(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 | (FY)Jun 30, 2020 | |
---|---|---|---|---|---|---|---|---|
Assets | ||||||||
Current assets | ||||||||
Cash, cash equivalents and short term investments | 411.84%179.29M | 411.84%179.29M | -13.72%35.03M | -13.72%35.03M | 74.66%40.6M | --40.6M | 21.25%23.24M | --19.17M |
-Cash and cash equivalents | 61.77%56.66M | 61.77%56.66M | -13.72%35.03M | -13.72%35.03M | 74.66%40.6M | --40.6M | 21.25%23.24M | --19.17M |
-Short term investments | --122.62M | --122.62M | ---- | ---- | ---- | ---- | ---- | ---- |
Receivables | -11.62%186.29M | -11.62%186.29M | 3.30%210.78M | 3.30%210.78M | 40.66%204.04M | --204.04M | 14.62%145.07M | --126.56M |
-Accounts receivable | -11.81%186.52M | -11.81%186.52M | 3.47%211.5M | 3.47%211.5M | 40.59%204.4M | --204.4M | 14.64%145.39M | --126.82M |
-Recievables adjustments allowances | 67.97%-230K | 67.97%-230K | -102.82%-718K | -102.82%-718K | -9.60%-354K | ---354K | -25.59%-323K | ---257.19K |
Inventory | -0.01%279.97M | -0.01%279.97M | -17.25%279.99M | -17.25%279.99M | 65.26%338.35M | --338.35M | 7.48%204.73M | --190.48M |
Prepaid assets | 82.81%7.65M | 82.81%7.65M | 55.52%4.18M | 55.52%4.18M | 66.50%2.69M | --2.69M | 17.18%1.62M | --1.38M |
Hedging assets-current | -77.90%559K | -77.90%559K | -61.96%2.53M | -61.96%2.53M | 154.81%6.65M | --6.65M | --2.61M | ---- |
Total current assets | 22.77%653.75M | 22.77%653.75M | -10.10%532.51M | -10.10%532.51M | 57.00%592.33M | --592.33M | 11.75%377.27M | --337.6M |
Non current assets | ||||||||
Net PPE | -5.41%41.98M | -5.41%41.98M | -4.39%44.38M | -4.39%44.38M | -6.39%46.42M | --46.42M | -5.35%49.59M | --52.39M |
-Gross PPE | 6.71%86.21M | 6.71%86.21M | 5.76%80.79M | 5.76%80.79M | 4.24%76.39M | --76.39M | 12.65%73.29M | --65.06M |
-Accumulated depreciation | -21.49%-44.23M | -21.49%-44.23M | -21.49%-36.41M | -21.49%-36.41M | -26.46%-29.97M | ---29.97M | -87.05%-23.7M | ---12.67M |
Goodwill and other intangible assets | --558K | --558K | ---- | ---- | ---- | ---- | ---- | ---- |
-Goodwill | --558K | --558K | ---- | ---- | ---- | ---- | ---- | ---- |
Non current deferred assets | 105.43%6.09M | 105.43%6.09M | 267.53%2.97M | 267.53%2.97M | -56.78%807K | --807K | -57.63%1.87M | --4.41M |
Other non current assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --1 |
Total non current assets | 2.71%48.63M | 2.71%48.63M | 0.25%47.35M | 0.25%47.35M | -8.21%47.23M | --47.23M | -9.40%51.46M | --56.8M |
Total assets | 21.13%702.38M | 21.13%702.38M | -9.33%579.86M | -9.33%579.86M | 49.18%639.56M | --639.56M | 8.70%428.72M | --394.39M |
Liabilities | ||||||||
Current liabilities | ||||||||
Current debt and capital lease obligation | -62.29%19.93M | -62.29%19.93M | -53.63%52.84M | -53.63%52.84M | 167.12%113.96M | --113.96M | -66.90%42.66M | --128.88M |
-Current debt | -71.12%13.6M | -71.12%13.6M | -56.72%47.07M | -56.72%47.07M | 186.07%108.76M | --108.76M | -69.48%38.02M | --124.59M |
