(FY)Jun 30, 2022 | (Q4)Jun 30, 2022 | (FY)Jun 30, 2021 | (Q4)Jun 30, 2021 | (FY)Jun 30, 2020 | (Q4)Jun 30, 2020 | (FY)Jun 30, 2019 | (Q4)Jun 30, 2019 | (FY)Jun 30, 2018 | (Q4)Jun 30, 2018 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 120.21%122.5M | 120.21%122.5M | 25.08%55.63M | 25.08%55.63M | 22.49%44.47M | 22.49%44.47M | -21.59%36.31M | -21.59%36.31M | 119.41%46.31M | 119.41%46.31M |
-Cash and cash equivalents | 120.21%122.5M | 120.21%122.5M | 25.08%55.63M | 25.08%55.63M | 22.49%44.47M | 22.49%44.47M | -21.59%36.31M | -21.59%36.31M | 119.41%46.31M | 119.41%46.31M |
-Accounts receivable | ---- | ---- | ---- | ---- | ---- | ---- | --166.24M | --166.24M | ---- | ---- |
-Notes receivable | 6.28%220K | 6.28%220K | -24.18%207K | -24.18%207K | 10.08%273K | 10.08%273K | -18.15%248K | -18.15%248K | 37.73%303K | 37.73%303K |
-Other receivables | -12.17%16.19M | -12.17%16.19M | 225.51%18.44M | 225.51%18.44M | 7.39%5.66M | 7.39%5.66M | -25.56%5.27M | -25.56%5.27M | 33.70%7.09M | 33.70%7.09M |
Current deferred assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --2.22M | --2.22M |
Total current assets | 39.76%342.84M | 39.76%342.84M | 27.19%245.3M | 27.19%245.3M | -8.47%192.86M | -8.47%192.86M | 17.39%210.71M | 17.39%210.71M | 0.12%179.49M | 0.12%179.49M |
Non current assets | ||||||||||
-Accumulated depreciation | -19.39%-4.8M | -19.39%-4.8M | -44.78%-4.02M | -44.78%-4.02M | -3.39%-2.78M | -3.39%-2.78M | 39.25%-2.69M | 39.25%-2.69M | 15.35%-4.42M | 15.35%-4.42M |
-Long term equity investment | 73.01%392.71M | 73.01%392.71M | 33.56%226.99M | 33.56%226.99M | 28.20%169.96M | 28.20%169.96M | 35.52%132.57M | 35.52%132.57M | 95.89%97.83M | 95.89%97.83M |
Non current note receivables | 3.89%11.74M | 3.89%11.74M | 0.51%11.3M | 0.51%11.3M | 72.92%11.24M | 72.92%11.24M | -29.11%6.5M | -29.11%6.5M | 46.99%9.17M | 46.99%9.17M |
-Goodwill | -2.70%31.6M | -2.70%31.6M | 42.12%32.47M | 42.12%32.47M | -3.07%22.85M | -3.07%22.85M | 25.91%23.57M | 25.91%23.57M | -2.36%18.72M | -2.36%18.72M |
Regulatory assets | 16.68%216.46M | 16.68%216.46M | 27.21%185.52M | 27.21%185.52M | -16.17%145.84M | -16.17%145.84M | 33.20%173.96M | 33.20%173.96M | -17.18%130.61M | -17.18%130.61M |
Non current deferred assets | 27.44%428.19M | 27.44%428.19M | 59.56%336.01M | 59.56%336.01M | 38.83%210.59M | 38.83%210.59M | 29.83%151.69M | 29.83%151.69M | 73.46%116.84M | 73.46%116.84M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -8.03%33.12M | -8.03%33.12M | 1,627.10%36.01M | 1,627.10%36.01M | -39.34%2.09M | -39.34%2.09M | --3.44M | --3.44M | ---- | ---- |
-Current debt | -8.04%32.23M | -8.04%32.23M | 2,523.28%35.05M | 2,523.28%35.05M | -61.13%1.34M | -61.13%1.34M | --3.44M | --3.44M | ---- | ---- |
-Current capital lease obligation | -7.48%891K | -7.48%891K | 28.57%963K | 28.57%963K | --749K | --749K | ---- | ---- | ---- | ---- |
-accounts payable | 21.55%3.26M | 21.55%3.26M | 55.66%2.68M | 55.66%2.68M | -8.88%1.72M | -8.88%1.72M | 729.39%1.89M | 729.39%1.89M | -54.40%228K | -54.40%228K |
