(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 | -36.68%530.4M | -36.68%530.4M | 69.59%837.6M | 69.59%837.6M | -22.76%493.9M | -22.76%493.9M | 3.46%639.46M | 3.46%639.46M | 64.49%618.07M | 64.49%618.07M |
-Cash and cash equivalents | -39.63%468M | -39.63%468M | 111.17%775.2M | 111.17%775.2M | -30.54%367.1M | -30.54%367.1M | 3.57%528.51M | 3.57%528.51M | 46.55%510.31M | 46.55%510.31M |
-Short term investments | 0.00%62.4M | 0.00%62.4M | -50.79%62.4M | -50.79%62.4M | 14.29%126.8M | 14.29%126.8M | 2.96%110.94M | 2.96%110.94M | 291.41%107.76M | 291.41%107.76M |
Receivables | -39.27%50.1M | -39.27%50.1M | -27.12%82.5M | -27.12%82.5M | 42.62%113.2M | 42.62%113.2M | 20.43%79.37M | 20.43%79.37M | 44.57%65.91M | 44.57%65.91M |
-Accounts receivable | -45.14%40.1M | -45.14%40.1M | -23.13%73.1M | -23.13%73.1M | 21.13%95.1M | 21.13%95.1M | 68.50%78.51M | 68.50%78.51M | 89.66%46.6M | 89.66%46.6M |
-Other receivables | 6.38%10M | 6.38%10M | -48.07%9.4M | -48.07%9.4M | 2,007.10%18.1M | 2,007.10%18.1M | -95.55%859K | -95.55%859K | -8.13%19.31M | -8.13%19.31M |
Inventory | -11.89%120M | -11.89%120M | 65.09%136.2M | 65.09%136.2M | 142.55%82.5M | 142.55%82.5M | -55.05%34.01M | -55.05%34.01M | 7.68%75.67M | 7.68%75.67M |
Prepaid assets | 2.78%7.4M | 2.78%7.4M | 9.09%7.2M | 9.09%7.2M | 119.78%6.6M | 119.78%6.6M | -4.94%3M | -4.94%3M | 46.18%3.16M | 46.18%3.16M |
Current deferred assets | -53.43%34.6M | -53.43%34.6M | --74.3M | --74.3M | ---- | ---- | ---- | ---- | ---- | ---- |
Hedging assets-current | 1,108.33%14.5M | 1,108.33%14.5M | -97.55%1.2M | -97.55%1.2M | 1,681.17%49M | 1,681.17%49M | 4,198.44%2.75M | 4,198.44%2.75M | -86.78%64K | -86.78%64K |
Other current assets | --2.3M | --2.3M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total current assets | -33.34%759.3M | -33.34%759.3M | 52.84%1.14B | 52.84%1.14B | -1.77%745.2M | -1.77%745.2M | -0.56%758.6M | -0.56%758.6M | 54.35%762.87M | 54.35%762.87M |
Non current assets | ||||||||||
Net PPE | -44.16%602.4M | -44.16%602.4M | -45.97%1.08B | -45.97%1.08B | 107.22%2B | 107.22%2B | -28.22%963.48M | -28.22%963.48M | -7.32%1.34B | -7.32%1.34B |
-Gross PPE | -0.93%2.31B | -0.93%2.31B | -17.87%2.33B | -17.87%2.33B | 73.75%2.84B | 73.75%2.84B | -26.77%1.63B | -26.77%1.63B | 6.23%2.23B | 6.23%2.23B |
-Accumulated depreciation | -36.36%-1.71B | -36.36%-1.71B | -48.94%-1.25B | -48.94%-1.25B | -25.53%-839.6M | -25.53%-839.6M | 24.58%-668.85M | 24.58%-668.85M | -36.39%-886.78M | -36.39%-886.78M |
Investments and advances | -9.99%2.2B | -9.99%2.2B | 17.85%2.45B | 17.85%2.45B | 11.86%2.08B | 11.86%2.08B | --1.86B | --1.86B | ---- | ---- |
-Long term equity investment | -8.58%2.2B | -8.58%2.2B | 20.79%2.41B | 20.79%2.41B | 7.47%1.99B | 7.47%1.99B | --1.86B | --1.86B | ---- | ---- |
-Financial asset investment | ---- | ---- | -53.92%37.6M | -53.92%37.6M | --81.6M | --81.6M | ---- | ---- | ---- | ---- |
-Including:Trading securities | ---- | ---- | -53.92%37.6M | -53.92%37.6M | --81.6M | --81.6M | ---- | ---- | ---- | ---- |
Financial assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --284K | --284K |
Non current accounts receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -99.97%4K | -99.97%4K |
Non current deferred assets | ---- | ---- | 161.28%69.5M | 161.28%69.5M | -13.41%26.6M | -13.41%26.6M | -74.34%30.72M | -74.34%30.72M | -33.57%119.73M | -33.57%119.73M |
Other non current assets | -28.21%2.8M | -28.21%2.8M | 387.50%3.9M | 387.50%3.9M | --800K | --800K | ---- | ---- | 29.12%67.91M | 29.12%67.91M |
Total non current assets | -21.99%2.81B | -21.99%2.81B | -12.22%3.6B | -12.22%3.6B | 43.85%4.1B | 43.85%4.1B | 86.26%2.85B | 86.26%2.85B | -9.78%1.53B | -9.78%1.53B |
Total assets | -24.72%3.57B | -24.72%3.57B | -2.21%4.74B | -2.21%4.74B | 34.26%4.85B | 34.26%4.85B | 57.38%3.61B | 57.38%3.61B | 4.69%2.29B | 4.69%2.29B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -89.16%22.5M | -89.16%22.5M | 5.54%207.5M | 5.54%207.5M | 4,346.96%196.6M | 4,346.96%196.6M | -93.00%4.42M | -93.00%4.42M | 12.35%63.17M | 12.35%63.17M |
