SG Stock MarketDetailed Quotes

554 King Wan

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  • 0.032
  • -0.001-3.03%
10min DelayMarket Closed Sep 13 17:06 CST
22.35MMarket Cap1.78P/E (TTM)

King Wan Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(Q4)Mar 31, 2021
(Q3)Dec 31, 2020
(FY)Mar 31, 2020
(Q4)Mar 31, 2020
(Q3)Dec 31, 2019
(Q2)Sep 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
209.00%5.07M
-328.03%-4.65M
681.99%2.04M
-97.12%261K
-77.65%1.11M
-116.51%-554.68K
911.16%9.06M
574.34%4.95M
481.99%3.36M
-104.24%-221.9K
Net profit before non-cash adjustment
315.75%12.08M
-1,122.08%-5.6M
139.03%548K
-213.87%-1.4M
-94.35%37.78K
-10.38%335.99K
-62.93%1.23M
-72.39%668.57K
136.43%374.89K
-104.16%-27.62K
Total adjustment of non-cash items
-57,660.00%-14.39M
-99.06%25K
5.56%2.66M
-39.84%2.52M
-80.53%683.39K
786.29%1.45M
529.20%4.19M
312.63%3.51M
-80.23%163.67K
524.60%331.63K
-Depreciation and amortization
1.49%1.16M
5.06%1.14M
5.94%1.09M
-6.30%1.03M
-3.09%261.32K
-34.64%260.66K
21.78%1.1M
19.60%269.67K
81.84%398.79K
-4.89%210.32K
-Reversal of impairment losses recognized in profit and loss
-99.34%8K
9,169.23%1.21M
-7.14%13K
--14K
----
----
--0
----
----
----
-Assets reserve and write-off
273.45%4.65M
-208.85%-2.68M
34.06%2.46M
-48.69%1.84M
-86.33%541.96K
409.66%1.29M
9,850.00%3.58M
10,784.10%3.96M
-9,528.37%-417.02K
1,516.64%37.1K
-Share of associates
-163,291.67%-19.61M
93.30%-12K
-11.18%-179K
-15.83%-161K
-34.51%-78.84K
24.59%-3.65K
75.95%-139K
95.23%-58.62K
-100.88%-4.84K
81.25%-43.77K
-Disposal profit
-1,600.00%-357K
96.23%-21K
-411.01%-557K
83.99%-109K
100.15%1.1K
-127.36%-11.49K
50.90%-681K
-6.03%-736.96K
257.20%41.97K
-59.67%9.81K
-Other non-cash items
-162.76%-246K
331.95%392K
-89.89%-169K
-126.89%-89K
-178.20%-56.14K
-159.61%-86.3K
524.53%331K
494.04%71.79K
233.28%144.76K
204.93%118.18K
Changes in working capital
700.33%7.38M
179.01%922K
-36.49%-1.17M
-123.50%-855K
-50.19%385.78K
-183.01%-2.34M
350.21%3.64M
142.66%774.46K
515.71%2.82M
-111.64%-525.91K
-Change in receivables
241.85%11.73M
-1,466.28%-8.27M
124.08%605K
-1,151.05%-2.51M
-124.40%-6.82M
-177.57%-3.66M
123.48%239K
-62.89%-3.04M
1,612.33%4.72M
-124.80%-578.1K
-Change in inventory
-48.78%168K
346.62%328K
54.61%-133K
-1,076.67%-293K
-104.13%-5.46K
40.42%-168.67K
1,400.00%30K
161.94%132.11K
-347.10%-283.08K
7,271.73%186.95K
-Change in payables
-134.18%-3.36M
627.15%9.83M
-384.15%-1.86M
-84.63%656K
54.12%6.92M
231.45%3.25M
55.77%4.27M
37.82%4.49M
-136.48%-2.47M
-75.08%880.83K
-Provision for loans, leases and other losses
89.31%-126K
-1,012.26%-1.18M
61.59%-106K
-17.95%-276K
-2,587.45%-126.77K
-122.57%-91.13K
-17.59%-234K
71.50%-4.72K
1,725.27%403.7K
-619.03%-383.39K
-Changes in other current assets
-583.10%-1.03M
-35.65%213K
-78.92%331K
336.09%1.57M
151.30%413.43K
-472.60%-1.66M
77.68%-665K
---805.82K
--446.44K
51.28%-632.19K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-36.86%-1.75M
-91.73%-1.28M
