(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 | -32.39%4.29M | -32.39%4.29M | 25.52%6.34M | 25.52%6.34M | 56.29%5.05M | 56.29%5.05M | -61.31%3.23M | -61.31%3.23M | 308.01%8.35M | 308.01%8.35M |
-Cash and cash equivalents | -32.39%4.29M | -32.39%4.29M | 25.52%6.34M | 25.52%6.34M | 56.29%5.05M | 56.29%5.05M | -61.31%3.23M | -61.31%3.23M | 308.01%8.35M | 308.01%8.35M |
Receivables | 187.53%1.46M | 187.53%1.46M | -1.07%506.46K | -1.07%506.46K | 49.22%511.96K | 49.22%511.96K | -14.45%343.09K | -14.45%343.09K | -26.43%401.06K | -26.43%401.06K |
-Accounts receivable | 183.85%1.5M | 183.85%1.5M | 29.26%529.21K | 29.26%529.21K | -14.78%409.42K | -14.78%409.42K | 3.11%480.44K | 3.11%480.44K | 207.63%465.93K | 207.63%465.93K |
-Other receivables | 21.76%106.64K | 21.76%106.64K | -45.74%87.58K | -45.74%87.58K | 35.46%161.4K | 35.46%161.4K | -44.52%119.15K | -44.52%119.15K | -49.98%214.76K | -49.98%214.76K |
-Recievables adjustments allowances | -38.31%-152.59K | -38.31%-152.59K | -87.43%-110.33K | -87.43%-110.33K | 77.05%-58.86K | 77.05%-58.86K | 8.28%-256.49K | 8.28%-256.49K | -685.42%-279.63K | -685.42%-279.63K |
Prepaid assets | -69.51%132.69K | -69.51%132.69K | 82.44%435.24K | 82.44%435.24K | 23.77%238.56K | 23.77%238.56K | 17.90%192.75K | 17.90%192.75K | 11.79%163.49K | 11.79%163.49K |
Hedging assets-current | -32.30%879.44K | -32.30%879.44K | --1.3M | --1.3M | ---- | ---- | ---- | ---- | ---- | ---- |
Total current assets | -21.28%6.75M | -21.28%6.75M | 47.90%8.58M | 47.90%8.58M | 53.99%5.8M | 53.99%5.8M | -57.75%3.77M | -57.75%3.77M | 225.61%8.92M | 225.61%8.92M |
Non current assets | ||||||||||
Net PPE | -42.45%231.87K | -42.45%231.87K | -19.40%402.94K | -19.40%402.94K | -9.13%499.95K | -9.13%499.95K | -14.62%550.18K | -14.62%550.18K | 974.81%644.43K | 974.81%644.43K |
-Gross PPE | -17.67%702.33K | -17.67%702.33K | 4.25%853.1K | 4.25%853.1K | -12.54%818.35K | -12.54%818.35K | -6.44%935.65K | -6.44%935.65K | 257.49%1M | 257.49%1M |
-Accumulated depreciation | -4.51%-470.46K | -4.51%-470.46K | -41.38%-450.16K | -41.38%-450.16K | 17.40%-318.4K | 17.40%-318.4K | -8.38%-385.47K | -8.38%-385.47K | -61.81%-355.66K | -61.81%-355.66K |
Financial assets | ---- | ---- | ---- | ---- | --828K | --828K | ---- | ---- | ---- | ---- |
Goodwill and other intangible assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%34K | 0.00%34K |
-Goodwill | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%34K | 0.00%34K |
Total non current assets | -42.45%231.87K | -42.45%231.87K | -69.66%402.94K | -69.66%402.94K | 141.37%1.33M | 141.37%1.33M | -18.90%550.18K | -18.90%550.18K | 46.50%678.43K | 46.50%678.43K |
Total assets | -22.23%6.99M | -22.23%6.99M | 26.00%8.98M | 26.00%8.98M | 65.12%7.13M | 65.12%7.13M | -55.00%4.32M | -55.00%4.32M | 199.70%9.59M | 199.70%9.59M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 14.39%4.41M | 14.39%4.41M | 3,204.96%3.85M | 3,204.96%3.85M | 13.04%116.55K | 13.04%116.55K | 13.81%103.11K | 13.81%103.11K | --90.6K | --90.6K |
-Current debt | 14.48%4.26M | 14.48%4.26M | --3.72M | --3.72M | ---- | ---- | ---- | ---- | ---- | ---- |
-Current capital lease obligation | 11.79%146.4K | 11.79%146.4K | 12.36%130.96K | 12.36%130.96K | 13.04%116.55K | 13.04%116.55K | 13.81%103.11K | 13.81%103.11K | --90.6K | --90.6K |
