(FY)Jun 30, 2024 | (FY)Jun 30, 2023 | (FY)Jun 30, 2022 | (FY)Jun 30, 2021 | (FY)Jun 30, 2020 | (FY)Jun 30, 2019 | (FY)Jun 30, 2018 | (FY)Jun 30, 2017 | (FY)Jun 30, 2016 | (FY)Jun 30, 2015 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (direct method) | ||||||||||
Cash income from operating activities | 42.70%1.18B | 50.61%827.55M | 17.04%549.46M | -4.13%469.48M | -5.38%489.71M | 10.60%517.55M | 15.88%467.93M | 7.25%403.82M | 11.24%376.5M | 33.07%338.46M |
Revenue from customers | 42.70%1.18B | 50.61%827.55M | 17.04%549.46M | -4.13%469.48M | -5.38%489.71M | 10.60%517.55M | 15.88%467.93M | 7.25%403.82M | 11.24%376.5M | 33.07%338.46M |
Cash paid | -43.31%-619.59M | -52.81%-432.35M | -31.69%-282.94M | 22.14%-214.85M | 15.94%-275.96M | -10.98%-328.3M | -25.74%-295.82M | -11.79%-235.27M | -13.29%-210.46M | -56.46%-185.77M |
Payments to suppliers for goods and services | -43.31%-619.59M | -52.81%-432.35M | -31.69%-282.94M | 22.14%-214.85M | 15.94%-275.96M | -10.98%-328.3M | -25.74%-295.82M | -11.79%-235.27M | -13.29%-210.46M | -56.46%-185.77M |
Direct tax refund paid | -6.87%-102.53M | -52.58%-95.94M | -11.59%-62.88M | -33.19%-56.35M | 26.29%-42.31M | -8.75%-57.39M | -20.58%-52.77M | -0.76%-43.77M | 14.63%-43.44M | -48.24%-50.88M |
Operating cash flow | 53.31%458.79M | 46.95%299.26M | 2.70%203.64M | 15.66%198.28M | 30.02%171.44M | 10.49%131.85M | -4.36%119.33M | 1.77%124.78M | 20.43%122.61M | 3.16%101.81M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 91.14%-137.61M | -86.94%-1.55B | -1,519.77%-831.06M | -71.88%-51.31M | -254.68%-29.85M | 96.48%-8.42M | -1,504.26%-239.1M | 145.72%17.03M | 40.59%-37.24M | 56.29%-62.69M |
Net PPE purchase and sale | -14.66%-9.88M | -16.85%-8.61M | -200.61%-7.37M | 72.32%-2.45M | -133.75%-8.86M | -12.16%-3.79M | -43.36%-3.38M | 31.48%-2.36M | -408.88%-3.44M | 28.69%-676K |
Net intangibles purchas and sale | -15.63%-90.26M | -93.27%-78.06M | -31.91%-40.39M | -24.81%-30.62M | -376.63%-24.53M | 1.29%-5.15M | -1,011.73%-5.21M | 46.77%-469K | 17.28%-881K | -23.98%-1.07M |
Net business purchase and sale | 97.78%-35.22M | -86.63%-1.58B | -4,394.16%-849.04M | -454.45%-18.89M | --5.33M | ---- | -4,302.63%-231.23M | 81.48%-5.25M | 49.12%-28.37M | -563.70%-55.75M |
Net investment purchase and sale | -115.76%-16.41M | 59.47%104.08M | 3,108.94%65.26M | 9.40%-2.17M | 20.36%-2.39M | -144.39%-3.01M | -18.27%-1.23M | 90.32%-1.04M | -6.98%-10.74M | 92.50%-10.04M |
Dividends received (cash flow from investment activities) | ---- | --5.33M | ---- | --2.22M | ---- | 48.45%2.3M | -87.08%1.55M | 112.32%11.99M | 36.02%5.65M | 524.51%4.15M |
Interest received (cash flow from investment activities) | 70.94%14.15M | 1,635.64%8.28M | -21.55%477K | 0.50%608K | -50.65%605K | 210.38%1.23M | -38.28%395K | 19.18%640K | -21.95%537K | --688K |
