SG Stock MarketDetailed Quotes

42E Choo Chiang

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  • 0.365
  • 0.0000.00%
10min DelayTrading Dec 4 09:00 CST
75.79MMarket Cap7.45P/E (TTM)

Choo Chiang Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
8.37%29.64M
29.43%31.87M
29.43%31.87M
23.02%27.35M
13.49%24.63M
13.49%24.63M
31.61%22.23M
38.69%21.7M
38.69%21.7M
47.78%16.89M
-Cash and cash equivalents
8.68%28.3M
31.34%30.56M
31.34%30.56M
24.74%26.04M
14.10%23.27M
14.10%23.27M
42.46%20.87M
50.78%20.39M
50.78%20.39M
54.44%14.65M
-Short-term investments
2.06%1.34M
-3.47%1.31M
-3.47%1.31M
-3.53%1.31M
3.99%1.36M
3.99%1.36M
-39.35%1.36M
-38.48%1.3M
-38.48%1.3M
15.23%2.24M
-Accounts receivable
3.18%6.37M
3.52%6.17M
3.52%6.17M
6.73%6.17M
12.80%5.96M
12.80%5.96M
7.39%5.78M
11.13%5.28M
11.13%5.28M
117.93%5.39M
-Gross accounts receivable
----
6.24%7.14M
6.24%7.14M
----
11.87%6.72M
11.87%6.72M
----
10.14%6.01M
10.14%6.01M
----
-Bad debt provision
----
-27.54%-968K
-27.54%-968K
----
-5.12%-759K
-5.12%-759K
----
-3.44%-722K
-3.44%-722K
----
-Other receivables
-36.31%470K
-59.15%174K
-59.15%174K
101.64%738K
622.03%426K
622.03%426K
-73.78%366K
-75.92%59K
-75.92%59K
332.20%1.4M
Inventory
12.16%23.61M
-3.59%20.82M
-3.59%20.82M
5.28%21.05M
14.17%21.59M
14.17%21.59M
5.56%20M
10.80%18.91M
10.80%18.91M
17.97%18.94M
Prepaid assets
----
14.71%351K
14.71%351K
----
-58.42%306K
-58.42%306K
----
137.42%736K
137.42%736K
----
Total current assets
8.64%60.09M
12.24%59.38M
12.24%59.38M
14.33%55.31M
13.33%52.91M
13.33%52.91M
13.52%48.38M
22.79%46.69M
22.79%46.69M
40.73%42.62M
Non current assets
Net PPE
7.76%10.04M
4.43%9.97M
4.43%9.97M
-4.09%9.32M
-3.77%9.54M
-3.77%9.54M
-2.68%9.71M
-4.77%9.92M
-4.77%9.92M
-11.50%9.98M
-Gross PP&E
7.76%10.04M
3.41%18.35M
3.41%18.35M
-4.09%9.32M
0.46%17.75M
0.46%17.75M
-2.68%9.71M
0.81%17.67M
0.81%17.67M
-11.50%9.98M
-Accumulated depreciation
----
-2.23%-8.39M
-2.23%-8.39M
----
-5.87%-8.2M
-5.87%-8.2M
----
-8.99%-7.75M
-8.99%-7.75M
----
Total investment
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-Long-term equity investment
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Goodwill and other intangible assets
-14.18%121K
-12.67%131K
-12.67%131K
-11.32%141K
-10.18%150K
-10.18%150K
-10.17%159K
-10.22%167K
-10.22%167K
-9.69%177K
-Other intangible assets
-14.18%121K
-12.67%131K
-12.67%131K
-11.32%141K
-10.18%150K
-10.18%150K
-10.17%159K
-10.22%167K
-10.22%167K
-9.69%177K
Total non current assets
7.64%23.49M
0.32%22.3M
0.32%22.3M
-3.31%21.82M
-3.15%22.23M
-3.15%22.23M
-2.66%22.57M
-3.56%22.95M
-3.56%22.95M
-8.36%23.19M
Total assets
8.36%83.58M
8.71%81.68M
8.71%81.68M
8.72%77.14M
7.90%75.13M
7.90%75.13M
7.82%70.95M
12.65%69.64M
12.65%69.64M
18.38%65.8M
Liabilities
Current liabilities
-Current debt and capital lease obligation
2.67%462K
16.98%503K
16.98%503K
-13.46%450K
-9.66%430K
-9.66%430K
-0.76%520K
-6.48%476K
-6.48%476K
7.82%524K
-Including:Current capital Lease obligation
2.67%462K
16.98%503K
16.98%503K
-13.46%450K
-9.66%430K
-9.66%430K
-0.76%520K
-6.48%476K
-6.48%476K
7.82%524K
Payables
10.94%15.26M
1.88%11.98M
1.88%11.98M
7.98%13.75M
15.01%11.76M
15.01%11.76M
11.00%12.74M
11.59%10.22M
11.59%10.22M
88.87%11.48M
-accounts payable
14.34%11.41M
-0.28%8.9M
-0.28%8.9M
