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5210 ARMADA

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  • 0.500
  • 0.0000.00%
15min DelayTrading Nov 4 10:54 CST
2.96BMarket Cap5.68P/E (TTM)

ARMADA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
106.40%619.36M
-19.84%315.28M
-25.60%1.25B
-42.39%239.94M
-48.83%319.92M
-12.90%300.08M
31.83%393.32M
1.34%1.68B
15.02%416.46M
23.27%625.16M
Net profit before non-cash adjustment
150.58%268.46M
34.30%263.11M
-59.56%293.04M
-182.51%-174.76M
18.37%164.75M
-42.83%107.14M
5.17%195.91M
12.73%724.66M
50.03%211.8M
-5.75%139.18M
Total adjustment of non-cash items
21.36%91.3M
6.12%153.97M
48.38%978.88M
391.41%632.08M
-40.88%126.49M
-57.26%75.23M
2.82%145.08M
-11.85%659.71M
-22.84%128.63M
15.97%213.95M
-Depreciation and amortization
-6.99%76.54M
-6.96%76.42M
-2.68%333.47M
-1.66%85.15M
-3.99%83.9M
-3.65%82.28M
-1.38%82.14M
-26.43%342.66M
-23.51%86.59M
-23.68%87.39M
-Reversal of impairment losses recognized in profit and loss
51.40%-660K
28.17%-946K
564.69%474.81M
15,209.55%477.96M
-110.66%-484K
-102.08%-1.36M
20.47%-1.32M
1,270.81%71.43M
219.39%3.12M
-1.33%4.54M
-Share of associates
-131.17%-31.97M
88.35%-3.15M
-27.84%-62.84M
107.94%3.14M
-158.15%-25.1M
57.14%-13.83M
-32.16%-27.05M
53.93%-49.15M
-27.04%-39.57M
260.60%43.16M
-Disposal profit
87.03%-8.01M
-114.81%-212K
-783.10%-77.83M
-96.38%492K
-2,386.33%-18M
-4,940.65%-61.75M
654.65%1.43M
140.38%11.39M
604.83%13.6M
88.21%-724K
-Net exchange gains and losses
3.99%-3.28M
71.21%10.21M
135.40%16.18M
70.61%-1.69M
285.93%15.32M
86.48%-3.41M
192.12%5.96M
-2,548.71%-45.69M
-494.38%-5.75M
-394.95%-8.24M
-Remuneration paid in stock
-219.25%-1.24M
23.65%1.37M
-3.41%4.39M
-6.96%1.07M
4.91%1.18M
-10.74%1.04M
-0.45%1.11M
-18.98%4.55M
-53.58%1.15M
-11.04%1.12M
-Deferred income tax
243.62%1.78M
73.06%7.12M
119.83%3.11M
99.67%-65K
137.63%292K
-121.86%-1.24M
-23.89%4.12M
-162.48%-15.66M
-1,322.42%-19.73M
-96.95%-776K
-Other non-cash items
-20.89%58.14M
-19.75%63.16M
-15.46%287.6M
-26.00%66.02M
-20.69%69.39M
-11.80%73.5M
-1.82%78.7M
-10.44%340.18M
2.07%89.21M
-7.67%87.49M
Changes in working capital
120.53%259.6M
-294.52%-101.79M
-106.22%-18.66M
-385.93%-217.38M
-89.46%28.68M
722.49%117.71M
280.35%52.33M
10.76%300.12M
40.28%76.03M
55.47%272.02M
-Change in receivables
56.80%297.16M
-236.14%-128.39M
-34.99%199.08M
-158.54%-110.14M
-84.63%25.39M
420.70%189.52M
687.34%94.31M
20.12%306.22M
126.64%188.14M
-1.62%165.2M
-Change in payables
76.44%-19.34M
115.69%6.46M
-748.99%-214M
-18.00%-97.4M
-94.03%6.67M
-356.51%-82.12M
-45.58%-41.16M
63.86%32.98M
-14.18%-82.55M
354.17%111.78M
-Changes in other current assets
-276.76%-18.22M
2,547.39%20.14M
90.44%-3.74M
66.73%-9.84M
41.47%-3.39M
14.48%10.31M
93.53%-823K
-380.01%-39.07M
-169.28%-29.57M
66.93%-5.79M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
112.08%56.61M
56.59M
