SG Stock MarketDetailed Quotes

1MZ NamCheong

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  • 0.520
  • +0.005+0.97%
10min DelayMarket Closed Mar 7 16:47 CST
203.94MMarket Cap0.86P/E (TTM)

NamCheong 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
Assets
Current assets
Cash, cash equivalents and short term investments
110.36%135.11M
110.36%135.11M
16.57%99.05M
53.39%70.89M
-27.62%50.06M
2.17%64.23M
2.17%64.23M
9.37%84.97M
2.06%46.22M
115.80%69.16M
-Cash and cash equivalents
122.92%127.82M
122.92%127.82M
15.66%91.78M
42.36%61.55M
-44.11%36.71M
-3.46%57.34M
-3.46%57.34M
4.00%79.35M
-1.52%43.23M
111.81%65.68M
-Short-term investments
5.82%7.29M
5.82%7.29M
29.43%7.27M
213.09%9.35M
283.78%13.35M
98.42%6.89M
98.42%6.89M
304.68%5.62M
115.75%2.99M
234.74%3.48M
-Accounts receivable
-6.10%212.52M
-6.10%212.52M
11.35%261.4M
59.23%316.85M
110.10%218.41M
82.53%226.32M
82.53%226.32M
79.38%234.76M
36.87%198.99M
3.77%103.95M
-Gross accounts receivable
-7.40%229.43M
-7.40%229.43M
7.40%278.69M
45.30%335.35M
91.57%242.62M
68.94%247.77M
68.94%247.77M
67.54%259.49M
38.56%230.8M
4.28%126.65M
-Bad debt provision
21.16%-16.91M
21.16%-16.91M
30.08%-17.29M
41.85%-18.5M
-6.67%-24.21M
5.39%-21.45M
5.39%-21.45M
-3.00%-24.72M
-50.17%-31.81M
-6.68%-22.69M
-Other receivables
113.71%50.43M
113.71%50.43M
49.24%55.62M
0.98%56.04M
-46.00%36.04M
-26.81%23.6M
-26.81%23.6M
55.65%37.27M
77.28%55.5M
76.32%66.74M
Inventory
286.00%92.48M
286.00%92.48M
73.20%36.27M
111.19%36M
74.79%26.9M
76.12%23.96M
76.12%23.96M
83.79%20.94M
-45.00%17.04M
-39.37%15.39M
Prepaid assets
158.62%27.94M
158.62%27.94M
216.23%21.31M
86.84%8.2M
48.51%8.56M
-58.07%10.8M
-58.07%10.8M
-80.82%6.74M
-88.56%4.39M
-85.45%5.76M
Total current assets
48.53%518.52M
48.53%518.52M
23.09%473.74M
53.20%494.65M
30.51%344.46M
34.64%349.09M
34.64%349.09M
37.40%384.87M
10.45%322.88M
11.69%263.93M
Non current assets
Net PPE
30.48%709.61M
30.48%709.61M
34.74%640.63M
33.37%631.81M
35.31%585.61M
27.43%543.84M
27.43%543.84M
18.22%475.45M
30.21%473.73M
22.17%432.79M
-Gross PP&E
----
----
----
----
----
17.42%1.03B
17.42%1.03B
----
----
----
-Accumulated depreciation
----
----
----
----
----
-7.86%-481.8M
-7.86%-481.8M
----
----
----
Total investment
135.23%43.31M
135.23%43.31M
207.31%42.31M
392.86%48.08M
383.48%46.48M
115.96%18.41M
115.96%18.41M
100.39%13.77M
99.96%9.76M
195.60%9.61M
-Long-term equity investment
122.05%40.88M
122.05%40.88M
207.31%42.31M
392.86%48.08M
383.48%46.48M
115.96%18.41M
115.96%18.41M
100.39%13.77M
99.96%9.76M
195.60%9.61M
Total non current assets
33.91%752.91M
33.91%752.91M
39.60%682.94M
40.62%679.89M
42.88%632.09M
29.16%562.25M
29.16%562.25M
19.60%489.22M
31.14%483.48M
23.74%442.4M
Total assets
39.51%1.27B
39.51%1.27B
32.33%1.16B
45.66%1.17B
38.26%976.55M
31.21%911.34M
31.21%911.34M
26.83%874.09M
21.99%806.37M
18.95%706.33M
Liabilities
Current liabilities
-Current debt and capital lease obligation
-96.56%35.86M
-96.56%35.86M
-96.10%40.65M
-96.00%41.63M
-95.76%42.7M
5.43%1.04B
5.43%1.04B
4.36%1.04B
6.76%1.04B
5.12%1.01B
-Including:Current debt