29.41%-665K
37.37%-942K
51.54%-205.97K
51.15%-176.46K
-28.44%-1.5M
-41.16%-425K
-17.43%-361.22K
-28.54%-392.12K
Interest received (cash flow from operating activities)
Tax refund paid
87.17%-58K
-44.87%-452K
25.89%-312K
28.52%-421K
-242.12%-176.39K
-35.58%-181.66K
56.98%-589K
83.66%-51.56K
68.44%-133.99K
7.95%-289.44K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
151.25%3.27M
-699.72%-6.38M
196.55%1.06M
-115.82%-1.1M
-83.81%724.59K
-131.87%-912.8K
523.78%6.97M
369.52%4.48M
277.70%2.86M
-119.58%-903.45K
Investing cash flow
Net PPE purchase and sale
35.35%-395K
-11.70%-611K
-70.40%-547K
-1,559.09%-321K
-2,713.18%-141.25K
-1,650.66%-268.2K
119.64%22K
87.30%-5.02K
29.36%-15.32K
238.63%58.79K
Net business purchase and sale
--0
---125K
--0
--6.05M
----
----
--0
----
----
----
Advance cash and loans provided to other parties
----
----
----
61.33%-1.31M
-6.06%-350K
--0
4.12%-3.38M
52.17%-330K
-285.37%-1.58M
26.90%-625K
Repayment of advance payments to other parties and cash income from loans
6,329.85%4.31M
141.10%67K
---163K
----
----
----
----
----
----
----
Dividends received (cash flow from investment activities)
--93K
--0
--472K
--0
-100.02%-132
--0
-48.40%741K
3.10%740.86K
--0
75.00%7
Interest received (cash flow from investment activities)
-50.00%14K
250.00%28K
-11.11%8K
-10.00%9K
-4.47%1.9K
0.48%1.68K
-33.33%10K
-5.33%1.99K
-58.73%1.67K
-38.44%2.97K
Investing cash flow
727.15%4.02M
-178.70%-641K
-105.19%-230K
270.37%4.43M
1,263.44%5.56M
83.28%-266.52K
-169.97%-2.6M
-93.08%407.83K
-272.66%-1.59M
36.90%-563.23K
Financing cash flow
Net issuance payments of debt
-1,076.94%-8.81M
220.59%902K
-154.40%-748K
171.76%1.38M
119.03%138.25K
-8.75%-1M
64.07%-1.92M
69.12%-726.53K
-2,979.36%-919.55K
100.28%10.18K
Net common stock issuance
----
----
--6.98M
--0
----
----
----
----
----
----
Increase or decrease of lease financing
14.68%-436K
7.43%-511K
-8.02%-552K
-1.39%-511K
-87.63%-129.11K
57.14%-128.04K
-80.65%-504K
-3.54%-68.81K
-365.28%-298.73K
4.17%-69.14K
Net other fund-raising expenses
----
----
--3K
----
----
----
----
----
----
----
Financing cash flow
-2,465.22%-9.25M
-93.12%391K
558.10%5.69M
135.70%864K
101.15%9.15K
7.41%-1.13M
56.88%-2.42M
67.12%-795.33K
-3,675.51%-1.22M
98.42%-58.96K
Net cash flow
Beginning cash position
-37.67%11M
58.57%17.65M
60.51%11.13M
39.01%6.93M
113.97%6.08M
200.77%8.39M
-41.49%4.99M
-10.43%2.84M
-46.80%2.79M
-17.87%4.32M
Current changes in cash
70.47%-1.96M
-201.70%-6.63M
55.42%6.52M
115.68%4.2M
53.95%6.29M
-4,549.57%-2.31M
154.99%1.95M
125.70%4.09M
102.50%51.86K
-18,131.81%-1.53M
Effect of exchange rate changes
188.24%15K
-1,600.00%-17K
-200.00%-1K
0.00%1K
417.93%16.44K
-2,190.91%-4.79K
--1K
--3.17K
85.22%-209
37.90%-1.65K
End cash Position
-17.66%9.06M
-37.67%11M
58.57%17.65M
60.51%11.13M
60.51%11.13M
113.97%6.08M
39.01%6.93M
39.01%6.93M
-10.43%2.84M
-46.80%2.79M
Free cash flow
138.61%2.76M
-1,892.71%-7.14M
124.36%398K
-123.65%-1.63M
-87.19%572.51K
