(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 | (FY)Jun 30, 2019 | (Q4)Jun 30, 2019 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -28.44%10.64M | -28.44%10.64M | -58.81%14.86M | -58.81%14.86M | 38.77%36.08M | 38.77%36.08M | 173.80%26M | 173.80%26M | -43.49%9.5M | -43.49%9.5M |
-Cash and cash equivalents | -28.44%10.64M | -28.44%10.64M | -58.81%14.86M | -58.81%14.86M | 38.77%36.08M | 38.77%36.08M | 173.80%26M | 173.80%26M | -43.49%9.5M | -43.49%9.5M |
-Accounts receivable | -15.92%21.61M | -15.92%21.61M | -9.16%25.7M | -9.16%25.7M | 59.19%28.29M | 59.19%28.29M | -23.60%17.77M | -23.60%17.77M | 14.01%23.26M | 14.01%23.26M |
-Notes receivable | 7.55%114K | 7.55%114K | 7.07%106K | 7.07%106K | -87.26%99K | -87.26%99K | 9.90%777K | 9.90%777K | 20.44%707K | 20.44%707K |
-Other receivables | -11.85%13.53M | -11.85%13.53M | -30.25%15.35M | -30.25%15.35M | 72.29%22.01M | 72.29%22.01M | 60.91%12.78M | 60.91%12.78M | -8.37%7.94M | -8.37%7.94M |
Current deferred assets | -48.57%1.11M | -48.57%1.11M | --2.17M | --2.17M | ---- | ---- | -59.01%157K | -59.01%157K | 5,371.43%383K | 5,371.43%383K |
Total current assets | -22.24%90.07M | -22.24%90.07M | -3.57%115.82M | -3.57%115.82M | 82.24%120.11M | 82.24%120.11M | -2.29%65.91M | -2.29%65.91M | 4.27%67.45M | 4.27%67.45M |
Non current assets | ||||||||||
-Accumulated depreciation | -30.96%-4.27M | -30.96%-4.27M | 49.00%-3.26M | 49.00%-3.26M | -3.86%-6.4M | -3.86%-6.4M | 11.66%-6.16M | 11.66%-6.16M | 33.90%-6.97M | 33.90%-6.97M |
-Long term equity investment | -10.89%18.89M | -10.89%18.89M | 116.17%21.2M | 116.17%21.2M | 45.56%9.81M | 45.56%9.81M | --6.74M | --6.74M | ---- | ---- |
-Including:Held to maturity investments | -78.66%376K | -78.66%376K | 135.56%1.76M | 135.56%1.76M | --748K | --748K | ---- | ---- | -66.28%289K | -66.28%289K |
Non current note receivables | 58.30%4.29M | 58.30%4.29M | -24.70%2.71M | -24.70%2.71M | -8.47%3.6M | -8.47%3.6M | -5.25%3.93M | -5.25%3.93M | 15.82%4.15M | 15.82%4.15M |
-Goodwill | --850K | --850K | ---- | ---- | ---- | ---- | -66.62%217K | -66.62%217K | -39.98%650K | -39.98%650K |
Regulatory assets | 0.16%27.43M | 0.16%27.43M | -15.84%27.38M | -15.84%27.38M | 89.68%32.53M | 89.68%32.53M | -29.06%17.15M | -29.06%17.15M | 12.34%24.18M | 12.34%24.18M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -43.95%5.6M | -43.95%5.6M | 462.26%10M | 462.26%10M | -27.49%1.78M | -27.49%1.78M | 49.69%2.45M | 49.69%2.45M | --1.64M | --1.64M |
-Current debt | -56.94%3.35M | -56.94%3.35M | --7.77M | --7.77M | ---- | ---- | ---- | ---- | --1.64M | --1.64M |
-Current capital lease obligation | 1.35%2.26M | 1.35%2.26M | 25.25%2.23M | 25.25%2.23M | -27.49%1.78M | -27.49%1.78M | --2.45M | --2.45M | ---- | ---- |
