(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 | ||||||||||
Cash, cash equivalents and federal funds sold | 23.46%125.68M | 23.46%125.68M | 33.75%101.8M | 33.75%101.8M | -19.48%76.11M | -19.48%76.11M | 172.45%94.51M | 172.45%94.51M | 33.24%34.69M | 33.24%34.69M |
-Cash and cash equivalents | 23.46%125.68M | 23.46%125.68M | 33.75%101.8M | 33.75%101.8M | -19.48%76.11M | -19.48%76.11M | 172.45%94.51M | 172.45%94.51M | 33.24%34.69M | 33.24%34.69M |
Securities and investments | 12.58%87.55M | 12.58%87.55M | 3.51%77.76M | 3.51%77.76M | -16.69%75.13M | -16.69%75.13M | 151.43%90.17M | 151.43%90.17M | -4.23%35.87M | -4.23%35.87M |
-Short term investments | 12.58%87.55M | 12.58%87.55M | 3.51%77.76M | 3.51%77.76M | -16.69%75.13M | -16.69%75.13M | 151.43%90.17M | 151.43%90.17M | -4.23%35.87M | -4.23%35.87M |
Long term equity investment | 34.37%242.72M | 34.37%242.72M | 3.26%180.64M | 3.26%180.64M | 31.26%174.93M | 31.26%174.93M | 56.03%133.27M | 56.03%133.27M | -7.40%85.41M | -7.40%85.41M |
Receivables | 6.09%23.75M | 6.09%23.75M | 18.71%22.39M | 18.71%22.39M | 3.77%18.86M | 3.77%18.86M | 42.90%18.18M | 42.90%18.18M | 1.65%12.72M | 1.65%12.72M |
-Accounts receivable | 13.76%7.34M | 13.76%7.34M | -18.83%6.45M | -18.83%6.45M | -39.51%7.94M | -39.51%7.94M | 55.68%13.13M | 55.68%13.13M | -6.44%8.44M | -6.44%8.44M |
-Other receivables | 2.99%16.42M | 2.99%16.42M | 46.03%15.94M | 46.03%15.94M | 116.52%10.92M | 116.52%10.92M | 17.72%5.04M | 17.72%5.04M | 22.55%4.28M | 22.55%4.28M |
Net PPE | 27.62%18.59M | 27.62%18.59M | 4.16%14.56M | 4.16%14.56M | 8.49%13.98M | 8.49%13.98M | 94.76%12.89M | 94.76%12.89M | 472.99%6.62M | 472.99%6.62M |
-Gross PPE | 26.69%24.84M | 26.69%24.84M | 4.33%19.61M | 4.33%19.61M | 14.22%18.79M | 14.22%18.79M | 100.37%16.45M | 100.37%16.45M | 610.91%8.21M | 610.91%8.21M |
-Accumulated depreciation | -24.02%-6.25M | -24.02%-6.25M | -4.85%-5.04M | -4.85%-5.04M | -34.94%-4.81M | -34.94%-4.81M | -123.67%-3.56M | -123.67%-3.56M | ---1.59M | ---1.59M |
Goodwill and other intangible assets | -3.79%177.11M | -3.79%177.11M | 24.26%184.09M | 24.26%184.09M | 25.84%148.15M | 25.84%148.15M | -16.92%117.73M | -16.92%117.73M | -10.95%141.7M | -10.95%141.7M |
-Goodwill | 1.93%135.44M | 1.93%135.44M | 29.51%132.88M | 29.51%132.88M | 24.98%102.6M | 24.98%102.6M | -24.88%82.09M | -24.88%82.09M | -8.84%109.28M | -8.84%109.28M |
-Other intangible assets | -18.63%41.67M | -18.63%41.67M | 12.42%51.21M | 12.42%51.21M | 27.82%45.55M | 27.82%45.55M | 9.94%35.64M | 9.94%35.64M | -17.42%32.42M | -17.42%32.42M |
Other assets | -0.34%11.72M | -0.34%11.72M | 6.30%11.76M | 6.30%11.76M | 11.28%11.07M | 11.28%11.07M | 8.62%9.94M | 8.62%9.94M | 1.03%9.16M | 1.03%9.16M |
Total assets | 15.87%687.12M | 15.87%687.12M | 14.43%593M | 14.43%593M | 8.71%518.22M | 8.71%518.22M | 46.15%476.69M | 46.15%476.69M | -3.64%326.16M | -3.64%326.16M |
Liabilities | ||||||||||
Current debt and capital lease obligation | 9.88%226.18M | 9.88%226.18M | 4.22%205.84M | 4.22%205.84M | 6.78%197.5M | 6.78%197.5M | 294.40%184.97M | 294.40%184.97M | 5.23%46.9M | 5.23%46.9M |
-Current debt | 9.88%226.18M | 9.88%226.18M | 4.22%205.84M | 4.22%205.84M | 6.78%197.5M | 6.78%197.5M | 294.40%184.97M | 294.40%184.97M | 5.23%46.9M | 5.23%46.9M |
