(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 | ||||||||||
Total investments | 28.20%3.31B | 28.20%3.31B | 27.02%2.58B | 27.02%2.58B | 15.86%2.03B | 15.86%2.03B | 43.81%1.75B | 43.81%1.75B | 16.08%1.22B | 16.08%1.22B |
Long term equity investment | 3.57%31.42M | 3.57%31.42M | 4.82%30.34M | 4.82%30.34M | 2.35%28.94M | 2.35%28.94M | --28.28M | --28.28M | ---- | ---- |
-Other invested assets | 28.50%3.28B | 28.50%3.28B | 27.34%2.55B | 27.34%2.55B | 16.08%2B | 16.08%2B | 41.49%1.73B | 41.49%1.73B | 16.08%1.22B | 16.08%1.22B |
Cash and cash equivalents | 177.42%259.83M | 177.42%259.83M | 4.71%93.66M | 4.71%93.66M | -5.98%89.44M | -5.98%89.44M | 53.20%95.13M | 53.20%95.13M | 158.96%62.1M | 158.96%62.1M |
Reinsurance recoverable | --1.41M | --1.41M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Receivables | -23.53%952K | -23.53%952K | -81.91%1.25M | -81.91%1.25M | 312.46%6.88M | 312.46%6.88M | 20.68%1.67M | 20.68%1.67M | -9.19%1.38M | -9.19%1.38M |
-Accounts receivable | -23.53%952K | -23.53%952K | -81.91%1.25M | -81.91%1.25M | 312.46%6.88M | 312.46%6.88M | 20.68%1.67M | 20.68%1.67M | -9.19%1.38M | -9.19%1.38M |
Prepaid assets | 110.68%58.37M | 110.68%58.37M | -53.21%27.7M | -53.21%27.7M | --59.21M | --59.21M | ---- | ---- | ---- | ---- |
Net PPE | -10.96%3.6M | -10.96%3.6M | -13.68%4.04M | -13.68%4.04M | -18.71%4.68M | -18.71%4.68M | 640.62%5.76M | 640.62%5.76M | 114.33%778K | 114.33%778K |
Goodwill and other intangible assets | -25.07%2.08M | -25.07%2.08M | -13.58%2.78M | -13.58%2.78M | 105.56%3.22M | 105.56%3.22M | 2.62%1.57M | 2.62%1.57M | 28.69%1.53M | 28.69%1.53M |
-Goodwill | 0.00%547K | 0.00%547K | 0.00%547K | 0.00%547K | 0.00%547K | 0.00%547K | 0.00%547K | 0.00%547K | 0.00%547K | 0.00%547K |
-Other intangible assets | -31.21%1.54M | -31.21%1.54M | -16.37%2.23M | -16.37%2.23M | 162.28%2.67M | 162.28%2.67M | 4.09%1.02M | 4.09%1.02M | 53.29%978K | 53.29%978K |
Deferred tax assets | -68.81%4.97M | -68.81%4.97M | -64.81%15.95M | -64.81%15.95M | 532.61%45.31M | 532.61%45.31M | -48.05%7.16M | -48.05%7.16M | 246.87%13.79M | 246.87%13.79M |
Other assets | -22.71%13.15M | -22.71%13.15M | 95.57%17.02M | 95.57%17.02M | -81.50%8.7M | -81.50%8.7M | 71.24%47.03M | 71.24%47.03M | -17.69%27.46M | -17.69%27.46M |
Total assets | 33.17%3.65B | 33.17%3.65B | 21.96%2.74B | 21.96%2.74B | 17.64%2.25B | 17.64%2.25B | 44.14%1.91B | 44.14%1.91B | 18.97%1.33B | 18.97%1.33B |
Liabilities | ||||||||||
Policy holders liabilities reserve | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -2.31%7.27M | -2.31%7.27M |
Short term debt and capital lease obligation | -79.17%793K | -79.17%793K | -10.17%3.81M | -10.17%3.81M | -11.54%4.24M | -11.54%4.24M | 881.76%4.79M | 881.76%4.79M | --488K | --488K |
-Current capital Lease obligation | -79.17%793K | -79.17%793K | -10.17%3.81M | -10.17%3.81M | -11.54%4.24M | -11.54%4.24M | 881.76%4.79M | 881.76%4.79M | --488K | --488K |
