(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 | 8.20%11.87M | 8.20%11.87M | -42.98%10.97M | -42.98%10.97M | 219.47%19.23M | 219.47%19.23M | 48.31%6.02M | 48.31%6.02M | 39.81%4.06M | 39.81%4.06M |
-Cash and cash equivalents | 8.20%11.87M | 8.20%11.87M | -42.98%10.97M | -42.98%10.97M | 219.47%19.23M | 219.47%19.23M | 48.31%6.02M | 48.31%6.02M | 39.81%4.06M | 39.81%4.06M |
Receivables | 54.87%2.57M | 54.87%2.57M | -9.91%1.66M | -9.91%1.66M | 206.19%1.84M | 206.19%1.84M | -12.78%601.25K | -12.78%601.25K | 13.66%689.32K | 13.66%689.32K |
-Accounts receivable | 644.19%84.31K | 644.19%84.31K | -62.64%11.33K | -62.64%11.33K | 136.92%30.33K | 136.92%30.33K | --12.8K | --12.8K | ---- | ---- |
-Other receivables | 50.81%2.48M | 50.81%2.48M | -9.03%1.65M | -9.03%1.65M | 207.70%1.81M | 207.70%1.81M | -14.63%588.45K | -14.63%588.45K | 13.82%689.32K | 13.82%689.32K |
Prepaid assets | -42.41%38.28K | -42.41%38.28K | -89.15%66.47K | -89.15%66.47K | 696.42%612.79K | 696.42%612.79K | -63.08%76.94K | -63.08%76.94K | 11.92%208.43K | 11.92%208.43K |
Other current assets | ---- | ---- | ---- | ---- | --533.02K | --533.02K | ---- | ---- | --256.92K | --256.92K |
Total current assets | 14.03%14.47M | 14.03%14.47M | -42.88%12.69M | -42.88%12.69M | 231.71%22.22M | 231.71%22.22M | 28.47%6.7M | 28.47%6.7M | 41.07%5.21M | 41.07%5.21M |
Non current assets | ||||||||||
Net PPE | -62.29%56.86K | -62.29%56.86K | -30.41%150.79K | -30.41%150.79K | -28.25%216.7K | -28.25%216.7K | 118.65%302K | 118.65%302K | 5,907.79%138.12K | 5,907.79%138.12K |
-Gross PPE | -57.78%310.54K | -57.78%310.54K | 4.15%735.47K | 4.15%735.47K | 0.56%706.18K | 0.56%706.18K | 61.42%702.27K | 61.42%702.27K | 127.02%435.07K | 127.02%435.07K |
-Accumulated depreciation | 56.61%-253.68K | 56.61%-253.68K | -19.45%-584.68K | -19.45%-584.68K | -22.29%-489.48K | -22.29%-489.48K | -34.79%-400.27K | -34.79%-400.27K | -56.83%-296.95K | -56.83%-296.95K |
Total non current assets | -62.29%56.86K | -62.29%56.86K | -30.41%150.79K | -30.41%150.79K | -28.25%216.7K | -28.25%216.7K | 118.65%302K | 118.65%302K | 5,907.79%138.12K | 5,907.79%138.12K |
Total assets | 13.14%14.53M | 13.14%14.53M | -42.76%12.84M | -42.76%12.84M | 220.50%22.44M | 220.50%22.44M | 30.80%7M | 30.80%7M | 44.71%5.35M | 44.71%5.35M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -57.62%39.87K | -57.62%39.87K | -0.01%94.08K | -0.01%94.08K | 18.44%94.09K | 18.44%94.09K | -29.43%79.44K | -29.43%79.44K | --112.58K | --112.58K |
-Current capital lease obligation | -57.62%39.87K | -57.62%39.87K | -0.01%94.08K | -0.01%94.08K | 18.44%94.09K | 18.44%94.09K | -29.43%79.44K | -29.43%79.44K | --112.58K | --112.58K |
Payables | 92.15%4.87M | 92.15%4.87M | 368.06%2.53M | 368.06%2.53M | 5.65%541.02K | 5.65%541.02K | 75.56%512.08K | 75.56%512.08K | -47.11%291.68K | -47.11%291.68K |
