(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 | |
---|---|---|---|---|---|---|---|---|
Assets | ||||||||
Current assets | ||||||||
Cash, cash equivalents and short term investments | -44.43%14.8M | -44.43%14.8M | 77.53%26.63M | 77.53%26.63M | -28.97%15M | -28.97%15M | --21.12M | --21.12M |
-Cash and cash equivalents | -44.43%14.8M | -44.43%14.8M | 77.53%26.63M | 77.53%26.63M | -28.81%15M | -28.81%15M | --21.07M | --21.07M |
-Short term investments | ---- | ---- | ---- | ---- | ---- | ---- | --47.37K | --47.37K |
Receivables | -6.32%21.5M | -6.32%21.5M | 110.05%22.95M | 110.05%22.95M | 38.52%10.93M | 38.52%10.93M | --7.89M | --7.89M |
-Accounts receivable | -11.13%21.27M | -11.13%21.27M | 114.98%23.93M | 114.98%23.93M | 43.77%11.13M | 43.77%11.13M | --7.74M | --7.74M |
-Other receivables | 10,130,342.86%1.42M | 10,130,342.86%1.42M | -99.99%14 | -99.99%14 | -30.40%220.09K | -30.40%220.09K | --316.22K | --316.22K |
-Recievables adjustments allowances | -21.11%-1.19M | -21.11%-1.19M | -130.24%-978.91K | -130.24%-978.91K | -148.65%-425.17K | -148.65%-425.17K | ---170.99K | ---170.99K |
Inventory | -41.05%310.61K | -41.05%310.61K | 47.18%526.92K | 47.18%526.92K | 115.48%358.02K | 115.48%358.02K | --166.15K | --166.15K |
Prepaid assets | 14.29%1.19M | 14.29%1.19M | 143.26%1.04M | 143.26%1.04M | -8.06%428.71K | -8.06%428.71K | --466.31K | --466.31K |
Other current assets | 6.01%87.71K | 6.01%87.71K | 165.19%82.74K | 165.19%82.74K | 3,120,200.00%31.2K | 3,120,200.00%31.2K | ---1 | ---1 |
Total current assets | -26.05%37.89M | -26.05%37.89M | 91.57%51.24M | 91.57%51.24M | -9.77%26.75M | -9.77%26.75M | --29.64M | --29.64M |
Non current assets | ||||||||
Net PPE | -13.98%1.48M | -13.98%1.48M | 28.03%1.72M | 28.03%1.72M | 153.22%1.34M | 153.22%1.34M | --530.1K | --530.1K |
-Gross PPE | -2.72%2.63M | -2.72%2.63M | 67.70%2.71M | 67.70%2.71M | 155.83%1.61M | 155.83%1.61M | --630.72K | --630.72K |
-Accumulated depreciation | -16.88%-1.15M | -16.88%-1.15M | -264.00%-987.37K | -264.00%-987.37K | -169.58%-271.25K | -169.58%-271.25K | ---100.62K | ---100.62K |
Investments and advances | 78.90%2.93K | 78.90%2.93K | --1.64K | --1.64K | ---- | ---- | ---- | ---- |
-Other investment | 78.90%2.93K | 78.90%2.93K | --1.64K | --1.64K | ---- | ---- | ---- | ---- |
Goodwill and other intangible assets | -3.82%57.21M | -3.82%57.21M | 659.60%59.48M | 659.60%59.48M | 5,218.19%7.83M | 5,218.19%7.83M | --147.23K | --147.23K |
-Goodwill | 15.88%40.6M | 15.88%40.6M | 449.02%35.04M | 449.02%35.04M | --6.38M | --6.38M | ---- | ---- |
-Other intangible assets | -32.05%16.61M | -32.05%16.61M | 1,587.38%24.44M | 1,587.38%24.44M | 883.78%1.45M | 883.78%1.45M | --147.23K | --147.23K |
Non current deferred assets | 17.95%743.83K | 17.95%743.83K | 57.59%630.63K | 57.59%630.63K | 55.93%400.17K | 55.93%400.17K | --256.64K | --256.64K |
Total non current assets | -3.87%59.43M | -3.87%59.43M | 545.89%61.83M | 545.89%61.83M | 924.91%9.57M | 924.91%9.57M | --933.96K | --933.96K |
Total assets | -13.92%97.32M | -13.92%97.32M | 211.30%113.07M | 211.30%113.07M | 18.78%36.32M | 18.78%36.32M | --30.58M | --30.58M |
Liabilities | ||||||||
Current liabilities | ||||||||
Current debt and capital lease obligation | -47.34%202.15K | -47.34%202.15K | 279.59%383.85K | 279.59%383.85K | 55.99%101.12K | 55.99%101.12K | --64.83K | --64.83K |