-141.46%-1.18M
492.39%6.91M
362.49%4.47M
274.40%2.85M
-120.19%-922.54K
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Mar 31, 2024(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(Q4)Mar 31, 2021(Q3)Dec 31, 2020(FY)Mar 31, 2020(Q4)Mar 31, 2020(Q3)Dec 31, 2019(Q2)Sep 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities 209.00%5.07M-328.03%-4.65M681.99%2.04M-97.12%261K-77.65%1.11M-116.51%-554.68K911.16%9.06M574.34%4.95M481.99%3.36M-104.24%-221.9K
Net profit before non-cash adjustment 315.75%12.08M-1,122.08%-5.6M139.03%548K-213.87%-1.4M-94.35%37.78K-10.38%335.99K-62.93%1.23M-72.39%668.57K136.43%374.89K-104.16%-27.62K
Total adjustment of non-cash items -57,660.00%-14.39M-99.06%25K5.56%2.66M-39.84%2.52M-80.53%683.39K786.29%1.45M529.20%4.19M312.63%3.51M-80.23%163.67K524.60%331.63K
-Depreciation and amortization 1.49%1.16M5.06%1.14M5.94%1.09M-6.30%1.03M-3.09%261.32K-34.64%260.66K21.78%1.1M19.60%269.67K81.84%398.79K-4.89%210.32K
-Reversal of impairment losses recognized in profit and loss -99.34%8K9,169.23%1.21M-7.14%13K--14K----------0------------
-Assets reserve and write-off 273.45%4.65M-208.85%-2.68M34.06%2.46M-48.69%1.84M-86.33%541.96K409.66%1.29M9,850.00%3.58M10,784.10%3.96M-9,528.37%-417.02K1,516.64%37.1K
-Share of associates -163,291.67%-19.61M93.30%-12K-11.18%-179K-15.83%-161K-34.51%-78.84K24.59%-3.65K75.95%-139K95.23%-58.62K-100.88%-4.84K81.25%-43.77K
-Disposal profit -1,600.00%-357K96.23%-21K-411.01%-557K83.99%-109K100.15%1.1K-127.36%-11.49K50.90%-681K-6.03%-736.96K257.20%41.97K-59.67%9.81K
-Other non-cash items -162.76%-246K331.95%392K-89.89%-169K-126.89%-89K-178.20%-56.14K-159.61%-86.3K524.53%331K494.04%71.79K233.28%144.76K204.93%118.18K
Changes in working capital 700.33%7.38M179.01%922K-36.49%-1.17M-123.50%-855K-50.19%385.78K-183.01%-2.34M350.21%3.64M142.66%774.46K515.71%2.82M-111.64%-525.91K
-Change in receivables 241.85%11.73M-1,466.28%-8.27M124.08%605K-1,151.05%-2.51M-124.40%-6.82M-177.57%-3.66M123.48%239K-62.89%-3.04M1,612.33%4.72M-124.80%-578.1K
-Change in inventory -48.78%168K346.62%328K54.61%-133K-1,076.67%-293K-104.13%-5.46K40.42%-168.67K1,400.00%30K161.94%132.11K-347.10%-283.08K7,271.73%186.95K
-Change in payables -134.18%-3.36M627.15%9.83M-384.15%-1.86M-84.63%656K54.12%6.92M231.45%3.25M55.77%4.27M37.82%4.49M-136.48%-2.47M-75.08%880.83K
-Provision for loans, leases and other losses 89.31%-126K-1,012.26%-1.18M61.59%-106K-17.95%-276K-2,587.45%-126.77K-122.57%-91.13K-17.59%-234K71.50%-4.72K1,725.27%403.7K-619.03%-383.39K
-Changes in other current assets -583.10%-1.03M-35.65%213K-78.92%331K336.09%1.57M151.30%413.43K-472.60%-1.66M77.68%-665K---805.82K--446.44K51.28%-632.19K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -36.86%-1.75M-91.73%-1.28M29.41%-665K37.37%-942K51.54%-205.97K51.15%-176.46K-28.44%-1.5M-41.16%-425K-17.43%-361.22K-28.54%-392.12K
Interest received (cash flow from operating activities)
