(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 | -25.07%111.03M | -25.07%111.03M | 10.14%148.18M | 10.14%148.18M | 16.52%134.53M | 16.52%134.53M | 112.73%115.45M | 112.73%115.45M | 170.14%54.27M | 170.14%54.27M |
-Cash and cash equivalents | -38.75%88.95M | -38.75%88.95M | 10.26%145.22M | 10.26%145.22M | 31.86%131.71M | 31.86%131.71M | 118.59%99.88M | 118.59%99.88M | 145.39%45.69M | 145.39%45.69M |
-Short term investments | 646.96%22.08M | 646.96%22.08M | 4.82%2.96M | 4.82%2.96M | -81.89%2.82M | -81.89%2.82M | 81.47%15.57M | 81.47%15.57M | 483.68%8.58M | 483.68%8.58M |
Receivables | -48.34%965K | -48.34%965K | -12.95%1.87M | -12.95%1.87M | 63.19%2.15M | 63.19%2.15M | 174.73%1.32M | 174.73%1.32M | 59.98%478.64K | 59.98%478.64K |
-Accounts receivable | 62.45%437K | 62.45%437K | 333.87%269K | 333.87%269K | 226.32%62K | 226.32%62K | -69.21%19K | -69.21%19K | --61.71K | --61.71K |
-Other receivables | -66.98%528K | -66.98%528K | -23.27%1.6M | -23.27%1.6M | 60.80%2.08M | 60.80%2.08M | 210.84%1.3M | 210.84%1.3M | 39.36%416.94K | 39.36%416.94K |
Inventory | ---- | ---- | ---- | ---- | ---- | ---- | --329K | --329K | ---- | ---- |
Prepaid assets | 70.88%1.03M | 70.88%1.03M | 41.41%601K | 41.41%601K | 15.18%425K | 15.18%425K | 177.95%369K | 177.95%369K | -23.59%132.76K | -23.59%132.76K |
Current deferred assets | 154.01%2.22M | 154.01%2.22M | -42.93%872K | -42.93%872K | 39.67%1.53M | 39.67%1.53M | --1.09M | --1.09M | ---- | ---- |
Total current assets | -23.95%115.24M | -23.95%115.24M | 9.30%151.52M | 9.30%151.52M | 16.93%138.63M | 16.93%138.63M | 116.02%118.56M | 116.02%118.56M | 147.81%54.88M | 147.81%54.88M |
Non current assets | ||||||||||
Net PPE | 16.90%54.88M | 16.90%54.88M | -1.23%46.95M | -1.23%46.95M | 8.51%47.53M | 8.51%47.53M | 14,047.02%43.8M | 14,047.02%43.8M | -5.75%309.63K | -5.75%309.63K |
-Gross PPE | 16.16%56.85M | 16.16%56.85M | 0.70%48.94M | 0.70%48.94M | 9.11%48.6M | 9.11%48.6M | 4,585.92%44.54M | 4,585.92%44.54M | 8.70%950.49K | 8.70%950.49K |
-Accumulated depreciation | 1.26%-1.96M | 1.26%-1.96M | -86.59%-1.99M | -86.59%-1.99M | -44.84%-1.07M | -44.84%-1.07M | -14.85%-736K | -14.85%-736K | -17.40%-640.86K | -17.40%-640.86K |
Investments and advances | -8.05%548K | -8.05%548K | -3.40%596K | -3.40%596K | 105.67%617K | 105.67%617K | 7.71%300K | 7.71%300K | -20.25%278.54K | -20.25%278.54K |
-Other investment | -8.05%548K | -8.05%548K | -3.40%596K | -3.40%596K | 105.67%617K | 105.67%617K | 7.71%300K | 7.71%300K | -11.65%278.54K | -11.65%278.54K |
Non current accounts receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --14.6K | --14.6K |
Total non current assets | 16.59%55.43M | 16.59%55.43M | -1.26%47.54M | -1.26%47.54M | 9.17%48.15M | 9.17%48.15M | 7,216.79%44.1M | 7,216.79%44.1M | -11.07%602.76K | -11.07%602.76K |
Total assets | -14.27%170.67M | -14.27%170.67M | 6.58%199.06M | 6.58%199.06M | 14.83%186.78M | 14.83%186.78M | 193.15%162.66M | 193.15%162.66M | 143.09%55.49M | 143.09%55.49M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -33.06%243K | -33.06%243K | -18.06%363K | -18.06%363K | 223.36%443K | 223.36%443K | 190.14%137K | 190.14%137K | --47.22K | --47.22K |
-Current capital lease obligation | -33.06%243K | -33.06%243K | -18.06%363K | -18.06%363K | 223.36%443K | 223.36%443K | 190.14%137K | 190.14%137K | --47.22K | --47.22K |
