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0080 STRAITS

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  • 0.105
  • -0.005-4.55%
15min DelayMarket Closed Sep 27 16:50 CST
104.42MMarket Cap26.25P/E (TTM)

STRAITS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
-516.33%-39.86M
-2,550.71%-134.59M
-81.45%4.56M
-156.24%-26.78M
306.04%16.27M
-56.82%9.58M
114.71%5.49M
-67.73%24.57M
31.10%47.62M
-182.08%-7.9M
Net profit before non-cash adjustment
-70.75%2.14M
-1.92%1.07M
-12.24%8.79M
113.75%235.05K
-93.13%165K
-5.31%7.3M
-32.55%1.09M
3.51%10.02M
-152.67%-1.71M
23.46%2.4M
Total adjustment of non-cash items
4,932.44%33.67M
-156.17%-3.42M
-53.32%13.56M
-127.40%-3.98M
26.79%10.79M
-60.97%669K
41.83%6.08M
92.57%29.05M
5,251.79%14.54M
37.57%8.51M
-Depreciation and amortization
-1.48%6.94M
26.22%6.67M
36.16%25.83M
26.94%6.8M
43.04%6.72M
47.51%7.04M
27.24%5.28M
36.19%18.97M
37.34%5.35M
29.72%4.7M
-Reversal of impairment losses recognized in profit and loss
100.82%1K
--1K
785.30%7.59M
1,504.03%7.91M
-123.19%-195K
-141.92%-122K
--0
120.46%857.64K
-2,778.83%-563.36K
--841K
-Assets reserve and write-off
--0
--0
-105.65%-300.9K
----
----
--0
---313K
1,406.99%5.33M
----
----
-Share of associates
--0
--0
68.22%-2.11M
111.60%605.71K
-176.77%-1.29M
10.90%-1.61M
114.03%183K
-33.36%-6.65M
-143.29%-5.22M
241.31%1.68M
-Disposal profit
-109.21%-159K
--0
---16.7M
---16.62M
---4K
---76K
--0
--0
--0
--0
-Net exchange gains and losses
385.07%20.76M
-674.38%-13.69M
-1,955.91%-11.57M
-179.75%-4.97M
285.02%2.45M
-99.32%-7.28M
-181.53%-1.77M
132.08%623.5K
245.18%6.23M
-167.66%-1.32M
-Other non-cash items
125.21%6.13M
33.62%3.61M
9.09%10.83M
-23.97%2.6M
7.42%2.81M
28.84%2.72M
51.57%2.7M
35.14%9.92M
81.54%3.42M
44.88%2.62M
Changes in working capital
-4,805.60%-75.67M
-7,757.81%-132.25M
-22.70%-17.79M
-166.20%-23.03M
128.24%5.31M
-87.39%1.61M
96.11%-1.68M
-128.23%-14.5M
4.29%34.79M
-1,363.26%-18.81M
-Change in receivables
----
----
40.29%-31.67M
----
----
----
----
-41.87%-53.04M
----
----
-Change in inventory
----
----
-252.64%-27.35M
----
----
----
----
60.68%-7.76M
----
----
-Change in payables
----
----
-10.94%41.23M
----
----
----
----
-57.33%46.29M
----
----
-Changes in other current assets
54.95%-34.72M
-84.41%6.67M
----
----
-267.08%-73.88M
-133.68%-77.05M
3,723.77%42.79M
----
----
3,187.78%44.22M
-Changes in other current liabilities
-152.06%-40.95M
-212.38%-138.92M
----
----
225.64%79.19M
72.02%78.66M
-0.26%-44.47M
----
----
-2,257.72%-63.03M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-24.31%-10.82M
-22.15%-8.71M
Interest received (cash flow from operating activities)
25.31%87.1K
77.56%69.51K
Tax refund paid
1.96%-1.2M
45.44%-1.02M
-37.62%-6.29M
58.73%-1.27M
-323.35%-1.92M
-30.46%-1.23M
-1,622.02%-1.88M
-833.99%-4.57M