Tax refund paid 87.17%-58K-44.87%-452K25.89%-312K28.52%-421K-242.12%-176.39K-35.58%-181.66K56.98%-589K83.66%-51.56K68.44%-133.99K7.95%-289.44K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 151.25%3.27M-699.72%-6.38M196.55%1.06M-115.82%-1.1M-83.81%724.59K-131.87%-912.8K523.78%6.97M369.52%4.48M277.70%2.86M-119.58%-903.45K
Investing cash flow
Net PPE purchase and sale 35.35%-395K-11.70%-611K-70.40%-547K-1,559.09%-321K-2,713.18%-141.25K-1,650.66%-268.2K119.64%22K87.30%-5.02K29.36%-15.32K238.63%58.79K
Net business purchase and sale --0---125K--0--6.05M----------0------------
Advance cash and loans provided to other parties ------------61.33%-1.31M-6.06%-350K--04.12%-3.38M52.17%-330K-285.37%-1.58M26.90%-625K
Repayment of advance payments to other parties and cash income from loans 6,329.85%4.31M141.10%67K---163K----------------------------
Dividends received (cash flow from investment activities) --93K--0--472K--0-100.02%-132--0-48.40%741K3.10%740.86K--075.00%7
Interest received (cash flow from investment activities) -50.00%14K250.00%28K-11.11%8K-10.00%9K-4.47%1.9K0.48%1.68K-33.33%10K-5.33%1.99K-58.73%1.67K-38.44%2.97K
Investing cash flow 727.15%4.02M-178.70%-641K-105.19%-230K270.37%4.43M1,263.44%5.56M83.28%-266.52K-169.97%-2.6M-93.08%407.83K-272.66%-1.59M36.90%-563.23K
Financing cash flow
Net issuance payments of debt -1,076.94%-8.81M220.59%902K-154.40%-748K171.76%1.38M119.03%138.25K-8.75%-1M64.07%-1.92M69.12%-726.53K-2,979.36%-919.55K100.28%10.18K
Net common stock issuance ----------6.98M--0------------------------
Increase or decrease of lease financing 14.68%-436K7.43%-511K-8.02%-552K-1.39%-511K-87.63%-129.11K57.14%-128.04K-80.65%-504K-3.54%-68.81K-365.28%-298.73K4.17%-69.14K
Net other fund-raising expenses ----------3K----------------------------
Financing cash flow -2,465.22%-9.25M-93.12%391K558.10%5.69M135.70%864K101.15%9.15K7.41%-1.13M56.88%-2.42M67.12%-795.33K-3,675.51%-1.22M98.42%-58.96K
Net cash flow
Beginning cash position -37.67%11M58.57%17.65M60.51%11.13M39.01%6.93M113.97%6.08M200.77%8.39M-41.49%4.99M-10.43%2.84M-46.80%2.79M-17.87%4.32M
Current changes in cash 70.47%-1.96M-201.70%-6.63M55.42%6.52M115.68%4.2M53.95%6.29M-4,549.57%-2.31M154.99%1.95M125.70%4.09M102.50%51.86K-18,131.81%-1.53M
Effect of exchange rate changes 188.24%15K-1,600.00%-17K-200.00%-1K0.00%1K417.93%16.44K-2,190.91%-4.79K--1K--3.17K85.22%-20937.90%-1.65K
End cash Position -17.66%9.06M-37.67%11M58.57%17.65M60.51%11.13M60.51%11.13M113.97%6.08M39.01%6.93M39.01%6.93M-10.43%2.84M-46.80%2.79M
Free cash flow 138.61%2.76M-1,892.71%-7.14M124.36%398K-123.65%-1.63M-87.19%572.51K-141.46%-1.18M492.39%6.91M362.49%4.47M274.40%2.85M-120.19%-922.54K
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Price Target

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Heat List
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Symbol
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% Chg

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