For the 16-month period ended 30 June 2022, STC’s comprehensive loss was $4.8 million. Total Equity of STC as at 30 June 2022 was $316 million.
The Net Cash outflows from operating activities for the 16-month period ended 30 June 2022 were $0.5 million.
|Employee benefit expenses||768|
|Other operating expenses||4,029|
|Total operating expenses||4,797|
|Comprehensive result (loss)||4,797|
No event has arisen since 30 June 2022 that has significantly affected or may significantly affect the operations or results or state of affairs of STC.