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1023 CIMB

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  • 7.260
  • -0.260-3.46%
15min DelayMarket Closed Mar 11 16:52 CST
77.92BMarket Cap10.08P/E (TTM)

CIMB Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(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
Operating cash flow (Indirect Method)
Cash from operating activities
-63.67%4.15B
611.80%8.79B
161.26%1.47B
-426.68%-14.87B
8.92%8.76B
8.17%11.43B
-209.89%-1.72B
67.75%562.14M
-50.62%4.55B
1,578.29%8.04B
Net profit before non-cash adjustment
8.96%10.4B
1.36%2.36B
9.57%2.73B
10.00%2.73B
15.07%2.57B
13.97%9.54B
15.57%2.33B
13.18%2.49B
17.90%2.48B
9.22%2.24B
Total adjustment of non-cash items
-20.06%-4.03B
42.44%-494.77M
-61.08%-1.47B
6.76%-959.48M
-99.60%-1.1B
-353.82%-3.35B
-1,644.75%-859.55M
-214.41%-911.72M
-409.48%-1.03B
-179.57%-552.24M
Changes in working capital
-142.26%-2.22B
317.18%6.93B
120.29%206.63M
-636.98%-16.64B
14.64%7.29B
78.54%5.25B
-690.23%-3.19B
35.42%-1.02B
-57.63%3.1B
365.46%6.35B
-Changes in other current assets
57.22%-20.97B
-1,605.34%-15.08B
171.14%9.64B
60.95%-5.01B
51.59%-10.53B
-1,319.07%-49.02B
-103.42%-884.02M
-36.24%-13.55B
-96.03%-12.84B
-69.53%-21.74B
-Changes in other current liabilities
-65.44%18.76B
1,054.33%22B
-175.27%-9.44B
-172.90%-11.62B
-36.61%17.81B
495.95%54.27B
90.21%-2.31B
49.74%12.54B
14.99%15.94B
169.36%28.1B
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-3.07%-2.28B
34.97%-511.99M
-217.39%-674.47M
8.25%-559.86M
11.42%-531.24M
10.70%-2.21B
-2.65%-787.33M
60.93%-212.5M
4.68%-610.17M
-14.60%-599.74M
Other operating cash inflow (outflow)
Operating cash flow
-79.65%1.88B
430.56%8.28B
127.14%794.16M
-491.48%-15.43B
10.56%8.23B
13.93%9.22B
-414.50%-2.51B
267.46%349.64M
-54.05%3.94B
797.12%7.44B
Investing cash flow
Net PPE purchase and sale
-152.66%-273.92M
-96.13%34.09M
-34.70%3.69M
-20.59%4.68M
15.04%-316.39M
266.55%520.15M
606.43%881.01M
118.22%5.66M
106.08%5.9M
-3,534.74%-372.42M
Net intangibles purchase and sale
-7.53%-607.67M
4.23%-129.78M
-20.77%-158.97M
-32.21%-185.93M
15.47%-132.99M
-2.97%-565.1M
31.14%-135.52M
4.18%-131.64M
-7.62%-140.63M
-87.40%-157.32M
Net investment property transactions
72.96%-7.01B
26.27%-2.99B
66.03%-2.16B
215.23%8.16B
-19.12%-10.02B
-188.62%-25.92B
-660.72%-4.06B
-255.58%-6.37B
-140.61%-7.08B
-126.58%-8.41B
Dividends received (cash flow from investment activities)
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Interest received (cash flow from investment activities)
9.69%5.12B
23.28%1.57B
-20.49%954.75M
12.45%1.28B
24.66%1.31B
20.36%4.66B
22.86%1.28B
22.38%1.2B
20.04%1.14B
15.65%1.05B
Net changes in other investments
381.60%117.26M
887.09%594.35M
-236.46%-480.92M
-43.57%16.24M
95.59%-12.41M
--24.35M
---75.51M
960.69%352.43M
276.95%28.78M
-773.71%-281.35M
Investing cash flow
87.51%-2.66B
56.43%-919.41M
62.67%-1.85B
253.18%9.27B
-12.23%-9.17B
-246.77%-21.28B
-2,159.15%-2.11B
-422.78%-4.94B
-170.01%-6.05B
-186.18%-8.17B
Financing cash flow
Net issuance payments of debt