--35.6M
--35.6M
-96.15%40.18M
-96.07%40.94M
-95.84%41.86M
----
----
5.24%1.04B
7.62%1.04B
5.88%1.01B
-Including:Current capital Lease obligation
--262K
--262K
-42.55%474K
-16.28%684K
4.59%843K
----
----
-90.96%825K
-90.49%817K
-89.38%806K
Payables
-35.19%169.32M
-35.19%169.32M
-42.56%200.99M
-31.96%225.49M
-38.47%168.25M
-0.14%261.26M
-0.14%261.26M
28.87%349.9M
18.78%331.39M
13.11%273.43M
-accounts payable
10.23%159.82M
10.23%159.82M
-51.79%160.37M
-40.17%193.36M
-41.63%157.84M
-14.60%144.99M
-14.60%144.99M
25.78%332.68M
16.26%323.17M
12.13%270.41M
-Total tax payable
92.35%9.51M
92.35%9.51M
135.78%40.62M
290.82%32.13M
244.07%10.41M
12.37%4.94M
12.37%4.94M
145.21%17.23M
712.25%8.22M
420.65%3.03M
-Dividends payable
----
----
----
----
----
0.00%146K
0.00%146K
----
----
----
-Other payable
----
----
----
----
----
27.33%111.18M
27.33%111.18M
----
----
----
Current provisions
-41.56%30.32M
-41.56%30.32M
-45.72%27.92M
-37.49%31.97M
-33.96%31.98M
4.56%51.87M
4.56%51.87M
1.25%51.44M
16.13%51.14M
9.96%48.42M
Current liabilities
-82.90%235.5M
-82.90%235.5M
-81.34%269.56M
-79.00%299.08M
-81.72%242.92M
4.97%1.38B
4.97%1.38B
9.28%1.44B
9.66%1.42B
6.85%1.33B
Non current liabilities
-Long term debt and capital lease obligation
161,162.98%422.51M
161,162.98%422.51M
87,174.26%413.68M
66,349.85%454.52M
50,451.85%450.42M
-76.12%262K
-76.12%262K
-90.12%474K
-89.30%684K
-88.52%891K
-Including:Long term debt
--422.51M
--422.51M
--413.68M
--454.52M
--450.37M
----
----
----
----
----
-Including:Long term capital lease obligation
--0
--0
--0
--0
-94.61%48K
----
----
-90.12%474K
-89.30%684K
-88.52%891K
Long-term accounts payable and other payables
-11.04%24.99M
-11.04%24.99M
--26.72M
--26.39M
--20.91M
--28.09M
--28.09M
----
----
----
Total non current liabilities
1,174.88%465.3M
1,174.88%465.3M
8,004.57%448.67M
6,843.61%489.18M
6,507.88%479.47M
389.12%36.5M
389.12%36.5M
-48.34%5.54M
-42.78%7.05M
-31.57%7.26M
Total liabilities
-50.42%700.81M
-50.42%700.81M
-50.47%718.23M
-44.92%788.26M
-45.93%722.39M
7.14%1.41B
7.14%1.41B
8.81%1.45B
9.16%1.43B
6.52%1.34B
Shareholders'equity
Share capital
-94.29%227K
-94.29%227K
-94.29%227K
-94.29%227K
-94.29%227K
1.87%3.98M
1.87%3.98M
1.87%3.98M
1.87%3.98M
1.87%3.98M
-common stock
-94.29%227K
-94.29%227K
-94.29%227K
-94.29%227K
-94.29%227K
1.87%3.98M
1.87%3.98M
1.87%3.98M
1.87%3.98M
1.87%3.98M
Paid-in capital
88.99%590.54M
88.99%590.54M
88.99%590.54M
88.99%590.54M
88.99%590.54M
0.52%312.47M
0.52%312.47M
0.52%312.47M
0.52%312.47M
0.52%312.47M
Retained earnings
81.78%-175.38M
81.78%-175.38M
74.50%-291.82M
71.86%-338.88M
66.76%-409.81M
14.04%-962.69M
14.04%-962.69M
7.07%-1.14B
5.16%-1.2B
4.38%-1.23B
Other equity interest
--2.06M
--2.06M
-56.41%1.21M
--385K
----
----
----
0.00%2.78M
----
--2.78M
Total stockholders'equity
209.31%556.58M
209.31%556.58M
172.03%418.45M
158.97%370.1M
138.70%245.14M
18.90%-509.17M
18.90%-509.17M
10.08%-580.95M
3.62%-627.58M
4.27%-633.46M
Noncontrolling interests
100.92%14.04M
100.92%14.04M
292.50%19.99M
499.00%16.19M
133.36%9.02M
123.05%6.99M