-Current debt | 76.68%58.54K | 76.68%58.54K | 2.97%33.13K | 2.97%33.13K | 98.27%32.18K | 98.27%32.18K | --16.23K | --16.23K |
-Current capital lease obligation | -59.05%143.61K | -59.05%143.61K | 408.67%350.72K | 408.67%350.72K | 41.87%68.95K | 41.87%68.95K | --48.6K | --48.6K |
Payables | -15.90%25.78M | -15.90%25.78M | 50.06%30.66M | 50.06%30.66M | 64.13%20.43M | 64.13%20.43M | --12.45M | --12.45M |
-accounts payable | 1.39%25.54M | 1.39%25.54M | 60.45%25.19M | 60.45%25.19M | 29.51%15.7M | 29.51%15.7M | --12.12M | --12.12M |
-Other payable | -95.57%242.18K | -95.57%242.18K | 15.58%5.47M | 15.58%5.47M | 1,351.50%4.73M | 1,351.50%4.73M | --325.95K | --325.95K |
Current provisions | 16.77%418.62K | 16.77%418.62K | -12.47%358.51K | -12.47%358.51K | 368.93%409.58K | 368.93%409.58K | --87.34K | --87.34K |
Pension and other retirement benefit plans | 35.25%902.19K | 35.25%902.19K | 25.77%667.07K | 25.77%667.07K | 51.65%530.4K | 51.65%530.4K | --349.74K | --349.74K |
Current deferred liabilities | -18.01%7.42M | -18.01%7.42M | 94.66%9.05M | 94.66%9.05M | 48.08%4.65M | 48.08%4.65M | --3.14M | --3.14M |
Other current liabilities | ---- | ---- | ---- | ---- | ---- | ---- | --1 | --1 |
Current liabilities | -15.55%34.73M | -15.55%34.73M | 57.42%41.12M | 57.42%41.12M | 62.35%26.12M | 62.35%26.12M | --16.09M | --16.09M |
Non current liabilities | ||||||||
Long term debt and capital lease obligation | -88.15%43.95K | -88.15%43.95K | 18.46%370.9K | 18.46%370.9K | -10.55%313.11K | -10.55%313.11K | --350.03K | --350.03K |
-Long term debt | ---- | ---- | -31.27%72.83K | -31.27%72.83K | 43.34%105.97K | 43.34%105.97K | --73.93K | --73.93K |
-Long term capital lease obligation | -85.26%43.95K | -85.26%43.95K | 43.89%298.07K | 43.89%298.07K | -24.97%207.15K | -24.97%207.15K | --276.1K | --276.1K |
Employee benefits | 1.54%124.7K | 1.54%124.7K | 72.59%122.8K | 72.59%122.8K | 31.04%71.15K | 31.04%71.15K | --54.3K | --54.3K |
Non current deferred liabilities | -31.37%4.09M | -31.37%4.09M | 1,312.60%5.95M | 1,312.60%5.95M | --421.47K | --421.47K | ---- | ---- |
Total non current liabilities | -34.01%4.25M | -34.01%4.25M | 700.19%6.45M | 700.19%6.45M | 99.28%805.73K | 99.28%805.73K | --404.32K | --404.32K |
Total liabilities | -18.05%38.98M | -18.05%38.98M | 76.65%47.57M | 76.65%47.57M | 63.25%26.93M | 63.25%26.93M | --16.49M | --16.49M |
Shareholders'equity | ||||||||
Share capital | 0.00%85.12M | 0.00%85.12M | 233.75%85.12M | 233.75%85.12M | 16.10%25.5M | 16.10%25.5M | --21.97M | --21.97M |
-common stock | 0.00%85.12M | 0.00%85.12M | 233.75%85.12M | 233.75%85.12M | 16.10%25.5M | 16.10%25.5M | --21.97M | --21.97M |
Retained earnings | -41.30%-27.78M | -41.30%-27.78M | -22.48%-19.66M | -22.48%-19.66M | -103.52%-16.05M | -103.52%-16.05M | ---7.89M | ---7.89M |
Gains losses not affecting retained earnings | 2,413.95%1M | 2,413.95%1M | 166.94%39.84K | 166.94%39.84K | -1,984.61%-59.52K | -1,984.61%-59.52K | --3.16K | --3.16K |
Total stockholders'equity | -10.93%58.34M | -10.93%58.34M | 597.35%65.5M | 597.35%65.5M | -33.30%9.39M | -33.30%9.39M | --14.08M | --14.08M |
Total equity | -10.93%58.34M | -10.93%58.34M | 597.35%65.5M | 597.35%65.5M | -33.30%9.39M | -33.30%9.39M | --14.08M | --14.08M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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