(FY)Jun 30, 2024 | (Q4)Jun 30, 2024 | (FY)Jun 30, 2023 | (Q4)Jun 30, 2023 | (FY)Jun 30, 2022 | (Q4)Jun 30, 2022 | |
---|---|---|---|---|---|---|
Assets | ||||||
Current assets | ||||||
Cash, cash equivalents and short term investments | -34.81%20.89M | -34.81%20.89M | 4.78%32.04M | 4.78%32.04M | --30.58M | --30.58M |
-Cash and cash equivalents | -34.81%20.89M | -34.81%20.89M | 4.78%32.04M | 4.78%32.04M | --30.58M | --30.58M |
-Accounts receivable | 157.18%1.55M | 157.18%1.55M | 2.25%602.31K | 2.25%602.31K | --589.08K | --589.08K |
-Notes receivable | 32.73%225.65K | 32.73%225.65K | 70.87%170K | 70.87%170K | --99.5K | --99.5K |
-Other receivables | 8.83%2.18M | 8.83%2.18M | -3.01%2M | -3.01%2M | --2.07M | --2.07M |
Total current assets | -22.34%32.25M | -22.34%32.25M | 15.94%41.53M | 15.94%41.53M | --35.82M | --35.82M |
Non current assets | ||||||
-Accumulated depreciation | -36.34%-5.81M | -36.34%-5.81M | -31.90%-4.26M | -31.90%-4.26M | ---3.23M | ---3.23M |
-Long term equity investment | 59.39%373.08K | 59.39%373.08K | -51.62%234.06K | -51.62%234.06K | --483.77K | --483.77K |
-Goodwill | 668.50%21.88M | 668.50%21.88M | 233.41%2.85M | 233.41%2.85M | --853.93K | --853.93K |
Regulatory assets | 11.97%8.1M | 11.97%8.1M | 111.43%7.24M | 111.43%7.24M | --3.42M | --3.42M |
Liabilities | ||||||
Current liabilities | ||||||
Current debt and capital lease obligation | 34.00%1.21M | 34.00%1.21M | 7.17%901.73K | 7.17%901.73K | --841.36K | --841.36K |
-Current debt | 10.22%395.39K | 10.22%395.39K | -1.47%358.73K | -1.47%358.73K | --364.06K | --364.06K |
-Current capital lease obligation | 49.71%812.93K | 49.71%812.93K | 13.77%543K | 13.77%543K | --477.3K | --477.3K |
-accounts payable | 24.00%3.7M | 24.00%3.7M | 266.66%2.98M | 266.66%2.98M | --813.19K | --813.19K |
-Total tax payable | 703.48%4.46M | 703.48%4.46M | -18.25%554.76K | -18.25%554.76K | --678.6K | --678.6K |
Current deferred liabilities | 8.62%5.89K | 8.62%5.89K | --5.42K | --5.42K | ---- | ---- |
Current liabilities | 58.05%12.37M | 58.05%12.37M | 48.63%7.82M | 48.63%7.82M | --5.26M | --5.26M |
Non current liabilities | ||||||
-Long term debt | 59.39%373.08K | 59.39%373.08K | -51.62%234.06K | -51.62%234.06K | --483.77K | --483.77K |
Non current accrued expenses | 51.52%3.91M | 51.52%3.91M | -8.10%2.58M | -8.10%2.58M | --2.81M | --2.81M |
Employee benefits | 32.73%225.65K | 32.73%225.65K | 70.87%170K | 70.87%170K | --99.5K | --99.5K |
Regulatory liabilities | ---17.93K | ---17.93K | ---- | ---- | ---- | ---- |
Preferred securities outside stock equity | 10.06%641.17K | 10.06%641.17K | 19.76%582.59K | 19.76%582.59K | --486.47K | --486.47K |
Total non current liabilities | 100.79%16.82M | 100.79%16.82M | 40.99%8.38M | 40.99%8.38M | --5.94M | --5.94M |
Shareholders'equity | ||||||
Share capital | 28.00%102.88M | 28.00%102.88M | 27.81%80.37M | 27.81%80.37M | --62.88M | --62.88M |
-common stock | 28.00%102.88M | 28.00%102.88M | 27.81%80.37M | 27.81%80.37M | --62.88M | --62.88M |
Gains losses not affecting retained earnings | 3.51%2.16M | 3.51%2.16M | 12.29%2.08M | 12.29%2.08M | --1.85M | --1.85M |
Other equity interest | 3.40%211.39K | 3.40%211.39K | 0.00%204.44K | 0.00%204.44K | --204.44K | --204.44K |
Total equity | 23.61%58.04M | 23.61%58.04M | 18.93%46.95M | 18.93%46.95M | --39.48M | --39.48M |
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