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Cash flow information - Reconciliation of loss for year to cash generated from operations (Details) - CNY (¥)
¥ in Thousands
6 Months Ended 12 Months Ended
Dec. 31, 2023
Jun. 30, 2023
Jun. 30, 2022
Jun. 30, 2021
Cash flows from (used in) operating activities [abstract]        
(Loss)/profit for the year/period ¥ 1,256,077 ¥ 1,781,829 ¥ 639,743 ¥ (1,429,447)
Adjustments for:        
Interest on lease liabilities 25,112 34,396 32,991 26,817
Depreciation and amortization 285,241 391,167 389,871 265,019
Interest on loans and borrowings 90 226 405 1,545
Interest income (123,969) (145,225) (66,344) (40,433)
Investment income from other investments (14,281) (42,921) (63,801) (66,837)
Net change in fair value of other investments (14,270) 3,692 (5,709) (2,968)
Losses on disposal of property, plant and equipment and intangible assets 1,632 5,350 5,614 2,317
Impairment loss on non-current assets 4,547 3,448 13,485 2,941
Unrealized foreign exchange (gain)/loss (25,410) (45,522) 6,806 (46,378)
Effect of lease contract cancellation (4,821) 3,681 (25,015) (2,630)
Fair value changes of redeemable shares with other preferential rights       1,625,287
Share of loss/(profit) of equity accounted investees, net of tax (268)   8,162 4,011
Equity-settled share-based payment expenses 46,432 62,882 82,835 281,319
Income tax 396,665 551,785 267,070 213,255
Changes in working capital:        
Inventories (471,722) (250,851) 307,966 (93,197)
Trade and other receivables (316,534) (185,768) (190,145) (80,087)
Contract liabilities 25,341 (73,539) 86,314 34,353
Trade and other payables 363,327 (34,055) 180,122 386,703
Restricted cash 19,103 5,303 (28,696) 3,376
Deferred income (3,985) 19,074 (5,282) 26,065
Cash generated from operations ¥ 1,448,307 ¥ 2,084,952 ¥ 1,636,392 ¥ 1,111,031