(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 | -7.54%513.6M | -7.54%513.6M | -11.73%555.5M | -11.73%555.5M | 3.23%629.3M | 3.23%629.3M | -34.45%609.6M | -34.45%609.6M | 1,083.21%930M | 1,083.21%930M |
-Cash and cash equivalents | -7.54%513.6M | -7.54%513.6M | -11.73%555.5M | -11.73%555.5M | 3.23%629.3M | 3.23%629.3M | 7.89%609.6M | 7.89%609.6M | 618.83%565M | 618.83%565M |
-Short term investments | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --365M | --365M |
Receivables | 12.16%490.7M | 12.16%490.7M | 25.54%437.5M | 25.54%437.5M | 17.62%348.5M | 17.62%348.5M | 25.82%296.3M | 25.82%296.3M | -26.34%235.5M | -26.34%235.5M |
-Accounts receivable | 9.50%425.3M | 9.50%425.3M | 19.36%388.4M | 19.36%388.4M | 24.15%325.4M | 24.15%325.4M | 11.39%262.1M | 11.39%262.1M | -24.92%235.3M | -24.92%235.3M |
-Other receivables | 33.20%65.4M | 33.20%65.4M | 22.44%49.1M | 22.44%49.1M | -22.88%40.1M | -22.88%40.1M | 115.77%52M | 115.77%52M | 19.31%24.1M | 19.31%24.1M |
-Recievables adjustments allowances | ---- | ---- | ---- | ---- | 4.49%-17M | 4.49%-17M | 25.52%-17.8M | 25.52%-17.8M | -71.94%-23.9M | -71.94%-23.9M |
Inventory | 25.71%391.6M | 25.71%391.6M | 15.28%311.5M | 15.28%311.5M | 25.03%270.2M | 25.03%270.2M | -3.44%216.1M | -3.44%216.1M | 14.53%223.8M | 14.53%223.8M |
Prepaid assets | 11.71%37.2M | 11.71%37.2M | 16.03%33.3M | 16.03%33.3M | 35.38%28.7M | 35.38%28.7M | 20.45%21.2M | 20.45%21.2M | -34.57%17.6M | -34.57%17.6M |
Current deferred assets | -43.50%11.3M | -43.50%11.3M | -52.27%20M | -52.27%20M | -39.45%41.9M | -39.45%41.9M | -0.29%69.2M | -0.29%69.2M | 468.85%69.4M | 468.85%69.4M |
Hedging assets-current | 108.11%7.7M | 108.11%7.7M | -55.95%3.7M | -55.95%3.7M | -52.27%8.4M | -52.27%8.4M | 1,366.67%17.6M | 1,366.67%17.6M | -45.45%1.2M | -45.45%1.2M |
Total current assets | 6.65%1.45B | 6.65%1.45B | 2.60%1.36B | 2.60%1.36B | 7.89%1.33B | 7.89%1.33B | -16.75%1.23B | -16.75%1.23B | 132.68%1.48B | 132.68%1.48B |
Non current assets | ||||||||||
Net PPE | 15.65%517.2M | 15.65%517.2M | 1.82%447.2M | 1.82%447.2M | 2.50%439.2M | 2.50%439.2M | -2.35%428.5M | -2.35%428.5M | 163.54%438.8M | 163.54%438.8M |
-Gross PPE | 14.24%811.8M | 14.24%811.8M | 5.62%710.6M | 5.62%710.6M | 5.70%672.8M | 5.70%672.8M | -0.44%636.5M | -0.44%636.5M | 82.87%639.3M | 82.87%639.3M |
-Accumulated depreciation | -11.85%-294.6M | -11.85%-294.6M | -12.76%-263.4M | -12.76%-263.4M | -12.31%-233.6M | -12.31%-233.6M | -3.74%-208M | -3.74%-208M | -9.50%-200.5M | -9.50%-200.5M |
Investments and advances | -14.29%83.4M | -14.29%83.4M | -18.30%97.3M | -18.30%97.3M | -47.49%119.1M | -47.49%119.1M | 138.99%226.8M | 138.99%226.8M | 98.54%94.9M | 98.54%94.9M |
-Long term equity investment | -17.14%2.9M | -17.14%2.9M | --3.5M | --3.5M | ---- | ---- | ---- | ---- | --69M | --69M |
-Other investment | -14.18%80.5M | -14.18%80.5M | -21.24%93.8M | -21.24%93.8M | -47.49%119.1M | -47.49%119.1M | 775.68%226.8M | 775.68%226.8M | -45.82%25.9M | -45.82%25.9M |
