(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 | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -47.88%60.1M | -47.88%60.1M | 41.82%115.3M | 41.82%115.3M | 15.98%81.3M | 15.98%81.3M | -49.02%70.1M | -49.02%70.1M | 14.87%137.5M | 14.87%137.5M |
-Cash and cash equivalents | -47.88%60.1M | -47.88%60.1M | 41.82%115.3M | 41.82%115.3M | 15.98%81.3M | 15.98%81.3M | -49.02%70.1M | -49.02%70.1M | 14.87%137.5M | 14.87%137.5M |
Receivables | 13.91%187.5M | 13.91%187.5M | -25.08%164.6M | -25.08%164.6M | 19.34%219.7M | 19.34%219.7M | -7.81%184.1M | -7.81%184.1M | 32.08%199.7M | 32.08%199.7M |
-Accounts receivable | 18.65%170.5M | 18.65%170.5M | -27.97%143.7M | -27.97%143.7M | 16.94%199.5M | 16.94%199.5M | 9.92%170.6M | 9.92%170.6M | 10.38%155.2M | 10.38%155.2M |
-Other receivables | 3.19%45.3M | 3.19%45.3M | 4.03%43.9M | 4.03%43.9M | 15.30%42.2M | 15.30%42.2M | -45.78%36.6M | -45.78%36.6M | 144.57%67.5M | 144.57%67.5M |
-Recievables adjustments allowances | -23.04%-28.3M | -23.04%-28.3M | -4.55%-23M | -4.55%-23M | 4.76%-22M | 4.76%-22M | -0.43%-23.1M | -0.43%-23.1M | -35.29%-23M | -35.29%-23M |
Inventory | -2.74%31.9M | -2.74%31.9M | -33.33%32.8M | -33.33%32.8M | 37.05%49.2M | 37.05%49.2M | 33.46%35.9M | 33.46%35.9M | 18.50%26.9M | 18.50%26.9M |
Prepaid assets | -18.07%20.4M | -18.07%20.4M | 15.28%24.9M | 15.28%24.9M | 37.58%21.6M | 37.58%21.6M | 22.66%15.7M | 22.66%15.7M | -28.09%12.8M | -28.09%12.8M |
Current deferred assets | -97.01%200K | -97.01%200K | --6.7M | --6.7M | ---- | ---- | ---- | ---- | 588.89%24.8M | 588.89%24.8M |
Holding assets for sale | ---- | ---- | ---- | ---- | ---- | ---- | -97.26%25.1M | -97.26%25.1M | --915.6M | --915.6M |
Other current assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -92.06%2.5M | -92.06%2.5M |
Total current assets | -12.84%300.1M | -12.84%300.1M | -7.40%344.3M | -7.40%344.3M | 12.36%371.8M | 12.36%371.8M | -74.93%330.9M | -74.93%330.9M | 280.89%1.32B | 280.89%1.32B |
Non current assets | ||||||||||
Net PPE | -1.72%1.22B | -1.72%1.22B | -2.17%1.24B | -2.17%1.24B | 2.09%1.27B | 2.09%1.27B | 19.29%1.24B | 19.29%1.24B | 219.14%1.04B | 219.14%1.04B |
-Gross PPE | -0.57%1.58B | -0.57%1.58B | -2.68%1.59B | -2.68%1.59B | 3.55%1.63B | 3.55%1.63B | 15.87%1.58B | 15.87%1.58B | 79.35%1.36B | 79.35%1.36B |
-Accumulated depreciation | -3.54%-359.4M | -3.54%-359.4M | 4.46%-347.1M | 4.46%-347.1M | -9.00%-363.3M | -9.00%-363.3M | -4.68%-333.3M | -4.68%-333.3M | 26.36%-318.4M | 26.36%-318.4M |
Investments and advances | -54.93%3.2M | -54.93%3.2M | 22.41%7.1M | 22.41%7.1M | 3.57%5.8M | 3.57%5.8M | 366.67%5.6M | 366.67%5.6M | 100.00%1.2M | 100.00%1.2M |
-Other investment | -54.93%3.2M | -54.93%3.2M | 22.41%7.1M | 22.41%7.1M | 3.57%5.8M | 3.57%5.8M | 366.67%5.6M | 366.67%5.6M | 100.00%1.2M | 100.00%1.2M |