Payables | 17.97%55.64M | 17.97%55.64M | 38.37%47.16M | 38.37%47.16M | 12.37%34.08M | 12.37%34.08M | 94.89%30.33M | 94.89%30.33M | 16.96%15.56M | 16.96%15.56M |
-Accounts payable | 22.42%28.97M | 22.42%28.97M | 85.58%23.67M | 85.58%23.67M | 7.71%12.75M | 7.71%12.75M | 149.29%11.84M | 149.29%11.84M | 40.01%4.75M | 40.01%4.75M |
-Other payable | 13.50%26.67M | 13.50%26.67M | 10.15%23.5M | 10.15%23.5M | 15.35%21.33M | 15.35%21.33M | 71.00%18.49M | 71.00%18.49M | 9.08%10.81M | 9.08%10.81M |
Current provisions | 0.54%8.82M | 0.54%8.82M | 11.68%8.78M | 11.68%8.78M | 18.33%7.86M | 18.33%7.86M | 46.32%6.64M | 46.32%6.64M | 30.40%4.54M | 30.40%4.54M |
Current deferred liabilities | 72.07%4.07M | 72.07%4.07M | -53.69%2.36M | -53.69%2.36M | -31.34%5.1M | -31.34%5.1M | 143.35%7.43M | 143.35%7.43M | 60.48%3.05M | 60.48%3.05M |
Long term debt and capital lease obligation | 93.32%150.57M | 93.32%150.57M | 70.18%77.89M | 70.18%77.89M | 11.71%45.77M | 11.71%45.77M | -18.30%40.97M | -18.30%40.97M | -16.44%50.15M | -16.44%50.15M |
-Long term debt | 93.32%150.57M | 93.32%150.57M | 70.18%77.89M | 70.18%77.89M | 11.71%45.77M | 11.71%45.77M | -18.30%40.97M | -18.30%40.97M | -16.44%50.15M | -16.44%50.15M |
Long term provisions | 1.42%1.64M | 1.42%1.64M | 20.43%1.62M | 20.43%1.62M | 20.18%1.35M | 20.18%1.35M | 71.25%1.12M | 71.25%1.12M | 25.05%654K | 25.05%654K |
Non current deferred liabilities | -26.33%10.15M | -26.33%10.15M | 11.77%13.78M | 11.77%13.78M | 46.08%12.33M | 46.08%12.33M | 22.72%8.44M | 22.72%8.44M | -30.43%6.88M | -30.43%6.88M |
Other liabilities | 25.18%26.42M | 25.18%26.42M | 218.74%21.1M | 218.74%21.1M | -7.10%6.62M | -7.10%6.62M | 18.06%7.13M | 18.06%7.13M | 17.66%6.04M | 17.66%6.04M |
Total liabilities | 27.73%483.49M | 27.73%483.49M | 21.87%378.53M | 21.87%378.53M | 8.22%310.61M | 8.22%310.61M | 114.57%287.03M | 114.57%287.03M | -4.10%133.77M | -4.10%133.77M |
Shareholders'equity | ||||||||||
Share capital | 1.98%285M | 1.98%285M | 1.44%279.47M | 1.44%279.47M | 11.40%275.51M | 11.40%275.51M | 2.54%247.32M | 2.54%247.32M | 9.18%241.18M | 9.18%241.18M |
-common stock | 1.98%285M | 1.98%285M | 1.44%279.47M | 1.44%279.47M | 11.40%275.51M | 11.40%275.51M | 2.54%247.32M | 2.54%247.32M | 9.18%241.18M | 9.18%241.18M |
Retained earnings | 0.00%-117.79M | 0.00%-117.79M | 0.00%-117.79M | 0.00%-117.79M | 0.00%-117.79M | 0.00%-117.79M | -28.86%-117.79M | -28.86%-117.79M | -12.35%-91.42M | -12.35%-91.42M |
Gains losses not affecting retained earnings | -793.30%-15.52M | -793.30%-15.52M | -83.07%2.24M | -83.07%2.24M | -42.03%13.23M | -42.03%13.23M | -6.56%22.82M | -6.56%22.82M | -36.68%24.42M | -36.68%24.42M |
Total stockholders'equity | -7.46%151.69M | -7.46%151.69M | -4.11%163.92M | -4.11%163.92M | 12.21%170.95M | 12.21%170.95M | -12.54%152.34M | -12.54%152.34M | -2.20%174.18M | -2.20%174.18M |
Noncontrolling interests | 2.76%51.95M | 2.76%51.95M | 37.87%50.55M | 37.87%50.55M | -1.75%36.67M | -1.75%36.67M | 105.02%37.32M | 105.02%37.32M | -12.79%18.2M | -12.79%18.2M |
Total equity | -5.05%203.63M | -5.05%203.63M | 3.30%214.47M | 3.30%214.47M | 9.47%207.62M | 9.47%207.62M | -1.42%189.66M | -1.42%189.66M | -3.31%192.39M | -3.31%192.39M |
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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