-accounts payable | 264.54%3.73M | 264.54%3.73M | 208.63%1.02M | 208.63%1.02M | 110.99%331.4K | 110.99%331.4K | 45.62%157.07K | 45.62%157.07K | -52.51%107.87K | -52.51%107.87K |
-Other payable | -24.66%1.14M | -24.66%1.14M | 620.11%1.51M | 620.11%1.51M | -40.95%209.62K | -40.95%209.62K | 93.14%355.01K | 93.14%355.01K | -43.33%183.81K | -43.33%183.81K |
Pension and other retirement benefit plans | 32.51%246.35K | 32.51%246.35K | -64.63%185.91K | -64.63%185.91K | 15.78%525.66K | 15.78%525.66K | 15.15%454.03K | 15.15%454.03K | 20.11%394.29K | 20.11%394.29K |
Current liabilities | 83.20%5.15M | 83.20%5.15M | 142.28%2.81M | 142.28%2.81M | 11.02%1.16M | 11.02%1.16M | 30.93%1.05M | 30.93%1.05M | -9.23%798.54K | -9.23%798.54K |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | ---- | ---- | -63.98%48.02K | -63.98%48.02K | -41.38%133.31K | -41.38%133.31K | 902.21%227.4K | 902.21%227.4K | --22.69K | --22.69K |
-Long term capital lease obligation | ---- | ---- | -63.98%48.02K | -63.98%48.02K | -41.38%133.31K | -41.38%133.31K | 902.21%227.4K | 902.21%227.4K | --22.69K | --22.69K |
Employee benefits | 115.40%15.2K | 115.40%15.2K | 521.85%7.06K | 521.85%7.06K | 870.09%1.14K | 870.09%1.14K | --117 | --117 | ---- | ---- |
Total non current liabilities | -72.40%15.2K | -72.40%15.2K | -59.03%55.08K | -59.03%55.08K | -40.91%134.45K | -40.91%134.45K | 902.73%227.52K | 902.73%227.52K | 149.78%22.69K | 149.78%22.69K |
Total liabilities | 80.21%5.17M | 80.21%5.17M | 121.38%2.87M | 121.38%2.87M | 1.74%1.3M | 1.74%1.3M | 55.02%1.27M | 55.02%1.27M | -7.61%821.23K | -7.61%821.23K |
Shareholders'equity | ||||||||||
Share capital | 11.30%109.37M | 11.30%109.37M | 0.13%98.26M | 0.13%98.26M | 27.39%98.13M | 27.39%98.13M | 11.40%77.03M | 11.40%77.03M | 8.15%69.15M | 8.15%69.15M |
-common stock | 11.30%109.37M | 11.30%109.37M | 0.13%98.26M | 0.13%98.26M | 27.39%98.13M | 27.39%98.13M | 11.40%77.03M | 11.40%77.03M | 8.15%69.15M | 8.15%69.15M |
Retained earnings | -10.23%-101.73M | -10.23%-101.73M | -14.06%-92.29M | -14.06%-92.29M | -7.74%-80.91M | -7.74%-80.91M | -12.02%-75.1M | -12.02%-75.1M | -9.67%-67.04M | -9.67%-67.04M |
Gains losses not affecting retained earnings | -56.97%1.72M | -56.97%1.72M | 2.20%4M | 2.20%4M | 3.28%3.92M | 3.28%3.92M | 56.66%3.79M | 56.66%3.79M | --2.42M | --2.42M |
Total stockholders'equity | -6.14%9.36M | -6.14%9.36M | -52.81%9.98M | -52.81%9.98M | 269.12%21.14M | 269.12%21.14M | 26.41%5.73M | 26.41%5.73M | 61.26%4.53M | 61.26%4.53M |
Total equity | -6.14%9.36M | -6.14%9.36M | -52.81%9.98M | -52.81%9.98M | 269.12%21.14M | 269.12%21.14M | 26.41%5.73M | 26.41%5.73M | 61.26%4.53M | 61.26%4.53M |
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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