(Q2)Dec 31, 2023 | (FY)Jun 30, 2023 | (Q4)Jun 30, 2023 | (Q2)Dec 31, 2022 | (FY)Jun 30, 2022 | (Q4)Jun 30, 2022 | (Q2)Dec 31, 2021 | (FY)Jun 30, 2021 | (Q4)Jun 30, 2021 | (Q2)Dec 31, 2020 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -78.01%2.48M | -73.09%4.48M | -73.09%4.48M | 59.63%11.27M | 204.96%16.66M | 204.96%16.66M | 208.96%7.06M | 13.35%5.46M | 13.35%5.46M | -73.69%2.29M |
-Cash and cash equivalents | 242.86%2.48M | -73.00%4.48M | -73.00%4.48M | -89.68%723.04K | 238.04%16.61M | 238.04%16.61M | 418.39%7.01M | 287.76%4.91M | 287.76%4.91M | -3.22%1.35M |
-Short-term investments | ---- | --0 | --0 | 19,109.23%10.55M | -90.50%52.26K | -90.50%52.26K | -94.12%54.92K | -84.52%549.9K | -84.52%549.9K | -87.19%933.91K |
Receivables | 0.82%3.31M | 0.11%2.85M | 0.11%2.85M | -33.25%3.29M | -2.25%2.85M | -2.25%2.85M | 29.55%4.92M | 17.72%2.92M | 17.72%2.92M | -19.15%3.8M |
-Accounts receivable | 1.90%3.22M | 0.77%2.77M | 0.77%2.77M | -35.02%3.16M | -4.80%2.74M | -4.80%2.74M | 27.94%4.86M | 16.40%2.88M | 16.40%2.88M | -19.15%3.8M |
-Related party accounts receivable | -25.94%94.28K | -17.05%87.43K | -17.05%87.43K | 107.68%127.3K | 224.04%105.4K | 224.04%105.4K | --61.3K | --32.53K | --32.53K | ---- |
Inventory | -21.53%3.09M | -20.49%2.68M | -20.49%2.68M | 1.58%3.93M | -19.83%3.37M | -19.83%3.37M | -18.76%3.87M | 46.93%4.2M | 46.93%4.2M | -23.13%4.77M |
Prepaid assets | 11.92%115.86K | --239.73K | --239.73K | --103.52K | --0 | --0 | ---- | ---- | ---- | --29.24K |
Restricted cash | ---- | ---- | ---- | ---- | ---- | ---- | --0 | --23.31K | --23.31K | ---- |
Other current assets | 233.17%4.93M | 685.55%3.75M | 685.55%3.75M | 68.56%1.48M | -71.29%477.24K | -71.29%477.24K | -39.68%877.09K | 12.96%1.66M | 12.96%1.66M | -7.87%1.45M |
Total current assets | -30.65%13.92M | -40.04%14M | -40.04%14M | 19.95%20.08M | 63.71%23.35M | 63.71%23.35M | 35.65%16.74M | 22.69%14.27M | 22.69%14.27M | -41.72%12.34M |
Non current assets | ||||||||||
Net PPE | -7.29%79.05M | 8.47%79.22M | 8.47%79.22M | 8.42%85.26M | -2.68%73.04M | -2.68%73.04M | 33.72%78.64M | 54.23%75.05M | 54.23%75.05M | 25.59%58.8M |
-Gross PPE | -18.78%79.05M | 9.74%92.04M | 9.74%92.04M | 8.07%97.32M | -0.83%83.86M | -0.83%83.86M | 35.37%90.05M | 54.87%84.57M | 54.87%84.57M | 42.07%66.52M |
-Accumulated depreciation | ---- | -18.34%-12.81M | -18.34%-12.81M | -5.67%-12.06M | -13.71%-10.83M | -13.71%-10.83M | -47.94%-11.42M | -60.04%-9.52M | -60.04%-9.52M | ---7.72M |
Goodwill and other intangible assets | -6.02%1.85M | -10.58%1.85M | -10.58%1.85M | -10.79%1.97M | -7.19%2.06M | -7.19%2.06M | -1.25%2.21M | 5.63%2.22M | 5.63%2.22M | 2.15%2.24M |