6.48%9.98M
15.95%8.93M
15.95%8.93M
13.40%9.37M
-0.85%7.7M
-0.85%7.7M
140.06%8.26M
-Total tax payable
6.23%2.13M
17.76%2.79M
17.76%2.79M
17.23%2.01M
2.38%2.37M
2.38%2.37M
45.33%1.71M
104.32%2.32M
104.32%2.32M
-11.96%1.18M
-Other payable
-2.94%1.72M
-37.96%286K
-37.96%286K
6.88%1.77M
120.57%461K
120.57%461K
-18.62%1.66M
-20.53%209K
-20.53%209K
57.02%2.04M
Other current liabilities
----
180.00%56K
180.00%56K
----
100.00%20K
100.00%20K
----
-33.33%10K
-33.33%10K
----
Current liabilities
10.60%15.76M
4.62%15.49M
4.62%15.49M
6.47%14.25M
11.59%14.8M
11.59%14.8M
8.58%13.38M
19.51%13.26M
19.51%13.26M
87.15%12.33M
Non current liabilities
-Long term debt and capital lease obligation
4.87%2.69M
4.15%2.81M
4.15%2.81M
-9.32%2.57M
-7.19%2.7M
-7.19%2.7M
6.42%2.83M
2.79%2.91M
2.79%2.91M
-8.02%2.66M
-Including:Long term capital lease obligation
4.87%2.69M
4.15%2.81M
4.15%2.81M
-9.32%2.57M
-7.19%2.7M
-7.19%2.7M
6.42%2.83M
2.79%2.91M
2.79%2.91M
-8.02%2.66M
Total non current liabilities
4.10%2.77M
3.44%2.89M
3.44%2.89M
-10.23%2.66M
-8.19%2.79M
-8.19%2.79M
4.11%2.96M
0.86%3.04M
0.86%3.04M
-2.57%2.85M
Total liabilities
9.57%18.53M
4.43%18.37M
4.43%18.37M
3.44%16.91M
7.90%17.59M
7.90%17.59M
7.74%16.35M
15.53%16.3M
15.53%16.3M
59.59%15.17M
Shareholders'equity
Share capital
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
-common stock
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
0.00%8.02M
Retained earnings
9.23%57.12M
11.62%55.38M
11.62%55.38M
12.05%52.29M
9.34%49.61M
9.34%49.61M
9.39%46.67M
14.25%45.37M
14.25%45.37M
12.10%42.67M
Total stockholders'equity
8.01%65.05M
10.02%63.31M
10.02%63.31M
10.30%60.23M
7.89%57.54M
7.89%57.54M
7.84%54.6M
11.80%53.33M
11.80%53.33M
9.88%50.63M
Total equity
8.01%65.05M
10.02%63.31M
10.02%63.31M
10.30%60.23M
7.89%57.54M
7.89%57.54M
7.84%54.6M
11.80%53.33M
11.80%53.33M
9.88%50.63M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 8.37%29.64M29.43%31.87M29.43%31.87M23.02%27.35M13.49%24.63M13.49%24.63M31.61%22.23M38.69%21.7M38.69%21.7M47.78%16.89M
-Cash and cash equivalents 8.68%28.3M31.34%30.56M31.34%30.56M24.74%26.04M14.10%23.27M14.10%23.27M42.46%20.87M50.78%20.39M50.78%20.39M54.44%14.65M
-Short-term investments 2.06%1.34M-3.47%1.31M-3.47%1.31M-3.53%1.31M3.99%1.36M3.99%1.36M-39.35%1.36M-38.48%1.3M-38.48%1.3M15.23%2.24M
-Accounts receivable 3.18%6.37M3.52%6.17M3.52%6.17M6.73%6.17M12.80%5.96M12.80%5.96M7.39%5.78M11.13%5.28M11.13%5.28M117.93%5.39M
-Gross accounts receivable ----6.24%7.14M6.24%7.14M----11.87%6.72M11.87%6.72M----10.14%6.01M10.14%6.01M----
-Bad debt provision -----27.54%-968K-27.54%-968K-----5.12%-759K-5.12%-759K-----3.44%-722K-3.44%-722K----
-Other receivables -36.31%470K-59.15%174K-59.15%174K101.64%738K622.03%426K622.03%426K-73.78%366K-75.92%59K-75.92%59K332.20%1.4M
Inventory 12.16%23.61M-3.59%20.82M-3.59%20.82M5.28%21.05M14.17%21.59M14.17%21.59M5.56%20M10.80%18.91M10.80%18.91M17.97%18.94M
Prepaid assets ----14.71%351K14.71%351K-----58.42%306K-58.42%306K----137.42%736K137.42%736K----
Total current assets 8.64%60.09M12.24%59.38M12.24%59.38M14.33%55.31M13.33%52.91M13.33%52.91M13.52%48.38M22.79%46.69M22.79%46.69M40.73%42.62M
Non current assets
Net PPE 7.76%10.04M4.43%9.97M4.43%9.97M-4.09%9.32M-3.77%9.54M-3.77%9.54M-2.68%9.71M-4.77%9.92M-4.77%9.92M-11.50%9.98M
