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Other Reserves (Details) - Schedule of Other Reserves - AUD ($)
12 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2022
Share-based payments [Member]      
Schedule of Other Reserves [Line Items]      
Balance at beginning $ 3,123,759 $ 3,053,197 $ 3,360,128
Currency translation differences
Other comprehensive income
Options and warrants exercised (43,780)    
Options issued in the period (net of adjustments) (11,932)    
Options and warrants issued/expensed   104,753 54,930
Options and warrants lapsed/expired (23,957) (156,392) (361,861)
Unlisted options issued/expensed 15,231    
Performance rights issued/expensed   122,201  
Balance at ending 3,059,321 3,123,759 3,053,197
Foreign currency translation [Member]      
Schedule of Other Reserves [Line Items]      
Balance at beginning 112,210 113,222 106,514
Currency translation differences 2,266 (1,012) 6,708
Other comprehensive income 2,266 (1,012) 6,708
Options and warrants exercised    
Options issued in the period (net of adjustments)    
Options and warrants issued/expensed  
Options and warrants lapsed/expired
Unlisted options issued/expensed    
Performance rights issued/expensed    
Balance at ending 114,476 112,210 113,222
Total other reserves [Member]      
Schedule of Other Reserves [Line Items]      
Balance at beginning 3,235,969 3,166,419 3,466,642
Currency translation differences 2,266 (1,012) 6,708
Other comprehensive income 2,266 (1,012) 6,708
Options and warrants exercised (43,780)    
Options issued in the period (net of adjustments) (11,932)    
Options and warrants issued/expensed   104,753 54,930
Options and warrants lapsed/expired (23,957) (156,392) (361,861)
Unlisted options issued/expensed 15,231    
Performance rights issued/expensed   122,201  
Balance at ending $ 3,173,797 $ 3,235,969 $ 3,166,419