(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 | (FY)Jun 30, 2019 | (Q4)Jun 30, 2019 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -85.17%1.55B | -85.17%1.55B | 476.98%10.44B | 476.98%10.44B | 51.44%1.81B | 51.44%1.81B | 81.57%1.19B | 81.57%1.19B | -19.26%657.8M | -19.26%657.8M |
-Cash and cash equivalents | -85.17%1.55B | -85.17%1.55B | 476.98%10.44B | 476.98%10.44B | 51.44%1.81B | 51.44%1.81B | 81.57%1.19B | 81.57%1.19B | -19.26%657.8M | -19.26%657.8M |
-Accounts receivable | 47.44%1.42B | 47.44%1.42B | -3.13%965.8M | -3.13%965.8M | -11.07%997M | -11.07%997M | -12.03%1.12B | -12.03%1.12B | 14.31%1.27B | 14.31%1.27B |
-Notes receivable | 39.68%264M | 39.68%264M | -43.46%189M | -43.46%189M | -14.11%334.3M | -14.11%334.3M | 13.50%389.2M | 13.50%389.2M | 31.38%342.9M | 31.38%342.9M |
-Other receivables | 24.43%2.13B | 24.43%2.13B | 12.71%1.71B | 12.71%1.71B | 42.13%1.52B | 42.13%1.52B | 8.32%1.07B | 8.32%1.07B | 17.36%985.1M | 17.36%985.1M |
Current deferred assets | 3.68%31M | 3.68%31M | -64.53%29.9M | -64.53%29.9M | 140.17%84.3M | 140.17%84.3M | 64.02%35.1M | 64.02%35.1M | 224.24%21.4M | 224.24%21.4M |
Total current assets | -43.75%9.26B | -43.75%9.26B | 122.75%16.46B | 122.75%16.46B | 14.64%7.39B | 14.64%7.39B | 16.36%6.45B | 16.36%6.45B | 10.94%5.54B | 10.94%5.54B |
Non current assets | ||||||||||
-Accumulated depreciation | -10.03%-3.47B | -10.03%-3.47B | -11.28%-3.15B | -11.28%-3.15B | -14.27%-2.83B | -14.27%-2.83B | -29.18%-2.48B | -29.18%-2.48B | -8.72%-1.92B | -8.72%-1.92B |
-Long term equity investment | 116.35%11.17B | 116.35%11.17B | -3.17%5.16B | -3.17%5.16B | -7.90%5.33B | -7.90%5.33B | 36.50%5.79B | 36.50%5.79B | 1.96%4.24B | 1.96%4.24B |
Non current note receivables | 74.30%902M | 74.30%902M | -2.27%517.5M | -2.27%517.5M | -2.49%529.5M | -2.49%529.5M | 43.39%543M | 43.39%543M | -5.63%378.7M | -5.63%378.7M |
-Goodwill | 523.40%16.45B | 523.40%16.45B | -1.18%2.64B | -1.18%2.64B | 24.74%2.67B | 24.74%2.67B | 13.94%2.14B | 13.94%2.14B | 4.21%1.88B | 4.21%1.88B |
Defined pension benefit | 11.11%6M | 11.11%6M | 38.46%5.4M | 38.46%5.4M | 178.57%3.9M | 178.57%3.9M | -6.67%1.4M | -6.67%1.4M | -63.41%1.5M | -63.41%1.5M |
Regulatory assets | 28.44%1.91B | 28.44%1.91B | -5.15%1.48B | -5.15%1.48B | 0.35%1.56B | 0.35%1.56B | -8.60%1.56B | -8.60%1.56B | 24.86%1.7B | 24.86%1.7B |
Non current deferred assets | 650.00%96M | 650.00%96M | 93.94%12.8M | 93.94%12.8M | -53.85%6.6M | -53.85%6.6M | -33.80%14.3M | -33.80%14.3M | 41.18%21.6M | 41.18%21.6M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | -76.52%1.06B | -76.52%1.06B | 848.50%4.49B | 848.50%4.49B | 134.21%473.8M | 134.21%473.8M | -51.90%202.3M | -51.90%202.3M | 86.35%420.6M | 86.35%420.6M |
-Current debt | -78.19%964M | -78.19%964M | 1,016.29%4.42B | 1,016.29%4.42B | 219.35%396M | 219.35%396M | -70.30%124M | -70.30%124M | 87.47%417.5M | 87.47%417.5M |
-Current capital lease obligation | 23.81%91M | 23.81%91M | -5.53%73.5M | -5.53%73.5M | -0.64%77.8M | -0.64%77.8M | 2,425.81%78.3M | 2,425.81%78.3M | 3.33%3.1M | 3.33%3.1M |
