SG Stock MarketDetailed Quotes

42C IX Biopharma

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  • 0.021
  • 0.0000.00%
10min DelayMarket Closed Feb 28 16:45 CST
18.59MMarket Cap-1.75P/E (TTM)

IX Biopharma Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(Q2)Dec 31, 2019
(Q1)Sep 30, 2019
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
(Q3)Mar 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
14.64%-7M
-439.47%-8.21M
126.61%2.42M
0.69%-9.08M
35.09%-9.15M
12.01%-2.54M
53.53%-2.47M
-35.25%-14.09M
14.30%-1.95M
-62.81%-3.95M
Net profit before non-cash adjustment
-12.26%-10.79M
-109.11%-9.62M
44.16%-4.6M
21.57%-8.23M
-251.02%-10.5M
32.82%-2.42M
-3.21%-3.35M
80.18%-2.99M
13.79%-3.77M
277.27%7.62M
Total adjustment of non-cash items
96.19%3.65M
-75.86%1.86M
1,580.42%7.71M
-147.71%-521K
115.15%1.09M
-94.44%56K
36.58%799K
-570.56%-7.21M
306.86%1.3M
-957.94%-10.1M
-Depreciation and amortization
-6.57%868K
-12.36%929K
0.57%1.06M
0.48%1.05M
-13.80%1.05M
-30.67%260K
-29.73%260K
-13.50%1.22M
-53.72%168K
-16.02%304K
-Reversal of impairment losses recognized in profit and loss
58.25%163K
-45.50%103K
8.00%189K
212.50%175K
194.74%56K
----
----
--19K
----
----
-Assets reserve and write-off
615.79%136K
-9.52%19K
-22.22%21K
3.85%27K
-61.19%26K
-25.00%3K
300.00%6K
348.15%67K
117.39%8K
123.08%58K
-Disposal profit
253.39%2.67M
-153.45%-1.74M
81,575.00%3.26M
-500.00%-4K
100.01%1K
--0
--0
-129,462.50%-10.35M
3,400.00%280K
---10.63M
-Net exchange gains and losses
-101.91%-50K
45.53%2.62M
205.44%1.8M
-427.16%-1.71M
-124.14%-324K
-163.10%-313K
66.03%518K
37.22%1.34M
173.94%505K
-96.83%27K
-Remuneration paid in stock
-198.60%-845K
-37.94%857K
38.52%1.38M
85.32%997K
-24.01%538K
-35.92%182K
32.47%102K
73.96%708K
39.73%102K
219.48%246K
-Deferred income tax
125.23%300K
-494.50%-1.19M
83.73%-200K
-203.46%-1.23M
-60.71%-405K
30.52%-107K
39.23%-110K
80.13%-252K
164.18%215K
8.33%-132K
-Other non-cash items
54.92%409K
30.69%264K
20.96%202K
10.60%167K
287.18%151K
1,450.00%31K
130.00%23K
44.44%39K
--0
833.33%28K
Changes in working capital
130.31%137K
35.24%-452K
-112.80%-698K
-225.67%-328K
106.71%261K
39.46%-178K
103.06%81K
-223.73%-3.89M
-80.92%519K
-310.01%-1.47M
-Change in receivables
87.26%-108K
-263.95%-848K
-1,394.44%-233K
107.83%18K
-641.94%-230K
-1,980.00%-94K
145.53%112K
-115.82%-31K
35.87%-118K
132.62%328K
-Change in inventory
-204.95%-616K
-359.09%-202K
87.36%-44K
-319.28%-348K
77.51%-83K
96.94%-6K
105.81%5K
30.11%-369K
-232.32%-131K
142.86%42K
-Change in payables
20.62%860K
368.05%713K
-274.65%-266K
-114.00%-71K
114.82%507K
-1.69%-120K
93.64%-156K
-201.30%-3.42M
-83.71%484K
-352.17%-1.33M
-Changes in other current assets
100.87%1K
25.81%-115K
-312.33%-155K
8.96%73K
198.53%67K
180.00%42K
-12.41%120K
-169.39%-68K
271.08%284K
-496.85%-504K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-60K
0
Interest received (cash flow from operating activities)
371.43%33K
7K
0
-91.95%7K
-53.97%87K
1,000.00%22K
-77.31%27K
-23.48%189K
-68.75%45K
-36.11%23K
Tax refund paid
-11.15%478K
-23.80%538K
-2.49%706K
-2.03%724K
739K
0
742K
0
0
0
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
1K
Operating cash flow
14.45%-6.55M
-345.28%-7.66M
137.39%3.12M
-0.38%-8.35M
40.15%-8.32M
12.71%-2.52M
67.29%-1.7M
-66.24%-13.9M
-485.28%-1.91M
-64.26%-3.92M
Investing cash flow
Net PPE purchase and sale
60.58%-274K
-247.50%-695K
60.55%-200K
48.48%-507K
35.85%-984K
73.21%-217K
65.59%-181K
-37.21%-1.53M
78.83%-47K
-20.80%-151K
Net intangibles purchase and sale
---11K
--0
----
----
93.51%-10K
---10K
----
-126.47%-154K
-1,611.11%-154K
--0
