(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 | 1.10%10.4M | 1.10%10.4M | 9.28%10.28M | 9.28%10.28M | 44.90%9.41M | 44.90%9.41M | -14.68%6.49M | -14.68%6.49M | 248.12%7.61M | 248.12%7.61M |
-Cash and cash equivalents | 1.10%10.4M | 1.10%10.4M | 9.28%10.28M | 9.28%10.28M | 44.90%9.41M | 44.90%9.41M | -14.68%6.49M | -14.68%6.49M | 248.12%7.61M | 248.12%7.61M |
Receivables | 12.35%40.36M | 12.35%40.36M | -4.24%35.92M | -4.24%35.92M | 19.53%37.52M | 19.53%37.52M | 10.99%31.39M | 10.99%31.39M | -3.58%28.28M | -3.58%28.28M |
-Accounts receivable | 17.63%38.48M | 17.63%38.48M | -4.39%32.72M | -4.39%32.72M | 16.22%34.22M | 16.22%34.22M | 13.52%29.44M | 13.52%29.44M | -4.46%25.94M | -4.46%25.94M |
-Other receivables | -34.07%2.31M | -34.07%2.31M | -4.76%3.51M | -4.76%3.51M | 63.53%3.68M | 63.53%3.68M | -18.11%2.25M | -18.11%2.25M | 14.84%2.75M | 14.84%2.75M |
-Recievables adjustments allowances | -45.07%-439.37K | -45.07%-439.37K | 21.81%-302.87K | 21.81%-302.87K | -25.17%-387.37K | -25.17%-387.37K | 24.41%-309.47K | 24.41%-309.47K | -90.88%-409.39K | -90.88%-409.39K |
Inventory | -28.43%167.49K | -28.43%167.49K | 6.08%234.04K | 6.08%234.04K | -25.96%220.61K | -25.96%220.61K | 80.19%297.96K | 80.19%297.96K | 23.09%165.36K | 23.09%165.36K |
Prepaid assets | 36.37%1.84M | 36.37%1.84M | -3.05%1.35M | -3.05%1.35M | -17.40%1.39M | -17.40%1.39M | 1.69%1.69M | 1.69%1.69M | 13.18%1.66M | 13.18%1.66M |
Total current assets | 10.41%52.76M | 10.41%52.76M | -1.54%47.79M | -1.54%47.79M | 21.76%48.54M | 21.76%48.54M | 5.71%39.87M | 5.71%39.87M | 12.18%37.71M | 12.18%37.71M |
Non current assets | ||||||||||
Net PPE | 20.50%202.26M | 20.50%202.26M | 33.29%167.85M | 33.29%167.85M | -5.64%125.93M | -5.64%125.93M | 0.16%133.45M | 0.16%133.45M | 35.91%133.24M | 35.91%133.24M |
-Gross PPE | 28.90%315.88M | 28.90%315.88M | 31.10%245.06M | 31.10%245.06M | -4.23%186.93M | -4.23%186.93M | 5.58%195.18M | 5.58%195.18M | 29.01%184.87M | 29.01%184.87M |
-Accumulated depreciation | -47.16%-113.62M | -47.16%-113.62M | -26.57%-77.21M | -26.57%-77.21M | 1.17%-61M | 1.17%-61M | -19.54%-61.73M | -19.54%-61.73M | -14.07%-51.64M | -14.07%-51.64M |
Investments and advances | -0.47%2.26M | -0.47%2.26M | 0.18%2.27M | 0.18%2.27M | 0.21%2.26M | 0.21%2.26M | 0.39%2.26M | 0.39%2.26M | -1.18%2.25M | -1.18%2.25M |
-Financial asset investment | ---- | ---- | ---- | ---- | ---- | ---- | 19.69%52.84K | 19.69%52.84K | -37.81%44.14K | -37.81%44.14K |
-Including:Trading securities | ---- | ---- | ---- | ---- | ---- | ---- | 19.69%52.84K | 19.69%52.84K | -37.81%44.14K | -37.81%44.14K |