Non current accounts receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -52.00%2.4M | -52.00%2.4M |
Goodwill and other intangible assets | -30.55%1.37B | -30.55%1.37B | -18.55%1.97B | -18.55%1.97B | 14.20%2.42B | 14.20%2.42B | -0.04%2.12B | -0.04%2.12B | -17.22%2.12B | -17.22%2.12B |
-Goodwill | -31.66%1.3B | -31.66%1.3B | -19.06%1.9B | -19.06%1.9B | 14.79%2.34B | 14.79%2.34B | 0.10%2.04B | 0.10%2.04B | -17.82%2.04B | -17.82%2.04B |
-Other intangible assets | -1.78%71.8M | -1.78%71.8M | -2.79%73.1M | -2.79%73.1M | -1.44%75.2M | -1.44%75.2M | -3.78%76.3M | -3.78%76.3M | 1.80%79.3M | 1.80%79.3M |
Non current deferred assets | 1.37%89.1M | 1.37%89.1M | 27.76%87.9M | 27.76%87.9M | -16.30%68.8M | -16.30%68.8M | 10.48%82.2M | 10.48%82.2M | 3.19%74.4M | 3.19%74.4M |
Other non current assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -85.71%5.6M | -85.71%5.6M |
Total non current assets | -18.92%2.68B | -18.92%2.68B | -12.11%3.31B | -12.11%3.31B | 9.09%3.77B | 9.09%3.77B | 6.30%3.45B | 6.30%3.45B | 8.07%3.25B | 8.07%3.25B |
Total assets | -18.35%2.98B | -18.35%2.98B | -11.69%3.65B | -11.69%3.65B | 9.38%4.14B | 9.38%4.14B | -17.18%3.78B | -17.18%3.78B | 36.28%4.57B | 36.28%4.57B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | 3.16%271.3M | 3.16%271.3M | 17.57%263M | 17.57%263M | -0.31%223.7M | -0.31%223.7M | 29.04%224.4M | 29.04%224.4M | 28,883.33%173.9M | 28,883.33%173.9M |
-Current capital lease obligation | 3.16%271.3M | 3.16%271.3M | 17.57%263M | 17.57%263M | -0.31%223.7M | -0.31%223.7M | 29.04%224.4M | 29.04%224.4M | 28,883.33%173.9M | 28,883.33%173.9M |
Payables | -7.84%200.9M | -7.84%200.9M | 28.54%218M | 28.54%218M | -17.63%169.6M | -17.63%169.6M | -6.92%205.9M | -6.92%205.9M | -12.08%221.2M | -12.08%221.2M |
-accounts payable | -7.84%200.9M | -7.84%200.9M | 28.54%218M | 28.54%218M | -17.63%169.6M | -17.63%169.6M | 1.43%205.9M | 1.43%205.9M | -8.93%203M | -8.93%203M |
-Other payable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -36.59%18.2M | -36.59%18.2M |
Current provisions | -48.16%14.1M | -48.16%14.1M | -32.51%27.2M | -32.51%27.2M | 55.00%40.3M | 55.00%40.3M | -0.38%26M | -0.38%26M | 1.95%26.1M | 1.95%26.1M |
Pension and other retirement benefit plans | -4.30%113.5M | -4.30%113.5M | -11.95%118.6M | -11.95%118.6M | 4.18%134.7M | 4.18%134.7M | 26.39%129.3M | 26.39%129.3M | -2.85%102.3M | -2.85%102.3M |
Current deferred liabilities | ---- | ---- | -97.18%1.9M | -97.18%1.9M | 43.80%67.3M | 43.80%67.3M | 3,242.86%46.8M | 3,242.86%46.8M | -26.32%1.4M | -26.32%1.4M |
Other current liabilities | -44.44%500K | -44.44%500K | -84.21%900K | -84.21%900K | -89.10%5.7M | -89.10%5.7M | -88.32%52.3M | -88.32%52.3M | 6,391.30%447.9M | 6,391.30%447.9M |
