(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 | 48.66%1.48M | 48.66%1.48M | -50.67%994.15K | -50.67%994.15K | 15.89%2.02M | 15.89%2.02M | -34.18%1.74M | -34.18%1.74M | -46.19%2.64M | --2.64M |
-Cash and cash equivalents | 48.66%1.48M | 48.66%1.48M | -50.67%994.15K | -50.67%994.15K | 15.89%2.02M | 15.89%2.02M | -34.18%1.74M | -34.18%1.74M | -46.19%2.64M | --2.64M |
Receivables | -36.47%206.23K | -36.47%206.23K | 56.50%324.59K | 56.50%324.59K | -37.23%207.41K | -37.23%207.41K | -36.74%330.41K | -36.74%330.41K | -5.07%522.33K | --522.33K |
-Accounts receivable | -44.22%163.37K | -44.22%163.37K | 71.97%292.9K | 71.97%292.9K | -48.31%170.32K | -48.31%170.32K | -30.80%329.53K | -30.80%329.53K | -13.46%476.17K | --476.17K |
-Other receivables | 35.24%42.86K | 35.24%42.86K | -14.54%31.69K | -14.54%31.69K | 4,114.20%37.09K | 4,114.20%37.09K | -98.09%880 | -98.09%880 | --46.17K | --46.17K |
Inventory | -0.54%3.86K | -0.54%3.86K | 3.91%3.88K | 3.91%3.88K | 9.14%3.74K | 9.14%3.74K | --3.43K | --3.43K | ---- | ---- |
Prepaid assets | 3.73%98.07K | 3.73%98.07K | -12.38%94.55K | -12.38%94.55K | 0.43%107.91K | 0.43%107.91K | -9.12%107.44K | -9.12%107.44K | -22.17%118.23K | --118.23K |
Current deferred assets | -6.96%667.6K | -6.96%667.6K | 7.15%717.51K | 7.15%717.51K | 33.93%669.63K | 33.93%669.63K | -29.49%500K | -29.49%500K | 163,673.67%709.14K | --709.14K |
Other current assets | 0.57%83.55K | 0.57%83.55K | 8.83%83.07K | 8.83%83.07K | 77.13%76.34K | 77.13%76.34K | 172.13%43.1K | 172.13%43.1K | --15.84K | --15.84K |
Total current assets | 14.40%2.54M | 14.40%2.54M | -28.00%2.22M | -28.00%2.22M | 13.11%3.08M | 13.11%3.08M | -32.04%2.72M | -32.04%2.72M | -28.92%4.01M | --4.01M |
Non current assets | ||||||||||
Net PPE | -18.03%144.15K | -18.03%144.15K | 231.77%175.87K | 231.77%175.87K | -17.00%53.01K | -17.00%53.01K | -52.76%63.86K | -52.76%63.86K | -10.19%135.18K | --135.18K |
-Gross PPE | 8.95%445.77K | 8.95%445.77K | 67.17%409.14K | 67.17%409.14K | 8.25%244.75K | 8.25%244.75K | -28.94%226.1K | -28.94%226.1K | 111.40%318.17K | --318.17K |
-Accumulated depreciation | -29.30%-301.62K | -29.30%-301.62K | -21.66%-233.27K | -21.66%-233.27K | -18.19%-191.74K | -18.19%-191.74K | 11.34%-162.24K | 11.34%-162.24K | ---182.99K | ---182.99K |
Goodwill and other intangible assets | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%1.39K | 0.00%1.39K | -93.98%1.39K | --1.39K |
-Other intangible assets | ---- | ---- | ---- | ---- | ---- | ---- | 0.00%1.39K | 0.00%1.39K | -93.98%1.39K | --1.39K |
Other non current assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---1 | ---1 |
Total non current assets | -18.03%144.15K | -18.03%144.15K | 231.77%175.87K | 231.77%175.87K | -18.76%53.01K | -18.76%53.01K | -52.22%65.25K | -52.22%65.25K | -21.30%136.56K | --136.56K |
Total assets | 12.02%2.68M | 12.02%2.68M | -23.60%2.39M | -23.60%2.39M | 12.36%3.13M | 12.36%3.13M | -32.71%2.79M | -32.71%2.79M | -28.69%4.14M | --4.14M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 0.57%83.55K | 0.57%83.55K | 8.83%83.07K | 8.83%83.07K | 77.13%76.34K | 77.13%76.34K | 172.13%43.1K | 172.13%43.1K | --15.84K | --15.84K |
-Current capital lease obligation | 0.57%83.55K | 0.57%83.55K | 8.83%83.07K | 8.83%83.07K | 77.13%76.34K | 77.13%76.34K | 172.13%43.1K | 172.13%43.1K | --15.84K | --15.84K |
