v3.26.3
Cash flow information (Details) - GBP (£)
12 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Jun. 30, 2024
Cash flow information      
Loss before income tax £ (46,985,000) £ (39,664,000) £ (130,724,000)
Depreciation 20,631,000 17,002,000 16,526,000
Amortization 211,813,000 196,373,000 190,123,000
Profit on disposal of intangible assets (46,881,000) (48,742,000) (37,422,000)
Net finance costs 69,620,000 21,234,000 61,371,000
Non-cash employee benefit expense - equity-settled share-based payments 243,000 658,000 875,000
Foreign exchange losses on operating activities 3,638,000 3,594,000 2,041,000
Reclassified from hedging reserve (159,000) (1,322,000)  
Changes in working capital:      
Inventories 832,000 (9,510,000) (378,000)
Prepayments 509,000 113,000 (1,726,000)
Contract assets - accrued revenue (7,635,000) 20,250,000 3,554,000
Trade receivables 25,278,000 (86,244,000) 2,358,000
Other receivables 12,577,000 (10,959,000) 7,193,000
Contract liabilities - deferred revenue 2,088,000 7,430,000 27,692,000
Trade and other payables (26,403,000) 28,995,000 (18,904,000)
Provisions (2,982,000) 8,290,000 (5,118,000)
Cash generated from operations 216,184,000 107,498,000 117,461,000
Adjustments for:      
Increase/(decrease) in changes to trade receivables (19,672,000) 25,974,000 13,817,000
Increase/(decrease) in changes in trade and other payables £ (64,226,000) £ 110,686,000 £ 46,215,000