(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 | |
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Operating cash flow (direct method) | ||||||||||
Cash income from operating activities | -1.20%2.91B | 0.34%2.95B | 17.81%2.94B | -10.29%2.49B | 13.30%2.78B | 73.02%2.45B | 3.04%1.42B | -8.57%1.38B | -16.49%1.51B | 10.51%1.8B |
Revenue from customers | -1.20%2.91B | 0.13%2.95B | 18.62%2.95B | -10.72%2.48B | 13.30%2.78B | 73.02%2.45B | 3.04%1.42B | -8.57%1.38B | -16.49%1.51B | 10.51%1.8B |
Other cash income from operating activities | ---- | ---- | -153.54%-6.32M | --11.81M | ---- | ---- | ---- | ---- | ---- | ---- |
Cash paid | -4.22%-2.51B | -5.36%-2.41B | -15.78%-2.29B | 13.80%-1.98B | -5.91%-2.29B | -76.70%-2.17B | 7.34%-1.23B | 5.90%-1.32B | 8.21%-1.41B | -12.83%-1.53B |
Payments to suppliers for goods and services | -4.22%-2.51B | -5.36%-2.41B | -15.78%-2.29B | 13.80%-1.98B | -5.91%-2.29B | -76.70%-2.17B | 7.34%-1.23B | 5.90%-1.32B | 8.21%-1.41B | -12.83%-1.53B |
Direct dividend received | -92.16%38K | 188.69%485K | 236.00%168K | -99.09%50K | 521.25%5.47M | -12.00%880K | -16.67%1M | -52.00%1.2M | -24.99%2.5M | 15.45%3.33M |
Direct interest paid | -35.60%-61.5M | -84.02%-45.35M | 14.17%-24.64M | -5.06%-28.71M | -75.14%-27.33M | -90.65%-15.61M | 29.95%-8.19M | 24.71%-11.68M | 31.35%-15.52M | 67.52%-22.61M |
Direct interest received | 14.50%7.09M | 491.13%6.2M | -31.05%1.05M | -6.11%1.52M | -76.57%1.62M | 258.54%6.91M | -20.50%1.93M | 36.41%2.42M | -53.69%1.78M | -15.71%3.84M |
Direct tax refund paid | 64.80%-51.28M | -5.50%-145.67M | -51.20%-138.07M | -3.15%-91.32M | -51.30%-88.53M | -123.38%-58.51M | 47.16%-26.19M | -30.26%-49.57M | -301.03%-38.05M | 58.16%-9.49M |
Operating cash flow | -16.59%293.42M | -27.80%351.78M | 22.37%487.23M | 5.50%398.16M | 70.33%377.41M | 37.55%221.57M | 3,948.23%161.09M | -108.33%-4.19M | -79.58%50.28M | 30.25%246.2M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -15.80%-135.95M | 60.51%-117.41M | -252.99%-297.33M | 69.59%-84.23M | -451.23%-277M | 122.47%78.86M | 10.82%35.45M | -91.37%31.99M | 561.45%370.65M | 79.17%-80.32M |
Net PPE purchase and sale | -113.78%-37.61M | -13.88%-17.59M | 63.77%-15.45M | 49.55%-42.63M | -5,227.61%-84.5M | -98.53%1.65M | 441.20%111.88M | 4.77%-32.79M | -27.62%-34.43M | 16.96%-26.98M |
Net intangibles purchas and sale | -28.66%-99.39M | -37.99%-77.25M | -9.50%-55.99M | 4.53%-51.13M | -48.86%-53.56M | -300.61%-35.98M | 1.06%-8.98M | 61.44%-9.08M | 26.95%-23.54M | -34.09%-32.23M |
Net business purchase and sale | -343.48%-204K | 99.98%-46K | -5,158.26%-226.1M | 103.36%4.47M | -210.36%-132.86M | 399.89%120.4M | -131.51%-40.15M | -103.35%-17.34M | 23,973.15%517.57M | 99.34%-2.17M |
Net investment purchase and sale | 0.00%1.25M | --1.25M | ---- | ---- | ---- | ---- | ---- | 239.41%124M | -369.38%-88.95M | ---18.95M |
Net other investing changes | ---- | -11,581.16%-23.77M | -95.91%207K | 183.35%5.06M | 15.67%-6.07M | 73.63%-7.2M | 16.77%-27.3M | ---32.8M | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -15.80%-135.95M | 60.51%-117.41M | -252.99%-297.33M | 69.59%-84.23M | -451.23%-277M | 122.47%78.86M | 10.82%35.45M | -91.37%31.99M | 561.45%370.65M | 79.17%-80.32M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 31.28%-184.28M | -28.70%-268.16M | 36.74%-208.36M | -94.75%-329.4M | -109.62%-169.14M | 64.43%-80.69M | -5,623.06%-226.86M | 99.29%-3.96M | -171.17%-557.96M | -962.37%-205.76M |
Net issuance payments of debt | -46.42%88.95M | 212.60%166M | 132.18%53.1M | -335.88%-165.04M | 12.11%69.97M | 146.19%62.41M | -293.20%-135.13M | 119.56%69.94M | -577.40%-357.52M | 76.40%-52.78M |
Net common stock issuance | 56.20%-67.45M | -971.65%-154.01M | --17.67M | ---- | ---- | -0.99%-4.71M | ---4.66M | ---- | 33.88%-49.03M | -129.97%-74.16M |
Cash dividends paid | 30.85%-165.47M | -3.23%-239.3M | -89.92%-231.8M | 36.07%-122.05M | -37.96%-190.92M | -58.93%-138.39M | -17.82%-87.08M | 35.57%-73.9M | -45.51%-114.7M | ---78.82M |
Net other financing activities | 1.33%-40.31M | 13.69%-40.85M | -11.89%-47.33M | 12.21%-42.3M | ---48.19M | ---- | ---- | ---- | ---36.7M | ---- |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 31.28%-184.28M | -28.70%-268.16M | 36.74%-208.36M | -94.75%-329.4M | -109.62%-169.14M | 64.43%-80.69M | -5,623.06%-226.86M | 99.29%-3.96M | -171.17%-557.96M | -962.37%-205.76M |
Net cash flow | ||||||||||
Beginning cash position | -22.02%119.68M | -10.74%153.46M | -8.25%171.93M | -26.83%187.39M | 604.11%256.12M | -45.46%36.38M | 55.62%66.7M | -76.17%42.86M | -18.15%179.89M | -44.00%219.77M |
Current changes in cash | 20.63%-26.82M | -83.00%-33.79M | -19.37%-18.46M | 77.50%-15.47M | -131.28%-68.73M | 824.64%219.75M | -227.20%-30.33M | 117.40%23.84M | -243.59%-137.03M | 76.91%-39.88M |
End cash Position | -22.41%92.86M | -22.02%119.68M | -10.74%153.46M | -8.25%171.93M | -26.83%187.39M | 604.11%256.12M | -45.46%36.38M | 55.62%66.7M | -76.17%42.86M | -18.15%179.89M |
Free cash from | -38.40%156.42M | -38.43%253.94M | 35.50%412.46M | 27.61%304.4M | 49.96%238.54M | 22.89%159.07M | 380.57%129.44M | -499.69%-46.13M | -104.11%-7.69M | 41.21%186.97M |
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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