-Other intangible assets | ---- | -10.58%1.85M | -10.58%1.85M | -10.79%1.97M | -7.19%2.06M | -7.19%2.06M | -1.25%2.21M | 5.63%2.22M | 5.63%2.22M | 2.15%2.24M |
Investments and advances | -2.90%1.55M | -7.64%1.52M | -7.64%1.52M | -7.58%1.6M | -3.62%1.64M | -3.62%1.64M | 25.26%1.73M | 62.84%1.7M | 62.84%1.7M | 10.73%1.38M |
Related parties assets | -25.94%94.28K | -17.05%87.43K | -17.05%87.43K | 107.68%127.3K | 224.04%105.4K | 224.04%105.4K | --61.3K | --32.53K | --32.53K | ---- |
Non current deferred assets | 55.52%1.59M | 83.34%1.28M | 83.34%1.28M | 136.89%1.02M | 15.42%699.04K | 15.42%699.04K | 233.88%430.6K | 425.61%605.66K | 425.61%605.66K | -60.75%128.97K |
Total non current assets | -6.47%84.03M | 8.30%83.87M | 8.30%83.87M | 8.25%89.85M | -2.69%77.44M | -2.69%77.44M | 32.70%83M | 53.26%79.58M | 53.26%79.58M | 23.65%62.55M |
Total assets | -10.89%97.96M | -2.90%97.87M | -2.90%97.87M | 10.21%109.92M | 7.41%100.8M | 7.41%100.8M | 33.19%99.74M | 47.67%93.85M | 47.67%93.85M | 4.36%74.89M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -16.32%2.55M | -35.97%1.91M | -35.97%1.91M | -59.40%3.04M | -47.08%2.98M | -47.08%2.98M | 65.76%7.49M | 47.47%5.64M | 47.47%5.64M | 3.72%4.52M |
-accounts payable | 3.15%1.35M | -37.24%895.69K | -37.24%895.69K | -48.61%1.31M | 19.19%1.43M | 19.19%1.43M | 179.94%2.54M | 18.50%1.2M | 18.50%1.2M | -31.50%908.1K |
-Total tax payable | -30.97%1.2M | -34.81%1.02M | -34.81%1.02M | -64.93%1.74M | -64.94%1.56M | -64.94%1.56M | 37.06%4.95M | 57.87%4.44M | 57.87%4.44M | 19.11%3.61M |
Current accrued expenses | 14.41%1.02M | -5.28%1.03M | -5.28%1.03M | -86.94%895.74K | -90.77%1.08M | -90.77%1.08M | 313.27%6.86M | 708.15%11.74M | 708.15%11.74M | 27.46%1.66M |
Current debt and capital lease obligation | -58.99%3.79M | 176.29%6.26M | 176.29%6.26M | 196.81%9.25M | -38.35%2.27M | -38.35%2.27M | -16.53%3.12M | -31.19%3.67M | -31.19%3.67M | -16.95%3.73M |
-Current debt | -73.91%1.43M | 89.02%3.93M | 89.02%3.93M | 86.62%5.48M | -40.60%2.08M | -40.60%2.08M | -17.74%2.94M | -32.21%3.5M | -32.21%3.5M | -17.09%3.57M |
-Current capital lease obligation | -37.32%2.36M | 1,159.43%2.33M | 1,159.43%2.33M | 1,990.28%3.77M | 7.51%184.7K | 7.51%184.7K | 9.55%180.42K | -0.53%171.8K | -0.53%171.8K | -13.83%164.69K |
Current deferred liabilities | -30.45%231.03K | -19.66%121.69K | -19.66%121.69K | 32.82%332.16K | -27.71%151.46K | -27.71%151.46K | 41.04%250.08K | 37.56%209.51K | 37.56%209.51K | -26.64%177.31K |
