SG Stock MarketDetailed Quotes

42S Astaka

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  • 0.088
  • 0.0000.00%
10min DelayMarket Closed May 17 09:00 CST
164.51MMarket Cap0.00P/E (TTM)

Astaka Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
-47.82%1.27M
-155.59%-3.34M
142.28%3.83M
-87.18%2.43M
-152.11%-1.31M
74.83%-9.05M
-47.7M
351.56%17.17M
18.98M
2.51M
Net profit before non-cash adjustment
-1,020.08%-2.38M
-3,336.67%-3.88M
-92.57%410.02K
-55.27%259K
-98.76%120K
126.47%5.52M
--286.17K
19.60%-5M
--579K
--9.65M
Total adjustment of non-cash items
-70.85%-3.2M
27.63%-1.15M
-520.60%-12.86M
-209.98%-1.87M
-220.90%-1.59M
-117.30%-2.07M
---6.83M
-2.18%1.75M
--1.7M
--1.31M
-Depreciation and amortization
8.26%118K
4.59%114K
11.59%442.51K
28.24%109K
11.22%109K
-47.34%396.54K
--113.54K
-23.08%100K
--85K
--98K
-Reversal of impairment losses recognized in profit and loss
----
-16.41%-1.46M
-16.77%-6.26M
----
-21.84%-1.26M
-156.89%-5.36M
---3.87M
----
----
---1.03M
-Assets reserve and write-off
-69.59%-4.94M
--0
----
---2.91M
---357K
----
----
----
----
----
-Disposal profit
--0
--0
---598.31K
---598K
--0
--0
--0
--0
--0
--0
-Net exchange gains and losses
300.00%8K
-100.00%-10K
43.00%-11.7K
-500.00%-4K
0.00%-5K
-144.85%-20.52K
--4.48K
-146.67%-21K
--1K
---5K
-Other non-cash items
-46.18%148K
372.73%210K
-321.52%-6.44M
-86.97%275K
-103.43%-77K
-78.09%2.91M
---3.08M
-2.45%1.63M
--2.11M
--2.25M
Changes in working capital
69.35%6.85M
964.78%1.69M
230.28%16.28M
-75.76%4.05M
101.88%159K
53.85%-12.5M
---41.15M
952.21%20.42M
--16.69M
---8.46M
-Change in receivables
-220.25%-8.18M
149.20%3.54M
-79.96%2.34M
16.65%-2.55M
-16.75%-7.19M
40.20%11.69M
--14.7M
-1.68%6.21M
---3.06M
---6.16M
-Change in inventory
80.88%21.06M
-43.33%8.19M
117.83%39.17M
139.10%11.64M
46.37%14.45M
-84.98%17.98M
--184.33K
574.53%3.06M
--4.87M
--9.87M
-Change in payables
-19.57%-6.03M
-41.37%-10.04M
40.16%-25.23M
-137.91%-5.04M
41.67%-7.1M
-6.16%-42.17M
---54.12M
182.01%10.82M
--13.3M
---12.17M
-Changes in other current assets
----
----
----
----
----
----
----
-93.48%334K
----
----
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
61.11%-14K
70.59%-10K
139.99%137.77K
70.25%-36K
84.75%-34K
-1,468.51%-344.49K
506
99.01%-1K
-121K
-223K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-47.62%1.26M
-149.85%-3.35M
142.19%3.96M
-87.29%2.4M
-158.69%-1.34M
73.86%-9.39M
---47.7M
347.88%17.17M
--18.85M
--2.28M
Investing cash flow
Net PPE purchase and sale
49.23%-33K
-642.86%-52K
-56.55%-152.64K
-225.00%-65K
84.09%-7K
-117.67%-97.51K
---22.51K
38.89%-11K
---20K
---44K
Interest received (cash flow from investment activities)
-8.11%34K
-64.65%35K
101.38%182.92K
362.50%37K
1,000.00%99K
-71.07%90.83K
--14.83K
293.33%59K
--8K
--9K
Net changes in other investments
----
----
-16.62%53.24M
62,775.44%35.84M
1,730,200.00%17.3M
1,687.91%63.86M
--63.8M
100.47%2K
--57K
---1K
