(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 | 13.07%675M | 13.07%675M | 1.36%597M | 1.36%597M | -25.16%589M | -25.16%589M | -20.67%787M | -20.67%787M | 5.49%992M | 5.49%992M |
-Cash and cash equivalents | 13.07%675M | 13.07%675M | 1.36%597M | 1.36%597M | -25.16%589M | -25.16%589M | -20.67%787M | -20.67%787M | 5.49%992M | 5.49%992M |
Receivables | -18.02%496M | -18.02%496M | 28.72%605M | 28.72%605M | 27.72%470M | 27.72%470M | -15.21%368M | -15.21%368M | 20.66%434M | 20.66%434M |
-Accounts receivable | -18.30%384M | -18.30%384M | 21.76%470M | 21.76%470M | 22.54%386M | 22.54%386M | 0.32%315M | 0.32%315M | 39.25%314M | 39.25%314M |
-Other receivables | -11.69%136M | -11.69%136M | 62.11%154M | 62.11%154M | 50.79%95M | 50.79%95M | -51.54%63M | -51.54%63M | -8.58%130M | -8.58%130M |
-Recievables adjustments allowances | -26.32%-24M | -26.32%-24M | -72.73%-19M | -72.73%-19M | -10.00%-11M | -10.00%-11M | 0.00%-10M | 0.00%-10M | -25.00%-10M | -25.00%-10M |
Inventory | 16.36%2.7B | 16.36%2.7B | -5.11%2.32B | -5.11%2.32B | 16.18%2.45B | 16.18%2.45B | -2.72%2.11B | -2.72%2.11B | 10.25%2.17B | 10.25%2.17B |
Prepaid assets | 24.39%102M | 24.39%102M | -1.20%82M | -1.20%82M | -2.35%83M | -2.35%83M | 23.19%85M | 23.19%85M | 50.66%69M | 50.66%69M |
Current deferred assets | ---- | ---- | -90.48%4M | -90.48%4M | --42M | --42M | ---- | ---- | --42M | --42M |
Holding assets for sale | -97.64%3M | -97.64%3M | 54.88%127M | 54.88%127M | -3.53%82M | -3.53%82M | 13.33%85M | 13.33%85M | -20.30%75M | -20.30%75M |
Other current assets | -50.00%7M | -50.00%7M | -62.16%14M | -62.16%14M | 1,750.00%37M | 1,750.00%37M | 100.00%2M | 100.00%2M | -16.67%1M | -16.67%1M |
Total current assets | 6.24%3.99B | 6.24%3.99B | 0.03%3.75B | 0.03%3.75B | 9.23%3.75B | 9.23%3.75B | -9.13%3.43B | -9.13%3.43B | 10.95%3.78B | 10.95%3.78B |
Non current assets | ||||||||||
Net PPE | 10.22%12.67B | 10.22%12.67B | -4.28%11.49B | -4.28%11.49B | 2.17%12.01B | 2.17%12.01B | -0.31%11.75B | -0.31%11.75B | 186.15%11.79B | 186.15%11.79B |
-Gross PPE | 4.55%18.48B | 4.55%18.48B | -1.60%17.67B | -1.60%17.67B | 3.90%17.96B | 3.90%17.96B | 2.40%17.29B | 2.40%17.29B | 112.47%16.88B | 112.47%16.88B |
-Accumulated depreciation | 5.99%-5.81B | 5.99%-5.81B | -3.80%-6.18B | -3.80%-6.18B | -7.59%-5.96B | -7.59%-5.96B | -8.66%-5.54B | -8.66%-5.54B | -33.15%-5.09B | -33.15%-5.09B |
Investments and advances | 2.27%225M | 2.27%225M | 0.46%220M | 0.46%220M | -0.45%219M | -0.45%219M | 1.38%220M | 1.38%220M | 2.21%217M | 2.21%217M |
