(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 | -18.48%1.36M | -18.48%1.36M | 102.29%1.67M | 102.29%1.67M | -78.06%823.16K | -78.06%823.16K | 161.69%3.75M | 161.69%3.75M | 15.03%1.43M | 15.03%1.43M |
-Cash and cash equivalents | -21.06%1.31M | -21.06%1.31M | 106.45%1.66M | 106.45%1.66M | -78.43%805.41K | -78.43%805.41K | 160.45%3.73M | 160.45%3.73M | 15.03%1.43M | 15.03%1.43M |
-Accounts receivable | -21.23%57.47K | -21.23%57.47K | -10.01%72.96K | -10.01%72.96K | 107.99%81.08K | 107.99%81.08K | -37.78%38.98K | -37.78%38.98K | 91.41%62.65K | 91.41%62.65K |
-Notes receivable | 93.54%17.75K | 93.54%17.75K | -67.79%9.17K | -67.79%9.17K | 21.10%28.47K | 21.10%28.47K | -42.97%23.51K | -42.97%23.51K | -17.64%41.23K | -17.64%41.23K |
-Other receivables | 37.64%902.99K | 37.64%902.99K | 23.10%656.03K | 23.10%656.03K | -14.23%532.94K | -14.23%532.94K | 21.30%621.33K | 21.30%621.33K | -15.54%512.24K | -15.54%512.24K |
Total current assets | -19.45%1.68M | -19.45%1.68M | 84.38%2.08M | 84.38%2.08M | -70.68%1.13M | -70.68%1.13M | 145.49%3.85M | 145.49%3.85M | 14.91%1.57M | 14.91%1.57M |
Non current assets | ||||||||||
-Accumulated depreciation | -198.25%-865.61K | -198.25%-865.61K | -105.20%-290.23K | -105.20%-290.23K | -53.40%-141.43K | -53.40%-141.43K | -60.38%-92.2K | -60.38%-92.2K | 74.85%-57.49K | 74.85%-57.49K |
-Long term equity investment | -66.94%1.24M | -66.94%1.24M | 530.52%3.75M | 530.52%3.75M | 154.73%594.02K | 154.73%594.02K | --233.2K | --233.2K | ---- | ---- |
-Goodwill | 0.00%7.97K | 0.00%7.97K | 0.00%7.97K | 0.00%7.97K | 0.00%7.97K | 0.00%7.97K | -39.35%7.97K | -39.35%7.97K | -99.39%13.14K | -99.39%13.14K |
Regulatory assets | -75.75%38.14K | -75.75%38.14K | -36.82%157.27K | -36.82%157.27K | 464.47%248.92K | 464.47%248.92K | -29.62%44.1K | -29.62%44.1K | 28.92%62.65K | 28.92%62.65K |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 1,335.85%10.34M | 1,335.85%10.34M | 90.80%719.87K | 90.80%719.87K | 152.18%377.29K | 152.18%377.29K | -83.50%149.61K | -83.50%149.61K | -22.18%906.62K | -22.18%906.62K |
-Current debt | 2,555.07%9.91M | 2,555.07%9.91M | --373.1K | --373.1K | ---- | ---- | ---- | ---- | -15.00%850K | -15.00%850K |
-Current capital lease obligation | 24.05%430.17K | 24.05%430.17K | -8.09%346.77K | -8.09%346.77K | 152.18%377.29K | 152.18%377.29K | 164.23%149.61K | 164.23%149.61K | -65.69%56.62K | -65.69%56.62K |
-accounts payable | -73.20%102.32K | -73.20%102.32K | 25.16%381.85K | 25.16%381.85K | 15.16%305.1K | 15.16%305.1K | 38.99%264.94K | 38.99%264.94K | -32.95%190.62K | -32.95%190.62K |
-Total tax payable | -66.55%1.26M | -66.55%1.26M | 503.15%3.75M | 503.15%3.75M | 142.49%622.49K | 142.49%622.49K | 522.62%256.71K | 522.62%256.71K | -61.35%41.23K | -61.35%41.23K |