Financial assets | 118.75%3.5M | 118.75%3.5M | -33.33%1.6M | -33.33%1.6M | -27.27%2.4M | -27.27%2.4M | 57.14%3.3M | 57.14%3.3M | 0.00%2.1M | 0.00%2.1M |
Non current accounts receivable | 44.44%1.3M | 44.44%1.3M | --900K | --900K | ---- | ---- | ---- | ---- | 51.52%5M | 51.52%5M |
Goodwill and other intangible assets | 1.55%451M | 1.55%451M | 13.15%444.1M | 13.15%444.1M | -2.56%392.5M | -2.56%392.5M | -1.83%402.8M | -1.83%402.8M | -3.32%410.3M | -3.32%410.3M |
-Goodwill | 0.62%257.7M | 0.62%257.7M | -0.39%256.1M | -0.39%256.1M | -3.82%257.1M | -3.82%257.1M | -1.33%267.3M | -1.33%267.3M | 0.78%270.9M | 0.78%270.9M |
-Other intangible assets | 2.82%193.3M | 2.82%193.3M | 38.85%188M | 38.85%188M | -0.07%135.4M | -0.07%135.4M | -2.80%135.5M | -2.80%135.5M | -10.41%139.4M | -10.41%139.4M |
Non current deferred assets | 10.69%138.7M | 10.69%138.7M | 7.92%125.3M | 7.92%125.3M | -20.91%116.1M | -20.91%116.1M | -0.20%146.8M | -0.20%146.8M | 46.95%147.1M | 46.95%147.1M |
Other non current assets | 7.82%97.9M | 7.82%97.9M | 31.98%90.8M | 31.98%90.8M | --68.8M | --68.8M | ---- | ---- | ---- | ---- |
Total non current assets | 7.11%1.29B | 7.11%1.29B | 6.07%1.21B | 6.07%1.21B | -5.80%1.14B | -5.80%1.14B | 10.02%1.21B | 10.02%1.21B | 47.57%1.1B | 47.57%1.1B |
Total assets | 6.87%2.75B | 6.87%2.75B | 4.20%2.57B | 4.20%2.57B | 1.10%2.47B | 1.10%2.47B | -5.34%2.44B | -5.34%2.44B | 86.75%2.58B | 86.75%2.58B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 6.12%41.6M | 6.12%41.6M | -50.19%39.2M | -50.19%39.2M | 146.71%78.7M | 146.71%78.7M | -92.39%31.9M | -92.39%31.9M | 12,600.00%419.1M | 12,600.00%419.1M |
-Current debt | ---- | ---- | ---- | ---- | --42.6M | --42.6M | ---- | ---- | 11,812.12%393.1M | 11,812.12%393.1M |
-Current capital lease obligation | 6.12%41.6M | 6.12%41.6M | 8.59%39.2M | 8.59%39.2M | 13.17%36.1M | 13.17%36.1M | 22.69%31.9M | 22.69%31.9M | --26M | --26M |
Payables | 12.13%303.2M | 12.13%303.2M | 16.35%270.4M | 16.35%270.4M | 14.54%232.4M | 14.54%232.4M | 27.37%202.9M | 27.37%202.9M | -0.93%159.3M | -0.93%159.3M |
-accounts payable | 12.13%303.2M | 12.13%303.2M | 16.35%270.4M | 16.35%270.4M | 14.54%232.4M | 14.54%232.4M | 27.37%202.9M | 27.37%202.9M | -0.93%159.3M | -0.93%159.3M |
Current provisions | 20.98%51.9M | 20.98%51.9M | -4.67%42.9M | -4.67%42.9M | 86.72%45M | 86.72%45M | -81.53%24.1M | -81.53%24.1M | 170.75%130.5M | 170.75%130.5M |
Pension and other retirement benefit plans | 2.80%150.5M | 2.80%150.5M | 44.09%146.4M | 44.09%146.4M | 15.59%101.6M | 15.59%101.6M | 61.58%87.9M | 61.58%87.9M | -21.73%54.4M | -21.73%54.4M |
Current deferred liabilities | 6.57%84.3M | 6.57%84.3M | 13.16%79.1M | 13.16%79.1M | 25.49%69.9M | 25.49%69.9M | 2.77%55.7M | 2.77%55.7M | -30.24%54.2M | -30.24%54.2M |
