(FY)Jun 30, 2023 | (Q4)Jun 30, 2023 | (FY)Jun 30, 2022 | (Q4)Jun 30, 2022 | (FY)Jun 30, 2021 | (Q4)Jun 30, 2021 | |
---|---|---|---|---|---|---|
Assets | ||||||
Current assets | ||||||
Cash, cash equivalents and short term investments | 42.39%40.18M | 42.39%40.18M | -42.15%28.22M | -42.15%28.22M | --48.78M | --48.78M |
-Cash and cash equivalents | 42.39%40.18M | 42.39%40.18M | -40.09%28.22M | -40.09%28.22M | --47.09M | --47.09M |
-Accounts receivable | -10.17%55.73M | -10.17%55.73M | 158.15%62.04M | 158.15%62.04M | --24.03M | --24.03M |
-Notes receivable | 94.78%1.81M | 94.78%1.81M | --928.04K | --928.04K | ---- | ---- |
-Other receivables | -9.07%8.18M | -9.07%8.18M | 88.22%8.99M | 88.22%8.99M | --4.78M | --4.78M |
Holding assets for sale | ---- | ---- | --7.35M | --7.35M | ---- | ---- |
Total current assets | -8.05%147.41M | -8.05%147.41M | 72.79%160.31M | 72.79%160.31M | --92.78M | --92.78M |
Non current assets | ||||||
-Accumulated depreciation | -36.48%-77.82M | -36.48%-77.82M | -52.75%-57.02M | -52.75%-57.02M | ---37.33M | ---37.33M |
-Long term equity investment | 55.33%167.13M | 55.33%167.13M | 296.82%107.6M | 296.82%107.6M | --27.11M | --27.11M |
-Including:Held to maturity investments | -59.54%117.53K | -59.54%117.53K | 309.65%290.5K | 309.65%290.5K | --70.91K | --70.91K |
Non current note receivables | ---- | ---- | -28.49%5.59M | -28.49%5.59M | --7.81M | --7.81M |
-Goodwill | 43.63%156.82M | 43.63%156.82M | 263.19%109.18M | 263.19%109.18M | --30.06M | --30.06M |
Regulatory assets | -9.00%57.07M | -9.00%57.07M | 159.12%62.72M | 159.12%62.72M | --24.21M | --24.21M |
Liabilities | ||||||
Current liabilities | ||||||
Current debt and capital lease obligation | 41.23%22.43M | 41.23%22.43M | -47.70%15.89M | -47.70%15.89M | --30.37M | --30.37M |
-Current debt | 83.77%6.97M | 83.77%6.97M | -83.31%3.8M | -83.31%3.8M | --22.74M | --22.74M |
-Current capital lease obligation | 27.87%15.46M | 27.87%15.46M | 58.37%12.09M | 58.37%12.09M | --7.63M | --7.63M |
-accounts payable | -52.95%28.26M | -52.95%28.26M | 340.38%60.05M | 340.38%60.05M | --13.64M | --13.64M |
-Total tax payable | 46.87%183.5M | 46.87%183.5M | 269.56%124.94M | 269.56%124.94M | --33.81M | --33.81M |
Current provisions | 65.26%1.33M | 65.26%1.33M | 1,598.00%802.75K | 1,598.00%802.75K | --47.28K | --47.28K |
Current deferred liabilities | -26.46%4.35M | -26.46%4.35M | 134.68%5.91M | 134.68%5.91M | --2.52M | --2.52M |
Current liabilities | -25.39%73.56M | -25.39%73.56M | 80.60%98.58M | 80.60%98.58M | --54.58M | --54.58M |
Non current liabilities | ||||||
-Long term debt | 1.52%34.88M | 1.52%34.88M | 90.83%34.35M | 90.83%34.35M | --18M | --18M |
Non current accrued expenses | 9.89%315.91M | 9.89%315.91M | 71.58%287.49M | 71.58%287.49M | --167.55M | --167.55M |
Long term provisions | 80.57%132.25M | 80.57%132.25M | 703.75%73.24M | 703.75%73.24M | --9.11M | --9.11M |
Employee benefits | 94.78%1.81M | 94.78%1.81M | --928.04K | --928.04K | ---- | ---- |
Regulatory liabilities | -151.39%-590.92K | -151.39%-590.92K | ---235.06K | ---235.06K | ---- | ---- |
Preferred securities outside stock equity | 29.97%9.01M | 29.97%9.01M | 114.59%6.93M | 114.59%6.93M | --3.23M | --3.23M |
Total non current liabilities | 15.00%257.06M | 15.00%257.06M | 152.88%223.52M | 152.88%223.52M | --88.39M | --88.39M |
Shareholders'equity | ||||||
Share capital | 1.39%281.17M | 1.39%281.17M | 34.26%277.32M | 34.26%277.32M | --206.56M | --206.56M |
-common stock | 1.39%281.17M | 1.39%281.17M | 34.26%277.32M | 34.26%277.32M | --206.56M | --206.56M |
Gains losses not affecting retained earnings | -7.05%-8.29M | -7.05%-8.29M | 77.29%-7.74M | 77.29%-7.74M | ---34.09M | ---34.09M |
Other equity interest | 69.12%2.21M | 69.12%2.21M | --1.31M | --1.31M | ---- | ---- |
Total equity | 10.23%620.14M | 10.23%620.14M | 88.65%562.57M | 88.65%562.57M | --298.2M | --298.2M |
No Data