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Additional information - Financial Statement Schedule I - Condensed statement of changes in equity (Details)
12 Months Ended
Jun. 30, 2022
GBP (£)
Jun. 30, 2022
USD ($)
Jun. 30, 2021
GBP (£)
Jun. 30, 2021
USD ($)
Jun. 30, 2020
GBP (£)
Jun. 30, 2020
USD ($)
Balance at beginning of the year £ 272,512,000   £ 351,232,000   £ 415,202,000  
(Loss)/profit for the year (115,510,000)   (92,216,000)   (23,233,000)  
Total comprehensive (loss)/income for the year (111,649,000)   (70,087,000)   (20,254,000)  
Acquisition of treasury shares         (21,305,000)  
Equity-settled share based payments 198,000   2,085,000   818,000  
Dividends paid (33,553,000) $ (44,010,000) (10,718,000) $ (14,665,000) (23,229,000) $ (29,554,000)
Balance at end of the year 127,508,000   272,512,000   351,232,000  
Share capital            
Balance at beginning of the year 53,000   53,000   53,000  
Balance at end of the year 53,000   53,000   53,000  
Share premium            
Balance at beginning of the year 68,822,000   68,822,000   68,822,000  
Balance at end of the year 68,822,000   68,822,000   68,822,000  
Treasury shares            
Balance at beginning of the year (21,305,000)   (21,305,000)      
Acquisition of treasury shares         (21,305,000)  
Balance at end of the year (21,305,000)   (21,305,000)   (21,305,000)  
Retained (deficit)/earnings            
Balance at beginning of the year (13,652,000)   87,197,000   132,841,000  
(Loss)/profit for the year (115,510,000)   (92,216,000)   (23,233,000)  
Total comprehensive (loss)/income for the year (115,510,000)   (92,216,000)   (23,233,000)  
Equity-settled share based payments 198,000   2,085,000   818,000  
Dividends paid (33,553,000)   (10,718,000)   (23,229,000)  
Balance at end of the year (170,042,000)   (13,652,000)   87,197,000  
Parent            
Balance at beginning of the year 309,683,000   311,852,000   313,925,000  
(Loss)/profit for the year 29,351,000   6,464,000   41,643,000  
Total comprehensive (loss)/income for the year 29,351,000   6,464,000   41,643,000  
Acquisition of treasury shares         (21,305,000)  
Equity-settled share based payments 198,000   2,085,000   818,000  
Dividends paid (33,553,000)   (10,718,000)   (23,229,000)  
Balance at end of the year 305,679,000   309,683,000   311,852,000  
Parent | Share capital            
Balance at beginning of the year 53,000   53,000   53,000  
Balance at end of the year 53,000   53,000   53,000  
Parent | Share premium            
Balance at beginning of the year 68,822,000   68,822,000   68,822,000  
Balance at end of the year 68,822,000   68,822,000   68,822,000  
Parent | Treasury shares            
Balance at beginning of the year (21,305,000)   (21,305,000)      
Acquisition of treasury shares         (21,305,000)  
Balance at end of the year (21,305,000)   (21,305,000)   (21,305,000)  
Parent | Retained (deficit)/earnings            
Balance at beginning of the year 262,113,000   264,282,000   245,050,000  
(Loss)/profit for the year 29,351,000   6,464,000   41,643,000  
Total comprehensive (loss)/income for the year 29,351,000   6,464,000   41,643,000  
Equity-settled share based payments 198,000   2,085,000   818,000  
Dividends paid (33,553,000)   (10,718,000)   (23,229,000)  
Balance at end of the year £ 258,109,000   £ 262,113,000   £ 264,282,000