-3,562.95%-3.07M
-50.83%-454K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-591.80%-41.07M
-3,851.51%-135.62M
-209.74%-12.47M
-207.99%-38.78M
271.82%14.35M
-60.68%8.35M
109.66%3.62M
-83.43%11.36M
22.47%35.91M
-189.60%-8.35M
Investing cash flow
Net PPE purchase and sale
44.35%-7.64M
66.44%-3.21M
49.90%-15.47M
209.01%4.85M
133.85%2.96M
5.49%-13.72M
-200.94%-9.56M
-5.18%-30.89M
64.54%-4.45M
11.90%-8.74M
Net business purchase and sale
-3,660.00%-534K
121.65%150K
95.81%-672.45K
100.52%5.55K
--0
100.14%15K
---693K
-991,005.56%-16.03M
-109.12%-1.07M
---4.61M
Net investment product transactions
----
----
----
----
----
----
--0
----
----
----
Advance cash and loans provided to other parties
----
----
--0
----
----
----
----
--0
----
----
Interest received (cash flow from investment activities)
595.24%146K
-61.76%13K
----
----
10.00%11K
-4.55%21K
78.95%34K
----
----
0.00%10K
Investing cash flow
41.37%-8.02M
70.19%-3.05M
65.59%-16.15M
185.96%4.79M
122.26%2.97M
44.91%-13.69M
-223.62%-10.22M
-59.91%-46.92M
-591.28%-5.57M
-34.62%-13.35M
Financing cash flow
Net issuance payments of debt
10,582.43%76.59M
12,969.49%144.27M
-152.89%-16.25M
-26.38%-18.56M
-64.37%2.72M
-98.25%717K
64.80%-1.12M
298.81%30.72M
5.11%-14.69M
863.34%7.62M
Net common stock issuance
----
--0
-73.65%5.76M
699,188.21%5.76M
----
----
--0
151.63%21.84M
100.01%823
--6.78M
Increase or decrease of lease financing
-53.52%-763K
13.62%-926K
-14.63%-3.89M
-49.46%-1.36M
-18.00%-957K
51.70%-497K
-67.24%-1.07M
-414.20%-3.39M
-268.47%-913K
-0.87%-811K
Cash dividends paid
----
----
----
----
----
----
----
---1.76M
---377
----
Interest paid (cash flow from financing activities)
-128.81%-6.27M
-32.61%-3.62M
----
----
-7.43%-2.82M
-28.49%-2.74M
-51.86%-2.73M
----
----
-44.63%-2.63M
Net other fund-raising expenses
-136.65%-4.26M
11.97%-3.39M
-56.69%1.12M
26.20%10.65M
-434.30%-3.88M
---1.8M
---3.85M
28.39%2.58M
97.34%8.44M
-264.63%-726K
Financing cash flow
1,610.39%65.29M
1,653.61%136.33M
-126.54%-13.27M
890.81%4.77M
-158.31%-4.94M
-113.18%-4.32M
-194.11%-8.78M
1,284.04%49.99M
96.59%-603.53K
539.98%8.47M
Net cash flow
Beginning cash position
-19.91%36.19M
-54.95%26.93M
26.98%59.17M
40.36%44.65M
-16.23%37.8M
185.58%45.19M
26.94%59.79M
301.68%46.6M
-11.02%31.81M
17.71%45.12M
Current changes in cash
267.79%16.21M
84.82%-2.34M
-390.34%-41.88M
-198.26%-29.22M
193.60%12.38M
-133.09%-9.66M
50.81%-15.38M
-58.78%14.42M
175.13%29.74M
-424.59%-13.23M
Effect of exchange rate changes
-777.30%-19.55M
1,384.51%11.59M
620.56%9.64M
713.33%11.5M
-6,478.57%-5.53M
2,476.79%2.89M
15,720.00%781K
-62,810.90%-1.85M
-196,831.69%-1.87M
-320.00%-84K
End cash Position
-13.09%32.85M
-19.91%36.19M
-54.48%26.93M
-54.48%26.93M
40.36%44.65M
-16.23%37.8M
185.58%45.19M
26.98%59.17M
26.98%59.17M
-11.02%31.81M
