(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 | (FY)Jun 30, 2019 | (Q4)Jun 30, 2019 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -59.92%35.72M | -59.92%35.72M | -9.68%89.13M | -9.68%89.13M | 66.92%98.69M | 66.92%98.69M | 100.98%59.12M | 100.98%59.12M | 37.43%29.42M | 37.43%29.42M |
-Cash and cash equivalents | -59.92%35.72M | -59.92%35.72M | -9.68%89.13M | -9.68%89.13M | 69.77%98.69M | 69.77%98.69M | 100.24%58.13M | 100.24%58.13M | 36.63%29.03M | 36.63%29.03M |
-Accounts receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 156.97%2.56M | 156.97%2.56M |
-Notes receivable | -38.26%92K | -38.26%92K | -44.40%149K | -44.40%149K | 35.35%268K | 35.35%268K | -12.78%198K | -12.78%198K | 52.35%227K | 52.35%227K |
-Other receivables | -35.62%7.4M | -35.62%7.4M | -6.52%11.5M | -6.52%11.5M | -3.76%12.3M | -3.76%12.3M | 83.09%12.78M | 83.09%12.78M | 82.25%6.98M | 82.25%6.98M |
Current deferred assets | -74.35%571K | -74.35%571K | 75.28%2.23M | 75.28%2.23M | 23.06%1.27M | 23.06%1.27M | --1.03M | --1.03M | ---- | ---- |
Total current assets | -51.64%51.28M | -51.64%51.28M | -6.81%106.02M | -6.81%106.02M | 48.18%113.78M | 48.18%113.78M | 109.24%76.78M | 109.24%76.78M | 50.02%36.7M | 50.02%36.7M |
Non current assets | ||||||||||
-Accumulated depreciation | 31.21%-5.09M | 31.21%-5.09M | -22.35%-7.4M | -22.35%-7.4M | -13.43%-6.05M | -13.43%-6.05M | -20.28%-5.33M | -20.28%-5.33M | -41.08%-4.43M | -41.08%-4.43M |
-Long term equity investment | -41.75%3.79M | -41.75%3.79M | 74.85%6.51M | 74.85%6.51M | -36.04%3.72M | -36.04%3.72M | --5.82M | --5.82M | ---- | ---- |
Non current note receivables | -96.79%45K | -96.79%45K | -48.44%1.4M | -48.44%1.4M | 340.36%2.72M | 340.36%2.72M | --617K | --617K | ---- | ---- |
-Goodwill | 6.25%75.17M | 6.25%75.17M | 13.22%70.75M | 13.22%70.75M | -12.70%62.49M | -12.70%62.49M | 0.12%71.58M | 0.12%71.58M | 578.81%71.49M | 578.81%71.49M |
Regulatory assets | -36.09%3.4M | -36.09%3.4M | 15.47%5.31M | 15.47%5.31M | -12.11%4.6M | -12.11%4.6M | 104.37%5.24M | 104.37%5.24M | 156.97%2.56M | 156.97%2.56M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 3.14%3.22M | 3.14%3.22M | 36.71%3.12M | 36.71%3.12M | -42.19%2.28M | -42.19%2.28M | --3.94M | --3.94M | ---- | ---- |
-Current capital lease obligation | 3.14%3.22M | 3.14%3.22M | 36.71%3.12M | 36.71%3.12M | -42.19%2.28M | -42.19%2.28M | --3.94M | --3.94M | ---- | ---- |
-accounts payable | -4.53%45.94M | -4.53%45.94M | 36.81%48.12M | 36.81%48.12M | 9.20%35.17M | 9.20%35.17M | 64.85%32.21M | 64.85%32.21M | 24.51%19.54M | 24.51%19.54M |