-Total tax payable | 72.89%393.09M | 72.89%393.09M | 30.73%227.36M | 30.73%227.36M | 26.65%173.92M | 26.65%173.92M | 39.73%137.33M | 39.73%137.33M | 95.94%98.28M | 95.94%98.28M |
-Other payable | --4.02M | --4.02M | ---- | ---- | 46.67%264K | 46.67%264K | -57.55%180K | -57.55%180K | -3.20%424K | -3.20%424K |
Current provisions | -26.60%69K | -26.60%69K | -36.05%94K | -36.05%94K | -48.42%147K | -48.42%147K | -7.47%285K | -7.47%285K | 0.00%308K | 0.00%308K |
Current deferred liabilities | 187.45%4.72M | 187.45%4.72M | -66.63%1.64M | -66.63%1.64M | 106.03%4.92M | 106.03%4.92M | --2.39M | --2.39M | ---- | ---- |
Current liabilities | -7.10%60.16M | -7.10%60.16M | 264.01%64.75M | 264.01%64.75M | 8.01%17.79M | 8.01%17.79M | 78.19%16.47M | 78.19%16.47M | -78.24%9.24M | -78.24%9.24M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 16.68%216.46M | 16.68%216.46M | 27.21%185.52M | 27.21%185.52M | --145.84M | --145.84M | ---- | ---- | ---- | ---- |
-Long term debt | 61.98%1.47M | 61.98%1.47M | -40.64%910K | -40.64%910K | --1.53M | --1.53M | ---- | ---- | ---- | ---- |
Non current accrued expenses | 6.56%3.78M | 6.56%3.78M | -5.51%3.55M | -5.51%3.55M | 102.81%3.76M | 102.81%3.76M | -10.14%1.85M | -10.14%1.85M | -7.20%2.06M | -7.20%2.06M |
Long term provisions | 73.05%391.24M | 73.05%391.24M | 34.24%226.08M | 34.24%226.08M | 27.04%168.42M | 27.04%168.42M | 35.52%132.57M | 35.52%132.57M | 95.89%97.83M | 95.89%97.83M |
Employee benefits | 6.28%220K | 6.28%220K | -24.18%207K | -24.18%207K | 10.08%273K | 10.08%273K | -18.15%248K | -18.15%248K | 37.73%303K | 37.73%303K |
Preferred securities outside stock equity | 15.54%2.8M | 15.54%2.8M | 60.26%2.42M | 60.26%2.42M | 6.94%1.51M | 6.94%1.51M | -12.95%1.41M | -12.95%1.41M | 11.25%1.62M | 11.25%1.62M |
Total non current liabilities | 55.16%453.25M | 55.16%453.25M | 52.37%292.11M | 52.37%292.11M | 24.65%191.71M | 24.65%191.71M | 43.03%153.8M | 43.03%153.8M | 16.07%107.53M | 16.07%107.53M |
Shareholders'equity | ||||||||||
Share capital | 4.14%238.85M | 4.14%238.85M | 35.33%229.35M | 35.33%229.35M | 3.51%169.47M | 3.51%169.47M | 6.33%163.72M | 6.33%163.72M | 22.43%153.97M | 22.43%153.97M |
-common stock | 4.14%238.85M | 4.14%238.85M | 35.33%229.35M | 35.33%229.35M | 3.51%169.47M | 3.51%169.47M | 6.33%163.72M | 6.33%163.72M | 22.43%153.97M | 22.43%153.97M |
Gains losses not affecting retained earnings | -40.21%1.79M | -40.21%1.79M | -16.19%2.99M | -16.19%2.99M | -21.71%3.57M | -21.71%3.57M | 11.44%4.56M | 11.44%4.56M | -15.03%4.09M | -15.03%4.09M |
Other equity interest | -6.45%3.89M | -6.45%3.89M | 62.84%4.15M | 62.84%4.15M | 487.79%2.55M | 487.79%2.55M | 24.71%434K | 24.71%434K | -24.35%348K | -24.35%348K |
Total equity | 30.79%822.17M | 30.79%822.17M | 42.37%628.63M | 42.37%628.63M | 11.93%441.56M | 11.93%441.56M | 20.75%394.5M | 20.75%394.5M | 18.93%326.71M | 18.93%326.71M |
No Data
No Data