SG Stock MarketDetailed Quotes

1F0 Shopper360

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  • 0.070
  • 0.0000.00%
10min DelayTrading Dec 13 11:16 CST
7.62MMarket Cap10.00P/E (TTM)

Shopper360 Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)May 31, 2024
(FY)May 31, 2023
(FY)May 31, 2022
(FY)May 31, 2021
(FY)May 31, 2020
(FY)May 31, 2019
(FY)May 31, 2018
(FY)May 31, 2017
(FY)May 31, 2016
(FY)May 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities
19.23%4.05M
0.92%3.4M
-76.40%3.37M
79.33%14.27M
-8.32%7.96M
-20.52%8.68M
15.83%10.92M
-28.71%9.43M
67.05%13.22M
-2.30%7.92M
Net profit before non-cash adjustment
-66.92%4.17M
67.68%12.6M
-25.36%7.52M
42.97%10.07M
-9.39%7.04M
-16.79%7.77M
-16.39%9.34M
-35.37%11.17M
87.81%17.29M
28.44%9.2M
Total adjustment of non-cash items
113.17%1.09M
-381.03%-8.26M
7.86%2.94M
-34.21%2.73M
57.08%4.14M
56.11%2.64M
-50.15%1.69M
187.56%3.39M
-553.59%-3.87M
-51.75%853.38K
-Depreciation and amortization
9.32%2.82M
-7.09%2.58M
-16.01%2.78M
-3.54%3.3M
64.01%3.43M
28.96%2.09M
2.32%1.62M
40.05%1.58M
25.10%1.13M
-3.59%903.5K
-Reversal of impairment losses recognized in profit and loss
-63.52%175.31K
160.43%480.49K
223.03%184.5K
-118.40%-149.96K
23.13%815.15K
1,904.75%662.01K
2,744.27%33.02K
-98.35%1.16K
3,251.69%70.49K
-99.58%2.1K
-Assets reserve and write-off
----
----
---146.95K
----
----
----
----
----
----
----
-Share of associates
-65.96%115.01K
22.24%337.92K
599.28%276.45K
561.42%39.53K
-95.56%5.98K
--134.67K
--0
----
----
----
-Disposal profit
82.96%-2.01M
---11.82M
--0
-86.57%-91.01K
---48.78K
--0
--0
114.80%720.92K
-2,829.86%-4.87M
14.62%-166.22K
-Net exchange gains and losses
268.68%146.96K
131.38%39.86K
56.88%-127.02K
-617.54%-294.58K
131.55%56.92K
-89.26%24.58K
--228.89K
--0
----
----
-Other non-cash items
-227.58%-154.17K
625.88%120.84K
72.32%-22.98K
25.95%-83.03K
58.87%-112.12K
-41.87%-272.6K
-117.72%-192.14K
637.91%1.08M
-276.81%-201.56K
-78.10%114K
Changes in working capital
-27.84%-1.2M
86.70%-942.25K
-580.75%-7.09M
145.65%1.47M
-86.46%-3.23M
-1,462.14%-1.73M
97.84%-110.85K
-2,597.92%-5.13M
91.11%-190.27K
-157.30%-2.14M
-Change in receivables
198.20%2.42M
69.71%-2.46M
-990.51%-8.14M
-81.38%913.85K
204.67%4.91M
-861.79%-4.69M
94.97%-487.42K
-416.00%-9.69M
54.31%-1.88M
-51.70%-4.11M
-Change in inventory
9.06%-180.93K
70.59%-198.96K
-127.92%-676.5K
---296.81K
--0
----
----
-194.38%-332.05K
-137.46%-112.8K
348.92%301.11K
-Change in payables
-270.24%-3.55M
7.85%2.09M
28.79%1.93M
118.20%1.5M
-388.58%-8.25M
634.52%2.86M
-92.04%389.2K
171.50%4.89M
7.94%1.8M
-16.53%1.67M
-Changes in other current assets
129.30%106.71K
-76.53%-364.23K
67.99%-206.33K
-665.38%-644.57K
16.76%114.01K
873.61%97.65K
---12.62K
--0
----
----
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
10.38%-2.84M
-45.37%-3.17M
-51.82%-2.18M
36.90%-1.44M
40.11%-2.28M
-0.02%-3.8M
25.08%-3.8M
-24.07%-5.07M
-14.50%-4.09M
-65.66%-3.57M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
511K
0
Operating cash flow
430.93%1.21M
-80.78%228.1K
