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1Y1 9R

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  • 0.056
  • 0.0000.00%
10min DelayMarket to Open Nov 22 14:02 CST
61.00MMarket Cap-11200P/E (TTM)

9R Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
Operating cash flow (Indirect Method)
Cash from operating activities
36.04%-2.89M
-1.75%-4.52M
-2,716.09%-4.23M
308.99%6.69M
-345.84%-5.84M
-735.48%-1.38M
-476.26%-4.44M
90.59%-150.13K
-624.22%-3.2M
-295.08%-1.31M
Net profit before non-cash adjustment
-228.76%-5.25M
-110.33%-1.6M
82.22%-1.17M
-101.42%-337K
139.71%548K
-5.24%-863K
159.22%15.45M
70.41%-6.58M
1,215.92%23.77M
23.21%-1.38M
Total adjustment of non-cash items
360.05%5.07M
89.97%-1.95M
-108.51%-336.87K
96.79%-759K
-691.89%-876K
-80.51%23K
-175.47%-19.43M
-82.23%3.96M
-1,916.97%-23.66M
-89.05%148K
-Depreciation and amortization
590.42%1.04M
23.75%151K
346.12%125K
-74.19%8K
-70.00%9K
-72.73%9K
-92.33%122.02K
-84.33%28.02K
-95.57%31K
-91.48%30K
-Reversal of impairment losses recognized in profit and loss
2,165.42%2.81M
-103.60%-136.12K
-101.71%-65.12K
--0
-529.41%-73K
--2K
-76.94%3.78M
-76.72%3.82M
-1,800.00%-51K
142.86%17K
-Assets reserve and write-off
12,732.03%888.11K
108.32%6.92K
----
----
----
----
---83.22K
----
----
----
-Disposal profit
--0
---2.03M
-15,216.53%-453.5K
---764K
---812K
--0
--0
100.40%3K
--0
--0
-Net exchange gains and losses
217,776.98%302.85K
-99.50%139
-100.84%-6.86K
99.01%-3K
--0
101.70%10K
-93.73%27.9K
-37.08%815.9K
58.29%-302K
-47.98%103K
-Other non-cash items
-60.69%23.07K
100.25%58.68K
109.13%56.68K
----
----
-99.70%2K
-388.93%-23.28M
-112.02%-620.6K
-1,863.79%-23.34M
-100.25%-2K
Changes in working capital
-177.72%-2.71M
-112.16%-977.26K
-209.98%-2.72M
334.99%7.79M
-7,053.25%-5.51M
-158.65%-539K
-130.28%-460.62K
252.02%2.47M
-330.37%-3.32M
-106.90%-77K
-Change in receivables
85.28%-348.04K
-112.44%-2.36M
-903.63%-8.68M
17,800.00%9.13M
-114.87%-2.42M
-124.61%-397K
201.58%19.01M
-26.76%1.08M
-77.03%51K
406.32%16.26M
-Change in inventory
-64.87%-1.09M
-25,700.78%-661.53K
-698.76%-1.01M
385.37%199K
581.00%481K
-197.32%-333K
-100.25%-2.56K
-0.69%168.44K
-93.11%41K
-113.97%-100K
-Change in payables
-177.71%-1.25M
108.12%1.61M
711.23%6.53M
54.86%-1.54M
78.02%-3.57M
132.82%191K
-394.54%-19.88M
154.52%805.13K
-647.75%-3.41M
-477.52%-16.24M
-Changes in other current assets
-104.77%-20.71K
3.29%433.89K
----
----
----
----
123.42%420.07K
----
----
----
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)
0
0
0
-37.90%4.58K
-82.81%580
0.00%1K
0.00%2K
Tax refund paid
-176.34%-257.59K
-93.21K
0
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
31.75%-3.15M
-3.95%-4.62M
-2,789.34%-4.32M
309.06%6.69M
-346.52%-5.84M
-732.57%-1.38M
-473.68%-4.44M
90.55%-149.55K
-623.20%-3.2M
-294.21%-1.31M
Investing cash flow
Net PPE purchase and sale
-49,409.83%-2.81M
88.70%-5.69K
-906.42%-113.69K
590.00%98K
200.00%10K
--0
-49.01%-50.3K
11.43%-11.3K
-233.33%-20K
33.33%-10K
Net intangibles purchase and sale
----
----
----
--0
--0
--0
----
----
--0
--0
Net business purchase and sale
-97.58%-1.47M
---743.63K
--3.77M
---5.04M
--753K
----
--0
--0
--0
----
Net changes in other investments
--43.16K