Free cash flow
-811.10%-48.94M
-2,233.62%-138.83M
-44.36%-28.19M
-208.17%-34.03M
200.38%17.16M
-179.96%-5.37M
85.35%-5.95M
-149.83%-19.53M
87.58%31.46M
-2,725.62%-17.1M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities -516.33%-39.86M-2,550.71%-134.59M-81.45%4.56M-156.24%-26.78M306.04%16.27M-56.82%9.58M114.71%5.49M-67.73%24.57M31.10%47.62M-182.08%-7.9M
Net profit before non-cash adjustment -70.75%2.14M-1.92%1.07M-12.24%8.79M113.75%235.05K-93.13%165K-5.31%7.3M-32.55%1.09M3.51%10.02M-152.67%-1.71M23.46%2.4M
Total adjustment of non-cash items 4,932.44%33.67M-156.17%-3.42M-53.32%13.56M-127.40%-3.98M26.79%10.79M-60.97%669K41.83%6.08M92.57%29.05M5,251.79%14.54M37.57%8.51M
-Depreciation and amortization -1.48%6.94M26.22%6.67M36.16%25.83M26.94%6.8M43.04%6.72M47.51%7.04M27.24%5.28M36.19%18.97M37.34%5.35M29.72%4.7M
-Reversal of impairment losses recognized in profit and loss 100.82%1K--1K785.30%7.59M1,504.03%7.91M-123.19%-195K-141.92%-122K--0120.46%857.64K-2,778.83%-563.36K--841K
-Assets reserve and write-off --0--0-105.65%-300.9K----------0---313K1,406.99%5.33M--------
-Share of associates --0--068.22%-2.11M111.60%605.71K-176.77%-1.29M10.90%-1.61M114.03%183K-33.36%-6.65M-143.29%-5.22M241.31%1.68M
-Disposal profit -109.21%-159K--0---16.7M---16.62M---4K---76K--0--0--0--0
-Net exchange gains and losses 385.07%20.76M-674.38%-13.69M-1,955.91%-11.57M-179.75%-4.97M285.02%2.45M-99.32%-7.28M-181.53%-1.77M132.08%623.5K245.18%6.23M-167.66%-1.32M
-Other non-cash items 125.21%6.13M33.62%3.61M9.09%10.83M-23.97%2.6M7.42%2.81M28.84%2.72M51.57%2.7M35.14%9.92M81.54%3.42M44.88%2.62M
Changes in working capital -4,805.60%-75.67M-7,757.81%-132.25M-22.70%-17.79M-166.20%-23.03M128.24%5.31M-87.39%1.61M96.11%-1.68M-128.23%-14.5M4.29%34.79M-1,363.26%-18.81M
-Change in receivables --------40.29%-31.67M-----------------41.87%-53.04M--------
-Change in inventory ---------252.64%-27.35M----------------60.68%-7.76M--------
-Change in payables ---------10.94%41.23M-----------------57.33%46.29M--------
-Changes in other current assets 54.95%-34.72M-84.41%6.67M---------267.08%-73.88M-133.68%-77.05M3,723.77%42.79M--------3,187.78%44.22M
-Changes in other current liabilities -152.06%-40.95M-212.38%-138.92M--------225.64%79.19M72.02%78.66M-0.26%-44.47M---------2,257.72%-63.03M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -24.31%-10.82M-22.15%-8.71M
Interest received (cash flow from operating activities) 25.31%87.1K77.56%69.51K
Tax refund paid 1.96%-1.2M45.44%-1.02M-37.62%-6.29M58.73%-1.27M-323.35%-1.92M-30.46%-1.23M-1,622.02%-1.88M-833.99%-4.57M-3,562.95%-3.07M-50.83%-454K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -591.80%-41.07M-3,851.51%-135.62M-209.74%-12.47M-207.99%-38.78M271.82%14.35M-60.68%8.35M109.66%3.62M-83.43%11.36M22.47%35.91M-189.60%-8.35M