Net business purchase and sale
----
----
----
----
----
----
----
--11.43M
--644K
--10.79M
Net investment product transactions
--1.34M
--0
---5.42M
--0
----
----
----
----
----
----
Investing cash flow
251.94%1.06M
87.64%-695K
-1,009.07%-5.62M
48.99%-507K
-110.20%-994K
71.98%-227K
65.59%-181K
921.59%9.74M
291.77%443K
6,075.84%10.64M
Financing cash flow
Net issuance payments of debt
341.06%1.46M
-180.64%-604K
431.42%749K
-6.10%-226K
62.30%-213K
-84.42%-142K
-90.41%-139K
-3,073.68%-565K
35.71%-45K
-487.30%-370K
Net common stock issuance
--0
-71.65%2.73M
-5.53%9.62M
--10.18M
----
----
----
----
----
----
Increase or decrease of lease financing
-14.95%-446K
-3.47%-388K
0.79%-375K
-0.80%-378K
---375K
----
----
--0
----
----
Interest paid (cash flow from financing activities)
2.95%-263K
-34.16%-271K
-16.09%-202K
26.89%-174K
4.42%-238K
13.64%-57K
4.62%-62K
6.74%-249K
16.67%-55K
5.97%-63K
Net other fund-raising expenses
42.50%-23K
---40K
----
--622K
----
----
----
---763K
---1.16M
----
Financing cash flow
-49.12%724K
-85.46%1.42M
-2.34%9.79M
1,313.56%10.02M
47.62%-826K
-177.43%-199K
-45.65%-201K
-535.89%-1.58M
-828.68%-1.26M
-233.08%-433K
Net cash flow
Beginning cash position
-54.08%5.93M
131.08%12.91M
24.94%5.59M
-69.61%4.47M
-28.83%14.71M
-15.24%12.58M
-28.83%14.71M
-32.66%20.67M
-14.54%17.69M
-52.00%11.36M
Current changes in cash
31.15%-4.77M
-195.10%-6.93M
525.67%7.29M
111.49%1.17M
-76.84%-10.14M
14.36%-2.95M
64.47%-2.08M
41.47%-5.73M
-293.65%-2.73M
333.14%6.28M
Effect of exchange rate changes
--0
-246.88%-47K
164.00%32K
49.49%-50K
55.61%-99K
68.29%-13K
-281.48%-49K
1.33%-223K
-137.24%-248K
114.18%40K
Cash adjustments other than cash changes
----
----
----
----
----
----
----
----
----
---1K
End cash Position
-80.53%1.15M
-54.08%5.93M
131.08%12.91M
24.94%5.59M
-69.61%4.47M
-15.31%9.62M
-15.24%12.58M
-28.83%14.71M
-28.83%14.71M
-14.54%17.69M
Free cash flow
18.16%-6.84M
-385.84%-8.36M
132.82%2.92M
4.39%-8.91M
40.25%-9.31M
25.70%-2.75M
67.13%-1.88M
-63.27%-15.59M
-278.64%-2.11M
-58.75%-4.07M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(Q2)Dec 31, 2019(Q1)Sep 30, 2019(FY)Jun 30, 2019(Q4)Jun 30, 2019(Q3)Mar 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities 14.64%-7M-439.47%-8.21M126.61%2.42M0.69%-9.08M35.09%-9.15M12.01%-2.54M53.53%-2.47M-35.25%-14.09M14.30%-1.95M-62.81%-3.95M
Net profit before non-cash adjustment -12.26%-10.79M-109.11%-9.62M44.16%-4.6M21.57%-8.23M-251.02%-10.5M32.82%-2.42M-3.21%-3.35M80.18%-2.99M13.79%-3.77M277.27%7.62M
Total adjustment of non-cash items 96.19%3.65M-75.86%1.86M1,580.42%7.71M-147.71%-521K115.15%1.09M-94.44%56K36.58%799K-570.56%-7.21M306.86%1.3M-957.94%-10.1M
-Depreciation and amortization -6.57%868K-12.36%929K0.57%1.06M0.48%1.05M-13.80%1.05M-30.67%260K-29.73%260K-13.50%1.22M-53.72%168K-16.02%304K
-Reversal of impairment losses recognized in profit and loss 58.25%163K-45.50%103K8.00%189K212.50%175K194.74%56K----------19K--------
-Assets reserve and write-off 615.79%136K-9.52%19K-22.22%21K3.85%27K-61.19%26K-25.00%3K300.00%6K348.15%67K117.39%8K123.08%58K
-Disposal profit 253.39%2.67M-153.45%-1.74M81,575.00%3.26M-500.00%-4K100.01%1K--0--0-129,462.50%-10.35M3,400.00%280K---10.63M
-Net exchange gains and losses -101.91%-50K45.53%2.62M205.44%1.8M-427.16%-1.71M-124.14%-324K-163.10%-313K66.03%518K37.22%1.34M173.94%505K-96.83%27K
-Remuneration paid in stock -198.60%-845K-37.94%857K38.52%1.38M85.32%997K-24.01%538K-35.92%182K32.47%102K73.96%708K39.73%102K219.48%246K
-Deferred income tax 125.23%300K-494.50%-1.19M83.73%-200K-203.46%-1.23M-60.71%-405K30.52%-107K39.23%-110K80.13%-252K164.18%215K8.33%-132K
