(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 | 7.42%1.29B | 7.42%1.29B | 101.66%1.2B | 101.66%1.2B | 110.48%594.33M | 110.48%594.33M | 15.97%282.37M | 15.97%282.37M | 10.68%243.5M | 10.68%243.5M |
-Cash and cash equivalents | 7.49%1.29B | 7.49%1.29B | 101.99%1.2B | 101.99%1.2B | 110.23%592.46M | 110.23%592.46M | 15.90%281.82M | 15.90%281.82M | 10.52%243.15M | 10.52%243.15M |
-Short term investments | -36.42%1.15M | -36.42%1.15M | -3.43%1.8M | -3.43%1.8M | 237.18%1.87M | 237.18%1.87M | 59.20%554K | 59.20%554K | 4,250.00%348K | 4,250.00%348K |
Receivables | -22.86%241.5M | -22.86%241.5M | 166.04%313.08M | 166.04%313.08M | 83.64%117.68M | 83.64%117.68M | -6.50%64.08M | -6.50%64.08M | -71.83%68.54M | -71.83%68.54M |
-Accounts receivable | -89.47%32.97M | -89.47%32.97M | 166.04%313.08M | 166.04%313.08M | 434.32%117.68M | 434.32%117.68M | -17.87%22.02M | -17.87%22.02M | -28.05%26.82M | -28.05%26.82M |
-Other receivables | --208.53M | --208.53M | ---- | ---- | ---- | ---- | 0.80%42.06M | 0.80%42.06M | -79.75%41.72M | -79.75%41.72M |
Prepaid assets | --45.44M | --45.44M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Hedging assets-current | --17.67M | --17.67M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Other current assets | -40.04%15.31M | -40.04%15.31M | 2,403.92%25.54M | 2,403.92%25.54M | -2.39%1.02M | -2.39%1.02M | 97.54%1.05M | 97.54%1.05M | --529K | --529K |
Total current assets | 4.57%1.61B | 4.57%1.61B | 115.58%1.54B | 115.58%1.54B | 105.19%713.03M | 105.19%713.03M | 11.18%347.5M | 11.18%347.5M | -32.54%312.57M | -32.54%312.57M |
Non current assets | ||||||||||
Net PPE | 1.33%84.35M | 1.33%84.35M | 175.66%83.25M | 175.66%83.25M | 0.15%30.2M | 0.15%30.2M | -20.65%30.15M | -20.65%30.15M | 160.99%38M | 160.99%38M |
-Gross PPE | 1.33%84.35M | 1.33%84.35M | 175.66%83.25M | 175.66%83.25M | -20.93%30.2M | -20.93%30.2M | -20.23%38.19M | -20.23%38.19M | 35.56%47.87M | 35.56%47.87M |
-Accumulated depreciation | ---- | ---- | ---- | ---- | ---- | ---- | 18.61%-8.04M | 18.61%-8.04M | 52.42%-9.88M | 52.42%-9.88M |
Investments and advances | 1.83%273.33M | 1.83%273.33M | 3.51%268.42M | 3.51%268.42M | -7.61%259.31M | -7.61%259.31M | 3.54%280.68M | 3.54%280.68M | 112.04%271.08M | 112.04%271.08M |
-Long term equity investment | 5.19%250.91M | 5.19%250.91M | -4.63%238.53M | -4.63%238.53M | -10.88%250.1M | -10.88%250.1M | 3.54%280.64M | 3.54%280.64M | 112.66%271.04M | 112.66%271.04M |
-Other investment | -25.01%22.42M | -25.01%22.42M | 224.41%29.89M | 224.41%29.89M | 22,935.00%9.21M | 22,935.00%9.21M | 0.00%40K | 0.00%40K | -89.82%40K | -89.82%40K |
Financial assets | --1.98M | --1.98M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Non current accounts receivable | -15.77%14.56M | -15.77%14.56M | 2,239.11%17.29M | 2,239.11%17.29M | -79.08%739K | -79.08%739K | 3,081.98%3.53M | 3,081.98%3.53M | -16.54%111K | -16.54%111K |
Goodwill and other intangible assets | 4.40%2.04B | 4.40%2.04B | 214.35%1.96B | 214.35%1.96B | 32.54%622.51M | 32.54%622.51M | 21.84%469.68M | 21.84%469.68M | -3.90%385.5M | -3.90%385.5M |