Investing cash flow
Net PPE purchase and sale 44.35%-7.64M66.44%-3.21M49.90%-15.47M209.01%4.85M133.85%2.96M5.49%-13.72M-200.94%-9.56M-5.18%-30.89M64.54%-4.45M11.90%-8.74M
Net business purchase and sale -3,660.00%-534K121.65%150K95.81%-672.45K100.52%5.55K--0100.14%15K---693K-991,005.56%-16.03M-109.12%-1.07M---4.61M
Net investment product transactions --------------------------0------------
Advance cash and loans provided to other parties ----------0------------------0--------
Interest received (cash flow from investment activities) 595.24%146K-61.76%13K--------10.00%11K-4.55%21K78.95%34K--------0.00%10K
Investing cash flow 41.37%-8.02M70.19%-3.05M65.59%-16.15M185.96%4.79M122.26%2.97M44.91%-13.69M-223.62%-10.22M-59.91%-46.92M-591.28%-5.57M-34.62%-13.35M
Financing cash flow
Net issuance payments of debt 10,582.43%76.59M12,969.49%144.27M-152.89%-16.25M-26.38%-18.56M-64.37%2.72M-98.25%717K64.80%-1.12M298.81%30.72M5.11%-14.69M863.34%7.62M
Net common stock issuance ------0-73.65%5.76M699,188.21%5.76M----------0151.63%21.84M100.01%823--6.78M
Increase or decrease of lease financing -53.52%-763K13.62%-926K-14.63%-3.89M-49.46%-1.36M-18.00%-957K51.70%-497K-67.24%-1.07M-414.20%-3.39M-268.47%-913K-0.87%-811K
Cash dividends paid -------------------------------1.76M---377----
Interest paid (cash flow from financing activities) -128.81%-6.27M-32.61%-3.62M---------7.43%-2.82M-28.49%-2.74M-51.86%-2.73M---------44.63%-2.63M
Net other fund-raising expenses -136.65%-4.26M11.97%-3.39M-56.69%1.12M26.20%10.65M-434.30%-3.88M---1.8M---3.85M28.39%2.58M97.34%8.44M-264.63%-726K
Financing cash flow 1,610.39%65.29M1,653.61%136.33M-126.54%-13.27M890.81%4.77M-158.31%-4.94M-113.18%-4.32M-194.11%-8.78M1,284.04%49.99M96.59%-603.53K539.98%8.47M
Net cash flow
Beginning cash position -19.91%36.19M-54.95%26.93M26.98%59.17M40.36%44.65M-16.23%37.8M185.58%45.19M26.94%59.79M301.68%46.6M-11.02%31.81M17.71%45.12M
Current changes in cash 267.79%16.21M84.82%-2.34M-390.34%-41.88M-198.26%-29.22M193.60%12.38M-133.09%-9.66M50.81%-15.38M-58.78%14.42M175.13%29.74M-424.59%-13.23M
Effect of exchange rate changes -777.30%-19.55M1,384.51%11.59M620.56%9.64M713.33%11.5M-6,478.57%-5.53M2,476.79%2.89M15,720.00%781K-62,810.90%-1.85M-196,831.69%-1.87M-320.00%-84K
End cash Position -13.09%32.85M-19.91%36.19M-54.48%26.93M-54.48%26.93M40.36%44.65M-16.23%37.8M185.58%45.19M26.98%59.17M26.98%59.17M-11.02%31.81M
Free cash flow -811.10%-48.94M-2,233.62%-138.83M-44.36%-28.19M-208.17%-34.03M200.38%17.16M-179.96%-5.37M85.35%-5.95M-149.83%-19.53M87.58%31.46M-2,725.62%-17.1M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

Analysis

Analyst Rating

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Price Target

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