123.05%6.99M
87.49%5.09M
152.29%2.7M
177.79%3.86M
Total equity
213.63%570.62M
213.63%570.62M
176.14%438.45M
161.82%386.28M
140.37%254.16M
19.61%-502.19M
19.61%-502.19M
10.49%-575.86M
3.87%-624.88M
4.65%-629.6M
Currency Unit
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
(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
Assets
Current assets
Cash, cash equivalents and short term investments 110.36%135.11M110.36%135.11M16.57%99.05M53.39%70.89M-27.62%50.06M2.17%64.23M2.17%64.23M9.37%84.97M2.06%46.22M115.80%69.16M
-Cash and cash equivalents 122.92%127.82M122.92%127.82M15.66%91.78M42.36%61.55M-44.11%36.71M-3.46%57.34M-3.46%57.34M4.00%79.35M-1.52%43.23M111.81%65.68M
-Short-term investments 5.82%7.29M5.82%7.29M29.43%7.27M213.09%9.35M283.78%13.35M98.42%6.89M98.42%6.89M304.68%5.62M115.75%2.99M234.74%3.48M
-Accounts receivable -6.10%212.52M-6.10%212.52M11.35%261.4M59.23%316.85M110.10%218.41M82.53%226.32M82.53%226.32M79.38%234.76M36.87%198.99M3.77%103.95M
-Gross accounts receivable -7.40%229.43M-7.40%229.43M7.40%278.69M45.30%335.35M91.57%242.62M68.94%247.77M68.94%247.77M67.54%259.49M38.56%230.8M4.28%126.65M
-Bad debt provision 21.16%-16.91M21.16%-16.91M30.08%-17.29M41.85%-18.5M-6.67%-24.21M5.39%-21.45M5.39%-21.45M-3.00%-24.72M-50.17%-31.81M-6.68%-22.69M
-Other receivables 113.71%50.43M113.71%50.43M49.24%55.62M0.98%56.04M-46.00%36.04M-26.81%23.6M-26.81%23.6M55.65%37.27M77.28%55.5M76.32%66.74M
Inventory 286.00%92.48M286.00%92.48M73.20%36.27M111.19%36M74.79%26.9M76.12%23.96M76.12%23.96M83.79%20.94M-45.00%17.04M-39.37%15.39M
Prepaid assets 158.62%27.94M158.62%27.94M216.23%21.31M86.84%8.2M48.51%8.56M-58.07%10.8M-58.07%10.8M-80.82%6.74M-88.56%4.39M-85.45%5.76M
Total current assets 48.53%518.52M48.53%518.52M23.09%473.74M53.20%494.65M30.51%344.46M34.64%349.09M34.64%349.09M37.40%384.87M10.45%322.88M11.69%263.93M
Non current assets
Net PPE 30.48%709.61M30.48%709.61M34.74%640.63M33.37%631.81M35.31%585.61M27.43%543.84M27.43%543.84M18.22%475.45M30.21%473.73M22.17%432.79M
-Gross PP&E --------------------17.42%1.03B17.42%1.03B------------
-Accumulated depreciation ---------------------7.86%-481.8M-7.86%-481.8M------------
Total investment 135.23%43.31M135.23%43.31M207.31%42.31M392.86%48.08M383.48%46.48M115.96%18.41M115.96%18.41M100.39%13.77M99.96%9.76M195.60%9.61M
-Long-term equity investment 122.05%40.88M122.05%40.88M207.31%42.31M392.86%48.08M383.48%46.48M115.96%18.41M115.96%18.41M100.39%13.77M99.96%9.76M195.60%9.61M
Total non current assets 33.91%752.91M33.91%752.91M39.60%682.94M40.62%679.89M42.88%632.09M29.16%562.25M29.16%562.25M19.60%489.22M31.14%483.48M23.74%442.4M
Total assets 39.51%1.27B39.51%1.27B32.33%1.16B45.66%1.17B38.26%976.55M31.21%911.34M31.21%911.34M26.83%874.09M21.99%806.37M18.95%706.33M
Liabilities
Current liabilities
-Current debt and capital lease obligation -96.56%35.86M-96.56%35.86M-96.10%40.65M-96.00%41.63M-95.76%42.7M5.43%1.04B5.43%1.04B4.36%1.04B6.76%1.04B5.12%1.01B
-Including:Current debt --35.6M--35.6M-96.15%40.18M-96.07%40.94M-95.84%41.86M--------5.24%1.04B7.62%1.04B5.88%1.01B