-65.96%26.69M
0
0
26.69M
0
-31.87%78.41M
52.71M
8.46M
Interest paid (cash flow from operating activities)
-84.27%-96.39M
8.42%-95.15M
12.46%-292.54M
55.83%-28.86M
1.66%-107.48M
8.55%-52.31M
-1.50%-103.9M
9.77%-334.2M
-4.47%-65.34M
6.17%-109.29M
Interest received (cash flow from operating activities)
Tax refund paid
571.04%12.74M
-331.92%-4.79M
1,853.33%1.17M
-106.60%-251K
117.15%633K
1,751.30%1.9M
-1,888.71%-1.11M
100.66%60K
148.61%3.8M
-927.35%-3.69M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
114.32%592.32M
-5.68%271.93M
-30.81%988.58M
-48.28%210.83M
-59.07%213.07M
-9.22%276.37M
47.05%288.32M
-3.17%1.43B
-4.68%407.62M
23.54%520.63M
Investing cash flow
Net PPE purchase and sale
-100.02%-32K
-48.70%-171K
54.42%151.38M
-100.43%-359K
33.00%-601K
46,864.11%152.45M
-100.69%-115K
-41.41%98.03M
169.61%82.64M
-102.36%-897K
Net business purchase and sale
--0
--0
-38.68%83.46M
--18.99M
--36.88M
--0
-80.00%27.59M
2,051.55%136.11M
--0
--0
Advance cash and loans provided to other parties
59.53%-25.97M
---2.88M
---142.19M
---41.59M
---36.43M
---64.17M
--0
--0
--0
--0
Repayment of advance payments to other parties and cash income from loans
--0
--14.3M
630.01%38.9M
--35.58M
--0
----
----
158.19%5.33M
--0
----
Dividends received (cash flow from investment activities)
----
----
--452K
--0
--0
----
----
--0
--0
--0
Interest received (cash flow from investment activities)
-32.73%7.07M
37.50%15.98M
72.36%49.18M
49.79%13.57M
60.75%13.48M
85.17%10.51M
114.66%11.62M
54.86%28.53M
69.37%9.06M
61.09%8.38M
Investing cash flow
-97.28%2.79M
-30.33%27.24M
-32.40%181.18M
-71.44%26.19M
4.04%13.33M
2,800.42%102.56M
-75.56%39.1M
241.65%268M
1,580.88%91.7M
24.42%12.82M
Financing cash flow
Net issuance payments of debt
31.88%-278.76M
75.10%-122.1M
23.56%-1.34B
52.83%-267.47M
49.82%-168.68M
-3.06%-409.2M
-9.68%-490.37M
-5.80%-1.75B
-17.60%-567.03M
20.19%-336.13M
Increase or decrease of lease financing
1.92%-1.02M
4.48%-1M
-54.92%-4.08M
-360.63%-993K
-68.25%-991K
-229.02%-1.04M
50.19%-1.05M
36.62%-2.63M
117.98%381K
57.96%-589K
Financing cash flow
31.80%-279.79M
74.95%-123.1M
23.44%-1.34B
52.62%-268.47M
49.61%-169.67M
-3.24%-410.24M
-9.40%-491.42M
-5.69%-1.75B
-17.01%-566.65M
20.31%-336.72M
Net cash flow
Beginning cash position
33.09%901.76M
-15.99%704.72M
-0.54%838.85M
-21.07%751.92M
-3.90%689.38M
-10.69%677.54M
-0.54%838.85M
-5.75%843.37M
4.72%952.59M
-18.11%717.38M
Current changes in cash
1,106.87%315.32M
207.36%176.07M
-219.86%-170.03M
53.28%-31.45M
-71.16%56.74M
64.96%-31.32M
-76.02%-164M
47.71%-53.16M
-7.16%-67.33M
2,039.51%196.73M
Effect of exchange rate changes
-106.35%-2.74M
679.01%20.97M
-26.17%35.91M
66.08%-15.75M
-84.92%5.8M
-10.39%43.16M
-67.99%2.69M
-3.22%48.63M
-1,259.55%-46.42M
57.86%38.48M
End cash Position
76.15%1.21B
33.09%901.76M
-15.99%704.72M
-15.99%704.72M
-21.07%751.92M
-3.90%689.38M
-10.69%677.54M