-90.75%1.19M
125.91%12.83M
16.47%5.68M
-31.49%4.88M
63.50%7.12M
-54.86%4.35M
122.01%9.65M
-26.94%4.34M
Investing cash flow
Net PPE purchase and sale
2.23%-830.66K
39.45%-849.64K
-61.15%-1.4M
-29.62%-870.69K
47.67%-671.75K
-66.78%-1.28M
59.37%-769.67K
-154.49%-1.89M
317.18%3.48M
-959.26%-1.6M
Net intangibles purchase and sale
---601.78K
--0
----
--94K
----
----
----
----
----
--0
Net business purchase and sale
-38.22%2.44M
231.73%3.95M
---3M
--0
----
----
----
-230.92%-1.23M
---370.29K
--0
Net investment product transactions
-114.40%-1.73M
-175.15%-808.13K
124.23%1.08M
-335.97%-4.44M
-2,830.75%-1.02M
96.81%-34.74K
-141.67%-1.09M
-51.05%2.62M
-0.30%5.35M
170.94%5.36M
Advance cash and loans provided to other parties
----
----
---1M
--0
----
----
----
----
----
----
Dividends received (cash flow from investment activities)
----
----
----
----
----
----
----
-95.52%14.1K
508.15%314.48K
-22.49%51.71K
Interest received (cash flow from investment activities)
123.33%384.43K
8.27%172.14K
-5.28%158.99K
-41.66%167.85K
1.81%287.72K
20.95%282.61K
2.71%233.65K
0.15%227.47K
-53.75%227.13K
100.74%491.09K
Investing cash flow
-113.66%-337.32K
159.19%2.47M
17.37%-4.17M
-259.99%-5.05M
-35.37%-1.4M
36.32%-1.04M
-523.86%-1.63M
-102.90%-260.71K
108.92%8.99M
158.30%4.31M
Financing cash flow
Net issuance payments of debt
14.46%-1.55M
-136.38%-1.81M
--4.98M
--0
----
12.50%-67.88K
7.66%-77.58K
79.06%-84.01K
-293.51%-401.19K
-4.84%-101.95K
Net common stock issuance
----
----
----
5.68%-858.65K
---910.38K
--0
3,669.15%15.08M
--400K
--0
--100
Increase or decrease of lease financing
-2.49%-1.7M
10.04%-1.66M
-24.55%-1.84M
-17.95%-1.48M
---1.25M
--0
----
----
----
----
Cash dividends paid
-53.95%-1.89M
59.52%-1.22M
---3.03M
----
52.50%-983.19K
73.91%-2.07M
50.60%-7.93M
-167.60%-16.06M
-16.86%-6M
---5.13M
Cash dividends for minorities
-36.71%-750.66K
---549.1K
--0
----
----
--0
40.00%-765K
---1.28M
--0
----
Interest paid (cash flow from financing activities)
21.36%-233.63K
-102.45%-297.08K
-23.62%-146.74K
31.88%-118.7K
-1,640.45%-174.25K
75.88%-10.01K
-255.71%-41.51K
-369.58%-11.67K
86.24%-2.49K
25.09%-18.06K
Net other fund-raising expenses
----
----
-118.74%-187.49K
1.69%-85.71K
-115.95%-87.19K
6,078.34%546.78K
---9.15K
----
----
----
Financing cash flow
-10.44%-6.12M
-2,369.87%-5.54M
91.18%-224.22K
25.43%-2.54M
-112.93%-3.41M
-125.61%-1.6M
136.71%6.25M
-165.89%-17.03M
-21.87%-6.4M
-4,230.00%-5.25M
Net cash flow
Beginning cash position
-11.75%21.63M
-11.17%24.51M
25.11%27.59M
3.82%22.05M
11.65%21.24M
153.28%19.03M
-63.26%7.51M
149.07%20.45M
70.56%8.21M
-24.47%4.81M
Current changes in cash
-84.53%-5.24M
11.45%-2.84M
-161.20%-3.21M
503.07%5.24M
-61.20%869.31K
-80.92%2.24M
190.79%11.74M
-205.69%-12.93M
260.36%12.24M
317.74%3.4M
Effect of exchange rate changes
-268.68%-146.96K
-131.38%-39.86K
-56.88%127.02K
617.53%294.58K
-131.56%-56.92K
89.26%-24.58K
---228.89K
--0
----
----
End cash Position
-24.92%16.24M
-11.75%21.63M
-11.17%24.51M
25.11%27.59M
3.82%22.05M
11.65%21.24M