----
----
----
----
----
----
----
----
----
Investing cash flow
-465.95%-4.24M
-1,389.82%-749.32K
14,017.26%3.66M
-24,625.00%-4.95M
7,730.00%763K
--0
69.15%-50.3K
81.49%-26.3K
-233.33%-20K
33.33%-10K
Financing cash flow
Net issuance payments of debt
51.79%-43.81K
-107.05%-90.87K
-99.96%132
-2,635.94%-1.62M
--0
--1.53M
338.30%1.29M
236.07%299.75K
200.00%64K
--0
Net common stock issuance
-99.71%47.54K
709.62%16.19M
--11.33M
219.33%479K
--3.5M
--880K
--2M
--0
--150K
--0
Increase or decrease of lease financing
-103.24%-422.35K
---207.81K
---149.81K
---32K
---26K
----
--0
--0
--0
--0
Issuance fees
----
----
----
---244K
----
----
----
----
--0
----
Interest paid (cash flow from financing activities)
-41.98%-83.32K
---58.68K
---56.68K
--0
---2K
----
--0
--0
--0
--0
Net other fund-raising expenses
----
----
----
----
----
----
----
----
----
--2.78M
Financing cash flow
-103.17%-501.93K
381.49%15.84M
3,692.57%11.37M
-763.55%-1.42M
25.23%3.48M
--2.41M
508.40%3.29M
-7.97%299.75K
240.79%214K
1,792.07%2.78M
Net cash flow
Beginning cash position
763.99%11.84M
-46.43%1.37M
-8.03%1.15M
-80.75%818K
-13.49%2.42M
-46.40%1.37M
8.22%2.56M
-68.55%1.25M
21.12%4.25M
-7.39%2.79M
Current changes in cash
-175.37%-7.89M
971.77%10.47M
8,541.40%10.71M
110.94%329K
-209.60%-1.6M
361.16%1.03M
-646.61%-1.2M
108.86%123.9K
-762.56%-3.01M
195.14%1.46M
Effect of exchange rate changes
---7.9K
--0
-1,072.76%-10K
-150.00%-2K
66.67%-1K
8.33%13K
151.14%13.03K
169.60%1.03K
233.33%4K
0.00%-3K
End cash Position
-66.72%3.94M
763.99%11.84M
763.99%11.84M
-8.03%1.15M
-80.75%818K
-13.49%2.42M
-46.43%1.37M
-46.43%1.37M
-68.55%1.25M
21.12%4.25M
Free cash flow
-29.08%-5.96M
-2.90%-4.62M
-2,646.41%-4.32M
307.76%6.69M
-343.36%-5.84M
-772.68%-1.38M
-489.01%-4.49M
90.13%-157.43K
-631.68%-3.22M
-300.15%-1.32M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021
Operating cash flow (Indirect Method)
Cash from operating activities 36.04%-2.89M-1.75%-4.52M-2,716.09%-4.23M308.99%6.69M-345.84%-5.84M-735.48%-1.38M-476.26%-4.44M90.59%-150.13K-624.22%-3.2M-295.08%-1.31M
Net profit before non-cash adjustment -228.76%-5.25M-110.33%-1.6M82.22%-1.17M-101.42%-337K139.71%548K-5.24%-863K159.22%15.45M70.41%-6.58M1,215.92%23.77M23.21%-1.38M
Total adjustment of non-cash items 360.05%5.07M89.97%-1.95M-108.51%-336.87K96.79%-759K-691.89%-876K-80.51%23K-175.47%-19.43M-82.23%3.96M-1,916.97%-23.66M-89.05%148K
-Depreciation and amortization 590.42%1.04M23.75%151K346.12%125K-74.19%8K-70.00%9K-72.73%9K-92.33%122.02K-84.33%28.02K-95.57%31K-91.48%30K
-Reversal of impairment losses recognized in profit and loss 2,165.42%2.81M-103.60%-136.12K-101.71%-65.12K--0-529.41%-73K--2K-76.94%3.78M-76.72%3.82M-1,800.00%-51K142.86%17K
-Assets reserve and write-off 12,732.03%888.11K108.32%6.92K-------------------83.22K------------
-Disposal profit --0---2.03M-15,216.53%-453.5K---764K---812K--0--0100.40%3K--0--0
-Net exchange gains and losses 217,776.98%302.85K-99.50%139-100.84%-6.86K99.01%-3K--0101.70%10K-93.73%27.9K-37.08%815.9K58.29%-302K-47.98%103K
-Other non-cash items -60.69%23.07K100.25%58.68K109.13%56.68K---------99.70%2K-388.93%-23.28M-112.02%-620.6K-1,863.79%-23.34M-100.25%-2K