-0.54%838.85M
-0.54%838.85M
4.72%952.59M
Free cash flow
114.44%592.29M
-5.71%271.76M
-30.82%987.34M
-48.35%210.47M
-59.12%212.47M
-9.18%276.2M
47.09%288.2M
-2.41%1.43B
-4.38%407.5M
23.90%519.73M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities 106.40%619.36M-19.84%315.28M-25.60%1.25B-42.39%239.94M-48.83%319.92M-12.90%300.08M31.83%393.32M1.34%1.68B15.02%416.46M23.27%625.16M
Net profit before non-cash adjustment 150.58%268.46M34.30%263.11M-59.56%293.04M-182.51%-174.76M18.37%164.75M-42.83%107.14M5.17%195.91M12.73%724.66M50.03%211.8M-5.75%139.18M
Total adjustment of non-cash items 21.36%91.3M6.12%153.97M48.38%978.88M391.41%632.08M-40.88%126.49M-57.26%75.23M2.82%145.08M-11.85%659.71M-22.84%128.63M15.97%213.95M
-Depreciation and amortization -6.99%76.54M-6.96%76.42M-2.68%333.47M-1.66%85.15M-3.99%83.9M-3.65%82.28M-1.38%82.14M-26.43%342.66M-23.51%86.59M-23.68%87.39M
-Reversal of impairment losses recognized in profit and loss 51.40%-660K28.17%-946K564.69%474.81M15,209.55%477.96M-110.66%-484K-102.08%-1.36M20.47%-1.32M1,270.81%71.43M219.39%3.12M-1.33%4.54M
-Share of associates -131.17%-31.97M88.35%-3.15M-27.84%-62.84M107.94%3.14M-158.15%-25.1M57.14%-13.83M-32.16%-27.05M53.93%-49.15M-27.04%-39.57M260.60%43.16M
-Disposal profit 87.03%-8.01M-114.81%-212K-783.10%-77.83M-96.38%492K-2,386.33%-18M-4,940.65%-61.75M654.65%1.43M140.38%11.39M604.83%13.6M88.21%-724K
-Net exchange gains and losses 3.99%-3.28M71.21%10.21M135.40%16.18M70.61%-1.69M285.93%15.32M86.48%-3.41M192.12%5.96M-2,548.71%-45.69M-494.38%-5.75M-394.95%-8.24M
-Remuneration paid in stock -219.25%-1.24M23.65%1.37M-3.41%4.39M-6.96%1.07M4.91%1.18M-10.74%1.04M-0.45%1.11M-18.98%4.55M-53.58%1.15M-11.04%1.12M
-Deferred income tax 243.62%1.78M73.06%7.12M119.83%3.11M99.67%-65K137.63%292K-121.86%-1.24M-23.89%4.12M-162.48%-15.66M-1,322.42%-19.73M-96.95%-776K
-Other non-cash items -20.89%58.14M-19.75%63.16M-15.46%287.6M-26.00%66.02M-20.69%69.39M-11.80%73.5M-1.82%78.7M-10.44%340.18M2.07%89.21M-7.67%87.49M
Changes in working capital 120.53%259.6M-294.52%-101.79M-106.22%-18.66M-385.93%-217.38M-89.46%28.68M722.49%117.71M280.35%52.33M10.76%300.12M40.28%76.03M55.47%272.02M
-Change in receivables 56.80%297.16M-236.14%-128.39M-34.99%199.08M-158.54%-110.14M-84.63%25.39M420.70%189.52M687.34%94.31M20.12%306.22M126.64%188.14M-1.62%165.2M
-Change in payables 76.44%-19.34M115.69%6.46M-748.99%-214M-18.00%-97.4M-94.03%6.67M-356.51%-82.12M-45.58%-41.16M63.86%32.98M-14.18%-82.55M354.17%111.78M
-Changes in other current assets -276.76%-18.22M2,547.39%20.14M90.44%-3.74M66.73%-9.84M41.47%-3.39M14.48%10.31M93.53%-823K-380.01%-39.07M-169.28%-29.57M66.93%-5.79M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities) 112.08%56.61M56.59M-65.96%26.69M0026.69M0-31.87%78.41M52.71M8.46M
Interest paid (cash flow from operating activities) -84.27%-96.39M8.42%-95.15M12.46%-292.54M55.83%-28.86M1.66%-107.48M8.55%-52.31M-1.50%-103.9M9.77%-334.2M-4.47%-65.34M6.17%-109.29M