-Goodwill | 6.81%1.54B | 6.81%1.54B | 157.83%1.44B | 157.83%1.44B | 34.50%559.85M | 34.50%559.85M | 26.36%416.24M | 26.36%416.24M | -3.37%329.42M | -3.37%329.42M |
-Other intangible assets | -2.39%501.13M | -2.39%501.13M | 719.31%513.41M | 719.31%513.41M | 17.27%62.66M | 17.27%62.66M | -4.71%53.44M | -4.71%53.44M | -6.91%56.08M | -6.91%56.08M |
Non current deferred assets | 15.76%24.76M | 15.76%24.76M | 45.54%21.39M | 45.54%21.39M | 0.82%14.69M | 0.82%14.69M | 0.25%14.57M | 0.25%14.57M | 14.97%14.54M | 14.97%14.54M |
Total non current assets | 4.03%2.44B | 4.03%2.44B | 153.08%2.35B | 153.08%2.35B | 16.13%927.46M | 16.13%927.46M | 12.60%798.62M | 12.60%798.62M | 27.48%709.23M | 27.48%709.23M |
Total assets | 4.25%4.05B | 4.25%4.05B | 136.78%3.88B | 136.78%3.88B | 43.13%1.64B | 43.13%1.64B | 12.17%1.15B | 12.17%1.15B | 0.21%1.02B | 0.21%1.02B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -41.26%20.27M | -41.26%20.27M | 101.49%34.51M | 101.49%34.51M | -11.07%17.13M | -11.07%17.13M | -0.35%19.26M | -0.35%19.26M | 2.02%19.33M | 2.02%19.33M |
-Current debt | -69.05%6.12M | -69.05%6.12M | 121.11%19.77M | 121.11%19.77M | -16.63%8.94M | -16.63%8.94M | 4.15%10.72M | 4.15%10.72M | -44.56%10.3M | -44.56%10.3M |
-Current capital lease obligation | -3.99%14.16M | -3.99%14.16M | 80.08%14.74M | 80.08%14.74M | -4.09%8.19M | -4.09%8.19M | -5.48%8.54M | -5.48%8.54M | 2,321.18%9.03M | 2,321.18%9.03M |
Payables | -0.57%1.04B | -0.57%1.04B | 146.72%1.05B | 146.72%1.05B | 75.22%425.63M | 75.22%425.63M | 12.88%242.9M | 12.88%242.9M | -44.23%215.19M | -44.23%215.19M |
-accounts payable | 52.83%82.19M | 52.83%82.19M | 27.75%53.78M | 27.75%53.78M | 50.21%42.1M | 50.21%42.1M | 15.71%28.03M | 15.71%28.03M | 33.44%24.22M | 33.44%24.22M |
-Other payable | -3.45%961.92M | -3.45%961.92M | 159.78%996.34M | 159.78%996.34M | 78.49%383.53M | 78.49%383.53M | 12.52%214.88M | 12.52%214.88M | -48.06%190.96M | -48.06%190.96M |
Current provisions | -95.05%4.01M | -95.05%4.01M | --81.07M | --81.07M | ---- | ---- | ---- | ---- | ---- | ---- |
Pension and other retirement benefit plans | -30.92%85.3M | -30.92%85.3M | 324.26%123.48M | 324.26%123.48M | 40.74%29.1M | 40.74%29.1M | 18.21%20.68M | 18.21%20.68M | 15.73%17.49M | 15.73%17.49M |
Current deferred liabilities | -1.59%56.4M | -1.59%56.4M | 212.29%57.31M | 212.29%57.31M | 8.77%18.35M | 8.77%18.35M | 8.09%16.87M | 8.09%16.87M | 138.93%15.61M | 138.93%15.61M |
Other current liabilities | 339.48%158.82M | 339.48%158.82M | --36.14M | --36.14M | ---- | ---- | ---- | ---- | ---- | ---- |
Current liabilities | -0.99%1.37B | -0.99%1.37B | 182.05%1.38B | 182.05%1.38B | 63.56%490.21M | 63.56%490.21M | 11.99%299.72M | 11.99%299.72M | -37.29%267.62M | -37.29%267.62M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 12.42%704.42M | 12.42%704.42M | 991.97%626.6M | 991.97%626.6M | -73.73%57.38M | -73.73%57.38M | -9.78%218.43M | -9.78%218.43M | 183.07%242.11M | 183.07%242.11M |
