(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 | ||||||||||
Cash, cash equivalents and federal funds sold | 45.94%900.2M | 45.94%900.2M | 7.83%616.81M | 7.83%616.81M | 7.13%572.02M | 7.13%572.02M | 3.99%533.95M | 3.99%533.95M | 537.18%513.47M | --513.47M |
-Cash and cash equivalents | 45.94%900.2M | 45.94%900.2M | 7.83%616.81M | 7.83%616.81M | 7.13%572.02M | 7.13%572.02M | 3.99%533.95M | 3.99%533.95M | 537.18%513.47M | --513.47M |
Securities and investments | 3,626.12%811.74M | 3,626.12%811.74M | -12.10%21.79M | -12.10%21.79M | 42.65%24.79M | 42.65%24.79M | -58.48%17.38M | -58.48%17.38M | -88.57%41.85M | --41.85M |
-Trading securities | --706.84M | --706.84M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Short term investments | 381.50%104.9M | 381.50%104.9M | -12.10%21.79M | -12.10%21.79M | 42.65%24.79M | 42.65%24.79M | -58.48%17.38M | -58.48%17.38M | -88.57%41.85M | --41.85M |
Long term equity investment | -10.45%13.48M | -10.45%13.48M | -0.23%15.05M | -0.23%15.05M | -27.02%15.08M | -27.02%15.08M | 26.52%20.67M | 26.52%20.67M | --16.34M | --16.34M |
Derivative assets | -66.70%12.32M | -66.70%12.32M | -18.22%36.98M | -18.22%36.98M | 219.83%45.22M | 219.83%45.22M | -18.02%14.14M | -18.02%14.14M | 36.06%17.25M | --17.25M |
Receivables | 6.41%7.17B | 6.41%7.17B | 9.65%6.74B | 9.65%6.74B | 23.64%6.15B | 23.64%6.15B | 8.36%4.97B | 8.36%4.97B | 5.53%4.59B | --4.59B |
-Accounts receivable | 6.33%7.16B | 6.33%7.16B | 9.67%6.74B | 9.67%6.74B | 23.57%6.14B | 23.57%6.14B | 8.36%4.97B | 8.36%4.97B | 5.53%4.59B | --4.59B |
-Other receivables | 281.52%6.94M | 281.52%6.94M | -43.52%1.82M | -43.52%1.82M | --3.22M | --3.22M | ---- | ---- | ---- | ---- |
Net PPE | 28.23%55.81M | 28.23%55.81M | 48.52%43.53M | 48.52%43.53M | -18.39%29.31M | -18.39%29.31M | -22.13%35.91M | -22.13%35.91M | 197.23%46.12M | --46.12M |
-Gross PPE | 28.81%66.99M | 28.81%66.99M | 50.34%52.01M | 50.34%52.01M | -15.95%34.6M | -15.95%34.6M | -21.77%41.16M | -21.77%41.16M | 143.32%52.61M | --52.61M |
-Accumulated depreciation | -31.77%-11.18M | -31.77%-11.18M | -60.45%-8.49M | -60.45%-8.49M | -0.76%-5.29M | -0.76%-5.29M | 19.18%-5.25M | 19.18%-5.25M | -6.35%-6.5M | ---6.5M |
Goodwill and other intangible assets | 18.74%279.91M | 18.74%279.91M | 7.70%235.73M | 7.70%235.73M | 216.45%218.87M | 216.45%218.87M | -5.01%69.17M | -5.01%69.17M | 0.18%72.81M | --72.81M |
-Goodwill | 13.18%208.72M | 13.18%208.72M | 0.65%184.42M | 0.65%184.42M | 305.90%183.24M | 305.90%183.24M | 0.00%45.14M | 0.00%45.14M | 0.00%45.14M | --45.14M |
-Other intangible assets | 38.73%71.18M | 38.73%71.18M | 43.97%51.31M | 43.97%51.31M | 48.36%35.64M | 48.36%35.64M | -13.18%24.02M | -13.18%24.02M | 0.49%27.67M | --27.67M |
Deferred assets | 75.56%40.49M | 75.56%40.49M | -0.04%23.07M | -0.04%23.07M | 63.45%23.07M | 63.45%23.07M | -17.56%14.12M | -17.56%14.12M | 79.66%17.12M | --17.12M |
Other assets | -47.88%6.22M | -47.88%6.22M | -20.51%11.93M | -20.51%11.93M | 2,444.07%15.01M | 2,444.07%15.01M | -87.85%590K | -87.85%590K | -77.21%4.86M | --4.86M |