Current liabilities | -4.65%600.3M | -4.65%600.3M | -1.82%629.6M | -1.82%629.6M | -6.34%641.3M | -6.34%641.3M | -29.62%684.7M | -29.62%684.7M | 148.23%972.8M | 148.23%972.8M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -11.74%1.33B | -11.74%1.33B | -3.36%1.5B | -3.36%1.5B | 28.40%1.56B | 28.40%1.56B | -23.04%1.21B | -23.04%1.21B | 97.42%1.57B | 97.42%1.57B |
-Long term debt | -25.14%420.8M | -25.14%420.8M | -7.26%562.1M | -7.26%562.1M | 134.83%606.1M | 134.83%606.1M | -68.14%258.1M | -68.14%258.1M | 1.63%810.1M | 1.63%810.1M |
-Long term capital lease obligation | -3.73%905.8M | -3.73%905.8M | -0.87%940.9M | -0.87%940.9M | -0.42%949.2M | -0.42%949.2M | 24.78%953.2M | 24.78%953.2M | 381,850.00%763.9M | 381,850.00%763.9M |
Long term accounts payable and other payables | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -6.69%33.5M | -6.69%33.5M |
Derivative product liabilities | ---- | ---- | ---- | ---- | ---- | ---- | -54.93%6.4M | -54.93%6.4M | --14.2M | --14.2M |
Long term provisions | 13.33%6.8M | 13.33%6.8M | -29.41%6M | -29.41%6M | -19.05%8.5M | -19.05%8.5M | -64.04%10.5M | -64.04%10.5M | -34.82%29.2M | -34.82%29.2M |
Employee benefits | 0.00%8.4M | 0.00%8.4M | -16.83%8.4M | -16.83%8.4M | -15.83%10.1M | -15.83%10.1M | 4.35%12M | 4.35%12M | 11.65%11.5M | 11.65%11.5M |
Total non current liabilities | -11.57%1.34B | -11.57%1.34B | -3.59%1.52B | -3.59%1.52B | 26.91%1.57B | 26.91%1.57B | -25.40%1.24B | -25.40%1.24B | 84.00%1.66B | 84.00%1.66B |
Total liabilities | -9.54%1.94B | -9.54%1.94B | -3.08%2.15B | -3.08%2.15B | 15.08%2.22B | 15.08%2.22B | -26.95%1.92B | -26.95%1.92B | 103.43%2.64B | 103.43%2.64B |
Shareholders'equity | ||||||||||
Share capital | 7.55%2.6B | 7.55%2.6B | -0.08%2.42B | -0.08%2.42B | -5.80%2.42B | -5.80%2.42B | -3.75%2.57B | -3.75%2.57B | 0.04%2.67B | 0.04%2.67B |
-common stock | 7.55%2.6B | 7.55%2.6B | -0.08%2.42B | -0.08%2.42B | -5.80%2.42B | -5.80%2.42B | -3.75%2.57B | -3.75%2.57B | 0.04%2.67B | 0.04%2.67B |
Retained earnings | -69.75%-1.57B | -69.75%-1.57B | -77.15%-923.3M | -77.15%-923.3M | 28.76%-521.2M | 28.76%-521.2M | 0.81%-731.6M | 0.81%-731.6M | -21.30%-737.6M | -21.30%-737.6M |
Gains losses not affecting retained earnings | -51.76%4.1M | -51.76%4.1M | -57.29%8.5M | -57.29%8.5M | 17.75%19.9M | 17.75%19.9M | 597.06%16.9M | 597.06%16.9M | 55.26%-3.4M | 55.26%-3.4M |
Total stockholders'equity | -30.91%1.04B | -30.91%1.04B | -21.62%1.51B | -21.62%1.51B | 3.46%1.92B | 3.46%1.92B | -3.83%1.86B | -3.83%1.86B | -6.04%1.93B | -6.04%1.93B |
Total equity | -30.91%1.04B | -30.91%1.04B | -21.62%1.51B | -21.62%1.51B | 3.46%1.92B | 3.46%1.92B | -3.83%1.86B | -3.83%1.86B | -6.04%1.93B | -6.04%1.93B |
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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