(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 | -27.32%121.1M | -27.32%121.1M | -15.25%166.63M | -15.25%166.63M | -35.95%196.61M | -35.95%196.61M | -0.05%306.95M | -0.05%306.95M | 447.80%307.09M | 447.80%307.09M |
-Cash and cash equivalents | -35.41%107.62M | -35.41%107.62M | -15.25%166.63M | -15.25%166.63M | -35.95%196.61M | -35.95%196.61M | -0.05%306.95M | -0.05%306.95M | 447.80%307.09M | 447.80%307.09M |
-Short term investments | --13.48M | --13.48M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Receivables | 6.58%171.52M | 6.58%171.52M | 72.71%160.94M | 72.71%160.94M | 28.63%93.19M | 28.63%93.19M | -21.25%72.44M | -21.25%72.44M | -9.03%91.99M | -9.03%91.99M |
-Accounts receivable | 11.41%173.81M | 11.41%173.81M | 70.03%156.01M | 70.03%156.01M | 30.71%91.75M | 30.71%91.75M | 7.43%70.2M | 7.43%70.2M | 0.80%65.34M | 0.80%65.34M |
-Other receivables | 14.66%8.77M | 14.66%8.77M | 100.89%7.65M | 100.89%7.65M | -16.30%3.81M | -16.30%3.81M | -83.85%4.55M | -83.85%4.55M | -25.29%28.18M | -25.29%28.18M |
-Recievables adjustments allowances | -306.58%-11.06M | -306.58%-11.06M | -14.57%-2.72M | -14.57%-2.72M | -3.17%-2.38M | -3.17%-2.38M | -50.75%-2.3M | -50.75%-2.3M | -7.84%-1.53M | -7.84%-1.53M |
Prepaid assets | -9.17%10.08M | -9.17%10.08M | 60.98%11.1M | 60.98%11.1M | 40.07%6.89M | 40.07%6.89M | 22.87%4.92M | 22.87%4.92M | -34.34%4.01M | -34.34%4.01M |
Current deferred assets | -26.39%2.63M | -26.39%2.63M | -53.80%3.57M | -53.80%3.57M | 50.44%7.73M | 50.44%7.73M | -68.44%5.14M | -68.44%5.14M | 47.45%16.28M | 47.45%16.28M |
Hedging assets-current | -67.43%1.51M | -67.43%1.51M | 123.28%4.64M | 123.28%4.64M | 182.47%2.08M | 182.47%2.08M | 59.65%736K | 59.65%736K | -54.22%461K | -54.22%461K |
Other current assets | 31.21%166.72M | 31.21%166.72M | 99.53%127.06M | 99.53%127.06M | 52.94%63.68M | 52.94%63.68M | 346.45%41.64M | 346.45%41.64M | -5.97%9.33M | -5.97%9.33M |
Total current assets | -0.08%473.56M | -0.08%473.56M | 28.03%473.93M | 28.03%473.93M | -14.28%370.17M | -14.28%370.17M | 0.62%431.82M | 0.62%431.82M | 131.67%429.15M | 131.67%429.15M |
Non current assets | ||||||||||
Net PPE | 2.38%158.75M | 2.38%158.75M | 10.08%155.07M | 10.08%155.07M | 19.42%140.87M | 19.42%140.87M | 4.61%117.96M | 4.61%117.96M | 347.29%112.76M | 347.29%112.76M |
-Gross PPE | 7.09%302.83M | 7.09%302.83M | 17.88%282.78M | 17.88%282.78M | 29.21%239.89M | 29.21%239.89M | 16.54%185.66M | 16.54%185.66M | 193.54%159.31M | 193.54%159.31M |
-Accumulated depreciation | -12.82%-144.08M | -12.82%-144.08M | -28.97%-127.71M | -28.97%-127.71M | -46.26%-99.02M | -46.26%-99.02M | -45.45%-67.7M | -45.45%-67.7M | -60.17%-46.55M | -60.17%-46.55M |
Investments and advances | -10.54%7.8M | -10.54%7.8M | 123.51%8.72M | 123.51%8.72M | -21.05%3.9M | -21.05%3.9M | -16.66%4.94M | -16.66%4.94M | 24.56%5.93M | 24.56%5.93M |