Total assets | 19.98%9.29B | 19.98%9.29B | 9.23%7.74B | 9.23%7.74B | 24.88%7.09B | 24.88%7.09B | 6.76%5.68B | 6.76%5.68B | 7.95%5.32B | --5.32B |
Liabilities | ||||||||||
Total deposits | 44.01%5.95B | 44.01%5.95B | 14.99%4.13B | 14.99%4.13B | 10.43%3.59B | 10.43%3.59B | -0.33%3.25B | -0.33%3.25B | 3.50%3.26B | --3.26B |
Current debt and capital lease obligation | -28.64%1.45B | -28.64%1.45B | 3.54%2.03B | 3.54%2.03B | 77.67%1.96B | 77.67%1.96B | 31.17%1.1B | 31.17%1.1B | -20.49%840.16M | --840.16M |
-Current debt | -28.64%1.45B | -28.64%1.45B | 3.54%2.03B | 3.54%2.03B | 77.67%1.96B | 77.67%1.96B | 31.17%1.1B | 31.17%1.1B | -20.49%840.16M | --840.16M |
Derivative product liabilities | 18.27%9.02M | 18.27%9.02M | 20.23%7.62M | 20.23%7.62M | 32.05%6.34M | 32.05%6.34M | -71.77%4.8M | -71.77%4.8M | 64.02%17.01M | --17.01M |
Payables | -35.99%37.31M | -35.99%37.31M | -11.95%58.3M | -11.95%58.3M | 145.90%66.21M | 145.90%66.21M | -25.75%26.93M | -25.75%26.93M | 61.18%36.26M | --36.26M |
-Accounts payable | 16.48%17.16M | 16.48%17.16M | -31.03%14.73M | -31.03%14.73M | 89.97%21.36M | 89.97%21.36M | -45.57%11.24M | -45.57%11.24M | 75.25%20.66M | --20.66M |
-Other payable | -53.74%20.16M | -53.74%20.16M | -2.86%43.57M | -2.86%43.57M | 185.99%44.85M | 185.99%44.85M | 0.50%15.68M | 0.50%15.68M | 45.69%15.61M | --15.61M |
Current deferred liabilities | ---- | ---- | -72.27%6.11M | -72.27%6.11M | 196.29%22.04M | 196.29%22.04M | -39.53%7.44M | -39.53%7.44M | 63.34%12.3M | --12.3M |
Long term debt and capital lease obligation | 26.58%611.75M | 26.58%611.75M | -24.06%483.28M | -24.06%483.28M | 22.06%636.41M | 22.06%636.41M | 16.32%521.4M | 16.32%521.4M | --448.23M | --448.23M |
-Long term debt | 26.58%611.75M | 26.58%611.75M | -24.06%483.28M | -24.06%483.28M | 22.06%636.41M | 22.06%636.41M | 16.32%521.4M | 16.32%521.4M | --448.23M | --448.23M |
Total liabilities | 19.96%8.05B | 19.96%8.05B | 6.88%6.71B | 6.88%6.71B | 27.78%6.28B | 27.78%6.28B | 6.45%4.92B | 6.45%4.92B | 8.64%4.62B | --4.62B |
Shareholders'equity | ||||||||||
Share capital | 27.26%1.02B | 27.26%1.02B | 33.63%800.71M | 33.63%800.71M | 2.64%599.19M | 2.64%599.19M | 1.31%583.78M | 1.31%583.78M | 3.09%576.26M | --576.26M |
-common stock | 27.26%1.02B | 27.26%1.02B | 33.63%800.71M | 33.63%800.71M | 2.64%599.19M | 2.64%599.19M | 1.31%583.78M | 1.31%583.78M | 3.09%576.26M | --576.26M |
Retained earnings | 1.50%227.41M | 1.50%227.41M | 12.26%224.05M | 12.26%224.05M | 11.88%199.59M | 11.88%199.59M | 38.05%178.39M | 38.05%178.39M | 6.80%129.22M | --129.22M |
Gains losses not affecting retained earnings | -236.15%-8.5M | -236.15%-8.5M | -37.20%6.24M | -37.20%6.24M | 2,183.02%9.94M | 2,183.02%9.94M | 91.33%-477K | 91.33%-477K | -28.00%-5.5M | ---5.5M |
Total stockholders'equity | 20.06%1.24B | 20.06%1.24B | 27.49%1.03B | 27.49%1.03B | 6.17%808.71M | 6.17%808.71M | 8.82%761.69M | 8.82%761.69M | 3.60%699.98M | --699.98M |
Total equity | 20.06%1.24B | 20.06%1.24B | 27.49%1.03B | 27.49%1.03B | 6.17%808.71M | 6.17%808.71M | 8.82%761.69M | 8.82%761.69M | 3.60%699.98M | --699.98M |
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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