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Consolidated statements of changes in equity - CNY (¥)
¥ in Thousands
Share capital
Additional paid-in capital
Merger reserve
Treasury shares
Share-based payment reserve
Translation reserve
PRC statutory reserve
(Accumulated losses)/retained earnings
Total
Non-controlling interests
Total
Balance at the beginning at Jun. 30, 2020 ¥ 69 ¥ 162,373 ¥ 117,912 ¥ (19,393) ¥ 486,438 ¥ (5,395) ¥ 46,422 ¥ (1,125,055) ¥ (336,629) ¥ 13,583 ¥ (323,046)
Changes in equity for the year/period ended                      
(Loss)/profit for the year/period               (1,415,010) (1,415,010) (14,437) (1,429,447)
Other comprehensive (loss)/income for the year/period           (14,611)     (14,611) (1,937) (16,548)
Total comprehensive (loss)/income for the year/period           (14,611)   (1,415,010) (1,429,621) (16,374) (1,445,995)
Capital injection from shareholders 1 1,193             1,194   1,194
Consolidation of special purpose vehicles   973   (973)              
Issuance of ordinary shares relating to initial/Hong Kong public offering and exercise of the over-allotment option, net of underwriting commissions and other issuance costs 9 4,178,851             4,178,860   4,178,860
Release of ordinary shares from share incentive plan 5 (18,065)   18,060              
Conversion of Series A preferred shares into Class A ordinary shares 8 3,963,835             3,963,843   3,963,843
Equity settled share-based transactions         281,319       281,319   281,319
Appropriation to statutory reserve             18,226 (18,226)      
Acquisition of a subsidiary with non-controlling interests                   (4,021) (4,021)
Balance at the end at Jun. 30, 2021 92 8,289,160 117,912 (2,306) 767,757 (20,006) 64,648 (2,558,291) 6,658,966 (6,812) 6,652,154
Changes in equity for the year/period ended                      
(Loss)/profit for the year/period               638,170 638,170 1,573 639,743
Other comprehensive (loss)/income for the year/period           39,497     39,497 997 40,494
Total comprehensive (loss)/income for the year/period           39,497   638,170 677,667 2,570 680,237
Dividend declared   (306,255)             (306,255)   (306,255)
Exercise of options   589             589   589
Release of ordinary shares from share incentive plan   (670)   670              
Repurchase of shares       (82,160)         (82,160)   (82,160)
Equity settled share-based transactions         82,835       82,835   82,835
Appropriation to statutory reserve             24,460 (24,460)      
Balance at the end at Jun. 30, 2022 92 7,982,824 117,912 (83,796) 850,592 19,491 89,108 (1,944,581) 7,031,642 (4,242) 7,027,400
Changes in equity for the year/period ended                      
(Loss)/profit for the year/period               1,768,926 1,768,926 12,903 1,781,829
Other comprehensive (loss)/income for the year/period           34,871     34,871 6,327 41,198
Total comprehensive (loss)/income for the year/period           34,871   1,768,926 1,803,797 19,230 1,823,027
Issuance of ordinary shares relating to initial/Hong Kong public offering and exercise of the over-allotment option, net of underwriting commissions and other issuance costs 3 408,018             408,021   408,021
Dividend declared   (370,787)             (370,787)   (370,787)
Offset of accumulated losses   (730,898)           730,898      
Exercise of options and subscription of restricted share units   380             380   380
Release of ordinary shares from share incentive plan   (616)   616              
Repurchase of shares       (32,711)         (32,711)   (32,711)
Cancellation of shares   (31,841)   31,841              
Equity settled share-based transactions         62,882       62,882   62,882
Appropriation to statutory reserve             15,912 (15,912)      
Acquisition of non-controlling interests   (2,209)             (2,209) 2,166 (43)
Acquisition of a subsidiary with non-controlling interests                   99 99
Balance at the end at Jun. 30, 2023 95 7,254,871 117,912 (84,050) 913,474 54,362 105,020 539,331 8,901,015 17,253 8,918,268
Changes in equity for the year/period ended                      
(Loss)/profit for the year/period               1,248,405 1,248,405 7,672 1,256,077
Other comprehensive (loss)/income for the year/period           (30,601)     (30,601) (1,903) (32,504)
Total comprehensive (loss)/income for the year/period           (30,601)   1,248,405 1,217,804 5,769 1,223,573
Dividend declared   (923,664)             (923,664)   (923,664)
Exercise of options and subscription of restricted share units   168             168   168
Repurchase of shares       (73,560)         (73,560)   (73,560)
Equity settled share-based transactions         46,432       46,432   46,432
Appropriation to statutory reserve             65,579 (65,579)      
Balance at the end at Dec. 31, 2023 ¥ 95 ¥ 6,331,375 ¥ 117,912 ¥ (157,610) ¥ 959,906 ¥ 23,761 ¥ 170,599 ¥ 1,722,157 ¥ 9,168,195 ¥ 23,022 ¥ 9,191,217