Changes in working capital -177.72%-2.71M-112.16%-977.26K-209.98%-2.72M334.99%7.79M-7,053.25%-5.51M-158.65%-539K-130.28%-460.62K252.02%2.47M-330.37%-3.32M-106.90%-77K
-Change in receivables 85.28%-348.04K-112.44%-2.36M-903.63%-8.68M17,800.00%9.13M-114.87%-2.42M-124.61%-397K201.58%19.01M-26.76%1.08M-77.03%51K406.32%16.26M
-Change in inventory -64.87%-1.09M-25,700.78%-661.53K-698.76%-1.01M385.37%199K581.00%481K-197.32%-333K-100.25%-2.56K-0.69%168.44K-93.11%41K-113.97%-100K
-Change in payables -177.71%-1.25M108.12%1.61M711.23%6.53M54.86%-1.54M78.02%-3.57M132.82%191K-394.54%-19.88M154.52%805.13K-647.75%-3.41M-477.52%-16.24M
-Changes in other current assets -104.77%-20.71K3.29%433.89K----------------123.42%420.07K------------
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) 000-37.90%4.58K-82.81%5800.00%1K0.00%2K
Tax refund paid -176.34%-257.59K-93.21K0
Other operating cash inflow (outflow) 0000000000
Operating cash flow 31.75%-3.15M-3.95%-4.62M-2,789.34%-4.32M309.06%6.69M-346.52%-5.84M-732.57%-1.38M-473.68%-4.44M90.55%-149.55K-623.20%-3.2M-294.21%-1.31M
Investing cash flow
Net PPE purchase and sale -49,409.83%-2.81M88.70%-5.69K-906.42%-113.69K590.00%98K200.00%10K--0-49.01%-50.3K11.43%-11.3K-233.33%-20K33.33%-10K
Net intangibles purchase and sale --------------0--0--0----------0--0
Net business purchase and sale -97.58%-1.47M---743.63K--3.77M---5.04M--753K------0--0--0----
Net changes in other investments --43.16K------------------------------------
Investing cash flow -465.95%-4.24M-1,389.82%-749.32K14,017.26%3.66M-24,625.00%-4.95M7,730.00%763K--069.15%-50.3K81.49%-26.3K-233.33%-20K33.33%-10K
Financing cash flow
Net issuance payments of debt 51.79%-43.81K-107.05%-90.87K-99.96%132-2,635.94%-1.62M--0--1.53M338.30%1.29M236.07%299.75K200.00%64K--0
Net common stock issuance -99.71%47.54K709.62%16.19M--11.33M219.33%479K--3.5M--880K--2M--0--150K--0
Increase or decrease of lease financing -103.24%-422.35K---207.81K---149.81K---32K---26K------0--0--0--0
Issuance fees ---------------244K------------------0----
Interest paid (cash flow from financing activities) -41.98%-83.32K---58.68K---56.68K--0---2K------0--0--0--0
Net other fund-raising expenses --------------------------------------2.78M
Financing cash flow -103.17%-501.93K381.49%15.84M3,692.57%11.37M-763.55%-1.42M25.23%3.48M--2.41M508.40%3.29M-7.97%299.75K240.79%214K1,792.07%2.78M
Net cash flow
Beginning cash position 763.99%11.84M-46.43%1.37M-8.03%1.15M-80.75%818K-13.49%2.42M-46.40%1.37M8.22%2.56M-68.55%1.25M21.12%4.25M-7.39%2.79M
Current changes in cash -175.37%-7.89M971.77%10.47M8,541.40%10.71M110.94%329K-209.60%-1.6M361.16%1.03M-646.61%-1.2M108.86%123.9K-762.56%-3.01M195.14%1.46M
Effect of exchange rate changes ---7.9K--0-1,072.76%-10K-150.00%-2K66.67%-1K8.33%13K151.14%13.03K169.60%1.03K233.33%4K0.00%-3K
End cash Position -66.72%3.94M763.99%11.84M763.99%11.84M-8.03%1.15M-80.75%818K-13.49%2.42M-46.43%1.37M-46.43%1.37M-68.55%1.25M21.12%4.25M
Free cash flow -29.08%-5.96M-2.90%-4.62M-2,646.41%-4.32M307.76%6.69M-343.36%-5.84M-772.68%-1.38M-489.01%-4.49M90.13%-157.43K-631.68%-3.22M-300.15%-1.32M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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