Current liabilities | -43.83%7.6M | 43.68%9.32M | 43.68%9.32M | -23.69%13.52M | -69.50%6.49M | -69.50%6.49M | 75.57%17.72M | 97.43%21.26M | 97.43%21.26M | -2.95%10.09M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 15.21%14.89M | 109.20%12.21M | 109.20%12.21M | 79.58%12.93M | -24.02%5.84M | -24.02%5.84M | -12.47%7.2M | 503.07%7.68M | 503.07%7.68M | 516.51%8.22M |
-Long term debt | 106.87%3.86M | -67.66%1.6M | -67.66%1.6M | -69.71%1.86M | -24.75%4.93M | -24.75%4.93M | -12.46%6.15M | 8,846.26%6.56M | 8,846.26%6.56M | --7.03M |
-Long term capital lease obligation | -0.23%11.04M | 1,077.40%10.61M | 1,077.40%10.61M | 957.28%11.06M | -19.74%901.35K | -19.74%901.35K | -12.59%1.05M | -6.43%1.12M | -6.43%1.12M | -10.26%1.2M |
Total non current liabilities | 15.21%14.89M | 109.20%12.21M | 109.20%12.21M | 79.58%12.93M | -24.02%5.84M | -24.02%5.84M | -12.47%7.2M | 503.07%7.68M | 503.07%7.68M | 516.51%8.22M |
Total liabilities | -14.97%22.49M | 74.71%21.53M | 74.71%21.53M | 6.15%26.45M | -57.43%12.32M | -57.43%12.32M | 36.04%24.92M | 140.32%28.94M | 140.32%28.94M | 56.11%18.32M |
Shareholders'equity | ||||||||||
Share capital | 109,047.15%86.39M | 2.16%80.25K | 2.16%80.25K | 18.24%79.15K | 32.57%78.55K | 32.57%78.55K | 29.15%66.94K | 14.32%59.25K | 14.32%59.25K | 0.00%51.83K |
-common stock | 109,047.15%86.39M | 2.16%80.25K | 2.16%80.25K | 18.24%79.15K | 32.57%78.55K | 32.57%78.55K | 29.15%66.94K | 14.32%59.25K | 14.32%59.25K | 0.00%51.83K |
Retained earnings | -151.59%-2.53M | -91.56%664K | -91.56%664K | -15.75%4.91M | 69.90%7.86M | 69.90%7.86M | 43.79%5.83M | 43.92%4.63M | 43.92%4.63M | -64.05%4.05M |
Paid-in capital | ---- | 1.85%85.65M | 1.85%85.65M | 23.98%84.43M | 39.34%84.1M | 39.34%84.1M | 27.78%68.1M | 13.40%60.36M | 13.40%60.36M | 0.27%53.29M |
Gains losses not affecting retained earnings | -35.77%-8.39M | -160.40%-10.05M | -160.40%-10.05M | -1,588.57%-6.18M | -477.29%-3.86M | -477.29%-3.86M | 128.19%415.03K | 88.05%-668.84K | 88.05%-668.84K | 67.45%-1.47M |
Total stockholders'equity | -9.34%75.47M | -13.42%76.34M | -13.42%76.34M | 11.87%83.24M | 36.98%88.18M | 36.98%88.18M | 33.05%74.41M | 26.49%64.37M | 26.49%64.37M | -6.72%55.93M |
Noncontrolling interests | -99.98%43 | -99.67%974 | -99.67%974 | -44.03%231.08K | -43.67%297.43K | -43.67%297.43K | -36.03%412.84K | -14.10%528.01K | -14.10%528.01K | 829.40%645.38K |
Total equity | -9.59%75.47M | -13.71%76.35M | -13.71%76.35M | 11.56%83.47M | 36.32%88.48M | 36.32%88.48M | 32.26%74.82M | 26.00%64.9M | 26.00%64.9M | -5.75%56.57M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Audit Opinions | -- | Unqualified Opinion | -- | -- | Unqualified Opinion | -- | -- | Unqualified Opinion | -- | -- |
No Data
No Data