-Long term debt | 13.36%639.88M | 13.36%639.88M | 1,361.20%564.46M | 1,361.20%564.46M | -80.72%38.63M | -80.72%38.63M | -8.96%200.35M | -8.96%200.35M | 158.55%220.07M | 158.55%220.07M |
-Long term capital lease obligation | 3.87%64.54M | 3.87%64.54M | 231.35%62.13M | 231.35%62.13M | 3.72%18.75M | 3.72%18.75M | -17.97%18.08M | -17.97%18.08M | 5,211.33%22.04M | 5,211.33%22.04M |
Long term accounts payable and other payables | ---- | ---- | ---- | ---- | 542.23%67.63M | 542.23%67.63M | 1,825.05%10.53M | 1,825.05%10.53M | -46.43%547K | -46.43%547K |
Derivative product liabilities | --7.1M | --7.1M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Long term provisions | 505.46%12.09M | 505.46%12.09M | -79.54%2M | -79.54%2M | 158.93%9.75M | 158.93%9.75M | 2.81%3.77M | 2.81%3.77M | 381.47%3.66M | 381.47%3.66M |
Employee benefits | 125.18%7.83M | 125.18%7.83M | --3.48M | --3.48M | ---- | ---- | ---- | ---- | ---- | ---- |
Non current deferred liabilities | 0.81%119.28M | 0.81%119.28M | 572.14%118.32M | 572.14%118.32M | 17.91%17.6M | 17.91%17.6M | -6.69%14.93M | -6.69%14.93M | -18.32%16M | -18.32%16M |
Other non current liabilities | -66.21%80.41M | -66.21%80.41M | 102,904.33%237.94M | 102,904.33%237.94M | -50.22%231K | -50.22%231K | --464K | --464K | ---- | ---- |
Total non current liabilities | -5.79%931.12M | -5.79%931.12M | 547.67%988.33M | 547.67%988.33M | -38.50%152.6M | -38.50%152.6M | -5.41%248.12M | -5.41%248.12M | 139.56%262.32M | 139.56%262.32M |
Total liabilities | -2.99%2.3B | -2.99%2.3B | 268.84%2.37B | 268.84%2.37B | 17.34%642.81M | 17.34%642.81M | 3.38%547.83M | 3.38%547.83M | -1.18%529.94M | -1.18%529.94M |
Shareholders'equity | ||||||||||
Share capital | 20.70%1.14B | 20.70%1.14B | 55.41%945.69M | 55.41%945.69M | 128.20%608.52M | 128.20%608.52M | 2.98%266.66M | 2.98%266.66M | 1.28%258.95M | 1.28%258.95M |
-common stock | 20.70%1.14B | 20.70%1.14B | 55.41%945.69M | 55.41%945.69M | 128.20%608.52M | 128.20%608.52M | 2.98%266.66M | 2.98%266.66M | 1.28%258.95M | 1.28%258.95M |
Retained earnings | 21.07%312.85M | 21.07%312.85M | 4.50%258.4M | 4.50%258.4M | 17.51%247.28M | 17.51%247.28M | 17.55%210.42M | 17.55%210.42M | 4.58%179.01M | 4.58%179.01M |
Gains losses not affecting retained earnings | -23.39%58.05M | -23.39%58.05M | 5,910.35%75.77M | 5,910.35%75.77M | -178.04%-1.3M | -178.04%-1.3M | 121.56%1.67M | 121.56%1.67M | 33.90%-7.75M | 33.90%-7.75M |
Total stockholders'equity | 18.16%1.51B | 18.16%1.51B | 49.78%1.28B | 49.78%1.28B | 78.48%854.49M | 78.48%854.49M | 11.29%478.75M | 11.29%478.75M | 3.64%430.2M | 3.64%430.2M |
Noncontrolling interests | 1.45%236.89M | 1.45%236.89M | 63.09%233.52M | 63.09%233.52M | 19.79%143.18M | 19.79%143.18M | 93.87%119.53M | 93.87%119.53M | -9.72%61.66M | -9.72%61.66M |
Total equity | 15.58%1.75B | 15.58%1.75B | 51.69%1.51B | 51.69%1.51B | 66.76%997.68M | 66.76%997.68M | 21.64%598.29M | 21.64%598.29M | 1.75%491.86M | 1.75%491.86M |
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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