(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 | ||||||||||
Cash, cash equivalents and federal funds sold | 7.28%61.96M | 7.28%61.96M | -59.83%57.76M | -59.83%57.76M | 230.22%143.78M | 230.22%143.78M | 844.10%43.54M | 844.10%43.54M | 224.10%4.61M | 224.10%4.61M |
-Cash and cash equivalents | 7.28%61.96M | 7.28%61.96M | -59.83%57.76M | -59.83%57.76M | 230.22%143.78M | 230.22%143.78M | 844.10%43.54M | 844.10%43.54M | 224.10%4.61M | 224.10%4.61M |
Securities and investments | 62.93%89.5M | 62.93%89.5M | -19.21%54.94M | -19.21%54.94M | 282.65%68M | 282.65%68M | 217.11%17.77M | 217.11%17.77M | 99.79%5.6M | 99.79%5.6M |
-Trading securities | 62.93%89.5M | 62.93%89.5M | -19.21%54.94M | -19.21%54.94M | 282.65%68M | 282.65%68M | 217.11%17.77M | 217.11%17.77M | 99.79%5.6M | 99.79%5.6M |
Long term equity investment | -8.37%109.02M | -8.37%109.02M | 98.13%118.98M | 98.13%118.98M | -62.41%60.05M | -62.41%60.05M | 12.82%159.74M | 12.82%159.74M | -10.32%141.59M | -10.32%141.59M |
Receivables | -86.59%346K | -86.59%346K | 176.23%2.58M | 176.23%2.58M | -30.30%934K | -30.30%934K | 811.56%1.34M | 811.56%1.34M | 37.38%147K | 37.38%147K |
-Other receivables | -86.59%346K | -86.59%346K | 176.23%2.58M | 176.23%2.58M | -30.30%934K | -30.30%934K | 811.56%1.34M | 811.56%1.34M | 37.38%147K | 37.38%147K |
Deferred assets | 138.49%6.63M | 138.49%6.63M | -42.83%2.78M | -42.83%2.78M | -65.30%4.86M | -65.30%4.86M | -29.08%14.01M | -29.08%14.01M | 22.33%19.76M | 22.33%19.76M |
Total assets | 12.84%267.46M | 12.84%267.46M | -14.62%237.03M | -14.62%237.03M | 17.44%277.63M | 17.44%277.63M | 37.67%236.41M | 37.67%236.41M | -3.73%171.72M | -3.73%171.72M |
Liabilities | ||||||||||
Payables | 298.98%8.24M | 298.98%8.24M | -80.84%2.06M | -80.84%2.06M | 38.72%10.77M | 38.72%10.77M | 3,842.13%7.77M | 3,842.13%7.77M | -95.45%197K | -95.45%197K |
-Accounts payable | -96.04%79K | -96.04%79K | 8,959.09%1.99M | 8,959.09%1.99M | -92.79%22K | -92.79%22K | 201.98%305K | 201.98%305K | -97.60%101K | -97.60%101K |
-Other payable | 11,387.32%8.16M | 11,387.32%8.16M | -99.34%71K | -99.34%71K | 44.10%10.75M | 44.10%10.75M | 7,671.88%7.46M | 7,671.88%7.46M | -14.29%96K | -14.29%96K |
Current deferred liabilities | --5.45M | --5.45M | ---- | ---- | --30.39M | --30.39M | ---- | ---- | ---- | ---- |
Non current deferred liabilities | 38.17%20.66M | 38.17%20.66M | 26.90%14.95M | 26.90%14.95M | -67.88%11.78M | -67.88%11.78M | 19.17%36.69M | 19.17%36.69M | 6.37%30.78M | 6.37%30.78M |
Total liabilities | 101.80%34.34M | 101.80%34.34M | -67.86%17.02M | -67.86%17.02M | 19.11%52.95M | 19.11%52.95M | 43.48%44.45M | 43.48%44.45M | -6.87%30.98M | -6.87%30.98M |
Shareholders'equity | ||||||||||
Share capital | 1.45%151.15M | 1.45%151.15M | 3.75%148.98M | 3.75%148.98M | 0.51%143.6M | 0.51%143.6M | 19.83%142.87M | 19.83%142.87M | 2.37%119.23M | 2.37%119.23M |
-common stock | 1.45%151.15M | 1.45%151.15M | 3.75%148.98M | 3.75%148.98M | 0.51%143.6M | 0.51%143.6M | 19.83%142.87M | 19.83%142.87M | 2.37%119.23M | 2.37%119.23M |
Retained earnings | 15.40%81.97M | 15.40%81.97M | -12.40%71.03M | -12.40%71.03M | 65.20%81.09M | 65.20%81.09M | 128.25%49.09M | 128.25%49.09M | -24.88%21.51M | -24.88%21.51M |
Total stockholders'equity | 5.96%233.12M | 5.96%233.12M | -2.08%220.01M | -2.08%220.01M | 17.05%224.69M | 17.05%224.69M | 36.39%191.96M | 36.39%191.96M | -3.01%140.74M | -3.01%140.74M |
Total equity | 5.96%233.12M | 5.96%233.12M | -2.08%220.01M | -2.08%220.01M | 17.05%224.69M | 17.05%224.69M | 36.39%191.96M | 36.39%191.96M | -3.01%140.74M | -3.01%140.74M |
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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