-Other payable | 1.67%205.2K | 1.67%205.2K | 0.78%201.82K | 0.78%201.82K | --200.26K | --200.26K | ---- | ---- | ---- | ---- |
Current provisions | --30.45K | --30.45K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Current deferred liabilities | ---- | ---- | ---- | ---- | -33.00%10.26K | -33.00%10.26K | 135.40%15.32K | 135.40%15.32K | -37.82%6.51K | -37.82%6.51K |
Current liabilities | 507.12%11.56M | 507.12%11.56M | 36.34%1.9M | 36.34%1.9M | 12.42%1.4M | 12.42%1.4M | -28.71%1.24M | -28.71%1.24M | -18.41%1.74M | -18.41%1.74M |
Non current liabilities | ||||||||||
-Long term debt | -19.53%515.47K | -19.53%515.47K | 7.83%640.56K | 7.83%640.56K | 154.73%594.02K | 154.73%594.02K | --233.2K | --233.2K | ---- | ---- |
Non current accrued expenses | 95.49%7.59M | 95.49%7.59M | 221.81%3.88M | 221.81%3.88M | 175.31%1.21M | 175.31%1.21M | 490.46%438.33K | 490.46%438.33K | -68.50%74.24K | -68.50%74.24K |
Long term provisions | -76.72%722.76K | -76.72%722.76K | --3.1M | --3.1M | ---- | ---- | ---- | ---- | ---- | ---- |
Employee benefits | 93.54%17.75K | 93.54%17.75K | -67.79%9.17K | -67.79%9.17K | 21.10%28.47K | 21.10%28.47K | -42.97%23.51K | -42.97%23.51K | -17.64%41.23K | -17.64%41.23K |
Regulatory liabilities | ---19.34K | ---19.34K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Preferred securities outside stock equity | 28.34%187.7K | 28.34%187.7K | -14.41%146.25K | -14.41%146.25K | -10.54%170.87K | -10.54%170.87K | 51.00%191K | 51.00%191K | 82.26%126.49K | 82.26%126.49K |
Total non current liabilities | 126.48%12.82M | 126.48%12.82M | 180.27%5.66M | 180.27%5.66M | 34.69%2.02M | 34.69%2.02M | -15.97%1.5M | -15.97%1.5M | -20.45%1.78M | -20.45%1.78M |
Shareholders'equity | ||||||||||
Share capital | 1.05%26.85M | 1.05%26.85M | 12.90%26.57M | 12.90%26.57M | 2.72%23.53M | 2.72%23.53M | 36.78%22.91M | 36.78%22.91M | -50.29%16.75M | -50.29%16.75M |
-common stock | 1.05%26.85M | 1.05%26.85M | 12.90%26.57M | 12.90%26.57M | 2.72%23.53M | 2.72%23.53M | 36.78%22.91M | 36.78%22.91M | -50.29%16.75M | -50.29%16.75M |
Gains losses not affecting retained earnings | 2.86%973.24K | 2.86%973.24K | 4.48%946.14K | 4.48%946.14K | 7.99%905.61K | 7.99%905.61K | -15.25%838.57K | -15.25%838.57K | -2.81%989.43K | -2.81%989.43K |
Other equity interest | ---- | ---- | 0.25%53.34K | 0.25%53.34K | 0.70%53.21K | 0.70%53.21K | -24.36%52.84K | -24.36%52.84K | 1.78%69.86K | 1.78%69.86K |
Total equity | 53.55%9.48M | 53.55%9.48M | 142.72%6.18M | 142.72%6.18M | -40.80%2.54M | -40.80%2.54M | 159.48%4.3M | 159.48%4.3M | -55.78%1.66M | -55.78%1.66M |
No Data
No Data