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INFORMATION ABOUT COMPONENTS OF UNAUDITED INTERIM CONDENSED CONSOLIDATED STATEMENTS OF FINANCIAL POSITION - Borrowings, carrying amount (Details) - USD ($)
Mar. 31, 2023
Jun. 30, 2022
Current    
Borrowings $ 107,891,810 $ 71,301,468
Corporate bonds 37,965,183 12,845,934
Non-current    
Borrowings 68,059,470 74,177,169
Corporate bonds 50,055,578 61,264,268
Amortized cost    
Current    
Corporate bonds 37,965,183 12,845,934
Non-current    
Corporate bonds 50,055,578 61,264,268
Fair value    
Current    
Corporate bonds 36,917,341 12,467,941
Non-current    
Corporate bonds 47,428,892 56,550,746
Bank borrowings    
Current    
Borrowings 59,136,406 48,305,535
Non-current    
Borrowings 15,003,892 9,912,901
Bank borrowings | Amortized cost    
Current    
Borrowings 59,136,406 48,305,535
Non-current    
Borrowings 15,003,892 9,912,901
Bank borrowings | Fair value    
Current    
Borrowings 58,601,927 46,589,131
Non-current    
Borrowings $ 14,632,021 $ 9,344,755