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CASH FLOW INFORMATION - Changes in liabilities arising from financing activities (Details) - USD ($)
12 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2022
Changes in liabilities arising from financing activities      
Balance at the beginning $ 248,517,007 $ 170,940,498  
Proceeds 135,818,247 79,817,888  
Payments (112,614,437) (16,744,956)  
Financing for assets acquisitions (1,863,254)    
Conversion of Convertible Notes   (9,109,516)  
Interest payment (24,724,436) (18,046,961) $ (13,009,834)
Exchange differences, currency translation differences and other financial results 18,120,636 41,660,054  
Balance at the end 266,980,271 248,517,007 170,940,498
Borrowings      
Changes in liabilities arising from financing activities      
Balance at the beginning 168,310,605 145,478,637  
Proceeds 135,818,247 24,817,888  
Payments (109,702,266) (13,596,339)  
Financing for assets acquisitions (743,279)    
Interest payment (20,552,108) (12,873,219)  
Exchange differences, currency translation differences and other financial results 4,234,323 24,483,638  
Balance at the end 178,852,080 168,310,605 145,478,637
Consideration for acquisition      
Changes in liabilities arising from financing activities      
Balance at the beginning 4,993,256 12,902,790  
Payments (2,912,171) (3,148,617)  
Financing for assets acquisitions (1,119,975)    
Exchange differences, currency translation differences and other financial results 4,117,445 (4,760,917)  
Balance at the end 7,318,505 4,993,256 12,902,790
Convertible notes      
Changes in liabilities arising from financing activities      
Balance at the beginning 75,213,146 12,559,071  
Proceeds   55,000,000  
Conversion of Convertible Notes   (9,109,516)  
Interest payment (4,172,328) (5,173,742)  
Exchange differences, currency translation differences and other financial results 9,768,868 21,937,333  
Balance at the end $ 80,809,686 $ 75,213,146 $ 12,559,071