Investing cash flow
-100.00%1K
-100.10%-17K
-16.57%53.27M
79,480.00%35.81M
48,413.89%17.39M
1,562.44%63.85M
--63.79M
111.55%50K
--45K
---36K
Financing cash flow
Net issuance payments of debt
----
----
----
----
----
----
----
----
----
--0
Increase or decrease of lease financing
13.51%-32K
18.42%-31K
0.78%-390.45K
-12.12%-37K
-15.15%-38K
32.94%-393.53K
---283.53K
8.33%-44K
---33K
---33K
Interest paid (cash flow from financing activities)
96.72%-245K
-22.55%-250K
-1,898.30%-14.27M
-4,164.00%-7.46M
-25.93%-204K
88.16%-714K
---199K
81.63%-178K
---175K
---162K
Net other fund-raising expenses
109.98%2.11M
84.41%-2.76M
38.72%-32.24M
-14.87%-21.15M
-495.99%-17.7M
-281.72%-52.6M
---15.75M
-382.51%-15.47M
---18.41M
---2.97M
Financing cash flow
106.40%1.83M
83.05%-3.04M
12.69%-46.89M
-53.86%-28.65M
-466.91%-17.94M
-353.47%-53.71M
---16.23M
-468.95%-15.7M
---18.62M
---3.16M
Net cash flow
Beginning cash position
73.02%-2.15M
169.64%4.25M
11.18%-6.1M
-2.58%-7.98M
11.19%-6.1M
-268.13%-6.86M
---5.96M
-25,931.03%-7.49M
---7.78M
---6.86M
Current changes in cash
-67.67%3.09M
-239.97%-6.41M
1,283.48%10.34M
3,325.81%9.56M
-105.45%-1.88M
106.86%747.41K
---137.59K
149.05%1.52M
--279K
---917K
Effect of exchange rate changes
-300.00%-2K
--7K
-93.37%1.34K
-88.89%1K
--0
138.75%20.15K
--1.15K
119.51%8K
--9K
--2K
End cash Position
-40.79%935K
73.02%-2.15M
169.64%4.25M
121.08%1.58M
-2.58%-7.98M
11.18%-6.1M
---6.1M
-91.21%-5.96M
---7.49M
---7.78M
Free cash flow
-47.58%1.22M
-152.41%-3.4M
140.15%3.81M
-87.62%2.33M
-160.16%-1.35M
73.66%-9.49M
---47.72M
347.08%17.16M
--18.83M
--2.24M
Currency Unit
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities -47.82%1.27M-155.59%-3.34M142.28%3.83M-87.18%2.43M-152.11%-1.31M74.83%-9.05M-47.7M351.56%17.17M18.98M2.51M
Net profit before non-cash adjustment -1,020.08%-2.38M-3,336.67%-3.88M-92.57%410.02K-55.27%259K-98.76%120K126.47%5.52M--286.17K19.60%-5M--579K--9.65M
Total adjustment of non-cash items -70.85%-3.2M27.63%-1.15M-520.60%-12.86M-209.98%-1.87M-220.90%-1.59M-117.30%-2.07M---6.83M-2.18%1.75M--1.7M--1.31M
-Depreciation and amortization 8.26%118K4.59%114K11.59%442.51K28.24%109K11.22%109K-47.34%396.54K--113.54K-23.08%100K--85K--98K
-Reversal of impairment losses recognized in profit and loss -----16.41%-1.46M-16.77%-6.26M-----21.84%-1.26M-156.89%-5.36M---3.87M-----------1.03M
-Assets reserve and write-off -69.59%-4.94M--0-------2.91M---357K--------------------
-Disposal profit --0--0---598.31K---598K--0--0--0--0--0--0
-Net exchange gains and losses 300.00%8K-100.00%-10K43.00%-11.7K-500.00%-4K0.00%-5K-144.85%-20.52K--4.48K-146.67%-21K--1K---5K
-Other non-cash items -46.18%148K372.73%210K-321.52%-6.44M-86.97%275K-103.43%-77K-78.09%2.91M---3.08M-2.45%1.63M--2.11M--2.25M
Changes in working capital 69.35%6.85M964.78%1.69M230.28%16.28M-75.76%4.05M101.88%159K53.85%-12.5M---41.15M952.21%20.42M--16.69M---8.46M