-Other investment | -0.47%2.26M | -0.47%2.26M | 0.18%2.27M | 0.18%2.27M | 2.61%2.26M | 2.61%2.26M | 0.00%2.21M | 0.00%2.21M | 0.00%2.21M | 0.00%2.21M |
Goodwill and other intangible assets | -4.27%23.92M | -4.27%23.92M | -15.45%24.98M | -15.45%24.98M | -5.05%29.55M | -5.05%29.55M | -5.12%31.12M | -5.12%31.12M | -3.68%32.8M | -3.68%32.8M |
-Goodwill | 0.00%23.39M | 0.00%23.39M | -11.62%23.39M | -11.62%23.39M | 0.00%26.46M | 0.00%26.46M | 0.00%26.46M | 0.00%26.46M | 0.00%26.46M | 0.00%26.46M |
-Other intangible assets | -66.86%528.81K | -66.86%528.81K | -48.29%1.6M | -48.29%1.6M | -33.75%3.09M | -33.75%3.09M | -26.49%4.66M | -26.49%4.66M | -16.49%6.34M | -16.49%6.34M |
Non current deferred assets | --911.25K | --911.25K | ---- | ---- | -60.87%1.24M | -60.87%1.24M | -20.81%3.17M | -20.81%3.17M | 604.96%4M | 604.96%4M |
Total non current assets | 17.55%229.34M | 17.55%229.34M | 22.72%195.1M | 22.72%195.1M | -6.48%158.98M | -6.48%158.98M | -1.33%170M | -1.33%170M | 27.69%172.29M | 27.69%172.29M |
Total assets | 16.15%282.11M | 16.15%282.11M | 17.05%242.89M | 17.05%242.89M | -1.12%207.52M | -1.12%207.52M | -0.06%209.87M | -0.06%209.87M | 24.60%210M | 24.60%210M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -32.60%17.69M | -32.60%17.69M | 36.68%26.24M | 36.68%26.24M | 10.32%19.2M | 10.32%19.2M | 16.69%17.4M | 16.69%17.4M | 574.91%14.92M | 574.91%14.92M |
-Current debt | ---- | ---- | --9.91M | --9.91M | ---- | ---- | ---- | ---- | ---- | ---- |
-Current capital lease obligation | 8.26%17.69M | 8.26%17.69M | -14.90%16.34M | -14.90%16.34M | 10.32%19.2M | 10.32%19.2M | 16.69%17.4M | 16.69%17.4M | 574.91%14.92M | 574.91%14.92M |
Payables | 12.86%26.92M | 12.86%26.92M | 16.11%23.85M | 16.11%23.85M | 10.14%20.54M | 10.14%20.54M | 6.38%18.65M | 6.38%18.65M | -19.19%17.53M | -19.19%17.53M |
-accounts payable | 12.98%16.39M | 12.98%16.39M | 42.28%14.5M | 42.28%14.5M | 24.54%10.19M | 24.54%10.19M | -4.27%8.19M | -4.27%8.19M | -2.93%8.55M | -2.93%8.55M |
-Other payable | 12.68%10.53M | 12.68%10.53M | -9.68%9.35M | -9.68%9.35M | -1.12%10.35M | -1.12%10.35M | 16.52%10.47M | 16.52%10.47M | -30.30%8.98M | -30.30%8.98M |
Pension and other retirement benefit plans | 9.03%9.99M | 9.03%9.99M | 9.90%9.17M | 9.90%9.17M | 20.64%8.34M | 20.64%8.34M | 2.99%6.91M | 2.99%6.91M | 11.89%6.71M | 11.89%6.71M |
Current deferred liabilities | 183.11%3.22M | 183.11%3.22M | -59.85%1.14M | -59.85%1.14M | 101.02%2.83M | 101.02%2.83M | 921.07%1.41M | 921.07%1.41M | --137.86K | --137.86K |
