(FY)Jun 30, 2024 | (FY)Jun 30, 2023 | (FY)Jun 30, 2022 | (FY)Jun 30, 2021 | (FY)Jun 30, 2020 | (FY)Jun 30, 2019 | (FY)Jun 30, 2018 | (FY)Jun 30, 2017 | (FY)Jun 30, 2016 | (FY)Jun 30, 2015 | |
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Operating cash flow (direct method) | ||||||||||
Cash income from operating activities | 33.82%2.84B | 193.48%2.12B | -5.12%722.41M | -73.71%761.42M | -7.43%2.9B | 8.43%3.13B | 10.68%2.89B | -2.75%2.61B | 14.66%2.68B | 8.47%2.34B |
Revenue from customers | 33.94%2.84B | 210.72%2.12B | 40.85%681.4M | -82.71%483.78M | -10.57%2.8B | 8.44%3.13B | 10.66%2.88B | -2.74%2.61B | 14.67%2.68B | 8.47%2.34B |
Income from government grants | -64.02%893K | -93.92%2.48M | -85.29%40.84M | 183.28%277.64M | --98.01M | ---- | ---- | ---- | ---- | ---- |
Other cash income from operating activities | -11.56%375K | 152.38%424K | --168K | ---- | -12.62%360K | -40.63%412K | 459.68%694K | -76.06%124K | 1.77%518K | 0.00%509K |
Cash paid | -21.49%-2.37B | -131.32%-1.95B | 49.98%-842.06M | 40.76%-1.68B | -3.07%-2.84B | -11.13%-2.76B | -12.36%-2.48B | 0.26%-2.21B | -18.51%-2.21B | -4.80%-1.87B |
Payments to suppliers for goods and services | -21.49%-2.37B | -131.32%-1.95B | 49.98%-842.06M | 40.76%-1.68B | -3.07%-2.84B | -11.13%-2.76B | -12.36%-2.48B | 0.26%-2.21B | -18.51%-2.21B | -4.80%-1.87B |
Direct interest paid | 9.14%-46.35M | -62.58%-51.02M | -10.04%-31.38M | 31.10%-28.52M | -62.69%-41.39M | 1.52%-25.44M | 9.62%-25.83M | 0.62%-28.58M | -7.65%-28.76M | 20.65%-26.72M |
Direct interest received | 22.99%36.29M | 413.74%29.5M | -43.69%5.74M | -33.87%10.2M | -35.04%15.42M | 11.92%23.74M | -13.91%21.21M | -8.77%24.64M | -8.30%27M | -8.95%29.45M |
Direct tax refund paid | -828.94%-39.14M | -87.77%5.37M | 55.97%43.91M | 225.88%28.16M | 75.33%-22.37M | -6.17%-90.68M | 14.18%-85.41M | 8.26%-99.53M | 1.43%-108.49M | 23.84%-110.06M |
Operating cash flow | 169.89%421.48M | 254.05%156.17M | 88.89%-101.37M | -16,234.29%-912.23M | -97.97%5.65M | -11.28%278.88M | 6.43%314.34M | -17.18%295.35M | -1.63%356.6M | 59.64%362.53M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 68.52%-75.7M | -186.59%-240.46M | -160.76%-83.9M | 33.12%-32.18M | 77.96%-48.11M | -49.07%-218.3M | 9.18%-146.44M | 44.43%-161.25M | -153.93%-290.2M | -96.54%-114.28M |
Net PPE purchase and sale | -1.54%-21.71M | -91.74%-21.38M | -118.97%-11.15M | 237.76%58.77M | 20.03%-42.66M | -4.70%-53.35M | 32.76%-50.96M | 1.13%-75.79M | -5.73%-76.65M | -56.87%-72.5M |
Net intangibles purchas and sale | -4.59%-73.9M | -158.67%-70.65M | 19.61%-27.31M | 49.93%-33.98M | -42.49%-67.87M | -31.12%-47.63M | -28.19%-36.33M | -4.43%-28.34M | -162.08%-27.14M | -12.37%-10.35M |
Net business purchase and sale | ---- | -329.86%-172.72M | -22,298.90%-40.18M | 100.54%181K | 83.40%-33.4M | -229.13%-201.14M | -533.56%-61.11M | 82.74%-9.65M | -10,506.26%-55.9M | 74.08%-527K |
