41K | 105.00%41K | -52.38%20K | -52.38%20K |
Non current deferred liabilities | ---- | ---- | ---- | ---- | -12.53%761K | -12.53%761K | -16.59%870K | -16.59%870K | --1.04M | --1.04M |
Total non current liabilities | -36.20%4.2M | -36.20%4.2M | -17.07%6.58M | -17.07%6.58M | 67.62%7.93M | 67.62%7.93M | -49.98%4.73M | -49.98%4.73M | 22,426.19%9.46M | 22,426.19%9.46M |
Total liabilities | -17.48%22.61M | -17.48%22.61M | -49.73%27.41M | -49.73%27.41M | 98.33%54.51M | 98.33%54.51M | 23.97%27.49M | 23.97%27.49M | 74.94%22.17M | 74.94%22.17M |
Shareholders'equity | ||||||||||
Share capital | 12.35%134.04M | 12.35%134.04M | 16.40%119.3M | 16.40%119.3M | 0.73%102.49M | 0.73%102.49M | 0.21%101.75M | 0.21%101.75M | 130.47%101.54M | 130.47%101.54M |
-common stock | 12.35%134.04M | 12.35%134.04M | 16.40%119.3M | 16.40%119.3M | 0.73%102.49M | 0.73%102.49M | 0.21%101.75M | 0.21%101.75M | 130.47%101.54M | 130.47%101.54M |
Retained earnings | -19.86%-134.93M | -19.86%-134.93M | -118.54%-112.57M | -118.54%-112.57M | -25.19%-51.51M | -25.19%-51.51M | 8.81%-41.15M | 8.81%-41.15M | -95.97%-45.12M | -95.97%-45.12M |
Gains losses not affecting retained earnings | 6.78%3.25M | 6.78%3.25M | -6.75%3.04M | -6.75%3.04M | 4.76%3.26M | 4.76%3.26M | 213.08%3.11M | 213.08%3.11M | -54.34%994K | -54.34%994K |
Total stockholders'equity | -75.95%2.35M | -75.95%2.35M | -81.99%9.77M | -81.99%9.77M | -14.87%54.24M | -14.87%54.24M | 10.98%63.71M | 10.98%63.71M | 147.36%57.41M | 147.36%57.41M |
Total equity | -75.95%2.35M | -75.95%2.35M | -81.99%9.77M | -81.99%9.77M | -14.87%54.24M | -14.87%54.24M | 10.98%63.71M | 10.98%63.71M | 147.36%57.41M | 147.36%57.41M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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