-accounts payable | -44.67%14.22M | -44.67%14.22M | 1.15%25.7M | 1.15%25.7M | 131.95%25.41M | 131.95%25.41M | -42.81%10.95M | -42.81%10.95M | -1.40%19.15M | -1.40%19.15M |
-Total tax payable | -8.45%19.5M | -8.45%19.5M | 115.07%21.3M | 115.07%21.3M | 10.42%9.9M | 10.42%9.9M | 660.73%8.97M | 660.73%8.97M | -6.43%1.18M | -6.43%1.18M |
-Other payable | ---- | ---- | --619K | --619K | ---- | ---- | ---- | ---- | ---- | ---- |
Current provisions | ---- | ---- | ---- | ---- | ---- | ---- | --118K | --118K | ---- | ---- |
Current deferred liabilities | ---- | ---- | ---- | ---- | --6.16M | --6.16M | ---- | ---- | -94.89%33K | -94.89%33K |
Other current liabilities | 0.00%-487K | 0.00%-487K | ---487K | ---487K | ---- | ---- | ---- | ---- | ---- | ---- |
Current liabilities | -32.76%36.22M | -32.76%36.22M | -6.96%53.86M | -6.96%53.86M | 109.05%57.89M | 109.05%57.89M | -7.82%27.69M | -7.82%27.69M | -1.81%30.04M | -1.81%30.04M |
Non current liabilities | ||||||||||
-Long term debt | -14.15%11.34M | -14.15%11.34M | 34.68%13.21M | 34.68%13.21M | 45.56%9.81M | 45.56%9.81M | --6.74M | --6.74M | ---- | ---- |
Non current accrued expenses | -1.78%29.55M | -1.78%29.55M | 141.98%30.08M | 141.98%30.08M | 32.45%12.43M | 32.45%12.43M | 509.09%9.39M | 509.09%9.39M | -8.44%1.54M | -8.44%1.54M |
Long term provisions | -5.51%7.55M | -5.51%7.55M | --7.99M | --7.99M | ---- | ---- | ---- | ---- | ---- | ---- |
Employee benefits | 7.55%114K | 7.55%114K | 7.07%106K | 7.07%106K | -87.26%99K | -87.26%99K | 9.90%777K | 9.90%777K | 20.44%707K | 20.44%707K |
Regulatory liabilities | 32.35%-1.13M | 32.35%-1.13M | 15.17%-1.67M | 15.17%-1.67M | 31.99%-1.96M | 31.99%-1.96M | -139.47%-2.89M | -139.47%-2.89M | -11.36%-1.21M | -11.36%-1.21M |
Preferred securities outside stock equity | 1.71%2.86M | 1.71%2.86M | 10.96%2.81M | 10.96%2.81M | 81.92%2.54M | 81.92%2.54M | 9.08%1.39M | 9.08%1.39M | 7.85%1.28M | 7.85%1.28M |
Total non current liabilities | -25.87%55.72M | -25.87%55.72M | 10.87%75.16M | 10.87%75.16M | 84.92%67.8M | 84.92%67.8M | 17.43%36.66M | 17.43%36.66M | -1.99%31.22M | -1.99%31.22M |
Shareholders'equity | ||||||||||
Share capital | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M |
-common stock | 0.00%144.22M | 0.00%144.22M | 0.34%144.22M | 0.34%144.22M | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M | 0.00%143.74M |
Gains losses not affecting retained earnings | 15.94%-3.3M | 15.94%-3.3M | 35.77%-3.92M | 35.77%-3.92M | -7.41%-6.11M | -7.41%-6.11M | -3.08%-5.68M | -3.08%-5.68M | 4.59%-5.51M | 4.59%-5.51M |
Total equity | -16.14%126.83M | -16.14%126.83M | 9.62%151.23M | 9.62%151.23M | 69.40%137.96M | 69.40%137.96M | 7.51%81.44M | 7.51%81.44M | 3.91%75.75M | 3.91%75.75M |
No Data