(FY)Jun 30, 2024 | (FY)Jun 30, 2023 | (FY)Jun 30, 2022 | (FY)Jun 30, 2021 | (FY)Jun 30, 2020 | (FY)Jun 30, 2019 | (FY)Jun 30, 2018 | (FY)Jun 30, 2017 | (FY)Jun 30, 2016 | (FY)Jun 30, 2015 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating cash flow (direct method) | ||||||||||
Cash income from operating activities | -46.68%425.77M | 2.29%798.53M | 70.56%780.64M | 53.00%457.69M | -16.58%299.15M | -4.44%358.59M | 47.21%375.27M | 28.65%254.92M | 30.55%198.15M | 115.56%151.78M |
Revenue from customers | -43.86%460.84M | -4.00%820.84M | 83.71%855.01M | 44.62%465.42M | -12.44%321.82M | -4.07%367.54M | 47.12%383.14M | 28.52%260.43M | 30.48%202.64M | 165.03%155.3M |
Other cash income from operating activities | -57.26%-35.08M | 70.01%-22.3M | -861.49%-74.37M | 65.87%-7.74M | -153.26%-22.66M | -13.74%-8.95M | -42.92%-7.87M | -22.63%-5.51M | -27.38%-4.49M | -129.83%-3.52M |
Cash paid | 14.39%-340.04M | -24.16%-397.17M | -31.99%-319.89M | 9.17%-242.35M | -4.96%-266.81M | 0.96%-254.2M | -16.23%-256.66M | -13.87%-220.81M | -5.59%-193.92M | -5.87%-183.66M |
Payments to suppliers for goods and services | 14.39%-340.04M | -24.16%-397.17M | -31.99%-319.89M | 9.17%-242.35M | -4.96%-266.81M | 0.96%-254.2M | -16.23%-256.66M | -13.87%-220.81M | -5.59%-193.92M | -5.87%-183.66M |
Direct tax refund paid | -247.51%-50.77M | -2,042.08%-14.61M | -148.91%-682K | -3.01%-274K | 5.00%-266K | -112.12%-280K | -14.78%-132K | -41.98%-115K | -35.00%-81K | 55.56%-60K |
Operating cash flow | -90.96%34.96M | -15.94%386.75M | 113.92%460.07M | 570.59%215.07M | -69.20%32.07M | -12.13%104.11M | 248.54%118.48M | 719.70%33.99M | 112.98%4.15M | 69.05%-31.95M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 8.53%-507.22M | -563.27%-554.5M | 39.53%-83.6M | -535.20%-138.26M | 46.43%-21.77M | 25.68%-40.63M | -690.79%-54.67M | 32.72%-6.91M | -6.61%-10.28M | -12.15%-9.64M |
Net PPE purchase and sale | 2.72%-579.34M | -219.65%-595.52M | -360.64%-186.3M | -234.55%-40.44M | 62.55%-12.09M | -33.27%-32.28M | -964.15%-24.22M | 78.66%-2.28M | -6.49%-10.67M | 41.54%-10.02M |
Net intangibles purchas and sale | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -91.29%33K | -93.51%379K |
Net investment purchase and sale | 89.48%-602K | -106.22%-5.72M | 191.64%91.93M | -303,896.97%-100.32M | 47.62%-33K | 95.18%-63K | 71.79%-1.31M | ---4.64M | ---- | ---- |
Interest received (cash flow from investment activities) | 28.03%40.15M | 695.28%31.36M | 57.41%3.94M | -13.20%2.51M | 44.16%2.89M | --2M | ---- | ---- | ---- | ---- |
Net other investing changes | 111.83%32.58M | 125.29%15.38M | --6.83M | ---- | -21.76%-12.53M | 64.68%-10.29M | ---29.14M | ---- | --359K | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 8.53%-507.22M | -563.27%-554.5M | 39.53%-83.6M | -535.20%-138.26M | 46.43%-21.77M | 25.68%-40.63M | -690.79%-54.67M | 32.72%-6.91M | -6.61%-10.28M | -12.15%-9.64M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -111.33%-22.54M | 1,540.79%199M | -103.41%-13.81M | 20,220.19%405.59M | 111.87%2M | 80.36%-16.81M | -2,783.90%-85.62M | -11.70%-2.97M | -105.13%-2.66M | 531.13%51.85M |
Net issuance payments of debt | -75.11%-10.43M | -5.10%-5.96M | ---5.67M | ---- | ---- | 89.36%-6.97M | -1,559.29%-65.54M | -42.75%-3.95M | 75.67%-2.77M | -0.90%-11.37M |
Net common stock issuance | ---- | --214.35M | ---- | 3,459.22%413.87M | --11.63M | ---- | 9.64%6.51M | 5,717.65%5.93M | -99.87%102K | 94.84%77.92M |
Interest paid (cash flow from financing activities) | -2.11%-6.38M | 4.76%-6.24M | -1.94%-6.56M | 8.52%-6.43M | 28.56%-7.03M | 64.49%-9.84M | -440.13%-27.71M | -73,400.00%-5.13M | 100.05%7K | 34.37%-15.07M |
Net other financing activities | -81.97%-5.73M | -98.18%-3.15M | 13.77%-1.59M | 29.13%-1.84M | ---2.6M | ---- | 533.15%1.13M | --178K | ---- | -84.57%379K |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -111.33%-22.54M | 1,540.79%199M | -103.41%-13.81M | 20,220.19%405.59M | 111.87%2M | 80.36%-16.81M | -2,783.90%-85.62M | -11.70%-2.97M | -105.13%-2.66M | 531.13%51.85M |
Net cash flow | ||||||||||
Beginning cash position | 4.73%1.01B | 66.24%965.58M | 470.94%580.83M | 13.40%101.73M | 112.12%89.71M | -33.84%42.29M | 47.47%63.93M | -16.60%43.35M | 36.25%51.97M | -73.02%38.14M |
Current changes in cash | -1,683.13%-494.79M | -91.38%31.25M | -24.82%362.66M | 3,821.62%482.4M | -73.64%12.3M | 313.98%46.67M | -190.46%-21.81M | 374.43%24.11M | -185.56%-8.79M | 109.91%10.27M |
Effect of exchange rate changes | -48.39%7.42M | -34.95%14.37M | 769.23%22.1M | -1,079.29%-3.3M | -137.38%-280K | 323.16%749K | 105.01%177K | -2,295.03%-3.53M | -95.48%161K | 891.64%3.56M |
End cash Position | -48.20%523.84M | 4.73%1.01B | 66.24%965.58M | 470.94%580.83M | 13.40%101.73M | 112.12%89.71M | -33.84%42.29M | 47.47%63.93M | -16.60%43.35M | 36.25%51.97M |
Free cash from | -160.76%-544.38M | -176.25%-208.76M | 56.78%273.77M | 773.89%174.62M | -72.18%19.98M | -23.79%71.83M | 197.19%94.26M | 586.46%31.72M | 84.47%-6.52M | 67.06%-41.97M |
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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