(FY)Jun 30, 2023 | (FY)Jun 30, 2022 | (FY)Jun 30, 2021 | (FY)Jun 30, 2020 | (FY)Jun 30, 2019 | |
---|---|---|---|---|---|
Operating cash flow (direct method) | |||||
Cash income from operating activities | 77.40%850.06K | -24.25%479.18K | -34.56%632.53K | -21.24%966.57K | 1.23M |
Revenue from customers | 69.66%212.34K | 597.79%125.16K | 207.91%17.94K | -50.93%5.83K | --11.87K |
Income from government grants | --25K | ---- | ---- | --113.77K | ---- |
Other cash income from operating activities | 73.08%612.72K | -42.40%354.02K | -27.44%614.6K | -30.31%846.97K | --1.22M |
Cash paid | -20.48%-2.88M | -12.53%-2.39M | 11.29%-2.12M | 24.61%-2.39M | -3.17M |
Payments to suppliers for goods and services | -20.48%-2.88M | -12.53%-2.39M | 11.29%-2.12M | 24.61%-2.39M | ---3.17M |
Direct interest paid | -242.12%-28.98K | 8.13%-8.47K | -110.31%-9.22K | 76.96%-4.39K | ---19.04K |
Direct interest received | 466.27%5.73K | -50.34%1.01K | -0.54%2.04K | -71.98%2.05K | --7.31K |
Operating cash flow | -7.00%-2.05M | -28.02%-1.92M | -4.80%-1.5M | 27.06%-1.43M | ---1.96M |
Investing cash flow | |||||
Cash flow from continuing investing activities | -10.16K | 71.31%-119.11K | -415.21K | ||
Net PPE purchase and sale | ---- | ---10.16K | ---- | ---- | ---22.18K |
Net intangibles purchas and sale | ---- | ---- | ---- | 58.51%-119.11K | ---287.1K |
Net business purchase and sale | ---- | ---- | ---- | ---- | ---105.94K |
Cash from discontinued investing activities | |||||
Investing cash flow | ---- | ---10.16K | ---- | 71.31%-119.11K | ---415.21K |
Financing cash flow | |||||
Cash flow from continuing financing activities | 87.43%3.28M | 18.06%1.75M | -12.21%1.48M | -26.16%1.69M | 2.28M |
Net issuance payments of debt | -200.04%-541.22K | 342.44%541.02K | -214.09%-223.16K | --195.6K | ---- |
Net common stock issuance | 216.33%3.82M | -29.17%1.21M | 7.40%1.7M | -30.54%1.59M | --2.28M |
Net other financing activities | ---- | ---- | ---- | ---95.56K | ---- |
Cash from discontinued financing activities | |||||
Financing cash flow | 87.43%3.28M | 18.06%1.75M | -12.21%1.48M | -26.16%1.69M | --2.28M |
Net cash flow | |||||
Beginning cash position | -70.88%73.81K | -6.38%253.42K | 40.50%270.68K | -33.15%192.65K | --288.2K |
Current changes in cash | 781.57%1.22M | -940.67%-179.61K | -112.50%-17.26K | 252.05%138.02K | ---90.77K |
Effect of exchange rate changes | --42 | ---- | ---- | ---- | ---4.77K |
End cash Position | 1,658.65%1.3M | -70.88%73.81K | -23.36%253.42K | 71.64%330.68K | --192.65K |
Free cash from | -6.44%-2.05M | -28.69%-1.93M | 3.26%-1.5M | 31.75%-1.55M | ---2.27M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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