-Long term equity investment | -10.54%7.8M | -10.54%7.8M | 123.51%8.72M | 123.51%8.72M | -21.05%3.9M | -21.05%3.9M | -16.66%4.94M | -16.66%4.94M | 24.56%5.93M | 24.56%5.93M |
Financial assets | --336K | --336K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Non current accounts receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 12.47%3.21M | 12.47%3.21M |
Goodwill and other intangible assets | 2.66%552.48M | 2.66%552.48M | 30.12%538.16M | 30.12%538.16M | 277.88%413.6M | 277.88%413.6M | -14.92%109.45M | -14.92%109.45M | -3.86%128.64M | -3.86%128.64M |
-Goodwill | -3.43%250.67M | -3.43%250.67M | 56.36%259.59M | 56.36%259.59M | 318.29%166.01M | 318.29%166.01M | 1.86%39.69M | 1.86%39.69M | -0.58%38.96M | -0.58%38.96M |
-Other intangible assets | 8.34%301.81M | 8.34%301.81M | 12.52%278.58M | 12.52%278.58M | 254.89%247.58M | 254.89%247.58M | -22.21%69.76M | -22.21%69.76M | -5.22%89.68M | -5.22%89.68M |
Non current deferred assets | 12.57%29.57M | 12.57%29.57M | 44.08%26.27M | 44.08%26.27M | 21.47%18.23M | 21.47%18.23M | 38.43%15.01M | 38.43%15.01M | -36.71%10.84M | -36.71%10.84M |
Other non current assets | 8.01%33.83M | 8.01%33.83M | 11.78%31.32M | 11.78%31.32M | 72.30%28.02M | 72.30%28.02M | 42.84%16.26M | 42.84%16.26M | 9,467.23%11.39M | 9,467.23%11.39M |
Total non current assets | 3.06%782.77M | 3.06%782.77M | 25.62%759.54M | 25.62%759.54M | 129.35%604.61M | 129.35%604.61M | -3.35%263.62M | -3.35%263.62M | 48.07%272.76M | 48.07%272.76M |
Total assets | 1.85%1.26B | 1.85%1.26B | 26.54%1.23B | 26.54%1.23B | 40.17%974.79M | 40.17%974.79M | -0.92%695.44M | -0.92%695.44M | 89.99%701.92M | 89.99%701.92M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -2.99%23.8M | -2.99%23.8M | 33.05%24.53M | 33.05%24.53M | 3.10%18.44M | 3.10%18.44M | 3.59%17.88M | 3.59%17.88M | --17.26M | --17.26M |
-Current capital lease obligation | -2.99%23.8M | -2.99%23.8M | 33.05%24.53M | 33.05%24.53M | 3.10%18.44M | 3.10%18.44M | 3.59%17.88M | 3.59%17.88M | --17.26M | --17.26M |
Payables | -8.31%175.77M | -8.31%175.77M | 53.31%191.71M | 53.31%191.71M | 34.45%125.05M | 34.45%125.05M | 62.27%93.01M | 62.27%93.01M | -38.16%57.32M | -38.16%57.32M |
-accounts payable | -7.15%135.46M | -7.15%135.46M | 64.82%145.9M | 64.82%145.9M | 36.27%88.52M | 36.27%88.52M | 67.74%64.96M | 67.74%64.96M | -43.76%38.73M | -43.76%38.73M |
-Other payable | -12.01%40.31M | -12.01%40.31M | 25.42%45.81M | 25.42%45.81M | 30.23%36.52M | 30.23%36.52M | 50.87%28.05M | 50.87%28.05M | -21.97%18.59M | -21.97%18.59M |
Current provisions | -11.34%24.07M | -11.34%24.07M | -4.52%27.15M | -4.52%27.15M | 73.81%28.44M | 73.81%28.44M | 33.34%16.36M | 33.34%16.36M | 2.48%12.27M | 2.48%12.27M |
Current deferred liabilities | -58.15%10.21M | -58.15%10.21M | 316.92%24.39M | 316.92%24.39M | 222.31%5.85M | 222.31%5.85M | -50.33%1.82M | -50.33%1.82M | -90.12%3.65M | -90.12%3.65M |
Other current liabilities | -22.36%64.84M | -22.36%64.84M | 61.05%83.51M | 61.05%83.51M | 24.14%51.85M | 24.14%51.85M | -47.66%41.77M | -47.66%41.77M | 45,764.37%79.8M | 45,764.37%79.8M |