-Long term equity investment | 2.27%225M | 2.27%225M | 0.46%220M | 0.46%220M | -0.45%219M | -0.45%219M | 1.38%220M | 1.38%220M | 2.21%217M | 2.21%217M |
Goodwill and other intangible assets | 8.26%2.2B | 8.26%2.2B | 9.17%2.04B | 9.17%2.04B | 9.78%1.86B | 9.78%1.86B | 6.32%1.7B | 6.32%1.7B | 3.66%1.6B | 3.66%1.6B |
-Goodwill | 3.23%1.15B | 3.23%1.15B | -3.88%1.12B | -3.88%1.12B | 0.35%1.16B | 0.35%1.16B | 0.26%1.16B | 0.26%1.16B | 0.04%1.15B | 0.04%1.15B |
-Other intangible assets | 14.35%1.05B | 14.35%1.05B | 30.68%920M | 30.68%920M | 29.89%704M | 29.89%704M | 22.07%542M | 22.07%542M | 14.40%444M | 14.40%444M |
Non current deferred assets | -3.11%717M | -3.11%717M | -9.98%740M | -9.98%740M | -5.84%822M | -5.84%822M | 2.83%873M | 2.83%873M | 132.67%849M | 132.67%849M |
Other non current assets | 35.85%72M | 35.85%72M | -69.54%53M | -69.54%53M | 18.37%174M | 18.37%174M | 22.50%147M | 22.50%147M | -10.51%120M | -10.51%120M |
Total non current assets | 9.24%15.88B | 9.24%15.88B | -3.61%14.54B | -3.61%14.54B | 2.70%15.09B | 2.70%15.09B | 0.82%14.69B | 0.82%14.69B | 128.69%14.57B | 128.69%14.57B |
Total assets | 8.63%19.87B | 8.63%19.87B | -2.89%18.29B | -2.89%18.29B | 3.93%18.84B | 3.93%18.84B | -1.23%18.12B | -1.23%18.12B | 87.68%18.35B | 87.68%18.35B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 11.10%911M | 11.10%911M | -10.28%820M | -10.28%820M | 1.90%914M | 1.90%914M | 1.36%897M | 1.36%897M | --885M | --885M |
-Current capital lease obligation | 11.10%911M | 11.10%911M | -10.28%820M | -10.28%820M | 1.90%914M | 1.90%914M | 1.36%897M | 1.36%897M | --885M | --885M |
Payables | 3.38%4.58B | 3.38%4.58B | 2.28%4.43B | 2.28%4.43B | 18.44%4.34B | 18.44%4.34B | -2.06%3.66B | -2.06%3.66B | 10.57%3.74B | 10.57%3.74B |
-accounts payable | 4.05%3.41B | 4.05%3.41B | 2.18%3.28B | 2.18%3.28B | 14.92%3.21B | 14.92%3.21B | -3.59%2.79B | -3.59%2.79B | 8.87%2.9B | 8.87%2.9B |
-Other payable | 1.47%1.17B | 1.47%1.17B | 2.58%1.15B | 2.58%1.15B | 29.79%1.12B | 29.79%1.12B | 3.22%866M | 3.22%866M | 16.87%839M | 16.87%839M |
Current provisions | 10.06%186M | 10.06%186M | 22.46%169M | 22.46%169M | -19.77%138M | -19.77%138M | 49.57%172M | 49.57%172M | -19.18%115M | -19.18%115M |
Pension and other retirement benefit plans | 2.85%757M | 2.85%757M | 2.79%736M | 2.79%736M | -7.97%716M | -7.97%716M | 4.29%778M | 4.29%778M | 24.21%746M | 24.21%746M |
Current deferred liabilities | --73M | --73M | ---- | ---- | ---- | ---- | --60M | --60M | ---- | ---- |
Other current liabilities | 4.42%260M | 4.42%260M | -20.19%249M | -20.19%249M | 23.81%312M | 23.81%312M | 27.27%252M | 27.27%252M | 18.14%198M | 18.14%198M |