153.28%19.03M
-63.26%7.51M
149.07%20.45M
70.56%8.21M
Free cash flow
37.53%-393.33K
-189.39%-629.6K
-101.83%-217.56K
143.72%11.87M
35.55%4.87M
-43.40%3.59M
196.43%6.35M
-63.65%2.14M
117.57%5.89M
-51.60%2.71M
Currency Unit
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
(FY)May 31, 2024(FY)May 31, 2023(FY)May 31, 2022(FY)May 31, 2021(FY)May 31, 2020(FY)May 31, 2019(FY)May 31, 2018(FY)May 31, 2017(FY)May 31, 2016(FY)May 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities 19.23%4.05M0.92%3.4M-76.40%3.37M79.33%14.27M-8.32%7.96M-20.52%8.68M15.83%10.92M-28.71%9.43M67.05%13.22M-2.30%7.92M
Net profit before non-cash adjustment -66.92%4.17M67.68%12.6M-25.36%7.52M42.97%10.07M-9.39%7.04M-16.79%7.77M-16.39%9.34M-35.37%11.17M87.81%17.29M28.44%9.2M
Total adjustment of non-cash items 113.17%1.09M-381.03%-8.26M7.86%2.94M-34.21%2.73M57.08%4.14M56.11%2.64M-50.15%1.69M187.56%3.39M-553.59%-3.87M-51.75%853.38K
-Depreciation and amortization 9.32%2.82M-7.09%2.58M-16.01%2.78M-3.54%3.3M64.01%3.43M28.96%2.09M2.32%1.62M40.05%1.58M25.10%1.13M-3.59%903.5K
-Reversal of impairment losses recognized in profit and loss -63.52%175.31K160.43%480.49K223.03%184.5K-118.40%-149.96K23.13%815.15K1,904.75%662.01K2,744.27%33.02K-98.35%1.16K3,251.69%70.49K-99.58%2.1K
-Assets reserve and write-off -----------146.95K----------------------------
-Share of associates -65.96%115.01K22.24%337.92K599.28%276.45K561.42%39.53K-95.56%5.98K--134.67K--0------------
-Disposal profit 82.96%-2.01M---11.82M--0-86.57%-91.01K---48.78K--0--0114.80%720.92K-2,829.86%-4.87M14.62%-166.22K
-Net exchange gains and losses 268.68%146.96K131.38%39.86K56.88%-127.02K-617.54%-294.58K131.55%56.92K-89.26%24.58K--228.89K--0--------
-Other non-cash items -227.58%-154.17K625.88%120.84K72.32%-22.98K25.95%-83.03K58.87%-112.12K-41.87%-272.6K-117.72%-192.14K637.91%1.08M-276.81%-201.56K-78.10%114K
Changes in working capital -27.84%-1.2M86.70%-942.25K-580.75%-7.09M145.65%1.47M-86.46%-3.23M-1,462.14%-1.73M97.84%-110.85K-2,597.92%-5.13M91.11%-190.27K-157.30%-2.14M
-Change in receivables 198.20%2.42M69.71%-2.46M-990.51%-8.14M-81.38%913.85K204.67%4.91M-861.79%-4.69M94.97%-487.42K-416.00%-9.69M54.31%-1.88M-51.70%-4.11M
-Change in inventory 9.06%-180.93K70.59%-198.96K-127.92%-676.5K---296.81K--0---------194.38%-332.05K-137.46%-112.8K348.92%301.11K
-Change in payables -270.24%-3.55M7.85%2.09M28.79%1.93M118.20%1.5M-388.58%-8.25M634.52%2.86M-92.04%389.2K171.50%4.89M7.94%1.8M-16.53%1.67M
-Changes in other current assets 129.30%106.71K-76.53%-364.23K67.99%-206.33K-665.38%-644.57K16.76%114.01K873.61%97.65K---12.62K--0--------
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 10.38%-2.84M-45.37%-3.17M-51.82%-2.18M36.90%-1.44M40.11%-2.28M-0.02%-3.8M25.08%-3.8M-24.07%-5.07M-14.50%-4.09M-65.66%-3.57M
Other operating cash inflow (outflow) 00000000511K0
Operating cash flow 430.93%1.21M-80.78%228.1K-90.75%1.19M125.91%12.83M16.47%5.68M-31.49%4.88M63.50%7.12M-54.86%4.35M122.01%9.65M-26.94%4.34M
Investing cash flow