-5.28%3.58B
-221.28%-2.4B
103.24%3.45B
-4.82%-642.92M
344.77%3.17B
234.83%3.78B
229.95%1.98B
598.34%1.7B
21.13%-613.37M
547.16%713.12M
Cash dividends paid
-72.51%-5.61B
--0
---2.89B
----
----
-400.76%-3.25B
-313.55%-1.87B
--0
----
----
Interest paid (cash flow from financing activities)
-17.60%-1.54B
16.50%-374.03M
-44.11%-406.72M
-1.39%-408.63M
-99.36%-349.26M
-38.97%-1.31B
-4.67%-447.96M
-59.90%-282.23M
-82.32%-403.03M
-51.10%-175.19M
Net other fund-raising expenses
-65.71%998.23M
-120.27%-648.62M
1,148.40%851.97M
568.46%909.08M
-796.78%-114.21M
49,025.26%2.91B
199.52%3.2B
16.55%-81.26M
78.64%-194.06M
77.36%-12.74M
Financing cash flow
-221.04%-2.57B
-219.52%-3.42B
-24.80%1B
-10.21%-2.86B
415.67%2.71B
145.72%2.13B
279.05%2.86B
317.08%1.33B
-23.34%-2.6B
258.35%525.2M
Net cash flow
Beginning cash position
-20.48%34.23B
-30.94%25.44B
-31.06%27.12B
-15.85%36.24B
-21.72%34.23B
-6.65%43.04B
-19.33%36.83B
-14.19%39.34B
4.11%43.06B
-5.17%43.72B
Current changes in cash
66.19%-3.36B
324.95%3.94B
98.53%-48M
-91.30%-9.01B
961.93%1.76B
-268.75%-9.93B
-95.33%-1.75B
-84.27%-3.26B
-211.46%-4.71B
95.19%-204.75M
Effect of exchange rate changes
-175.34%-839.49M
491.42%654.42M
-3,934.13%-1.64B
-110.04%-101.89M
-20.51%244.6M
259.64%1.11B
83.86%-167.19M
-104.60%-40.57M
265.84%1.01B
64.55%307.72M
Cash adjustments other than cash changes
----
----
----
----
----
----
----
----
-2.94%-26.54M
-13.15%-764.57M
End cash Position
-12.26%30.03B
-12.26%30.03B
-30.94%25.44B
-31.06%27.12B
-15.85%36.24B
-20.48%34.23B
-20.48%34.23B
-19.33%36.83B
-14.19%39.34B
4.11%43.06B
Free cash flow
-88.51%995.09M
459.02%8.19B
185.64%638.88M
-510.10%-15.61B
12.54%7.78B
20.46%8.66B
-700.94%-2.28B
159.29%223.66M
-54.41%3.81B
694.96%6.91B
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(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
Operating cash flow (Indirect Method)
Cash from operating activities -63.67%4.15B611.80%8.79B161.26%1.47B-426.68%-14.87B8.92%8.76B8.17%11.43B-209.89%-1.72B67.75%562.14M-50.62%4.55B1,578.29%8.04B
Net profit before non-cash adjustment 8.96%10.4B1.36%2.36B9.57%2.73B10.00%2.73B15.07%2.57B13.97%9.54B15.57%2.33B13.18%2.49B17.90%2.48B9.22%2.24B
Total adjustment of non-cash items -20.06%-4.03B42.44%-494.77M-61.08%-1.47B6.76%-959.48M-99.60%-1.1B-353.82%-3.35B-1,644.75%-859.55M-214.41%-911.72M-409.48%-1.03B-179.57%-552.24M
Changes in working capital -142.26%-2.22B317.18%6.93B120.29%206.63M-636.98%-16.64B14.64%7.29B78.54%5.25B-690.23%-3.19B35.42%-1.02B-57.63%3.1B365.46%6.35B
-Changes in other current assets 57.22%-20.97B-1,605.34%-15.08B171.14%9.64B60.95%-5.01B51.59%-10.53B-1,319.07%-49.02B-103.42%-884.02M-36.24%-13.55B-96.03%-12.84B-69.53%-21.74B
-Changes in other current liabilities -65.44%18.76B1,054.33%22B-175.27%-9.44B-172.90%-11.62B-36.61%17.81B495.95%54.27B90.21%-2.31B49.74%12.54B14.99%15.94B169.36%28.1B
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -3.07%-2.28B34.97%-511.99M-217.39%-674.47M8.25%-559.86M11.42%-531.24M10.70%-2.21B-2.65%-787.33M60.93%-212.5M4.68%-610.17M-14.60%-599.74M