Payables | 35.41%190.54K | 35.41%190.54K | -6.80%140.71K | -6.80%140.71K | -47.03%150.98K | -47.03%150.98K | 7.94%285.03K | 7.94%285.03K | -77.01%264.06K | --264.06K |
-accounts payable | -28.99%63.08K | -28.99%63.08K | 137.34%88.84K | 137.34%88.84K | -70.19%37.43K | -70.19%37.43K | -2.31%125.54K | -2.31%125.54K | -88.81%128.52K | --128.52K |
-Other payable | 145.70%127.46K | 145.70%127.46K | -54.31%51.88K | -54.31%51.88K | -28.80%113.55K | -28.80%113.55K | 17.66%159.48K | 17.66%159.48K | --135.55K | --135.55K |
Current provisions | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -92.64%15K | --15K |
Pension and other retirement benefit plans | 37.60%274.6K | 37.60%274.6K | -4.59%199.56K | -4.59%199.56K | 85.26%209.15K | 85.26%209.15K | 25.84%112.9K | 25.84%112.9K | --89.72K | --89.72K |
Current deferred liabilities | -16.17%904.98K | -16.17%904.98K | 14.97%1.08M | 14.97%1.08M | 24.42%938.95K | 24.42%938.95K | -20.44%754.67K | -20.44%754.67K | --948.55K | --948.55K |
Other current liabilities | ---- | ---- | ---- | ---- | ---- | ---- | ---1 | ---1 | ---- | ---- |
Current liabilities | -3.27%1.45M | -3.27%1.45M | 9.27%1.5M | 9.27%1.5M | 15.03%1.38M | 15.03%1.38M | -10.31%1.2M | -10.31%1.2M | -1.40%1.33M | --1.33M |
Non current liabilities | ||||||||||
Employee benefits | 6.14%54.33K | 6.14%54.33K | 25.96%51.18K | 25.96%51.18K | 182.53%40.63K | 182.53%40.63K | -6.92%14.38K | -6.92%14.38K | --15.45K | --15.45K |
Non current deferred liabilities | -25.34%315.16K | -25.34%315.16K | 47.60%422.14K | 47.60%422.14K | 37.28%286.01K | 37.28%286.01K | --208.35K | --208.35K | ---- | ---- |
Total non current liabilities | -21.94%369.49K | -21.94%369.49K | 44.90%473.33K | 44.90%473.33K | 46.66%326.65K | 46.66%326.65K | 1,341.42%222.73K | 1,341.42%222.73K | --15.45K | --15.45K |
Total liabilities | -7.74%1.82M | -7.74%1.82M | 16.10%1.98M | 16.10%1.98M | 20.00%1.7M | 20.00%1.7M | 5.17%1.42M | 5.17%1.42M | -0.26%1.35M | --1.35M |
Shareholders'equity | ||||||||||
Share capital | 10.19%24.06M | 10.19%24.06M | 3.57%21.84M | 3.57%21.84M | 13.51%21.08M | 13.51%21.08M | 0.00%18.57M | 0.00%18.57M | -1.94%18.57M | --18.57M |
-common stock | 10.19%24.06M | 10.19%24.06M | 3.57%21.84M | 3.57%21.84M | 13.51%21.08M | 13.51%21.08M | 0.00%18.57M | 0.00%18.57M | -1.94%18.57M | --18.57M |
Retained earnings | -1.12%-23.02M | -1.12%-23.02M | -6.79%-22.76M | -6.79%-22.76M | -16.63%-21.32M | -16.63%-21.32M | -14.01%-18.28M | -14.01%-18.28M | -9.71%-16.03M | ---16.03M |
Gains losses not affecting retained earnings | -94.26%95.13K | -94.26%95.13K | -11.23%1.66M | -11.23%1.66M | 42.08%1.87M | 42.08%1.87M | 133.52%1.31M | 133.52%1.31M | 19.17%562.27K | --562.27K |
Total stockholders'equity | 56.10%1.14M | 56.10%1.14M | -55.33%729.45K | -55.33%729.45K | 1.39%1.63M | 1.39%1.63M | -48.15%1.61M | -48.15%1.61M | -35.30%3.11M | --3.11M |
Noncontrolling interests | 10.11%-280.44K | 10.11%-280.44K | -54.51%-311.99K | -54.51%-311.99K | 16.09%-201.92K | 16.09%-201.92K | 22.63%-240.66K | 22.63%-240.66K | 9.05%-311.05K | ---311.05K |
Total equity | 105.59%858.22K | 105.59%858.22K | -70.83%417.45K | -70.83%417.45K | 4.46%1.43M | 4.46%1.43M | -50.99%1.37M | -50.99%1.37M | -37.32%2.8M | --2.8M |
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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