SG Stock MarketDetailed Quotes

1C0 ETC Singapore

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  • 0.034
  • 0.0000.00%
10min DelayMarket Closed Apr 12 09:00 CST
33.39MMarket Cap-3400P/E (TTM)

ETC Singapore 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
-59.34%2.69M
260.62%5.11M
209.61%22.5M
-39.17%1.69M
580.83%12.79M
346.79%6.61M
24.85%1.42M
89.89%7.27M
16.01%2.78M
4,273.33%1.88M
Net profit before non-cash adjustment
54.75%-2.65M
-9.04%-3.43M
55.53%-23.38M
75.40%-5.32M
14.57%-9.07M
44.91%-5.85M
67.70%-3.14M
-72.38%-52.57M
-67.30%-21.61M
-169.65%-10.62M
Total adjustment of non-cash items
-49.42%1.74M
-36.84%1.4M
-82.78%8.39M
-100.11%-21K
-73.15%2.76M
-65.40%3.43M
-75.98%2.21M
77.11%48.73M
91.75%19.3M
132.89%10.3M
-Depreciation and amortization
108.70%48K
43.48%33K
-50.76%130K
34.78%62K
-67.65%22K
-67.14%23K
-71.25%23K
-37.59%264K
-54.00%46K
-18.07%68K
-Reversal of impairment losses recognized in profit and loss
----
----
--0
----
----
----
----
-102.43%-95K
----
----
-Assets reserve and write-off
----
----
--0
--0
----
----
----
422.08%35.77M
159.75%11.2M
225.88%8.27M
-Disposal profit
99.89%-1K
---104K
-109.46%-386K
-89.82%557K
99.36%-3K
-8.67%-940K
--0
-53.54%4.08M
1,043.79%5.47M
-1,419.35%-471K
-Other non-cash items
-61.16%1.69M
-32.94%1.47M
-0.67%8.65M
-123.99%-640K
13.20%2.75M
121.88%4.35M
32.75%2.19M
15.35%8.7M
14.90%2.67M
32.51%2.43M
Changes in working capital
-60.14%3.6M
204.09%7.14M
237.50%37.49M
38.12%7.03M
767.51%19.09M
316.58%9.02M
41.87%2.35M
63.12%11.11M
-3.01%5.09M
516.86%2.2M
-Change in receivables
-606.37%-2.15M
54.88%-208K
-46.03%1.05M
-128.29%-170K
9.62%1.25M
672.97%424K
-272.01%-461K
-47.81%1.94M
-37.53%601K
17.96%1.14M
-Change in inventory
-24.22%4.76M
215.34%7.3M
194.28%35M
198.48%13M
344.43%13.4M
17.58%6.28M
382.54%2.31M
184.52%11.89M
51.20%4.36M
405.57%3.02M
-Change in payables
72.60%2.61M
641.99%2.5M
125.56%849K
-117.70%-608K
111.22%408K
145.65%1.51M
-344.44%-462K
-3,710.87%-3.32M
-27.91%3.44M
21.38%-3.64M
-Changes in other current assets
-301.74%-1.62M
-356.32%-2.45M
-1.00%592K
-57.26%-5.2M
140.11%4.03M
285.17%805K
-52.55%957K
150.85%598K
1.72%-3.31M
-59.22%1.68M
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
0
0
-111K
-13K
-23K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-59.34%2.69M
260.62%5.11M
214.41%22.5M
-38.88%1.69M
589.27%12.79M
370.66%6.61M
24.85%1.42M
86.99%7.16M
15.47%2.76M
4,222.22%1.86M
Investing cash flow
Net PPE purchase and sale
----
----
-3,170.59%-522K
-1,731.25%-522K
--0
----
----
168.00%17K
328.57%32K
--0
Net investment property transactions
----
----
-29.17%-93K
---93K
----
----
----
-700.00%-72K
--0
---1K
Repayment of advance payments to other parties and cash income from loans
----
----
----
----
----
----
----
--95K
----
----
Interest received (cash flow from investment activities)
660.00%38K
57.14%11K
189.47%55K
200.00%24K
533.33%19K
-28.57%5K
600.00%7K
171.43%19K
300.00%8K
0.00%3K
Investing cash flow
-3,720.00%-181K
57.14%11K
-1,049.15%-560K
-537.78%-591K
850.00%19K
600.00%5K
109.09%7K
318.52%59K
1,225.00%135K