Payables | -59.82%3.2M | -59.82%3.2M | 18.69%7.95M | 18.69%7.95M | -36.66%6.7M | -36.66%6.7M | 506.28%10.58M | 506.28%10.58M | 138.71%1.74M | 138.71%1.74M |
-accounts payable | -53.40%794K | -53.40%794K | 174.84%1.7M | 174.84%1.7M | 1,622.22%620K | 1,622.22%620K | 12.74%36K | 12.74%36K | -77.13%31.93K | -77.13%31.93K |
-Other payable | -61.57%2.4M | -61.57%2.4M | 2.76%6.25M | 2.76%6.25M | -42.33%6.08M | -42.33%6.08M | 515.48%10.54M | 515.48%10.54M | 189.68%1.71M | 189.68%1.71M |
Pension and other retirement benefit plans | -19.90%624K | -19.90%624K | 27.50%779K | 27.50%779K | 49.39%611K | 49.39%611K | 96.76%409K | 96.76%409K | -4.41%207.87K | -4.41%207.87K |
Current deferred liabilities | ---- | ---- | ---- | ---- | ---- | ---- | --2.06M | --2.06M | ---- | ---- |
Other current liabilities | 35.86%1.72M | 35.86%1.72M | 40.04%1.27M | 40.04%1.27M | --904K | --904K | ---- | ---- | ---- | ---- |
Current liabilities | -44.18%5.78M | -44.18%5.78M | 19.66%10.36M | 19.66%10.36M | -34.35%8.66M | -34.35%8.66M | 559.42%13.19M | 559.42%13.19M | 108.05%2M | 108.05%2M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 37.02%1.87M | 37.02%1.87M | -19.43%1.36M | -19.43%1.36M | 698.58%1.69M | 698.58%1.69M | 1,722.40%212K | 1,722.40%212K | --11.63K | --11.63K |
-Long term capital lease obligation | 37.02%1.87M | 37.02%1.87M | -19.43%1.36M | -19.43%1.36M | 698.58%1.69M | 698.58%1.69M | 1,722.40%212K | 1,722.40%212K | --11.63K | --11.63K |
Employee benefits | -5.06%225K | -5.06%225K | --237K | --237K | ---- | ---- | ---- | ---- | ---- | ---- |
Other non current liabilities | ---- | ---- | -45.45%54K | -45.45%54K | 135.71%99K | 135.71%99K | -14.90%42K | -14.90%42K | 8.02%49.35K | 8.02%49.35K |
Total non current liabilities | 26.53%2.09M | 26.53%2.09M | -7.65%1.66M | -7.65%1.66M | 605.51%1.79M | 605.51%1.79M | 316.50%254K | 316.50%254K | 33.49%60.98K | 33.49%60.98K |
Total liabilities | -34.44%7.88M | -34.44%7.88M | 14.98%12.01M | 14.98%12.01M | -22.25%10.45M | -22.25%10.45M | 552.23%13.44M | 552.23%13.44M | 104.67%2.06M | 104.67%2.06M |
Shareholders'equity | ||||||||||
Share capital | 2.10%367.47M | 2.10%367.47M | 26.27%359.91M | 26.27%359.91M | 50.47%285.04M | 50.47%285.04M | 218.36%189.43M | 218.36%189.43M | 99.62%59.5M | 99.62%59.5M |
-common stock | 2.10%367.47M | 2.10%367.47M | 26.27%359.91M | 26.27%359.91M | 50.47%285.04M | 50.47%285.04M | 218.36%189.43M | 218.36%189.43M | 99.62%59.5M | 99.62%59.5M |
Retained earnings | -22.47%-215.94M | -22.47%-215.94M | -56.63%-176.31M | -56.63%-176.31M | -128.88%-112.56M | -128.88%-112.56M | -628.40%-49.18M | -628.40%-49.18M | 26.07%-6.75M | 26.07%-6.75M |
Gains losses not affecting retained earnings | 226.63%11.26M | 226.63%11.26M | -10.58%3.45M | -10.58%3.45M | -57.05%3.86M | -57.05%3.86M | 1,223.65%8.98M | 1,223.65%8.98M | -40.76%678.13K | -40.76%678.13K |
Total stockholders'equity | -12.97%162.79M | -12.97%162.79M | 6.08%187.05M | 6.08%187.05M | 18.17%176.33M | 18.17%176.33M | 179.30%149.22M | 179.30%149.22M | 144.86%53.43M | 144.86%53.43M |
Total equity | -12.97%162.79M | -12.97%162.79M | 6.08%187.05M | 6.08%187.05M | 18.17%176.33M | 18.17%176.33M | 179.30%149.22M | 179.30%149.22M | 144.86%53.43M | 144.86%53.43M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
No Data