Payables | 60.97%16.9M | 60.97%16.9M | 51.93%10.5M | 51.93%10.5M | 47.00%6.91M | 47.00%6.91M | 140.04%4.7M | 140.04%4.7M | 54.91%1.96M | 54.91%1.96M |
-Accounts payable | 60.97%16.9M | 60.97%16.9M | 51.93%10.5M | 51.93%10.5M | 47.00%6.91M | 47.00%6.91M | 140.04%4.7M | 140.04%4.7M | 54.91%1.96M | 54.91%1.96M |
Current provisions | -12.50%7K | -12.50%7K | -96.23%8K | -96.23%8K | -0.93%212K | -0.93%212K | 53.96%214K | 53.96%214K | -1.42%139K | -1.42%139K |
Current deferred liabilities | 159,307.14%22.32M | 159,307.14%22.32M | -99.85%14K | -99.85%14K | -64.12%9.21M | -64.12%9.21M | 203.00%25.66M | 203.00%25.66M | --8.47M | --8.47M |
Long term debt and capital lease obligation | --2.67M | --2.67M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Long term capital lease obligation | --2.67M | --2.67M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Long term provisions | 0.00%224K | 0.00%224K | --224K | --224K | ---- | ---- | ---- | ---- | ---- | ---- |
Employee benefits | 26.09%1.67M | 26.09%1.67M | 8.33%1.33M | 8.33%1.33M | 39.73%1.22M | 39.73%1.22M | 37.95%876K | 37.95%876K | 14.83%635K | 14.83%635K |
Non current deferred liabilities | 163.80%88.68M | 163.80%88.68M | 589.26%33.62M | 589.26%33.62M | -88.34%4.88M | -88.34%4.88M | 609.79%41.83M | 609.79%41.83M | -72.04%5.89M | -72.04%5.89M |
Other liabilities | 25.57%3.31B | 25.57%3.31B | 21.68%2.64B | 21.68%2.64B | 21.47%2.17B | 21.47%2.17B | 38.80%1.78B | 38.80%1.78B | 20.72%1.28B | 20.72%1.28B |
Total liabilities | 28.22%3.44B | 28.22%3.44B | 22.46%2.69B | 22.46%2.69B | 17.81%2.19B | 17.81%2.19B | 42.12%1.86B | 42.12%1.86B | 19.63%1.31B | 19.63%1.31B |
Shareholders'equity | ||||||||||
Share capital | 169.03%239.56M | 169.03%239.56M | 0.60%89.05M | 0.60%89.05M | 11.88%88.52M | 11.88%88.52M | 75.01%79.12M | 75.01%79.12M | 0.46%45.21M | 0.46%45.21M |
-common stock | 169.03%239.56M | 169.03%239.56M | 0.60%89.05M | 0.60%89.05M | 11.88%88.52M | 11.88%88.52M | 75.01%79.12M | 75.01%79.12M | 0.46%45.21M | 0.46%45.21M |
Retained earnings | -30.80%-80.3M | -30.80%-80.3M | -22.94%-61.39M | -22.94%-61.39M | -56.63%-49.94M | -56.63%-49.94M | -1.44%-31.88M | -1.44%-31.88M | -14.99%-31.43M | -14.99%-31.43M |
Gains losses not affecting retained earnings | 66.02%52.13M | 66.02%52.13M | 67.28%31.4M | 67.28%31.4M | 345.19%18.77M | 345.19%18.77M | 17.37%4.22M | 17.37%4.22M | 19.45%3.59M | 19.45%3.59M |
Total stockholders equity | 257.97%211.38M | 257.97%211.38M | 2.96%59.05M | 2.96%59.05M | 11.46%57.35M | 11.46%57.35M | 196.21%51.45M | 196.21%51.45M | -15.98%17.37M | -15.98%17.37M |
Total equity | 257.97%211.38M | 257.97%211.38M | 2.96%59.05M | 2.96%59.05M | 11.46%57.35M | 11.46%57.35M | 196.21%51.45M | 196.21%51.45M | -15.98%17.37M | -15.98%17.37M |
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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