Current liabilities | 9.26%631.5M | 9.26%631.5M | 9.55%578M | 9.55%578M | 31.08%527.6M | 31.08%527.6M | -50.76%402.5M | -50.76%402.5M | 127.40%817.5M | 127.40%817.5M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 24.29%202.1M | 24.29%202.1M | -7.19%162.6M | -7.19%162.6M | -24.61%175.2M | -24.61%175.2M | -18.57%232.4M | -18.57%232.4M | 60.07%285.4M | 60.07%285.4M |
-Long term debt | ---- | ---- | ---- | ---- | ---- | ---- | -43.68%45M | -43.68%45M | -55.19%79.9M | -55.19%79.9M |
-Long term capital lease obligation | 24.29%202.1M | 24.29%202.1M | -7.19%162.6M | -7.19%162.6M | -6.51%175.2M | -6.51%175.2M | -8.81%187.4M | -8.81%187.4M | --205.5M | --205.5M |
Long term accounts payable and other payables | ---- | ---- | ---- | ---- | -57.14%300K | -57.14%300K | -94.85%700K | -94.85%700K | -67.92%13.6M | -67.92%13.6M |
Derivative product liabilities | -93.75%400K | -93.75%400K | -1.54%6.4M | -1.54%6.4M | 103.13%6.5M | 103.13%6.5M | 88.24%3.2M | 88.24%3.2M | -77.63%1.7M | -77.63%1.7M |
Long term provisions | 0.57%35.3M | 0.57%35.3M | 5.72%35.1M | 5.72%35.1M | 7.10%33.2M | 7.10%33.2M | 13.97%31M | 13.97%31M | -38.46%27.2M | -38.46%27.2M |
Employee benefits | -19.59%7.8M | -19.59%7.8M | 51.56%9.7M | 51.56%9.7M | -47.11%6.4M | -47.11%6.4M | -2.42%12.1M | -2.42%12.1M | -5.34%12.4M | -5.34%12.4M |
Non current deferred liabilities | -2.14%27.5M | -2.14%27.5M | -6.95%28.1M | -6.95%28.1M | -44.69%30.2M | -44.69%30.2M | 232.93%54.6M | 232.93%54.6M | 100.00%16.4M | 100.00%16.4M |
Total non current liabilities | 12.90%273.1M | 12.90%273.1M | -3.93%241.9M | -3.93%241.9M | -24.61%251.8M | -24.61%251.8M | -6.36%334M | -6.36%334M | 21.41%356.7M | 21.41%356.7M |
Total liabilities | 10.33%904.6M | 10.33%904.6M | 5.20%819.9M | 5.20%819.9M | 5.82%779.4M | 5.82%779.4M | -37.28%736.5M | -37.28%736.5M | 79.73%1.17B | 79.73%1.17B |
Shareholders'equity | ||||||||||
Share capital | -3.69%1.2B | -3.69%1.2B | -2.06%1.25B | -2.06%1.25B | 0.00%1.28B | 0.00%1.28B | 0.33%1.28B | 0.33%1.28B | 597.97%1.27B | 597.97%1.27B |
-common stock | -3.69%1.2B | -3.69%1.2B | -2.06%1.25B | -2.06%1.25B | 0.00%1.28B | 0.00%1.28B | 0.33%1.28B | 0.33%1.28B | 597.97%1.27B | 597.97%1.27B |
Retained earnings | 20.26%667.9M | 20.26%667.9M | 21.99%555.4M | 21.99%555.4M | 23.99%455.3M | 23.99%455.3M | 215.46%367.2M | 215.46%367.2M | -79.17%116.4M | -79.17%116.4M |
Gains losses not affecting retained earnings | 44.46%-31.6M | 44.46%-31.6M | -23.16%-56.9M | -23.16%-56.9M | -179.79%-46.2M | -179.79%-46.2M | 355.91%57.9M | 355.91%57.9M | 183.01%12.7M | 183.01%12.7M |
Total stockholders'equity | 5.24%1.84B | 5.24%1.84B | 3.74%1.75B | 3.74%1.75B | -0.94%1.69B | -0.94%1.69B | 21.42%1.7B | 21.42%1.7B | 93.07%1.4B | 93.07%1.4B |
Total equity | 5.24%1.84B | 5.24%1.84B | 3.74%1.75B | 3.74%1.75B | -0.94%1.69B | -0.94%1.69B | 21.42%1.7B | 21.42%1.7B | 93.07%1.4B | 93.07%1.4B |
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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