-33.33%2K
Financing cash flow
Net issuance payments of debt
-12.18%-2.71M
--0
-506.22%-13.65M
-18.15%-1.61M
-7,439.34%-8.95M
-846.67%-2.41M
11.49%-670K
-109.01%-2.25M
-580.92%-1.36M
913.33%122K
Increase or decrease of lease financing
56.68%-454K
-0.90%-448K
-77.45%-2.99M
100.09%1K
-11,430.77%-1.5M
-17,366.67%-1.05M
17.01%-444K
-2,805.17%-1.69M
---1.13M
-44.44%-13K
Interest paid (cash flow from financing activities)
61.56%-788K
2.58%-792K
-73.92%-4.59M
36.16%-745K
-12.64%-980K
-384.63%-2.05M
-356.74%-813K
-281.77%-2.64M
-2,101.89%-1.17M
-394.32%-870K
Net other fund-raising expenses
487.65%2.86M
-33.61%-1.75M
-238.86%-929K
-121.61%-704K
120.13%598K
314.10%486K
-314.94%-1.31M
245.43%669K
1,851.61%3.26M
-2,876.64%-2.97M
Financing cash flow
78.23%-1.09M
7.63%-2.99M
-275.16%-22.15M
-662.09%-3.06M
-190.33%-10.84M
-451.70%-5.03M
-275.84%-3.24M
-158.31%-5.91M
-1,011.36%-401K
-3,912.90%-3.73M
Net cash flow
Beginning cash position
240.71%5.45M
-10.78%3.13M
31.30%3.51M
251.81%5.24M
-3.38%3.25M
-44.42%1.6M
31.30%3.51M
87.57%2.67M
161.05%1.49M
141.09%3.37M
Current changes in cash
-11.03%1.41M
217.66%2.13M
-116.34%-214K
-178.49%-1.96M
205.07%1.97M
222.56%1.59M
-1,019.80%-1.81M
-13.47%1.31M
2.97%2.5M
-1,288.89%-1.88M
Effect of exchange rate changes
-757.35%-447K
294.79%187K
65.40%-164K
69.18%-147K
320.00%11K
6,900.00%68K
-1,166.67%-96K
-77.53%-474K
-47.68%-477K
-123.81%-5K
End cash Position
97.08%6.41M
240.71%5.45M
-10.78%3.13M
-10.78%3.13M
251.81%5.24M
-3.38%3.25M
-44.42%1.6M
31.30%3.51M
31.30%3.51M
161.05%1.49M
Free cash flow
-62.65%2.47M
260.62%5.11M
207.71%21.98M
-57.80%1.17M
589.27%12.79M
372.34%6.61M
25.96%1.42M
87.85%7.14M
16.19%2.76M
4,222.22%1.86M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(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 -59.34%2.69M260.62%5.11M209.61%22.5M-39.17%1.69M580.83%12.79M346.79%6.61M24.85%1.42M89.89%7.27M16.01%2.78M4,273.33%1.88M
Net profit before non-cash adjustment 54.75%-2.65M-9.04%-3.43M55.53%-23.38M75.40%-5.32M14.57%-9.07M44.91%-5.85M67.70%-3.14M-72.38%-52.57M-67.30%-21.61M-169.65%-10.62M
Total adjustment of non-cash items -49.42%1.74M-36.84%1.4M-82.78%8.39M-100.11%-21K-73.15%2.76M-65.40%3.43M-75.98%2.21M77.11%48.73M91.75%19.3M132.89%10.3M
-Depreciation and amortization 108.70%48K43.48%33K-50.76%130K34.78%62K-67.65%22K-67.14%23K-71.25%23K-37.59%264K-54.00%46K-18.07%68K
-Reversal of impairment losses recognized in profit and loss ----------0-----------------102.43%-95K--------
-Assets reserve and write-off ----------0--0------------422.08%35.77M159.75%11.2M225.88%8.27M
-Disposal profit 99.89%-1K---104K-109.46%-386K-89.82%557K99.36%-3K-8.67%-940K--0-53.54%4.08M1,043.79%5.47M-1,419.35%-471K
-Other non-cash items -61.16%1.69M-32.94%1.47M-0.67%8.65M-123.99%-640K13.20%2.75M121.88%4.35M32.75%2.19M15.35%8.7M14.90%2.67M32.51%2.43M
Changes in working capital -60.14%3.6M204.09%7.14M237.50%37.49M38.12%7.03M767.51%19.09M316.58%9.02M41.87%2.35M63.12%11.11M-3.01%5.09M516.86%2.2M
-Change in receivables -606.37%-2.15M54.88%-208K-46.03%1.05M-128.29%-170K9.62%1.25M672.97%424K-272.01%-461K-47.81%1.94M-37.53%601K17.96%1.14M