-Current debt | ---- | ---- | 1.08%178.4M | 1.08%178.4M | --176.5M | --176.5M | ---- | ---- | 1.26%56.94M | 1.26%56.94M |
-Current capital lease obligation | -22.68%22.5M | -22.68%22.5M | 44.78%29.1M | 44.78%29.1M | 354.65%20.1M | 354.65%20.1M | -29.09%4.42M | -29.09%4.42M | --6.24M | --6.24M |
Payables | -57.28%68.7M | -57.28%68.7M | 7.77%160.8M | 7.77%160.8M | 215.53%149.2M | 215.53%149.2M | -10.80%47.29M | -10.80%47.29M | 6.23%53.01M | 6.23%53.01M |
-accounts payable | -57.28%68.7M | -57.28%68.7M | 7.77%160.8M | 7.77%160.8M | 215.53%149.2M | 215.53%149.2M | -10.80%47.29M | -10.80%47.29M | 1,775.24%53.01M | 1,775.24%53.01M |
Current provisions | -30.24%14.3M | -30.24%14.3M | --20.5M | --20.5M | ---- | ---- | ---- | ---- | ---- | ---- |
Pension and other retirement benefit plans | 14.15%24.2M | 14.15%24.2M | 23.26%21.2M | 23.26%21.2M | 97.23%17.2M | 97.23%17.2M | 23.56%8.72M | 23.56%8.72M | 36.25%7.06M | 36.25%7.06M |
Current deferred liabilities | ---- | ---- | ---- | ---- | -55.22%77M | -55.22%77M | --171.95M | --171.95M | ---- | ---- |
Current liabilities | -68.37%129.7M | -68.37%129.7M | -6.82%410M | -6.82%410M | 89.35%440M | 89.35%440M | 88.55%232.38M | 88.55%232.38M | 10.72%123.24M | 10.72%123.24M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | -88.33%26.2M | -88.33%26.2M | -70.09%224.6M | -70.09%224.6M | 3,539.89%750.8M | 3,539.89%750.8M | -38.52%20.63M | -38.52%20.63M | 18.29%33.55M | 18.29%33.55M |
-Long term debt | ---- | ---- | -74.84%179.5M | -74.84%179.5M | --713.5M | --713.5M | ---- | ---- | ---- | ---- |
-Long term capital lease obligation | -41.91%26.2M | -41.91%26.2M | 20.91%45.1M | 20.91%45.1M | 80.83%37.3M | 80.83%37.3M | -38.52%20.63M | -38.52%20.63M | --33.55M | --33.55M |
Long term provisions | 15.65%102M | 15.65%102M | 12.50%88.2M | 12.50%88.2M | 75.85%78.4M | 75.85%78.4M | -33.06%44.58M | -33.06%44.58M | 6.66%66.6M | 6.66%66.6M |
Employee benefits | -12.96%4.7M | -12.96%4.7M | 42.11%5.4M | 42.11%5.4M | 40.32%3.8M | 40.32%3.8M | 32.62%2.71M | 32.62%2.71M | 72.32%2.04M | 72.32%2.04M |
Non current deferred liabilities | -56.77%94.9M | -56.77%94.9M | 60.22%219.5M | 60.22%219.5M | 26.20%137M | 26.20%137M | -23.44%108.56M | -23.44%108.56M | 2.81%141.79M | 2.81%141.79M |
Total non current liabilities | -57.63%227.8M | -57.63%227.8M | -44.57%537.7M | -44.57%537.7M | 449.65%970M | 449.65%970M | -27.67%176.48M | -27.67%176.48M | 6.12%243.98M | 6.12%243.98M |
Total liabilities | -62.28%357.5M | -62.28%357.5M | -32.79%947.7M | -32.79%947.7M | 244.87%1.41B | 244.87%1.41B | 11.34%408.86M | 11.34%408.86M | 7.62%367.22M | 7.62%367.22M |
Shareholders'equity | ||||||||||
Share capital | -0.32%2.62B | -0.32%2.62B | -0.39%2.63B | -0.39%2.63B | -0.26%2.64B | -0.26%2.64B | 39.61%2.65B | 39.61%2.65B | 0.07%1.9B | 0.07%1.9B |
-common stock | -0.32%2.62B | -0.32%2.62B | -0.39%2.63B | -0.39%2.63B | -0.26%2.64B | -0.26%2.64B | 39.61%2.65B | 39.61%2.65B | 0.07%1.9B | 0.07%1.9B |
Retained earnings | -99.14%5.1M | -99.14%5.1M | 1,198.91%594.9M | 1,198.91%594.9M | 0.09%45.8M | 0.09%45.8M | 366.50%45.76M | 366.50%45.76M | 115.68%9.81M | 115.68%9.81M |
Gains losses not affecting retained earnings | 3.05%581M | 3.05%581M | -24.59%563.8M | -24.59%563.8M | 47.88%747.6M | 47.88%747.6M | 2,578.52%505.54M | 2,578.52%505.54M | 19.63%18.87M | 19.63%18.87M |
Total stockholders'equity | -15.33%3.21B | -15.33%3.21B | 10.33%3.79B | 10.33%3.79B | 7.35%3.44B | 7.35%3.44B | 66.16%3.2B | 66.16%3.2B | 4.15%1.93B | 4.15%1.93B |
Total equity | -15.33%3.21B | -15.33%3.21B | 10.33%3.79B | 10.33%3.79B | 7.35%3.44B | 7.35%3.44B | 66.16%3.2B | 66.16%3.2B | 4.15%1.93B | 4.15%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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