Other operating cash inflow (outflow)
Operating cash flow -79.65%1.88B430.56%8.28B127.14%794.16M-491.48%-15.43B10.56%8.23B13.93%9.22B-414.50%-2.51B267.46%349.64M-54.05%3.94B797.12%7.44B
Investing cash flow
Net PPE purchase and sale -152.66%-273.92M-96.13%34.09M-34.70%3.69M-20.59%4.68M15.04%-316.39M266.55%520.15M606.43%881.01M118.22%5.66M106.08%5.9M-3,534.74%-372.42M
Net intangibles purchase and sale -7.53%-607.67M4.23%-129.78M-20.77%-158.97M-32.21%-185.93M15.47%-132.99M-2.97%-565.1M31.14%-135.52M4.18%-131.64M-7.62%-140.63M-87.40%-157.32M
Net investment property transactions 72.96%-7.01B26.27%-2.99B66.03%-2.16B215.23%8.16B-19.12%-10.02B-188.62%-25.92B-660.72%-4.06B-255.58%-6.37B-140.61%-7.08B-126.58%-8.41B
Dividends received (cash flow from investment activities) --0--0--0--0--0--0--0--0--0--0
Interest received (cash flow from investment activities) 9.69%5.12B23.28%1.57B-20.49%954.75M12.45%1.28B24.66%1.31B20.36%4.66B22.86%1.28B22.38%1.2B20.04%1.14B15.65%1.05B
Net changes in other investments 381.60%117.26M887.09%594.35M-236.46%-480.92M-43.57%16.24M95.59%-12.41M--24.35M---75.51M960.69%352.43M276.95%28.78M-773.71%-281.35M
Investing cash flow 87.51%-2.66B56.43%-919.41M62.67%-1.85B253.18%9.27B-12.23%-9.17B-246.77%-21.28B-2,159.15%-2.11B-422.78%-4.94B-170.01%-6.05B-186.18%-8.17B
Financing cash flow
Net issuance payments of debt -5.28%3.58B-221.28%-2.4B103.24%3.45B-4.82%-642.92M344.77%3.17B234.83%3.78B229.95%1.98B598.34%1.7B21.13%-613.37M547.16%713.12M
Cash dividends paid -72.51%-5.61B--0---2.89B---------400.76%-3.25B-313.55%-1.87B--0--------
Interest paid (cash flow from financing activities) -17.60%-1.54B16.50%-374.03M-44.11%-406.72M-1.39%-408.63M-99.36%-349.26M-38.97%-1.31B-4.67%-447.96M-59.90%-282.23M-82.32%-403.03M-51.10%-175.19M
Net other fund-raising expenses -65.71%998.23M-120.27%-648.62M1,148.40%851.97M568.46%909.08M-796.78%-114.21M49,025.26%2.91B199.52%3.2B16.55%-81.26M78.64%-194.06M77.36%-12.74M
Financing cash flow -221.04%-2.57B-219.52%-3.42B-24.80%1B-10.21%-2.86B415.67%2.71B145.72%2.13B279.05%2.86B317.08%1.33B-23.34%-2.6B258.35%525.2M
Net cash flow
Beginning cash position -20.48%34.23B-30.94%25.44B-31.06%27.12B-15.85%36.24B-21.72%34.23B-6.65%43.04B-19.33%36.83B-14.19%39.34B4.11%43.06B-5.17%43.72B
Current changes in cash 66.19%-3.36B324.95%3.94B98.53%-48M-91.30%-9.01B961.93%1.76B-268.75%-9.93B-95.33%-1.75B-84.27%-3.26B-211.46%-4.71B95.19%-204.75M
Effect of exchange rate changes -175.34%-839.49M491.42%654.42M-3,934.13%-1.64B-110.04%-101.89M-20.51%244.6M259.64%1.11B83.86%-167.19M-104.60%-40.57M265.84%1.01B64.55%307.72M
Cash adjustments other than cash changes ---------------------------------2.94%-26.54M-13.15%-764.57M
End cash Position -12.26%30.03B-12.26%30.03B-30.94%25.44B-31.06%27.12B-15.85%36.24B-20.48%34.23B-20.48%34.23B-19.33%36.83B-14.19%39.34B4.11%43.06B
Free cash flow -88.51%995.09M459.02%8.19B185.64%638.88M-510.10%-15.61B12.54%7.78B20.46%8.66B-700.94%-2.28B159.29%223.66M-54.41%3.81B694.96%6.91B
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.