Interest received (cash flow from operating activities)
Tax refund paid 571.04%12.74M-331.92%-4.79M1,853.33%1.17M-106.60%-251K117.15%633K1,751.30%1.9M-1,888.71%-1.11M100.66%60K148.61%3.8M-927.35%-3.69M
Other operating cash inflow (outflow) 0000000000
Operating cash flow 114.32%592.32M-5.68%271.93M-30.81%988.58M-48.28%210.83M-59.07%213.07M-9.22%276.37M47.05%288.32M-3.17%1.43B-4.68%407.62M23.54%520.63M
Investing cash flow
Net PPE purchase and sale -100.02%-32K-48.70%-171K54.42%151.38M-100.43%-359K33.00%-601K46,864.11%152.45M-100.69%-115K-41.41%98.03M169.61%82.64M-102.36%-897K
Net business purchase and sale --0--0-38.68%83.46M--18.99M--36.88M--0-80.00%27.59M2,051.55%136.11M--0--0
Advance cash and loans provided to other parties 59.53%-25.97M---2.88M---142.19M---41.59M---36.43M---64.17M--0--0--0--0
Repayment of advance payments to other parties and cash income from loans --0--14.3M630.01%38.9M--35.58M--0--------158.19%5.33M--0----
Dividends received (cash flow from investment activities) ----------452K--0--0----------0--0--0
Interest received (cash flow from investment activities) -32.73%7.07M37.50%15.98M72.36%49.18M49.79%13.57M60.75%13.48M85.17%10.51M114.66%11.62M54.86%28.53M69.37%9.06M61.09%8.38M
Investing cash flow -97.28%2.79M-30.33%27.24M-32.40%181.18M-71.44%26.19M4.04%13.33M2,800.42%102.56M-75.56%39.1M241.65%268M1,580.88%91.7M24.42%12.82M
Financing cash flow
Net issuance payments of debt 31.88%-278.76M75.10%-122.1M23.56%-1.34B52.83%-267.47M49.82%-168.68M-3.06%-409.2M-9.68%-490.37M-5.80%-1.75B-17.60%-567.03M20.19%-336.13M
Increase or decrease of lease financing 1.92%-1.02M4.48%-1M-54.92%-4.08M-360.63%-993K-68.25%-991K-229.02%-1.04M50.19%-1.05M36.62%-2.63M117.98%381K57.96%-589K
Financing cash flow 31.80%-279.79M74.95%-123.1M23.44%-1.34B52.62%-268.47M49.61%-169.67M-3.24%-410.24M-9.40%-491.42M-5.69%-1.75B-17.01%-566.65M20.31%-336.72M
Net cash flow
Beginning cash position 33.09%901.76M-15.99%704.72M-0.54%838.85M-21.07%751.92M-3.90%689.38M-10.69%677.54M-0.54%838.85M-5.75%843.37M4.72%952.59M-18.11%717.38M
Current changes in cash 1,106.87%315.32M207.36%176.07M-219.86%-170.03M53.28%-31.45M-71.16%56.74M64.96%-31.32M-76.02%-164M47.71%-53.16M-7.16%-67.33M2,039.51%196.73M
Effect of exchange rate changes -106.35%-2.74M679.01%20.97M-26.17%35.91M66.08%-15.75M-84.92%5.8M-10.39%43.16M-67.99%2.69M-3.22%48.63M-1,259.55%-46.42M57.86%38.48M
End cash Position 76.15%1.21B33.09%901.76M-15.99%704.72M-15.99%704.72M-21.07%751.92M-3.90%689.38M-10.69%677.54M-0.54%838.85M-0.54%838.85M4.72%952.59M
Free cash flow 114.44%592.29M-5.71%271.76M-30.82%987.34M-48.35%210.47M-59.12%212.47M-9.18%276.2M47.09%288.2M-2.41%1.43B-4.38%407.5M23.90%519.73M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

Analysis

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