Current liabilities | -4.27%57.82M | -4.27%57.82M | 18.63%60.4M | 18.63%60.4M | 14.73%50.91M | 14.73%50.91M | 12.92%44.38M | 12.92%44.38M | 31.41%39.3M | 31.41%39.3M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 50.31%100.72M | 50.31%100.72M | 24.42%67.01M | 24.42%67.01M | -27.62%53.86M | -27.62%53.86M | -14.40%74.41M | -14.40%74.41M | 87.50%86.93M | 87.50%86.93M |
-Long term debt | 89.78%38.91M | 89.78%38.91M | -10.50%20.5M | -10.50%20.5M | -28.21%22.91M | -28.21%22.91M | -25.40%31.91M | -25.40%31.91M | -3.45%42.77M | -3.45%42.77M |
-Long term capital lease obligation | 32.91%61.81M | 32.91%61.81M | 50.27%46.51M | 50.27%46.51M | -27.19%30.95M | -27.19%30.95M | -3.74%42.51M | -3.74%42.51M | 2,043.38%44.16M | 2,043.38%44.16M |
Employee benefits | 12.89%2.13M | 12.89%2.13M | -3.61%1.89M | -3.61%1.89M | -26.06%1.96M | -26.06%1.96M | 22.49%2.65M | 22.49%2.65M | 9.00%2.16M | 9.00%2.16M |
Non current deferred liabilities | ---- | ---- | --986.68K | --986.68K | ---- | ---- | ---- | ---- | ---- | ---- |
Total non current liabilities | 47.17%102.85M | 47.17%102.85M | 25.21%69.88M | 25.21%69.88M | -27.57%55.81M | -27.57%55.81M | -13.50%77.06M | -13.50%77.06M | 84.29%89.09M | 84.29%89.09M |
Total liabilities | 23.32%160.67M | 23.32%160.67M | 22.07%130.28M | 22.07%130.28M | -12.11%106.73M | -12.11%106.73M | -5.41%121.43M | -5.41%121.43M | 64.08%128.39M | 64.08%128.39M |
Shareholders'equity | ||||||||||
Share capital | 2.43%30.32M | 2.43%30.32M | 5.92%29.6M | 5.92%29.6M | 2.03%27.95M | 2.03%27.95M | 0.52%27.39M | 0.52%27.39M | 0.00%27.25M | 0.00%27.25M |
-common stock | 2.43%30.32M | 2.43%30.32M | 5.92%29.6M | 5.92%29.6M | 2.03%27.95M | 2.03%27.95M | 0.52%27.39M | 0.52%27.39M | 0.00%27.25M | 0.00%27.25M |
Retained earnings | 10.00%89.28M | 10.00%89.28M | 14.45%81.16M | 14.45%81.16M | 19.97%70.91M | 19.97%70.91M | 12.72%59.11M | 12.72%59.11M | -14.25%52.44M | -14.25%52.44M |
Gains losses not affecting retained earnings | -0.35%1.84M | -0.35%1.84M | -4.38%1.85M | -4.38%1.85M | 0.04%1.93M | 0.04%1.93M | 0.32%1.93M | 0.32%1.93M | 1.76%1.93M | 1.76%1.93M |
Total stockholders'equity | 7.84%121.44M | 7.84%121.44M | 11.73%112.61M | 11.73%112.61M | 13.98%100.79M | 13.98%100.79M | 8.35%88.43M | 8.35%88.43M | -9.62%81.61M | -9.62%81.61M |
Total equity | 7.84%121.44M | 7.84%121.44M | 11.73%112.61M | 11.73%112.61M | 13.98%100.79M | 13.98%100.79M | 8.35%88.43M | 8.35%88.43M | -9.62%81.61M | -9.62%81.61M |
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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