-Other non-cash items 54.92%409K30.69%264K20.96%202K10.60%167K287.18%151K1,450.00%31K130.00%23K44.44%39K--0833.33%28K
Changes in working capital 130.31%137K35.24%-452K-112.80%-698K-225.67%-328K106.71%261K39.46%-178K103.06%81K-223.73%-3.89M-80.92%519K-310.01%-1.47M
-Change in receivables 87.26%-108K-263.95%-848K-1,394.44%-233K107.83%18K-641.94%-230K-1,980.00%-94K145.53%112K-115.82%-31K35.87%-118K132.62%328K
-Change in inventory -204.95%-616K-359.09%-202K87.36%-44K-319.28%-348K77.51%-83K96.94%-6K105.81%5K30.11%-369K-232.32%-131K142.86%42K
-Change in payables 20.62%860K368.05%713K-274.65%-266K-114.00%-71K114.82%507K-1.69%-120K93.64%-156K-201.30%-3.42M-83.71%484K-352.17%-1.33M
-Changes in other current assets 100.87%1K25.81%-115K-312.33%-155K8.96%73K198.53%67K180.00%42K-12.41%120K-169.39%-68K271.08%284K-496.85%-504K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -60K0
Interest received (cash flow from operating activities) 371.43%33K7K0-91.95%7K-53.97%87K1,000.00%22K-77.31%27K-23.48%189K-68.75%45K-36.11%23K
Tax refund paid -11.15%478K-23.80%538K-2.49%706K-2.03%724K739K0742K000
Other operating cash inflow (outflow) 0000000001K
Operating cash flow 14.45%-6.55M-345.28%-7.66M137.39%3.12M-0.38%-8.35M40.15%-8.32M12.71%-2.52M67.29%-1.7M-66.24%-13.9M-485.28%-1.91M-64.26%-3.92M
Investing cash flow
Net PPE purchase and sale 60.58%-274K-247.50%-695K60.55%-200K48.48%-507K35.85%-984K73.21%-217K65.59%-181K-37.21%-1.53M78.83%-47K-20.80%-151K
Net intangibles purchase and sale ---11K--0--------93.51%-10K---10K-----126.47%-154K-1,611.11%-154K--0
Net business purchase and sale ------------------------------11.43M--644K--10.79M
Net investment product transactions --1.34M--0---5.42M--0------------------------
Investing cash flow 251.94%1.06M87.64%-695K-1,009.07%-5.62M48.99%-507K-110.20%-994K71.98%-227K65.59%-181K921.59%9.74M291.77%443K6,075.84%10.64M
Financing cash flow
Net issuance payments of debt 341.06%1.46M-180.64%-604K431.42%749K-6.10%-226K62.30%-213K-84.42%-142K-90.41%-139K-3,073.68%-565K35.71%-45K-487.30%-370K
Net common stock issuance --0-71.65%2.73M-5.53%9.62M--10.18M------------------------
Increase or decrease of lease financing -14.95%-446K-3.47%-388K0.79%-375K-0.80%-378K---375K----------0--------
Interest paid (cash flow from financing activities) 2.95%-263K-34.16%-271K-16.09%-202K26.89%-174K4.42%-238K13.64%-57K4.62%-62K6.74%-249K16.67%-55K5.97%-63K
Net other fund-raising expenses 42.50%-23K---40K------622K---------------763K---1.16M----
Financing cash flow -49.12%724K-85.46%1.42M-2.34%9.79M1,313.56%10.02M47.62%-826K-177.43%-199K-45.65%-201K-535.89%-1.58M-828.68%-1.26M-233.08%-433K
Net cash flow
Beginning cash position -54.08%5.93M131.08%12.91M24.94%5.59M-69.61%4.47M-28.83%14.71M-15.24%12.58M-28.83%14.71M-32.66%20.67M-14.54%17.69M-52.00%11.36M
Current changes in cash 31.15%-4.77M-195.10%-6.93M525.67%7.29M111.49%1.17M-76.84%-10.14M14.36%-2.95M64.47%-2.08M41.47%-5.73M-293.65%-2.73M333.14%6.28M
Effect of exchange rate changes --0-246.88%-47K164.00%32K49.49%-50K55.61%-99K68.29%-13K-281.48%-49K1.33%-223K-137.24%-248K114.18%40K
Cash adjustments other than cash changes ---------------------------------------1K
End cash Position -80.53%1.15M-54.08%5.93M131.08%12.91M24.94%5.59M-69.61%4.47M-15.31%9.62M-15.24%12.58M-28.83%14.71M-28.83%14.71M-14.54%17.69M
Free cash flow 18.16%-6.84M-385.84%-8.36M132.82%2.92M4.39%-8.91M40.25%-9.31M25.70%-2.75M67.13%-1.88M-63.27%-15.59M-278.64%-2.11M-58.75%-4.07M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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