Net investment purchase and sale | -18.07%19.9M | 562.07%24.29M | 90.79%-5.26M | -153.53%-57.07M | 14.85%106.61M | 8,358.72%92.83M | 97.14%-1.12M | 69.56%-39.26M | -284.53%-128.97M | -1,668.76%-33.54M |
Dividends received (cash flow from investment activities) | ---- | ---- | ---- | --1.56M | ---- | --568K | ---- | ---- | -6.39%630K | --673K |
Net other investing changes | ---- | ---- | ---- | 84.86%-1.63M | -12.68%-10.79M | -411.31%-9.58M | 137.43%3.08M | -277.84%-8.22M | -210.80%-2.18M | 169.49%1.96M |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 68.52%-75.7M | -186.59%-240.46M | -160.76%-83.9M | 33.12%-32.18M | 77.96%-48.11M | -49.07%-218.3M | 9.18%-146.44M | 44.43%-161.25M | -153.93%-290.2M | -96.54%-114.28M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -464.63%-489M | 44.31%134.11M | -73.89%92.93M | -53.00%355.88M | 532.52%757.2M | 5.98%-175.07M | -19.37%-186.2M | -41.21%-155.99M | 33.39%-110.46M | -14.26%-165.84M |
Net issuance payments of debt | -22,046.65%-248.88M | 100.55%1.13M | -299.38%-207.43M | -62.31%104.04M | 85.65%276.03M | 768.82%148.69M | -8.72%-22.23M | -146.10%-20.45M | 354.54%44.36M | -1,074.26%-17.43M |
Net common stock issuance | -137.23%-87.34M | 5,462.35%234.62M | -14.46%4.22M | -99.29%4.93M | 17,600.23%694.23M | 52.22%-3.97M | -396.71%-8.3M | -20.83%2.8M | -24.76%3.53M | 50.26%4.7M |
Cash dividends paid | -6,044.60%-62M | ---1.01M | ---- | ---- | 68.97%-99.24M | -105.43%-319.79M | -12.52%-155.66M | 12.64%-138.34M | -3.43%-158.35M | -4.31%-153.11M |
Net other financing activities | 9.78%-90.79M | -133.98%-100.63M | 19.94%296.14M | 316.93%246.91M | ---113.82M | ---- | ---- | ---- | ---- | ---- |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -464.63%-489M | 44.31%134.11M | -73.89%92.93M | -53.00%355.88M | 532.52%757.2M | 5.98%-175.07M | -19.37%-186.2M | -41.21%-155.99M | 33.39%-110.46M | -14.26%-165.84M |
Net cash flow | ||||||||||
Beginning cash position | 5.67%1.28B | -6.24%1.21B | -30.82%1.29B | 59.16%1.87B | -7.91%1.17B | -0.68%1.27B | -2.56%1.28B | -4.54%1.32B | 9.22%1.38B | 2.82%1.26B |
Current changes in cash | -387.46%-143.23M | 153.96%49.83M | 84.31%-92.34M | -182.34%-588.53M | 724.31%714.75M | -525.48%-114.49M | 16.36%-18.3M | 50.33%-21.89M | -153.46%-44.06M | 246.21%82.41M |
Effect of exchange rate changes | -93.87%1.16M | 60.21%18.85M | -13.23%11.77M | 163.96%13.56M | -254.24%-21.2M | 42.49%13.75M | 181.40%9.65M | 36.07%-11.85M | -154.71%-18.54M | 212.11%33.89M |
End cash Position | -11.11%1.14B | 5.67%1.28B | -6.24%1.21B | -30.82%1.29B | 59.16%1.87B | -7.91%1.17B | -0.68%1.27B | -2.56%1.28B | -4.54%1.32B | 9.22%1.38B |
Free cash from | 408.08%325.88M | 145.25%64.14M | 85.07%-141.75M | -805.45%-949.59M | -158.95%-104.88M | -21.65%177.9M | 18.73%227.05M | -18.84%191.23M | -15.76%235.62M | 62.92%279.68M |
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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