Payables | -39.92%796.47K | -39.92%796.47K | -1.77%1.33M | -1.77%1.33M | 1.68%1.35M | 1.68%1.35M | 72.43%1.33M | 72.43%1.33M | 10.49%769.87K | 10.49%769.87K |
-accounts payable | -28.80%418.47K | -28.80%418.47K | 36.48%587.71K | 36.48%587.71K | -49.31%430.61K | -49.31%430.61K | 68.64%849.52K | 68.64%849.52K | 35.18%503.74K | 35.18%503.74K |
-Other payable | -48.79%378.01K | -48.79%378.01K | -19.70%738.09K | -19.70%738.09K | 92.31%919.13K | 92.31%919.13K | 79.59%477.95K | 79.59%477.95K | -17.90%266.14K | -17.90%266.14K |
Current provisions | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --72.63K | --72.63K |
Pension and other retirement benefit plans | -27.30%548.49K | -27.30%548.49K | 24.15%754.4K | 24.15%754.4K | 12.60%607.67K | 12.60%607.67K | 12.85%539.7K | 12.85%539.7K | 46.58%478.23K | 46.58%478.23K |
Current deferred liabilities | 531,400.75%2.13M | 531,400.75%2.13M | --401 | --401 | ---- | ---- | --13.45K | --13.45K | ---- | ---- |
Current liabilities | 32.87%7.88M | 32.87%7.88M | 186.05%5.93M | 186.05%5.93M | 4.55%2.07M | 4.55%2.07M | 40.56%1.98M | 40.56%1.98M | 37.95%1.41M | 37.95%1.41M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -47.39%136.43K | -47.39%136.43K | -29.88%259.32K | -29.88%259.32K | -21.14%369.82K | -21.14%369.82K | -15.91%468.95K | -15.91%468.95K | --557.68K | --557.68K |
-Long term capital lease obligation | -47.39%136.43K | -47.39%136.43K | -29.88%259.32K | -29.88%259.32K | -21.14%369.82K | -21.14%369.82K | -15.91%468.95K | -15.91%468.95K | --557.68K | --557.68K |
Employee benefits | 42.47%88.35K | 42.47%88.35K | -9.92%62.01K | -9.92%62.01K | 10.04%68.84K | 10.04%68.84K | 34.06%62.56K | 34.06%62.56K | 37.44%46.66K | 37.44%46.66K |
Other non current liabilities | ---- | ---- | ---- | ---- | --2.96M | --2.96M | ---- | ---- | ---- | ---- |
Total non current liabilities | -30.05%224.77K | -30.05%224.77K | -90.53%321.34K | -90.53%321.34K | 538.68%3.39M | 538.68%3.39M | -12.05%531.51K | -12.05%531.51K | 1,679.99%604.34K | 1,679.99%604.34K |
Total liabilities | 29.63%8.11M | 29.63%8.11M | 14.36%6.25M | 14.36%6.25M | 117.42%5.47M | 117.42%5.47M | 24.78%2.52M | 24.78%2.52M | 90.70%2.02M | 90.70%2.02M |
Shareholders'equity | ||||||||||
Share capital | 11.61%72.17M | 11.61%72.17M | 23.94%64.66M | 23.94%64.66M | 20.66%52.17M | 20.66%52.17M | 8.25%43.24M | 8.25%43.24M | 51.84%39.94M | 51.84%39.94M |
-common stock | 11.61%72.17M | 11.61%72.17M | 23.94%64.66M | 23.94%64.66M | 20.66%52.17M | 20.66%52.17M | 8.25%43.24M | 8.25%43.24M | 51.84%39.94M | 51.84%39.94M |
Retained earnings | -17.42%-78.16M | -17.42%-78.16M | -19.62%-66.57M | -19.62%-66.57M | -19.50%-55.65M | -19.50%-55.65M | -23.95%-46.57M | -23.95%-46.57M | -33.78%-37.57M | -33.78%-37.57M |
Gains losses not affecting retained earnings | 5.13%4.88M | 5.13%4.88M | -9.77%4.64M | -9.77%4.64M | 0.16%5.14M | 0.16%5.14M | -1.41%5.13M | -1.41%5.13M | 32.79%5.21M | 32.79%5.21M |
Total stockholders'equity | -141.09%-1.12M | -141.09%-1.12M | 64.35%2.73M | 64.35%2.73M | -7.87%1.66M | -7.87%1.66M | -76.22%1.8M | -76.22%1.8M | 253.42%7.58M | 253.42%7.58M |
Total equity | -141.09%-1.12M | -141.09%-1.12M | 64.35%2.73M | 64.35%2.73M | -7.87%1.66M | -7.87%1.66M | -76.22%1.8M | -76.22%1.8M | 253.42%7.58M | 253.42%7.58M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
No Data
No Data