-Change in inventory -24.22%4.76M215.34%7.3M194.28%35M198.48%13M344.43%13.4M17.58%6.28M382.54%2.31M184.52%11.89M51.20%4.36M405.57%3.02M
-Change in payables 72.60%2.61M641.99%2.5M125.56%849K-117.70%-608K111.22%408K145.65%1.51M-344.44%-462K-3,710.87%-3.32M-27.91%3.44M21.38%-3.64M
-Changes in other current assets -301.74%-1.62M-356.32%-2.45M-1.00%592K-57.26%-5.2M140.11%4.03M285.17%805K-52.55%957K150.85%598K1.72%-3.31M-59.22%1.68M
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 00-111K-13K-23K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -59.34%2.69M260.62%5.11M214.41%22.5M-38.88%1.69M589.27%12.79M370.66%6.61M24.85%1.42M86.99%7.16M15.47%2.76M4,222.22%1.86M
Investing cash flow
Net PPE purchase and sale ---------3,170.59%-522K-1,731.25%-522K--0--------168.00%17K328.57%32K--0
Net investment property transactions ---------29.17%-93K---93K-------------700.00%-72K--0---1K
Repayment of advance payments to other parties and cash income from loans ------------------------------95K--------
Interest received (cash flow from investment activities) 660.00%38K57.14%11K189.47%55K200.00%24K533.33%19K-28.57%5K600.00%7K171.43%19K300.00%8K0.00%3K
Investing cash flow -3,720.00%-181K57.14%11K-1,049.15%-560K-537.78%-591K850.00%19K600.00%5K109.09%7K318.52%59K1,225.00%135K-33.33%2K
Financing cash flow
Net issuance payments of debt -12.18%-2.71M--0-506.22%-13.65M-18.15%-1.61M-7,439.34%-8.95M-846.67%-2.41M11.49%-670K-109.01%-2.25M-580.92%-1.36M913.33%122K
Increase or decrease of lease financing 56.68%-454K-0.90%-448K-77.45%-2.99M100.09%1K-11,430.77%-1.5M-17,366.67%-1.05M17.01%-444K-2,805.17%-1.69M---1.13M-44.44%-13K
Interest paid (cash flow from financing activities) 61.56%-788K2.58%-792K-73.92%-4.59M36.16%-745K-12.64%-980K-384.63%-2.05M-356.74%-813K-281.77%-2.64M-2,101.89%-1.17M-394.32%-870K
Net other fund-raising expenses 487.65%2.86M-33.61%-1.75M-238.86%-929K-121.61%-704K120.13%598K314.10%486K-314.94%-1.31M245.43%669K1,851.61%3.26M-2,876.64%-2.97M
Financing cash flow 78.23%-1.09M7.63%-2.99M-275.16%-22.15M-662.09%-3.06M-190.33%-10.84M-451.70%-5.03M-275.84%-3.24M-158.31%-5.91M-1,011.36%-401K-3,912.90%-3.73M
Net cash flow
Beginning cash position 240.71%5.45M-10.78%3.13M31.30%3.51M251.81%5.24M-3.38%3.25M-44.42%1.6M31.30%3.51M87.57%2.67M161.05%1.49M141.09%3.37M
Current changes in cash -11.03%1.41M217.66%2.13M-116.34%-214K-178.49%-1.96M205.07%1.97M222.56%1.59M-1,019.80%-1.81M-13.47%1.31M2.97%2.5M-1,288.89%-1.88M
Effect of exchange rate changes -757.35%-447K294.79%187K65.40%-164K69.18%-147K320.00%11K6,900.00%68K-1,166.67%-96K-77.53%-474K-47.68%-477K-123.81%-5K
End cash Position 97.08%6.41M240.71%5.45M-10.78%3.13M-10.78%3.13M251.81%5.24M-3.38%3.25M-44.42%1.6M31.30%3.51M31.30%3.51M161.05%1.49M
Free cash flow -62.65%2.47M260.62%5.11M207.71%21.98M-57.80%1.17M589.27%12.79M372.34%6.61M25.96%1.42M87.85%7.14M16.19%2.76M4,222.22%1.86M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Price Target

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