(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 | |
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Operating cash flow (direct method) | ||||||||||
Cash income from operating activities | 27.29%230.64M | 4.17%181.19M | -3.14%173.94M | 4.95%179.57M | -20.42%171.1M | -10.94%215.01M | 12.13%241.43M | 2.56%215.31M | 34.67%209.92M | -10.07%155.88M |
Revenue from customers | 28.29%223.91M | 7.83%174.54M | -8.53%161.87M | 7.44%176.96M | -21.18%164.7M | -13.42%208.96M | 12.10%241.35M | 2.57%215.29M | 35.05%209.9M | -10.28%155.43M |
Other cash income from operating activities | 1.20%6.73M | -44.91%6.65M | 361.19%12.07M | -59.08%2.62M | 5.84%6.4M | 7,362.96%6.05M | 440.00%81K | -28.57%15K | -95.38%21K | 299.12%455K |
Cash paid | -3.62%-171.85M | -15.93%-165.84M | -18.42%-143.05M | 9.26%-120.8M | 18.11%-133.13M | 13.54%-162.57M | -1.81%-188.02M | 6.53%-184.67M | -22.01%-197.58M | -9.71%-161.95M |
Payments to suppliers for goods and services | -3.62%-171.85M | -15.93%-165.84M | -18.42%-143.05M | 9.26%-120.8M | 18.11%-133.13M | 13.54%-162.57M | -1.81%-188.02M | 6.53%-184.67M | -22.01%-197.58M | -9.71%-161.95M |
Direct dividend received | 7.92%1.55M | -21.91%1.44M | 19.97%1.84M | 146.31%1.54M | 178.57%624K | --224K | ---- | ---- | ---- | ---- |
Direct interest paid | -0.90%-3.6M | -105.42%-3.56M | 7.32%-1.74M | 29.09%-1.87M | -8.51%-2.64M | -15.14%-2.43M | 26.35%-2.11M | -18.90%-2.87M | 33.01%-2.41M | 0.83%-3.6M |
Direct interest received | 11.03%1.16M | 147.16%1.04M | 52.90%422K | -34.60%276K | -38.03%422K | --681K | ---- | ---- | ---- | ---- |
Direct tax refund paid | -19.75%-10.19M | 21.05%-8.51M | 0.31%-10.78M | 30.52%-10.81M | 12.91%-15.57M | -185.04%-17.87M | -13.59%-6.27M | -179.78%-5.52M | 62.67%-1.97M | -4.57%-5.29M |
Operating cash flow | 729.05%47.72M | -72.12%5.76M | -56.90%20.64M | 130.16%47.9M | -37.00%20.81M | -26.62%33.04M | 102.40%45.02M | 179.66%22.24M | 153.20%7.95M | -187.73%-14.95M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 43.88%-16.63M | -674.86%-29.63M | 137.61%5.16M | -342.73%-13.71M | 90.36%-3.1M | -3,566.21%-32.12M | 73.39%-876K | -240.08%-3.29M | 83.99%-968K | 57.39%-6.05M |
Net PPE purchase and sale | 48.85%-3.45M | -16.57%-6.75M | -13.88%-5.79M | 0.00%-5.08M | -1.95%-5.08M | 10.52%-4.98M | -96.13%-5.57M | 70.06%-2.84M | -140.79%-9.49M | 13.46%-3.94M |
Net business purchase and sale | ---- | ---- | -466.99%-2.94M | -72.67%-518K | ---300K | ---- | ---- | ---- | ---- | ---- |
Net investment purchase and sale | 45.77%-13.18M | -524.56%-24.31M | 54.60%-3.89M | -572.03%-8.57M | 106.47%1.82M | -116.48%-28.07M | -1,111.68%-12.97M | -114.47%-1.07M | 421.29%7.4M | 79.18%-2.3M |
Dividends received (cash flow from investment activities) | ---- | 26.13%1.42M | --1.13M | ---- | ---- | --1.36M | ---- | ---- | 52,400.00%1.05M | 100.00%2K |
Interest received (cash flow from investment activities) | ---- | ---- | ---- | ---- | ---- | ---- | 403.57%282K | -23.29%56K | -28.43%73K | -49.50%102K |
Net other investing changes | ---- | ---- | 3,487.28%16.65M | -1.07%464K | 210.35%469K | -102.45%-425K | 2,991.99%17.38M | --562K | ---- | -92.60%90K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 43.88%-16.63M | -674.86%-29.63M | 137.61%5.16M | -342.73%-13.71M | 90.36%-3.1M | -3,566.21%-32.12M | 73.39%-876K | -240.08%-3.29M | 83.99%-968K | 57.39%-6.05M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -287.61%-33.71M | 199.23%17.97M | 43.84%-18.11M | -179,016.67%-32.24M | 99.82%-18K | 66.58%-10.21M | -106.85%-30.56M | -232.25%-14.77M | -146.89%-4.45M | 1,188.63%9.48M |
Net issuance payments of debt | -137.90%-11.91M | 2,093.02%31.43M | 109.69%1.43M | -161.43%-14.79M | 483.95%24.08M | 120.39%4.12M | -154.09%-20.22M | -1,245.18%-7.96M | -94.95%695K | 231.11%13.77M |
Net common stock issuance | 79.07%-140K | 35.17%-669K | ---1.03M | ---- | -340.33%-3.17M | 64.81%-719K | ---2.04M | ---- | ---- | 95.67%-10K |
Cash dividends paid | -24.58%-16.81M | 3.85%-13.5M | 3.95%-14.04M | 15.04%-14.61M | -18.77%-17.2M | -121.16%-14.48M | -39.97%-6.55M | -33.65%-4.68M | 0.00%-3.5M | 1.99%-3.5M |
Net other financing activities | -784.18%-4.84M | 115.83%708K | -57.85%-4.47M | 24.09%-2.83M | -529.95%-3.73M | 149.86%868K | 18.42%-1.74M | -30.12%-2.13M | -110.80%-1.64M | 36.59%-778K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -287.61%-33.71M | 199.23%17.97M | 43.84%-18.11M | -179,016.67%-32.24M | 99.82%-18K | 66.58%-10.21M | -106.85%-30.56M | -232.25%-14.77M | -146.89%-4.45M | 1,188.63%9.48M |
Net cash flow | ||||||||||
Beginning cash position | -11.05%39.13M | 17.75%43.99M | 6.68%37.35M | 101.58%35.02M | -33.03%17.37M | 127.19%25.94M | 61.53%11.42M | 68.61%7.07M | -71.25%4.19M | 15.17%14.58M |
Current changes in cash | 55.65%-2.62M | -176.85%-5.91M | 293.95%7.69M | -88.97%1.95M | 290.51%17.7M | -168.36%-9.29M | 225.10%13.59M | 64.57%4.18M | 122.05%2.54M | -681.72%-11.52M |
Effect of exchange rate changes | 4.57%1.1M | 199.24%1.05M | -374.35%-1.06M | 828.30%386K | -107.33%-53K | -22.42%723K | 451.48%932K | -49.70%169K | -70.19%336K | 2,010.17%1.13M |
End cash Position | -3.89%37.6M | -11.05%39.13M | 17.75%43.99M | 6.68%37.35M | 101.58%35.02M | -33.03%17.37M | 127.19%25.94M | 61.53%11.42M | 68.61%7.07M | -71.25%4.19M |
Free cash from | 3,407.48%44.22M | -109.08%-1.34M | -65.25%14.72M | 176.52%42.36M | -44.56%15.32M | -29.96%27.63M | 109.66%39.45M | 1,327.27%18.81M | 91.90%-1.53M | -253.81%-18.92M |
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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