-Total tax payable | -29.63%4.72M | -29.63%4.72M | 68.22%6.71M | 68.22%6.71M | -34.45%3.99M | -34.45%3.99M | 176.93%6.09M | 176.93%6.09M | 5.17%2.2M | 5.17%2.2M |
-Other payable | -97.76%29K | -97.76%29K | 5.37%1.3M | 5.37%1.3M | -26.27%1.23M | -26.27%1.23M | 2.27%1.67M | 2.27%1.67M | 795.60%1.63M | 795.60%1.63M |
Current provisions | 19.78%2.1M | 19.78%2.1M | -31.71%1.75M | -31.71%1.75M | 43.88%2.56M | 43.88%2.56M | 58.79%1.78M | 58.79%1.78M | 483.85%1.12M | 483.85%1.12M |
Current deferred liabilities | -5.66%12.29M | -5.66%12.29M | 6.44%13.02M | 6.44%13.02M | -57.60%12.24M | -57.60%12.24M | 222.40%28.86M | 222.40%28.86M | 207.03%8.95M | 207.03%8.95M |
Current liabilities | -9.00%72.76M | -9.00%72.76M | 19.79%79.95M | 19.79%79.95M | -22.35%66.74M | -22.35%66.74M | 81.74%85.96M | 81.74%85.96M | 88.57%47.3M | 88.57%47.3M |
Non current liabilities | ||||||||||
-Long term debt | -41.75%3.79M | -41.75%3.79M | 74.85%6.51M | 74.85%6.51M | -36.04%3.72M | -36.04%3.72M | --5.82M | --5.82M | ---- | ---- |
Non current accrued expenses | -27.81%8.05M | -27.81%8.05M | 74.44%11.15M | 74.44%11.15M | -27.98%6.39M | -27.98%6.39M | 203.52%8.88M | 203.52%8.88M | -18.66%2.93M | -18.66%2.93M |
Employee benefits | -38.26%92K | -38.26%92K | -44.40%149K | -44.40%149K | 35.35%268K | 35.35%268K | -12.78%198K | -12.78%198K | 52.35%227K | 52.35%227K |
Preferred securities outside stock equity | -25.42%1.82M | -25.42%1.82M | 11.30%2.44M | 11.30%2.44M | -56.61%2.2M | -56.61%2.2M | 108.79%5.06M | 108.79%5.06M | 18.48%2.42M | 18.48%2.42M |
Total non current liabilities | -10.59%77.48M | -10.59%77.48M | 22.52%86.66M | 22.52%86.66M | -23.15%70.73M | -23.15%70.73M | 85.97%92.04M | 85.97%92.04M | 82.15%49.49M | 82.15%49.49M |
Shareholders'equity | ||||||||||
Share capital | 2.42%162.35M | 2.42%162.35M | -2.48%158.52M | -2.48%158.52M | 11.77%162.55M | 11.77%162.55M | 7.58%145.44M | 7.58%145.44M | 86.06%135.19M | 86.06%135.19M |
-common stock | 2.42%162.35M | 2.42%162.35M | -2.48%158.52M | -2.48%158.52M | 11.77%162.55M | 11.77%162.55M | 7.58%145.44M | 7.58%145.44M | 86.06%135.19M | 86.06%135.19M |
Gains losses not affecting retained earnings | 21.35%16.25M | 21.35%16.25M | 1,944.73%13.39M | 1,944.73%13.39M | -91.87%655K | -91.87%655K | 45.85%8.06M | 45.85%8.06M | 90.78%5.53M | 90.78%5.53M |
Other equity interest | -26.29%258K | -26.29%258K | -63.62%350K | -63.62%350K | 211.33%962K | 211.33%962K | -83.84%309K | -83.84%309K | 27,214.29%1.91M | 27,214.29%1.91M |
Total equity | -29.33%134.72M | -29.33%134.72M | 2.15%190.62M | 2.15%190.62M | 16.98%186.6M | 16.98%186.6M | 41.49%159.52M | 41.49%159.52M | 109.08%112.74M | 109.08%112.74M |
No Data