(FY)Jun 30, 2024 | (FY)Jun 30, 2023 | (FY)Jun 30, 2022 | (FY)Jun 30, 2021 | (FY)Jun 30, 2020 | |
---|---|---|---|---|---|
Operating cash flow (direct method) | |||||
Cash income from operating activities | -9.04%109.17M | -5.78%120.01M | -0.23%127.38M | -14.93%127.67M | 150.08M |
Revenue from customers | -9.04%109.17M | -5.78%120.01M | 1.85%127.38M | -16.66%125.07M | --150.08M |
Income from government grants | ---- | --2K | ---- | --2.61M | ---- |
Cash paid | 10.35%-100.33M | 6.52%-111.92M | -0.98%-119.72M | 12.92%-118.55M | -136.15M |
Payments to suppliers for goods and services | 10.35%-100.33M | 6.52%-111.92M | -0.98%-119.72M | 12.92%-118.55M | ---136.15M |
Direct interest paid | 44.11%-166K | -59.68%-297K | 14.29%-186K | 59.67%-217K | ---538K |
Direct interest received | 1,480.00%79K | --5K | ---- | -95.24%1K | --21K |
Direct tax refund paid | 15.89%-6.11M | 11.94%-7.27M | -0.22%-8.25M | 6.71%-8.23M | ---8.83M |
Operating cash flow | 390.69%2.64M | 168.93%537K | -216.27%-779K | -85.37%670K | --4.58M |
Investing cash flow | |||||
Cash flow from continuing investing activities | 166.67%2K | 94.83%-3K | -1,350.00%-58K | 76.47%-4K | -17K |
Net PPE purchase and sale | 166.67%2K | 94.83%-3K | -1,350.00%-58K | 90.00%-4K | ---40K |
Net business purchase and sale | ---- | ---- | ---- | ---- | ---718K |
Net investment purchase and sale | ---- | ---- | ---- | ---- | --741K |
Cash from discontinued investing activities | |||||
Investing cash flow | 166.67%2K | 94.83%-3K | -1,350.00%-58K | 76.47%-4K | ---17K |
Financing cash flow | |||||
Cash flow from continuing financing activities | 283.38%1.24M | -159.17%-674K | 215.05%1.14M | 81.96%-990K | -5.49M |
Net issuance payments of debt | -542.95%-2.01M | -120.30%-312K | 480.45%1.54M | 91.24%-404K | ---4.61M |
Net common stock issuance | --3.56M | ---- | ---- | ---- | ---- |
Net other financing activities | 11.05%-322K | 9.05%-362K | 32.08%-398K | 33.18%-586K | ---877K |
Cash from discontinued financing activities | |||||
Financing cash flow | 283.38%1.24M | -159.17%-674K | 215.05%1.14M | 81.96%-990K | ---5.49M |
Net cash flow | |||||
Beginning cash position | -36.24%234K | 321.84%367K | -78.68%87K | -68.30%408K | --1.29M |
Current changes in cash | 2,866.43%3.87M | -146.36%-140K | 193.21%302K | 64.94%-324K | ---924K |
Effect of exchange rate changes | -185.71%-6K | 131.82%7K | -833.33%-22K | -93.33%3K | --45K |
End cash Position | 1,652.56%4.1M | -36.24%234K | 321.84%367K | -78.68%87K | --408K |
Free cash from | 393.45%2.64M | 163.80%534K | -225.68%-837K | -85.33%666K | --4.54M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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