(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 | 3.09%220.51M | -19.78%213.9M | 86.53%266.63M | 29.71%142.94M | 107.40%110.2M | -40.03%53.13M | -14.96%88.6M | 580.30%104.19M | -15.75%-21.69M | -2,584.81%-18.74M |
Revenue from customers | -0.43%209.72M | -10.40%210.62M | 84.41%235.06M | -3.42%127.46M | 92.75%131.97M | -29.73%68.47M | -16.75%97.44M | 340.24%117.04M | -17.25%26.59M | 20.64%32.13M |
Other cash income from operating activities | 229.44%10.79M | -89.63%3.27M | 103.93%31.58M | 171.12%15.48M | -41.97%-21.77M | -73.56%-15.33M | 31.25%-8.84M | 73.38%-12.85M | 5.09%-48.28M | -86.14%-50.87M |
Cash paid | -5.16%-128.84M | -14.80%-122.53M | 21.22%-106.73M | -46.32%-135.47M | -42.64%-92.58M | -21.46%-64.91M | 7.63%-53.44M | -165.73%-57.85M | 14.37%-21.77M | -31.40%-25.42M |
Payments to suppliers for goods and services | -5.16%-128.84M | -14.80%-122.53M | 21.22%-106.73M | -46.32%-135.47M | -42.64%-92.58M | -21.46%-64.91M | 7.63%-53.44M | -165.73%-57.85M | 14.37%-21.77M | -31.40%-25.42M |
Direct dividend received | 13.29%62.01M | 3.05%54.74M | 36.79%53.12M | 10.69%38.83M | 1.31%35.08M | 52.14%34.63M | 185.36%22.76M | --7.98M | ---- | ---- |
Direct interest paid | -51.64%-48.22M | -20.47%-31.8M | -71.89%-26.39M | -16.58%-15.36M | 16.43%-13.17M | -11.29%-15.76M | -139.30%-14.16M | ---5.92M | ---- | ---- |
Direct interest received | 580.34%54.34M | 76.27%7.99M | 106.80%4.53M | -32.21%2.19M | -52.91%3.23M | -31.27%6.86M | -1.59%9.99M | 831.68%10.15M | 40.34%1.09M | 44.51%776K |
Direct tax refund paid | 59.64%-3.48M | 55.95%-8.62M | -90.27%-19.56M | -6.71%-10.28M | -815.78%-9.63M | 93.74%-1.05M | -138.81%-16.82M | -120.13%-7.04M | 53.09%-3.2M | -4,188.68%-6.82M |
Operating cash flow | 37.51%156.32M | -33.75%113.68M | 650.59%171.6M | -30.98%22.86M | 156.71%33.13M | -65.06%12.9M | -28.29%36.93M | 213.00%51.5M | 9.23%-45.57M | -155.26%-50.21M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -312.81%-132.1M | 116.16%62.07M | -175.63%-384.02M | -40.99%-139.32M | 11.12%-98.82M | -15.45%-111.18M | 59.68%-96.3M | -556.98%-238.86M | 1,356.80%52.27M | -92.85%3.59M |
Net PPE purchase and sale | -64.09%10.56M | 1,189.88%29.39M | 19.32%-2.7M | -540.42%-3.34M | 85.94%-522K | -371.19%-3.71M | -585.22%-788K | -94.92%-115K | 89.05%-59K | 31.25%-539K |
Net business purchase and sale | ---- | ---- | ---- | 101.24%312K | ---25.08M | ---- | ---- | ---93.8M | ---- | --4.87M |
Net investment purchase and sale | -239.97%-135.89M | 129.40%97.09M | -140.40%-330.26M | -18.89%-137.38M | -31.38%-115.55M | 12.77%-87.95M | -10.23%-100.83M | -137.14%-91.47M | -526.81%-38.57M | ---6.15M |
Net other investing changes | 89.51%-6.76M | -26.13%-64.41M | -4,797.70%-51.06M | -97.43%1.09M | 316.96%42.34M | -466.94%-19.51M | 109.95%5.32M | -158.82%-53.47M | 1,580.90%90.9M | -89.39%5.41M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -312.81%-132.1M | 116.16%62.07M | -175.63%-384.02M | -40.99%-139.32M | 11.12%-98.82M | -15.45%-111.18M | 59.68%-96.3M | -556.98%-238.86M | 1,356.80%52.27M | -92.85%3.59M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 72.42%-41.19M | -206.14%-149.35M | -34.73%140.71M | 86.69%215.58M | -4.59%115.48M | 39.28%121.04M | -51.02%86.9M | 388.71%177.42M | -0.65%36.3M | 1,300.49%36.54M |
Net issuance payments of debt | 150.33%33.27M | -129.34%-66.1M | 56.51%225.32M | 432.20%143.97M | -174.34%-43.34M | 147.40%58.3M | -52.39%23.56M | 26.79%49.5M | 86.65%39.04M | 199.31%20.92M |
Net common stock issuance | 15.77%13.1M | 41.98%11.32M | -93.89%7.97M | -35.69%130.46M | 109.28%202.88M | 2.12%96.94M | -37.45%94.93M | 136,835.14%151.78M | 91.71%-111K | -351.22%-1.34M |
Cash dividends paid | 7.82%-86.17M | 0.92%-93.47M | -70.45%-94.34M | -29.47%-55.35M | -31.65%-42.75M | -4.27%-32.47M | -42.14%-31.15M | -471.67%-21.91M | -40.15%-3.83M | -179.94%-2.74M |
Interest paid (cash flow from financing activities) | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 25.19%-2.24M | 69.86%-2.99M |
Net other financing activities | -27.61%-1.4M | -162.23%-1.09M | 150.21%1.76M | -167.05%-3.5M | 24.00%-1.31M | -286.77%-1.73M | 76.97%-446K | -156.23%-1.94M | -84.82%3.45M | -20.05%22.69M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 72.42%-41.19M | -206.14%-149.35M | -34.73%140.71M | 86.69%215.58M | -4.59%115.48M | 39.28%121.04M | -51.02%86.9M | 388.71%177.42M | -0.65%36.3M | 1,300.49%36.54M |
Net cash flow | ||||||||||
Beginning cash position | 12.41%225.46M | -26.63%200.57M | 56.69%273.35M | 39.93%174.46M | 22.33%124.67M | 37.01%101.91M | -11.79%74.38M | 104.05%84.32M | -19.60%41.32M | 114.73%51.4M |
Current changes in cash | -164.26%-16.97M | 136.82%26.41M | -172.35%-71.71M | 99.09%99.12M | 118.75%49.79M | -17.34%22.76M | 376.95%27.53M | -123.12%-9.94M | 526.77%43M | -136.69%-10.08M |
Effect of exchange rate changes | -2.91%-1.56M | -40.65%-1.51M | -375.66%-1.08M | ---226K | ---- | ---- | ---- | ---- | ---- | ---- |
Cash adjustments other than cash changes | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -7,116,900.00%-71.17M | --1K |
End cash Position | -8.22%206.94M | 12.41%225.46M | -26.63%200.57M | 56.69%273.35M | 39.93%174.46M | 22.33%124.67M | 37.01%101.91M | 465.34%74.38M | -68.16%13.16M | -19.60%41.33M |
Free cash from | 40.15%156.08M | -34.06%111.37M | 765.33%168.9M | -40.13%19.52M | 254.74%32.6M | -74.57%9.19M | -29.66%36.14M | 212.60%51.38M | 10.08%-45.63M | -148.11%-50.75M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
No Data