-accounts payable | 38.56%820M | 38.56%820M | 13.15%591.8M | 13.15%591.8M | 14.12%523M | 14.12%523M | 8.45%458.3M | 8.45%458.3M | 1.25%422.6M | 1.25%422.6M |
-Total tax payable | 107.20%13.8B | 107.20%13.8B | -0.18%6.66B | -0.18%6.66B | -1.82%6.67B | -1.82%6.67B | 39.40%6.8B | 39.40%6.8B | 1.99%4.87B | 1.99%4.87B |
-Other payable | ---- | ---- | ---- | ---- | ---- | ---- | ---100K | ---100K | ---- | ---- |
Current provisions | -64.74%64M | -64.74%64M | 1,056.05%181.5M | 1,056.05%181.5M | 1,862.50%15.7M | 1,862.50%15.7M | -98.76%800K | -98.76%800K | 0.16%64.5M | 0.16%64.5M |
Current deferred liabilities | 125.10%296M | 125.10%296M | -57.99%131.5M | -57.99%131.5M | 23.37%313M | 23.37%313M | 56.41%253.7M | 56.41%253.7M | -34.70%162.2M | -34.70%162.2M |
Current liabilities | -35.17%4.61B | -35.17%4.61B | 129.03%7.11B | 129.03%7.11B | 44.93%3.1B | 44.93%3.1B | -2.13%2.14B | -2.13%2.14B | 14.28%2.19B | 14.28%2.19B |
Non current liabilities | ||||||||||
-Long term debt | 23.57%1.61B | 23.57%1.61B | 17.81%1.3B | 17.81%1.3B | 15,457.75%1.1B | 15,457.75%1.1B | -63.59%7.1M | -63.59%7.1M | -4.88%19.5M | -4.88%19.5M |
Non current accrued expenses | 12.56%9.35B | 12.56%9.35B | 10.25%8.31B | 10.25%8.31B | 19.52%7.54B | 19.52%7.54B | 40.61%6.31B | 40.61%6.31B | 26.27%4.48B | 26.27%4.48B |
Long term provisions | 147.61%9.56B | 147.61%9.56B | -8.66%3.86B | -8.66%3.86B | -26.89%4.23B | -26.89%4.23B | 36.96%5.78B | 36.96%5.78B | 2.00%4.22B | 2.00%4.22B |
Employee benefits | 39.68%264M | 39.68%264M | -43.46%189M | -43.46%189M | -14.11%334.3M | -14.11%334.3M | 13.50%389.2M | 13.50%389.2M | 31.38%342.9M | 31.38%342.9M |
Regulatory liabilities | 28.99%-12M | 28.99%-12M | 28.09%-16.9M | 28.09%-16.9M | 7.11%-23.5M | 7.11%-23.5M | -44.57%-25.3M | -44.57%-25.3M | 18.60%-17.5M | 18.60%-17.5M |
Preferred securities outside stock equity | --246M | --246M | ---- | ---- | 35.62%211.7M | 35.62%211.7M | 19.71%156.1M | 19.71%156.1M | 12.12%130.4M | 12.12%130.4M |
Total non current liabilities | 33.70%18.41B | 33.70%18.41B | 40.85%13.77B | 40.85%13.77B | 9.38%9.78B | 9.38%9.78B | 26.53%8.94B | 26.53%8.94B | 5.50%7.06B | 5.50%7.06B |
Shareholders'equity | ||||||||||
Share capital | 6.86%517M | 6.86%517M | 110.74%483.8M | 110.74%483.8M | 1.24%-4.5B | 1.24%-4.5B | 0.91%-4.56B | 0.91%-4.56B | 0.68%-4.6B | 0.68%-4.6B |
-common stock | 6.86%517M | 6.86%517M | 110.74%483.8M | 110.74%483.8M | 1.24%-4.5B | 1.24%-4.5B | 0.91%-4.56B | 0.91%-4.56B | 0.68%-4.6B | 0.68%-4.6B |
Gains losses not affecting retained earnings | 9.77%648M | 9.77%648M | -6.78%590.3M | -6.78%590.3M | 88.28%633.2M | 88.28%633.2M | 38.97%336.3M | 38.97%336.3M | 7.94%242M | 7.94%242M |
Other equity interest | 114.29%9M | 114.29%9M | -12.50%4.2M | -12.50%4.2M | 45.45%4.8M | 45.45%4.8M | 725.00%3.3M | 725.00%3.3M | -75.00%400K | -75.00%400K |
Total equity | 27.83%36.23B | 27.83%36.23B | 56.12%28.35B | 56.12%28.35B | 17.41%18.16B | 17.41%18.16B | 25.58%15.46B | 25.58%15.46B | 14.29%12.31B | 14.29%12.31B |
No Data