Net PPE purchase and sale 2.23%-830.66K39.45%-849.64K-61.15%-1.4M-29.62%-870.69K47.67%-671.75K-66.78%-1.28M59.37%-769.67K-154.49%-1.89M317.18%3.48M-959.26%-1.6M
Net intangibles purchase and sale ---601.78K--0------94K----------------------0
Net business purchase and sale -38.22%2.44M231.73%3.95M---3M--0-------------230.92%-1.23M---370.29K--0
Net investment product transactions -114.40%-1.73M-175.15%-808.13K124.23%1.08M-335.97%-4.44M-2,830.75%-1.02M96.81%-34.74K-141.67%-1.09M-51.05%2.62M-0.30%5.35M170.94%5.36M
Advance cash and loans provided to other parties -----------1M--0------------------------
Dividends received (cash flow from investment activities) -----------------------------95.52%14.1K508.15%314.48K-22.49%51.71K
Interest received (cash flow from investment activities) 123.33%384.43K8.27%172.14K-5.28%158.99K-41.66%167.85K1.81%287.72K20.95%282.61K2.71%233.65K0.15%227.47K-53.75%227.13K100.74%491.09K
Investing cash flow -113.66%-337.32K159.19%2.47M17.37%-4.17M-259.99%-5.05M-35.37%-1.4M36.32%-1.04M-523.86%-1.63M-102.90%-260.71K108.92%8.99M158.30%4.31M
Financing cash flow
Net issuance payments of debt 14.46%-1.55M-136.38%-1.81M--4.98M--0----12.50%-67.88K7.66%-77.58K79.06%-84.01K-293.51%-401.19K-4.84%-101.95K
Net common stock issuance ------------5.68%-858.65K---910.38K--03,669.15%15.08M--400K--0--100
Increase or decrease of lease financing -2.49%-1.7M10.04%-1.66M-24.55%-1.84M-17.95%-1.48M---1.25M--0----------------
Cash dividends paid -53.95%-1.89M59.52%-1.22M---3.03M----52.50%-983.19K73.91%-2.07M50.60%-7.93M-167.60%-16.06M-16.86%-6M---5.13M
Cash dividends for minorities -36.71%-750.66K---549.1K--0----------040.00%-765K---1.28M--0----
Interest paid (cash flow from financing activities) 21.36%-233.63K-102.45%-297.08K-23.62%-146.74K31.88%-118.7K-1,640.45%-174.25K75.88%-10.01K-255.71%-41.51K-369.58%-11.67K86.24%-2.49K25.09%-18.06K
Net other fund-raising expenses ---------118.74%-187.49K1.69%-85.71K-115.95%-87.19K6,078.34%546.78K---9.15K------------
Financing cash flow -10.44%-6.12M-2,369.87%-5.54M91.18%-224.22K25.43%-2.54M-112.93%-3.41M-125.61%-1.6M136.71%6.25M-165.89%-17.03M-21.87%-6.4M-4,230.00%-5.25M
Net cash flow
Beginning cash position -11.75%21.63M-11.17%24.51M25.11%27.59M3.82%22.05M11.65%21.24M153.28%19.03M-63.26%7.51M149.07%20.45M70.56%8.21M-24.47%4.81M
Current changes in cash -84.53%-5.24M11.45%-2.84M-161.20%-3.21M503.07%5.24M-61.20%869.31K-80.92%2.24M190.79%11.74M-205.69%-12.93M260.36%12.24M317.74%3.4M
Effect of exchange rate changes -268.68%-146.96K-131.38%-39.86K-56.88%127.02K617.53%294.58K-131.56%-56.92K89.26%-24.58K---228.89K--0--------
End cash Position -24.92%16.24M-11.75%21.63M-11.17%24.51M25.11%27.59M3.82%22.05M11.65%21.24M153.28%19.03M-63.26%7.51M149.07%20.45M70.56%8.21M
Free cash flow 37.53%-393.33K-189.39%-629.6K-101.83%-217.56K143.72%11.87M35.55%4.87M-43.40%3.59M196.43%6.35M-63.65%2.14M117.57%5.89M-51.60%2.71M
Currency Unit MYRMYRMYRMYRMYRMYRMYRMYRMYRMYR
Heat List
SG
Overall
Symbol
Price
% Chg

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