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Statements of changes in equity - AUD ($)
Total
Contributed equity [member]
Other Contributed equity [member]
Reserves [member]
Accumulated Losses [member]
Beginning Balance at Jun. 30, 2016 $ 33,931,000 $ 191,301,000 $ 1,716,000 $ 1,421,000 $ (160,507,000)
Loss after income tax expense for the year (10,670,000)       (10,670,000)
Other comprehensive income for the year, net of tax 34,000     34,000  
Total comprehensive income for the year (10,636,000)     34,000 (10,670,000)
Transactions with owners in their capacity as owners:          
Share issue costs (18,000) (18,000)      
Transfers     (216,000)   216,000
Conversion of convertible note   900,000 (900,000)    
Employee share-based payment options 475,000     475,000  
Share based payment 1,586,000 1,586,000      
Ending balance at Jun. 30, 2017 25,338,000 193,769,409 600,000 1,930,000 (170,961,000)
Loss after income tax expense for the year (6,039,000)       (6,039,000)
Other comprehensive income for the year, net of tax (251,000)     (251,000)  
Total comprehensive income for the year (6,290,000)     (251,000) (6,039,000)
Transactions with owners in their capacity as owners:          
Cancellation of share capital   (162,223,185)     162,223,000
Conversion of convertible note     (136,000)   136,000
Share based payment 165,000     165,000  
Issue of shares 30,000 29,600      
Ending balance (Previously stated [member]) at Jun. 30, 2018 19,242,000 31,576,000 464,000 1,843,000 (14,641,000)
Ending balance (Increase (decrease) due to changes in accounting policy [member]) at Jun. 30, 2018       37,000 (37,000)
Ending balance at Jun. 30, 2018 19,242,000 31,575,824 464,000 1,880,000 (14,678,000)
Loss after income tax expense for the year (10,270,000)       (10,270,000)
Other comprehensive income for the year, net of tax (89,000)     (89,000)  
Total comprehensive income for the year (10,359,000)     (89,000) (10,270,000)
Transactions with owners in their capacity as owners:          
Share issue costs (340,000) (340,065)      
Share based payment 246,000     246,000  
Issue of shares 5,406,000 5,406,000      
Ending balance at Jun. 30, 2019 $ 14,195,000 $ 36,641,519 $ 464,000 $ 2,037,000 $ (24,948,000)