-Current capital lease obligation | 9.76%6.33M | 9.76%6.33M | 10.92%5.77M | 10.92%5.77M | 12.00%5.2M | --5.2M | 8.26%4.64M | --4.29M |
Payables | -2.38%103.64M | -2.38%103.64M | -13.71%106.17M | -13.71%106.17M | 51.34%123.04M | --123.04M | 17.51%81.3M | --69.18M |
-accounts payable | -1.37%96.4M | -1.37%96.4M | -15.44%97.74M | -15.44%97.74M | 54.77%115.59M | --115.59M | 16.49%74.68M | --64.11M |
-Other payable | -14.12%7.24M | -14.12%7.24M | 13.14%8.43M | 13.14%8.43M | 12.56%7.45M | --7.45M | 30.41%6.62M | --5.07M |
Current provisions | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --5.32M |
Pension and other retirement benefit plans | 6.77%9.41M | 6.77%9.41M | 9.24%8.82M | 9.24%8.82M | 12.69%8.07M | --8.07M | 7.90%7.16M | --6.64M |
Current deferred liabilities | -4.26%10.1M | -4.26%10.1M | -8.95%10.55M | -8.95%10.55M | 316.80%11.59M | --11.59M | 1,012.32%2.78M | --249.93K |
Current liabilities | -19.79%143.08M | -19.79%143.08M | -30.50%178.38M | -30.50%178.38M | 91.67%256.66M | --256.66M | -36.32%133.9M | --210.27M |
Non current liabilities | ||||||||
Long term debt and capital lease obligation | -83.57%27.12M | -83.57%27.12M | 11.61%165.02M | 11.61%165.02M | 32.47%147.86M | --147.86M | 176.96%111.62M | --40.3M |
-Long term debt | ---- | ---- | 18.03%133.65M | 18.03%133.65M | 52.91%113.23M | --113.23M | --74.05M | ---- |
-Long term capital lease obligation | -13.58%27.12M | -13.58%27.12M | -9.39%31.38M | -9.39%31.38M | -7.82%34.63M | --34.63M | -6.78%37.57M | --40.3M |
Employee benefits | -38.99%914K | -38.99%914K | 22.49%1.5M | 22.49%1.5M | 13.56%1.22M | --1.22M | 10.29%1.08M | --976.51K |
Total non current liabilities | -83.17%28.03M | -83.17%28.03M | 11.70%166.52M | 11.70%166.52M | 32.29%149.08M | --149.08M | 173.02%112.69M | --41.28M |
Total liabilities | -50.39%171.11M | -50.39%171.11M | -14.99%344.9M | -14.99%344.9M | 64.53%405.74M | --405.74M | -1.97%246.6M | --251.54M |
Shareholders'equity | ||||||||
Share capital | 10,199.44%239.57M | 10,199.44%239.57M | 0.00%2.33M | 0.00%2.33M | 0.00%2.33M | --2.33M | 0.00%2.33M | --2.33M |
-common stock | 10,199.44%239.57M | 10,199.44%239.57M | 0.00%2.33M | 0.00%2.33M | 0.00%2.33M | --2.33M | 0.00%2.33M | --2.33M |
Retained earnings | 25.77%286.66M | 25.77%286.66M | -0.45%227.93M | -0.45%227.93M | 28.64%228.95M | --228.95M | 27.95%177.98M | --139.1M |
Gains losses not affecting retained earnings | 7.18%5.05M | 7.18%5.05M | 85.31%4.71M | 85.31%4.71M | 39.56%2.54M | --2.54M | 28.28%1.82M | --1.42M |
Total stockholders'equity | 126.11%531.27M | 126.11%531.27M | 0.49%234.96M | 0.49%234.96M | 28.38%233.82M | --233.82M | 27.50%182.13M | --142.85M |
Total equity | 126.11%531.27M | 126.11%531.27M | 0.49%234.96M | 0.49%234.96M | 28.38%233.82M | --233.82M | 27.50%182.13M | --142.85M |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
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