(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 | 25.39%1.14B | 167.33%905.53M | -1.94%338.73M | -2.35%345.42M | 23.11%353.74M | 12.03%287.34M | 8.47%256.49M | 22.25%236.47M | -1.01%193.44M | 15.17%195.41M |
Revenue from customers | 42.67%1.17B | 136.61%816.67M | 8.99%345.15M | -4.10%316.68M | 27.81%330.2M | 10.96%258.35M | 2.71%232.84M | 18.30%226.69M | 5.03%191.63M | 8.98%182.46M |
Other cash income from operating activities | -133.43%-29.71M | 1,482.85%88.86M | -122.35%-6.43M | 22.16%28.75M | -18.84%23.53M | 22.59%28.99M | 141.88%23.65M | 441.12%9.78M | -86.05%1.81M | 475.60%12.95M |
Cash paid | -43.97%-974.69M | -151.74%-677.01M | -5.87%-268.93M | 4.33%-254.03M | -15.58%-265.51M | -12.01%-229.72M | -9.76%-205.1M | -6.24%-186.86M | -12.79%-175.89M | -8.71%-155.94M |
Payments to suppliers for goods and services | -43.97%-974.69M | -151.74%-677.01M | -5.87%-268.93M | 4.33%-254.03M | -15.58%-265.51M | -12.01%-229.72M | -9.76%-205.1M | -6.24%-186.86M | -12.79%-175.89M | -8.71%-155.94M |
Direct dividend received | -0.60%37.97M | -11.46%38.2M | 25.98%43.15M | 40.38%34.25M | -7.60%24.4M | 16.74%26.41M | 3.58%22.62M | 6.77%21.84M | 10.70%20.46M | 7.67%18.48M |
Direct interest paid | 20.52%-53.1M | -928.70%-66.81M | 12.27%-6.5M | 13.35%-7.4M | -45.16%-8.54M | -25.80%-5.89M | -25.44%-4.68M | 10.74%-3.73M | -8.01%-4.18M | -16.68%-3.87M |
Direct interest received | ---- | 116.82%34.67M | 10.03%15.99M | 524.14%14.53M | -31.10%2.33M | 42.21%3.38M | -14.66%2.38M | -23.07%2.78M | -0.11%3.62M | -13.94%3.62M |
Direct tax refund paid | -96.72%-63.62M | -20.20%-32.34M | -33.25%-26.9M | -33.70%-20.19M | -25.44%-15.1M | 15.25%-12.04M | 5.15%-14.2M | -17.92%-14.98M | 4.98%-12.7M | -9.10%-13.37M |
Operating cash flow | -59.45%82M | 111.69%202.24M | -15.14%95.54M | 23.31%112.59M | 31.40%91.3M | 20.83%69.48M | 3.56%57.51M | 124.40%55.53M | -44.18%24.75M | 38.41%44.34M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 39.49%-82.81M | -221.66%-136.85M | 384.17%112.49M | 114.75%23.23M | -410.92%-157.5M | -9.45%-30.83M | -214.16%-28.16M | 64.70%-8.97M | 39.64%-25.4M | -401.91%-42.08M |
Net PPE purchase and sale | ---- | 65.85%-749K | -213.73%-2.19M | 59.07%-699K | 71.58%-1.71M | -18.45%-6.01M | 17.24%-5.07M | -26.75%-6.13M | -126.13%-4.84M | 9.17%-2.14M |
Net intangibles purchas and sale | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --30.43M | ---- |
Net business purchase and sale | 80.80%-28.89M | -1,970.36%-150.49M | -75.73%8.05M | 303.52%33.16M | 24.61%-16.29M | -7.49%-21.61M | -565.92%-20.1M | 93.80%-3.02M | -26.33%-48.67M | -822.78%-38.52M |
Net investment purchase and sale | -139.42%-13.77M | -68.05%34.93M | 1,142.17%109.31M | 92.44%-10.49M | -4,189.83%-138.73M | -7.91%-3.23M | -4,933.87%-3M | 103.40%62K | -18.23%-1.82M | 87.93%-1.54M |
Net other investing changes | -95.43%-40.15M | -666.85%-20.54M | -311.78%-2.68M | 265.79%1.27M | -2,825.00%-763K | 154.55%28K | -91.06%11K | 124.55%123K | -488.37%-501K | -90.87%129K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 39.49%-82.81M | -221.66%-136.85M | 384.17%112.49M | 114.75%23.23M | -410.92%-157.5M | -9.45%-30.83M | -214.16%-28.16M | 64.70%-8.97M | 39.64%-25.4M | -401.91%-42.08M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -82.11%89.21M | 375.97%498.66M | 208.02%104.77M | -208.01%-96.99M | 295.90%89.8M | 194.49%22.68M | 53.56%-24M | -1,773.96%-51.69M | 93.97%3.09M | 107.18%1.59M |
Net issuance payments of debt | -88.53%60.86M | 400.99%530.49M | -1,620.34%-176.25M | -108.01%-10.25M | 362.13%127.94M | ---48.81M | ---- | -72.28%6.61M | 41.96%23.85M | 539.60%16.8M |
Net common stock issuance | 21.35%195.74M | -53.63%161.3M | --347.83M | ---- | ---- | --113.2M | ---- | ---- | ---- | 3.63%7.19M |
Cash dividends paid | -34.53%-116.17M | -52.39%-86.35M | 6.12%-56.67M | -108.31%-60.36M | 28.14%-28.98M | -22.39%-40.32M | 4.12%-32.95M | -109.18%-34.36M | 0.27%-16.43M | 5.15%-16.47M |
Interest paid (cash flow from financing activities) | -125.23%-49.4M | ---21.93M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Net other financing activities | 97.86%-1.82M | -736.05%-84.84M | 61.54%-10.15M | -187.79%-26.39M | -562.43%-9.17M | -115.48%-1.38M | 137.35%8.94M | -452.89%-23.94M | 26.92%-4.33M | 25.36%-5.93M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -82.11%89.21M | 375.97%498.66M | 208.02%104.77M | -208.01%-96.99M | 295.90%89.8M | 194.49%22.68M | 53.56%-24M | -1,773.96%-51.69M | 93.97%3.09M | 107.18%1.59M |
Net cash flow | ||||||||||
Beginning cash position | 101.99%1.2B | 110.23%592.46M | 15.90%281.82M | 10.52%243.15M | 38.66%220M | 3.48%158.66M | -3.24%153.32M | 1.56%158.45M | 2.53%156.01M | 0.97%152.16M |
Current changes in cash | -84.33%88.4M | 80.33%564.04M | 705.51%312.79M | 64.49%38.83M | -61.51%23.61M | 1,048.90%61.34M | 204.11%5.34M | -310.42%-5.13M | -36.73%2.44M | 163.11%3.85M |
Effect of exchange rate changes | -97.03%1.2M | 1,972.39%40.22M | -1,225.93%-2.15M | 64.32%-162K | ---454K | ---- | ---- | ---- | ---- | ---- |
Cash adjustments other than cash changes | ---- | ---- | ---- | ---- | --1K | ---- | ---- | ---- | ---- | ---- |
End cash Position | 7.49%1.29B | 101.99%1.2B | 110.23%592.46M | 15.90%281.82M | 10.52%243.15M | 38.66%220M | 3.48%158.66M | -3.24%153.32M | 1.56%158.45M | 2.53%156.01M |
Free cash from | -59.30%82M | 115.86%201.49M | -16.57%93.34M | 25.11%111.89M | 43.52%89.43M | 20.36%62.31M | 5.51%51.77M | 148.92%49.07M | -52.66%19.71M | 41.00%41.64M |
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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