-Including:Current capital Lease obligation --262K--262K-42.55%474K-16.28%684K4.59%843K---------90.96%825K-90.49%817K-89.38%806K
Payables -35.19%169.32M-35.19%169.32M-42.56%200.99M-31.96%225.49M-38.47%168.25M-0.14%261.26M-0.14%261.26M28.87%349.9M18.78%331.39M13.11%273.43M
-accounts payable 10.23%159.82M10.23%159.82M-51.79%160.37M-40.17%193.36M-41.63%157.84M-14.60%144.99M-14.60%144.99M25.78%332.68M16.26%323.17M12.13%270.41M
-Total tax payable 92.35%9.51M92.35%9.51M135.78%40.62M290.82%32.13M244.07%10.41M12.37%4.94M12.37%4.94M145.21%17.23M712.25%8.22M420.65%3.03M
-Dividends payable --------------------0.00%146K0.00%146K------------
-Other payable --------------------27.33%111.18M27.33%111.18M------------
Current provisions -41.56%30.32M-41.56%30.32M-45.72%27.92M-37.49%31.97M-33.96%31.98M4.56%51.87M4.56%51.87M1.25%51.44M16.13%51.14M9.96%48.42M
Current liabilities -82.90%235.5M-82.90%235.5M-81.34%269.56M-79.00%299.08M-81.72%242.92M4.97%1.38B4.97%1.38B9.28%1.44B9.66%1.42B6.85%1.33B
Non current liabilities
-Long term debt and capital lease obligation 161,162.98%422.51M161,162.98%422.51M87,174.26%413.68M66,349.85%454.52M50,451.85%450.42M-76.12%262K-76.12%262K-90.12%474K-89.30%684K-88.52%891K
-Including:Long term debt --422.51M--422.51M--413.68M--454.52M--450.37M--------------------
-Including:Long term capital lease obligation --0--0--0--0-94.61%48K---------90.12%474K-89.30%684K-88.52%891K
Long-term accounts payable and other payables -11.04%24.99M-11.04%24.99M--26.72M--26.39M--20.91M--28.09M--28.09M------------
Total non current liabilities 1,174.88%465.3M1,174.88%465.3M8,004.57%448.67M6,843.61%489.18M6,507.88%479.47M389.12%36.5M389.12%36.5M-48.34%5.54M-42.78%7.05M-31.57%7.26M
Total liabilities -50.42%700.81M-50.42%700.81M-50.47%718.23M-44.92%788.26M-45.93%722.39M7.14%1.41B7.14%1.41B8.81%1.45B9.16%1.43B6.52%1.34B
Shareholders'equity
Share capital -94.29%227K-94.29%227K-94.29%227K-94.29%227K-94.29%227K1.87%3.98M1.87%3.98M1.87%3.98M1.87%3.98M1.87%3.98M
-common stock -94.29%227K-94.29%227K-94.29%227K-94.29%227K-94.29%227K1.87%3.98M1.87%3.98M1.87%3.98M1.87%3.98M1.87%3.98M
Paid-in capital 88.99%590.54M88.99%590.54M88.99%590.54M88.99%590.54M88.99%590.54M0.52%312.47M0.52%312.47M0.52%312.47M0.52%312.47M0.52%312.47M
Retained earnings 81.78%-175.38M81.78%-175.38M74.50%-291.82M71.86%-338.88M66.76%-409.81M14.04%-962.69M14.04%-962.69M7.07%-1.14B5.16%-1.2B4.38%-1.23B
Other equity interest --2.06M--2.06M-56.41%1.21M--385K------------0.00%2.78M------2.78M
Total stockholders'equity 209.31%556.58M209.31%556.58M172.03%418.45M158.97%370.1M138.70%245.14M18.90%-509.17M18.90%-509.17M10.08%-580.95M3.62%-627.58M4.27%-633.46M
Noncontrolling interests 100.92%14.04M100.92%14.04M292.50%19.99M499.00%16.19M133.36%9.02M123.05%6.99M123.05%6.99M87.49%5.09M152.29%2.7M177.79%3.86M
Total equity 213.63%570.62M213.63%570.62M176.14%438.45M161.82%386.28M140.37%254.16M19.61%-502.19M19.61%-502.19M10.49%-575.86M3.87%-624.88M4.65%-629.6M
Currency Unit MYRMYRMYRMYRMYRMYRMYRMYRMYRMYR
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