Current liabilities | -14.97%298.69M | -14.97%298.69M | 52.98%351.29M | 52.98%351.29M | 34.41%229.62M | 34.41%229.62M | 0.31%170.84M | 0.31%170.84M | 20.09%170.31M | 20.09%170.31M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 21.91%371.86M | 21.91%371.86M | 28.18%305.03M | 28.18%305.03M | 90.05%237.98M | 90.05%237.98M | -1.51%125.22M | -1.51%125.22M | 110.21%127.13M | 110.21%127.13M |
-Long term debt | 32.85%277.65M | 32.85%277.65M | 33.59%209M | 33.59%209M | 175.71%156.45M | 175.71%156.45M | -5.16%56.75M | -5.16%56.75M | -1.07%59.83M | -1.07%59.83M |
-Long term capital lease obligation | -1.89%94.21M | -1.89%94.21M | 17.79%96.03M | 17.79%96.03M | 19.06%81.53M | 19.06%81.53M | 1.74%68.47M | 1.74%68.47M | --67.3M | --67.3M |
Long term provisions | 26.59%11.52M | 26.59%11.52M | 152.83%9.1M | 152.83%9.1M | -44.46%3.6M | -44.46%3.6M | 0.12%6.48M | 0.12%6.48M | -1.66%6.47M | -1.66%6.47M |
Non current deferred liabilities | 0.55%50.88M | 0.55%50.88M | 4.95%50.6M | 4.95%50.6M | 881.44%48.22M | 881.44%48.22M | -3.33%4.91M | -3.33%4.91M | -11.23%5.08M | -11.23%5.08M |
Total non current liabilities | 19.06%434.27M | 19.06%434.27M | 25.86%364.74M | 25.86%364.74M | 112.13%289.8M | 112.13%289.8M | -1.50%136.61M | -1.50%136.61M | 88.21%138.69M | 88.21%138.69M |
Total liabilities | 2.36%732.95M | 2.36%732.95M | 37.85%716.03M | 37.85%716.03M | 68.94%519.42M | 68.94%519.42M | -0.50%307.45M | -0.50%307.45M | 43.38%309M | 43.38%309M |
Shareholders'equity | ||||||||||
Share capital | 3.39%280.67M | 3.39%280.67M | -1.96%271.47M | -1.96%271.47M | -0.45%276.89M | -0.45%276.89M | 2.65%278.15M | 2.65%278.15M | 2,026.34%270.96M | 2,026.34%270.96M |
-common stock | 3.39%280.67M | 3.39%280.67M | -1.96%271.47M | -1.96%271.47M | -0.45%276.89M | -0.45%276.89M | 2.65%278.15M | 2.65%278.15M | 2,026.34%270.96M | 2,026.34%270.96M |
Retained earnings | 3.11%248.29M | 3.11%248.29M | 27.88%240.79M | 27.88%240.79M | 52.75%188.3M | 52.75%188.3M | 6.76%123.27M | 6.76%123.27M | 6.26%115.47M | 6.26%115.47M |
Gains losses not affecting retained earnings | -230.28%-6.39M | -230.28%-6.39M | 151.60%4.91M | 151.60%4.91M | 26.19%-9.51M | 26.19%-9.51M | -288.28%-12.88M | -288.28%-12.88M | -79.17%6.84M | -79.17%6.84M |
Total stockholders'equity | 1.04%522.57M | 1.04%522.57M | 13.49%517.17M | 13.49%517.17M | 17.28%455.68M | 17.28%455.68M | -1.20%388.53M | -1.20%388.53M | 154.94%393.27M | 154.94%393.27M |
Noncontrolling interests | 194.89%808K | 194.89%808K | 188.67%274K | 188.67%274K | 42.46%-309K | 42.46%-309K | -54.76%-537K | -54.76%-537K | -11.22%-347K | -11.22%-347K |
Total equity | 1.15%523.37M | 1.15%523.37M | 13.63%517.44M | 13.63%517.44M | 17.36%455.37M | 17.36%455.37M | -1.25%387.99M | -1.25%387.99M | 155.23%392.92M | 155.23%392.92M |
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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