(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 | 1,423.12%7.56M | 1,423.12%7.56M | -59.42%496.07K | -59.42%496.07K | -52.88%1.22M | -52.88%1.22M | 132.13%2.59M | 132.13%2.59M | -13.96%1.12M | -13.96%1.12M |
-Cash and cash equivalents | 1,423.12%7.56M | 1,423.12%7.56M | -59.42%496.07K | -59.42%496.07K | -52.88%1.22M | -52.88%1.22M | 132.13%2.59M | 132.13%2.59M | -13.96%1.12M | -13.96%1.12M |
Receivables | 14,131.35%6.69M | 14,131.35%6.69M | 168.75%46.99K | 168.75%46.99K | -72.76%17.49K | -72.76%17.49K | 483.47%64.19K | 483.47%64.19K | 8.47%11K | 8.47%11K |
-Accounts receivable | --6.66M | --6.66M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Other receivables | -48.61%24.15K | -48.61%24.15K | 168.75%46.99K | 168.75%46.99K | -72.76%17.49K | -72.76%17.49K | 483.47%64.19K | 483.47%64.19K | 8.47%11K | 8.47%11K |
Prepaid assets | 23.54%20.11K | 23.54%20.11K | 25.22%16.27K | 25.22%16.27K | 24.28%13K | 24.28%13K | -64.61%10.46K | -64.61%10.46K | 125.30%29.55K | 125.30%29.55K |
Total current assets | 2,450.10%14.26M | 2,450.10%14.26M | -55.36%559.33K | -55.36%559.33K | -53.06%1.25M | -53.06%1.25M | 130.45%2.67M | 130.45%2.67M | -12.41%1.16M | -12.41%1.16M |
Non current assets | ||||||||||
Net PPE | -0.04%4.32M | -0.04%4.32M | 176.11%4.32M | 176.11%4.32M | 1.01%1.56M | 1.01%1.56M | 11,146.88%1.55M | 11,146.88%1.55M | -99.95%13.77K | -99.95%13.77K |
-Gross PPE | 0.08%4.36M | 0.08%4.36M | 173.25%4.35M | 173.25%4.35M | 1.41%1.59M | 1.41%1.59M | 98.52%1.57M | 98.52%1.57M | -97.39%791.59K | -97.39%791.59K |
-Accumulated depreciation | -15.75%-40.48K | -15.75%-40.48K | -19.99%-34.97K | -19.99%-34.97K | -28.10%-29.15K | -28.10%-29.15K | 97.07%-22.75K | 97.07%-22.75K | -0.68%-777.82K | -0.68%-777.82K |
Investments and advances | -66.23%186.8K | -66.23%186.8K | -90.67%553.15K | -90.67%553.15K | -70.42%5.93M | -70.42%5.93M | 11,544.19%20.05M | 11,544.19%20.05M | 316.46%172.15K | 316.46%172.15K |
-Financial asset investment | -68.16%166.47K | -68.16%166.47K | -91.13%522.82K | -91.13%522.82K | -70.52%5.9M | -70.52%5.9M | 15,223.35%20M | 15,223.35%20M | --130.54K | --130.54K |
-Including:Trading securities | -68.16%166.47K | -68.16%166.47K | -91.13%522.82K | -91.13%522.82K | -70.52%5.9M | -70.52%5.9M | 15,223.35%20M | 15,223.35%20M | --130.54K | --130.54K |
-Other investment | -32.97%20.33K | -32.97%20.33K | -5.50%30.33K | -5.50%30.33K | -23.75%32.1K | -23.75%32.1K | 1.18%42.1K | 1.18%42.1K | 0.66%41.61K | 0.66%41.61K |
Non current accounts receivable | --1.5M | --1.5M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total non current assets | 23.22%6M | 23.22%6M | -34.98%4.87M | -34.98%4.87M | -65.30%7.49M | -65.30%7.49M | 11,514.76%21.59M | 11,514.76%21.59M | -99.37%185.92K | -99.37%185.92K |
Total assets | 273.12%20.27M | 273.12%20.27M | -37.90%5.43M | -37.90%5.43M | -63.95%8.75M | -63.95%8.75M | 1,705.25%24.26M | 1,705.25%24.26M | -95.65%1.34M | -95.65%1.34M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 135.41%1.35M | 135.41%1.35M | 31.01%572.56K | 31.01%572.56K | 52.76%437.04K | 52.76%437.04K | -0.20%286.11K | -0.20%286.11K | 33.07%286.69K | 33.07%286.69K |
-accounts payable | 61.59%425.29K | 61.59%425.29K | 124.13%263.2K | 124.13%263.2K | 137.10%117.43K | 137.10%117.43K | -38.18%49.53K | -38.18%49.53K | -33.54%80.11K | -33.54%80.11K |
-Other payable | 198.22%922.6K | 198.22%922.6K | -3.20%309.37K | -3.20%309.37K | 35.10%319.61K | 35.10%319.61K | 14.52%236.58K | 14.52%236.58K | 117.68%206.58K | 117.68%206.58K |
Current liabilities | 135.41%1.35M | 135.41%1.35M | 31.01%572.56K | 31.01%572.56K | 52.76%437.04K | 52.76%437.04K | -0.20%286.11K | -0.20%286.11K | 33.07%286.69K | 33.07%286.69K |
Non current liabilities | ||||||||||
Employee benefits | 35.23%21.35K | 35.23%21.35K | --15.79K | --15.79K | ---- | ---- | ---- | ---- | ---- | ---- |
Total non current liabilities | 35.23%21.35K | 35.23%21.35K | --15.79K | --15.79K | --0 | --0 | --0 | --0 | --0 | --0 |
Total liabilities | 132.73%1.37M | 132.73%1.37M | 34.62%588.35K | 34.62%588.35K | 52.76%437.04K | 52.76%437.04K | -0.20%286.11K | -0.20%286.11K | -84.45%286.69K | -84.45%286.69K |
Shareholders'equity | ||||||||||
Share capital | 0.00%56.55M | 0.00%56.55M | 8.20%56.55M | 8.20%56.55M | 0.00%52.27M | 0.00%52.27M | 5.03%52.27M | 5.03%52.27M | 4.39%49.76M | 4.39%49.76M |
-common stock | 0.00%56.55M | 0.00%56.55M | 8.20%56.55M | 8.20%56.55M | 0.00%52.27M | 0.00%52.27M | 5.03%52.27M | 5.03%52.27M | 4.39%49.76M | 4.39%49.76M |
Retained earnings | 26.46%-38.85M | 26.46%-38.85M | -17.77%-52.82M | -17.77%-52.82M | -53.73%-44.85M | -53.73%-44.85M | 40.79%-29.18M | 40.79%-29.18M | -157.40%-49.28M | -157.40%-49.28M |
Gains losses not affecting retained earnings | 6.81%1.19M | 6.81%1.19M | 24.05%1.11M | 24.05%1.11M | 1.01%897.76K | 1.01%897.76K | 55.57%888.76K | 55.57%888.76K | 3.41%571.29K | 3.41%571.29K |
Total stockholders'equity | 290.17%18.9M | 290.17%18.9M | -41.71%4.84M | -41.71%4.84M | -65.34%8.31M | -65.34%8.31M | 2,167.67%23.98M | 2,167.67%23.98M | -96.36%1.06M | -96.36%1.06M |
Total equity | 290.17%18.9M | 290.17%18.9M | -41.71%4.84M | -41.71%4.84M | -65.34%8.31M | -65.34%8.31M | 2,167.67%23.98M | 2,167.67%23.98M | -96.36%1.06M | -96.36%1.06M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
No Data