Net other investing changes | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --13.51M | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 91.14%-137.61M | -86.94%-1.55B | -1,519.77%-831.06M | -71.88%-51.31M | -254.68%-29.85M | 96.48%-8.42M | -1,504.26%-239.1M | 145.72%17.03M | 40.59%-37.24M | 56.29%-62.69M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -114.50%-190.62M | 184.58%1.31B | 1,215.54%462.09M | 29.34%-41.42M | 31.39%-58.63M | -158.80%-85.45M | 212.46%145.33M | -54.80%-129.22M | -117.75%-83.48M | -168.89%-38.34M |
Net issuance payments of debt | -72.22%135.76M | -19.12%488.74M | 220.78%604.26M | -820.75%-500.3M | 172.14%69.41M | -90.18%25.51M | 862.36%259.71M | -384.38%-34.07M | -69.32%11.98M | -67.51%39.05M |
Net common stock issuance | -99.96%682K | 34,110.69%1.69B | -99.17%4.93M | 13,072.58%591.84M | 13.60%4.49M | 143.68%3.96M | 247.54%1.62M | -78.51%467K | -58.63%2.17M | -29.96%5.25M |
Cash dividends paid | -34.48%-251.11M | -47.92%-186.72M | -11.24%-126.23M | -7.47%-113.47M | -11.02%-105.59M | -3.05%-95.11M | -4.80%-92.29M | 1.20%-88.06M | -22.20%-89.13M | -1.29%-72.94M |
Interest paid (cash flow from financing activities) | 2.97%-56.76M | -474.86%-58.49M | 10.30%-10.18M | 23.50%-11.34M | 9.56%-14.83M | -62.01%-16.4M | -33.84%-10.12M | 11.01%-7.56M | 3.92%-8.5M | ---8.84M |
Net other financing activities | 96.88%-19.2M | -5,648.23%-615.12M | -31.20%-10.7M | 32.69%-8.16M | -255.44%-12.12M | 74.92%-3.41M | ---13.59M | ---- | ---- | ---850K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -114.50%-190.62M | 184.58%1.31B | 1,215.54%462.09M | 29.34%-41.42M | 31.39%-58.63M | -158.80%-85.45M | 212.46%145.33M | -54.80%-129.22M | -117.75%-83.48M | -168.89%-38.34M |
Net cash flow | ||||||||||
Beginning cash position | 69.18%198.71M | -58.64%117.45M | 57.84%284M | 90.59%179.94M | 45.11%94.41M | 63.49%65.06M | 38.62%39.8M | 7.03%28.71M | 3.00%26.82M | 72.01%26.04M |
Current changes in cash | 115.15%130.56M | 136.70%60.68M | -256.63%-165.32M | 27.22%105.55M | 118.40%82.97M | 48.64%37.99M | 103.17%25.56M | 566.97%12.58M | 141.49%1.89M | -92.84%781K |
Effect of exchange rate changes | -201.85%-20.96M | 1,775.49%20.58M | 17.25%-1.23M | 33.78%-1.48M | -685.12%-2.24M | 231.62%383K | 80.51%-291K | ---1.49M | ---- | ---- |
Cash adjustments other than cash changes | ---- | ---- | ---- | ---- | 153.22%4.8M | ---9.02M | ---- | ---- | ---- | ---- |
End cash Position | 55.16%308.31M | 69.18%198.71M | -58.64%117.45M | 57.84%284M | 90.59%179.94M | 45.11%94.41M | 63.49%65.06M | 38.62%39.8M | 7.03%28.71M | 3.00%26.82M |
Free cash from | 68.19%356.99M | 36.61%212.26M | -5.82%155.37M | 19.67%164.97M | 12.17%137.85M | 11.14%122.89M | -9.30%110.57M | 3.07%121.91M | 18.20%118.29M | 3.29%100.07M |
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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