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Additional information - Financial Statement Schedule I - Condensed statement of cash flows (Details) - GBP (£)
12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2023
Cash (used in)/generated from operations      
Loss before income tax £ (39,664,000) £ (130,724,000) £ (32,574,000)
Adjustments for:      
Non-cash employee benefit expense - equity-settled share-based payments 658,000 875,000 1,753,000
Foreign exchange losses on operating activities 3,594,000 2,041,000 2,989,000
Changes in working capital:      
Other receivables (10,959,000) 7,193,000 (8,359,000)
Net cash inflow from operating activities 72,702,000 85,671,000 95,769,000
Cash flows from financing activities      
Proceeds from issue of shares 79,985,000 158,542,000  
Net cash inflow/(outflow) from financing activities 209,582,000 86,231,000 (1,952,000)
Cash flows from investing activities      
Net cash outflow from investing activities (274,675,000) (171,204,000) (140,160,000)
Effect of exchange rate changes on cash and cash equivalents 4,947,000 (3,168,000) 1,139,000
Net increase/(decrease) in cash and cash equivalents 12,556,000 (2,470,000) (45,204,000)
Cash and cash equivalents at beginning of year 73,549,000 76,019,000 121,223,000
Cash and cash equivalents at end of year 86,105,000 73,549,000 76,019,000
Parent      
Cash (used in)/generated from operations      
Loss before income tax (898,000) (51,681,000) (13,675,000)
Adjustments for:      
Non-cash employee benefit expense - equity-settled share-based payments 658,000 875,000 1,753,000
Foreign exchange losses on operating activities 18,000 1,000 116,000
Changes in working capital:      
Other receivables   (1,000) 957,000
Amounts owed by subsidiaries (6,111,000) (3,371,000)  
Other payables (6,433,000) 3,216,000 11,549,000
Amounts due to subsidiaries 12,486,000 25,253,000  
Net cash inflow from operating activities (280,000) (25,708,000) 700,000
Cash flows from financing activities      
Proceeds from issue of shares 79,985,000 158,541,000  
Net cash inflow/(outflow) from financing activities 79,985,000 158,541,000  
Cash flows from investing activities      
Loans advanced to subsidiaries (79,985,000) (133,175,000)  
Net cash outflow from investing activities (79,985,000) (133,175,000)  
Effect of exchange rate changes on cash and cash equivalents (18,000) (1,000) (116,000)
Net increase/(decrease) in cash and cash equivalents (298,000) (343,000) 584,000
Cash and cash equivalents at beginning of year 372,000 715,000 131,000
Cash and cash equivalents at end of year £ 74,000 £ 372,000 £ 715,000