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Cash flow information (Details) - GBP (£)
12 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Jun. 30, 2017
Cash flow information      
Profit before tax £ 27,476,000 £ 25,833,000 [1] £ 56,588,000 [1]
Depreciation 11,726,000 10,755,000 10,228,000
Impairment charge/(reversal) 1,124,000   (4,753,000)
Amortization 129,154,000 138,380,000 124,434,000
Profit on disposal of intangible assets (25,799,000) (18,119,000) (10,926,000)
Net finance costs 22,509,000 18,038,000 24,277,000
(Profit)/loss on disposal of property, plant and equipment   (81,000) 43,000
Non-cash employee benefit expense - equity-settled share-based payments 699,000 2,915,000 2,187,000
Foreign exchange (gains)/losses on operating activities (76,000) 994,000 2,646,000
Reclassified from hedging reserve 6,250,000 13,914,000 5,290,000
Changes in working capital:      
Inventories (714,000) 221,000 (711,000)
Prepayments (2,168,000) 2,638,000 895,000
Contract assets - accrued revenue (1,514,000) (9,263,000) 12,198,000
Trade receivables 82,086,000 (64,492,000) 5,089,000
Other receivables (1,081,000) 163,000 (657,000)
Contract liabilities - deferred revenue 5,903,000 (25,496,000) 18,576,000
Trade and other payables 8,034,000 23,204,000 6,355,000
Cash generated from operations 263,609,000 119,604,000 251,759,000
Adjustments for:      
Increase/(decrease) in changes to trade receivables 7,971,000 18,374,000 (3,224,000)
Increase/(decrease) in changes in trade and other payables £ (70,732,000) £ 74,088,000 £ (26,428,000)
[1] Comparative amounts have been restated—see note 33 for further details.