-Change in receivables -220.25%-8.18M149.20%3.54M-79.96%2.34M16.65%-2.55M-16.75%-7.19M40.20%11.69M--14.7M-1.68%6.21M---3.06M---6.16M
-Change in inventory 80.88%21.06M-43.33%8.19M117.83%39.17M139.10%11.64M46.37%14.45M-84.98%17.98M--184.33K574.53%3.06M--4.87M--9.87M
-Change in payables -19.57%-6.03M-41.37%-10.04M40.16%-25.23M-137.91%-5.04M41.67%-7.1M-6.16%-42.17M---54.12M182.01%10.82M--13.3M---12.17M
-Changes in other current assets -----------------------------93.48%334K--------
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 61.11%-14K70.59%-10K139.99%137.77K70.25%-36K84.75%-34K-1,468.51%-344.49K50699.01%-1K-121K-223K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -47.62%1.26M-149.85%-3.35M142.19%3.96M-87.29%2.4M-158.69%-1.34M73.86%-9.39M---47.7M347.88%17.17M--18.85M--2.28M
Investing cash flow
Net PPE purchase and sale 49.23%-33K-642.86%-52K-56.55%-152.64K-225.00%-65K84.09%-7K-117.67%-97.51K---22.51K38.89%-11K---20K---44K
Interest received (cash flow from investment activities) -8.11%34K-64.65%35K101.38%182.92K362.50%37K1,000.00%99K-71.07%90.83K--14.83K293.33%59K--8K--9K
Net changes in other investments ---------16.62%53.24M62,775.44%35.84M1,730,200.00%17.3M1,687.91%63.86M--63.8M100.47%2K--57K---1K
Investing cash flow -100.00%1K-100.10%-17K-16.57%53.27M79,480.00%35.81M48,413.89%17.39M1,562.44%63.85M--63.79M111.55%50K--45K---36K
Financing cash flow
Net issuance payments of debt --------------------------------------0
Increase or decrease of lease financing 13.51%-32K18.42%-31K0.78%-390.45K-12.12%-37K-15.15%-38K32.94%-393.53K---283.53K8.33%-44K---33K---33K
Interest paid (cash flow from financing activities) 96.72%-245K-22.55%-250K-1,898.30%-14.27M-4,164.00%-7.46M-25.93%-204K88.16%-714K---199K81.63%-178K---175K---162K
Net other fund-raising expenses 109.98%2.11M84.41%-2.76M38.72%-32.24M-14.87%-21.15M-495.99%-17.7M-281.72%-52.6M---15.75M-382.51%-15.47M---18.41M---2.97M
Financing cash flow 106.40%1.83M83.05%-3.04M12.69%-46.89M-53.86%-28.65M-466.91%-17.94M-353.47%-53.71M---16.23M-468.95%-15.7M---18.62M---3.16M
Net cash flow
Beginning cash position 73.02%-2.15M169.64%4.25M11.18%-6.1M-2.58%-7.98M11.19%-6.1M-268.13%-6.86M---5.96M-25,931.03%-7.49M---7.78M---6.86M
Current changes in cash -67.67%3.09M-239.97%-6.41M1,283.48%10.34M3,325.81%9.56M-105.45%-1.88M106.86%747.41K---137.59K149.05%1.52M--279K---917K
Effect of exchange rate changes -300.00%-2K--7K-93.37%1.34K-88.89%1K--0138.75%20.15K--1.15K119.51%8K--9K--2K
End cash Position -40.79%935K73.02%-2.15M169.64%4.25M121.08%1.58M-2.58%-7.98M11.18%-6.1M---6.1M-91.21%-5.96M---7.49M---7.78M
Free cash flow -47.58%1.22M-152.41%-3.4M140.15%3.81M-87.62%2.33M-160.16%-1.35M73.66%-9.49M---47.72M347.08%17.16M--18.83M--2.24M
Currency Unit MYRMYRMYRMYRMYRMYRMYRMYRMYRMYR

Analysis

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Price Target

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