-Gross PP&E 7.76%10.04M3.41%18.35M3.41%18.35M-4.09%9.32M0.46%17.75M0.46%17.75M-2.68%9.71M0.81%17.67M0.81%17.67M-11.50%9.98M
-Accumulated depreciation -----2.23%-8.39M-2.23%-8.39M-----5.87%-8.2M-5.87%-8.2M-----8.99%-7.75M-8.99%-7.75M----
Total investment --0--0--0--0--0--0--0--0--0--0
-Long-term equity investment --0--0--0--0--0--0--0--0--0--0
Goodwill and other intangible assets -14.18%121K-12.67%131K-12.67%131K-11.32%141K-10.18%150K-10.18%150K-10.17%159K-10.22%167K-10.22%167K-9.69%177K
-Other intangible assets -14.18%121K-12.67%131K-12.67%131K-11.32%141K-10.18%150K-10.18%150K-10.17%159K-10.22%167K-10.22%167K-9.69%177K
Total non current assets 7.64%23.49M0.32%22.3M0.32%22.3M-3.31%21.82M-3.15%22.23M-3.15%22.23M-2.66%22.57M-3.56%22.95M-3.56%22.95M-8.36%23.19M
Total assets 8.36%83.58M8.71%81.68M8.71%81.68M8.72%77.14M7.90%75.13M7.90%75.13M7.82%70.95M12.65%69.64M12.65%69.64M18.38%65.8M
Liabilities
Current liabilities
-Current debt and capital lease obligation 2.67%462K16.98%503K16.98%503K-13.46%450K-9.66%430K-9.66%430K-0.76%520K-6.48%476K-6.48%476K7.82%524K
-Including:Current capital Lease obligation 2.67%462K16.98%503K16.98%503K-13.46%450K-9.66%430K-9.66%430K-0.76%520K-6.48%476K-6.48%476K7.82%524K
Payables 10.94%15.26M1.88%11.98M1.88%11.98M7.98%13.75M15.01%11.76M15.01%11.76M11.00%12.74M11.59%10.22M11.59%10.22M88.87%11.48M
-accounts payable 14.34%11.41M-0.28%8.9M-0.28%8.9M6.48%9.98M15.95%8.93M15.95%8.93M13.40%9.37M-0.85%7.7M-0.85%7.7M140.06%8.26M
-Total tax payable 6.23%2.13M17.76%2.79M17.76%2.79M17.23%2.01M2.38%2.37M2.38%2.37M45.33%1.71M104.32%2.32M104.32%2.32M-11.96%1.18M
-Other payable -2.94%1.72M-37.96%286K-37.96%286K6.88%1.77M120.57%461K120.57%461K-18.62%1.66M-20.53%209K-20.53%209K57.02%2.04M
Other current liabilities ----180.00%56K180.00%56K----100.00%20K100.00%20K-----33.33%10K-33.33%10K----
Current liabilities 10.60%15.76M4.62%15.49M4.62%15.49M6.47%14.25M11.59%14.8M11.59%14.8M8.58%13.38M19.51%13.26M19.51%13.26M87.15%12.33M
Non current liabilities
-Long term debt and capital lease obligation 4.87%2.69M4.15%2.81M4.15%2.81M-9.32%2.57M-7.19%2.7M-7.19%2.7M6.42%2.83M2.79%2.91M2.79%2.91M-8.02%2.66M
-Including:Long term capital lease obligation 4.87%2.69M4.15%2.81M4.15%2.81M-9.32%2.57M-7.19%2.7M-7.19%2.7M6.42%2.83M2.79%2.91M2.79%2.91M-8.02%2.66M
Total non current liabilities 4.10%2.77M3.44%2.89M3.44%2.89M-10.23%2.66M-8.19%2.79M-8.19%2.79M4.11%2.96M0.86%3.04M0.86%3.04M-2.57%2.85M
Total liabilities 9.57%18.53M4.43%18.37M4.43%18.37M3.44%16.91M7.90%17.59M7.90%17.59M7.74%16.35M15.53%16.3M15.53%16.3M59.59%15.17M
Shareholders'equity
Share capital 0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M
-common stock 0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M0.00%8.02M
Retained earnings 9.23%57.12M11.62%55.38M11.62%55.38M12.05%52.29M9.34%49.61M9.34%49.61M9.39%46.67M14.25%45.37M14.25%45.37M12.10%42.67M
Total stockholders'equity 8.01%65.05M10.02%63.31M10.02%63.31M10.30%60.23M7.89%57.54M7.89%57.54M7.84%54.6M11.80%53.33M11.80%53.33M9.88%50.63M
Total equity 8.01%65.05M10.02%63.31M10.02%63.31M10.30%60.23M7.89%57.54M7.89%57.54M7.84%54.6M11.80%53.33M11.80%53.33M9.88%50.63M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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