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Notes to the consolidated statement of cash flows (Details) - EUR (€)
€ in Thousands
12 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2022
Jun. 30, 2021
Disclosure of reconciliation of liabilities arising from financing activities        
Interest payments on financial liabilities   € (4,772) € (2,460) € (998)
Lease payments   (7,925) (4,059) (5,425)
Change in Cash Flow   (12,697) (6,519) (6,423)
Net debt at beginning of period € 57,672 22,007 14,147  
Additions (Disposals) (25,375) 26,686 439  
Interest expenses 4,772 2,460 998  
Total change in liabilities (20,603) 29,146 1,437  
Net debt at end of period 49,765 57,672 22,007 14,147
Liabilities to banks.        
Disclosure of reconciliation of liabilities arising from financing activities        
Interest payments on financial liabilities   (1,856) (43) (386)
Change in Cash Flow   (1,856) (43) (386)
Additions (Disposals) (3,712) (86) (772)  
Interest expenses 1,856 43 386  
Total change in liabilities (1,856) (43) (386)  
Lease liabilities        
Disclosure of reconciliation of liabilities arising from financing activities        
Interest payments on financial liabilities   (2,916) (2,416) (612)
Lease payments   (7,925) (4,059) (5,425)
Change in Cash Flow   (10,841) (6,475) (6,037)
Net debt at beginning of period 57,672 22,007 14,147  
Additions (Disposals) (21,663) 26,772 1,211  
Interest expenses 2,916 2,417 612  
Total change in liabilities (18,747) 29,189 1,823  
Net debt at end of period € 49,765 € 57,672 € 22,007 € 14,147