Current liabilities | 5.66%6.77B | 5.66%6.77B | -0.11%6.41B | -0.11%6.41B | 10.24%6.42B | 10.24%6.42B | 2.43%5.82B | 2.43%5.82B | 32.41%5.68B | 32.41%5.68B |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 12.41%9.16B | 12.41%9.16B | -8.07%8.15B | -8.07%8.15B | -1.54%8.86B | -1.54%8.86B | -5.77%9B | -5.77%9B | 554.25%9.55B | 554.25%9.55B |
-Long term debt | 47.76%1.65B | 47.76%1.65B | 2.10%1.12B | 2.10%1.12B | -4.12%1.1B | -4.12%1.1B | -15.66%1.14B | -15.66%1.14B | -7.26%1.35B | -7.26%1.35B |
-Long term capital lease obligation | 6.79%7.51B | 6.79%7.51B | -9.50%7.03B | -9.50%7.03B | -1.17%7.77B | -1.17%7.77B | -4.14%7.86B | -4.14%7.86B | --8.2B | --8.2B |
Long term provisions | -18.97%252M | -18.97%252M | -11.65%311M | -11.65%311M | -4.09%352M | -4.09%352M | -4.18%367M | -4.18%367M | -25.09%383M | -25.09%383M |
Employee benefits | 9.23%71M | 9.23%71M | -9.72%65M | -9.72%65M | -20.88%72M | -20.88%72M | 2.25%91M | 2.25%91M | 2.18%89M | 2.18%89M |
Other non current liabilities | -80.00%1M | -80.00%1M | -54.55%5M | -54.55%5M | -65.63%11M | -65.63%11M | 10.34%32M | 10.34%32M | -59.15%29M | -59.15%29M |
Total non current liabilities | 11.19%9.48B | 11.19%9.48B | -8.27%8.53B | -8.27%8.53B | -2.04%9.3B | -2.04%9.3B | -5.59%9.49B | -5.59%9.49B | 372.10%10.05B | 372.10%10.05B |
Total liabilities | 8.82%16.25B | 8.82%16.25B | -4.94%14.94B | -4.94%14.94B | 2.63%15.71B | 2.63%15.71B | -2.69%15.31B | -2.69%15.31B | 145.08%15.73B | 145.08%15.73B |
Shareholders'equity | ||||||||||
Share capital | 1.70%1.67B | 1.70%1.67B | 0.49%1.64B | 0.49%1.64B | 3.22%1.64B | 3.22%1.64B | -1.61%1.59B | -1.61%1.59B | -1.03%1.61B | -1.03%1.61B |
-common stock | 1.70%1.67B | 1.70%1.67B | 0.49%1.64B | 0.49%1.64B | 3.22%1.64B | 3.22%1.64B | -1.61%1.59B | -1.61%1.59B | -1.03%1.61B | -1.03%1.61B |
Retained earnings | 14.55%1.84B | 14.55%1.84B | 15.43%1.61B | 15.43%1.61B | 20.19%1.39B | 20.19%1.39B | 20.60%1.16B | 20.60%1.16B | -43.05%961M | -43.05%961M |
Gains losses not affecting retained earnings | -0.96%103M | -0.96%103M | 9.47%104M | 9.47%104M | 37.68%95M | 37.68%95M | 60.47%69M | 60.47%69M | 2.38%43M | 2.38%43M |
Total stockholders'equity | 7.78%3.62B | 7.78%3.62B | 7.43%3.36B | 7.43%3.36B | 11.06%3.12B | 11.06%3.12B | 7.57%2.81B | 7.57%2.81B | -22.11%2.62B | -22.11%2.62B |
Total equity | 7.78%3.62B | 7.78%3.62B | 7.43%3.36B | 7.43%3.36B | 11.06%3.12B | 11.06%3.12B | 7.57%2.81B | 7.57%2.81B | -22.11%2.62B | -22.11%2.62B |
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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