(FY)Jun 30, 2024 | (Q4)Jun 30, 2024 | (Q2)Dec 31, 2023 | (FY)Jun 30, 2023 | (Q4)Jun 30, 2023 | (Q2)Dec 31, 2022 | (FY)Jun 30, 2022 | (Q4)Jun 30, 2022 | (Q2)Dec 31, 2021 | (FY)Jun 30, 2021 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -17.17%5.37M | -17.17%5.37M | -15.18%5.85M | -25.28%6.48M | -25.28%6.48M | -22.93%6.9M | -10.41%8.67M | --8.67M | -32.32%8.95M | 203.67%9.68M |
-Cash and cash equivalents | -17.17%5.37M | -17.17%5.37M | 308.38%5.85M | 176.17%6.48M | 176.17%6.48M | -45.63%1.43M | -30.53%2.35M | --2.35M | -80.07%2.63M | 5.96%3.38M |
-Short-term investments | ---- | ---- | ---- | ---- | ---- | -13.45%5.46M | 0.38%6.32M | --6.32M | --6.31M | --6.3M |
-Accounts receivable | -28.62%1.44M | -28.62%1.44M | 28.37%2.3M | -25.98%2.02M | -25.98%2.02M | -40.22%1.79M | 28.55%2.73M | --2.73M | 12.23%3M | -8.55%2.12M |
-Gross accounts receivable | -28.62%1.44M | -28.62%1.44M | 28.37%2.3M | -25.98%2.02M | -25.98%2.02M | --1.79M | --2.73M | --2.73M | ---- | ---- |
-Bad debt provision | ---- | ---- | --0 | ---- | ---- | --0 | --0 | --0 | ---- | ---- |
-Other receivables | -26.35%19.76K | -26.35%19.76K | 28.08%187K | 167.88%26.83K | 167.88%26.83K | -25.89%146K | 78.56%10.02K | --10.02K | 23.90%197K | -96.78%5.61K |
Inventory | -62.89%644.1K | -62.89%644.1K | -64.29%833K | 20.94%1.74M | 20.94%1.74M | 131.22%2.33M | 13.75%1.44M | --1.44M | -21.60%1.01M | -9.31%1.26M |
Prepaid assets | -7.93%170.66K | -7.93%170.66K | -7.06%79K | 10.10%185.36K | 10.10%185.36K | 157.58%85K | -20.12%168.35K | --168.35K | -40.00%33K | -20.46%210.77K |
Total current assets | -26.91%7.69M | -26.91%7.69M | -17.80%9.25M | -19.74%10.52M | -19.74%10.52M | -14.66%11.25M | -1.29%13.11M | --13.11M | -24.19%13.19M | -25.48%13.28M |
Non current assets | ||||||||||
Net PPE | -8.54%3.85M | -8.54%3.85M | -3.84%4.01M | -4.78%4.2M | -4.78%4.2M | -10.50%4.17M | -7.07%4.42M | --4.42M | -5.31%4.66M | -5.14%4.75M |
-Gross PP&E | -0.63%29.1M | -0.63%29.1M | -3.84%4.01M | -0.30%29.28M | -0.30%29.28M | -10.50%4.17M | -13.49%29.37M | --29.37M | -5.31%4.66M | -6.74%33.95M |
-Accumulated depreciation | -0.70%-25.25M | -0.70%-25.25M | ---- | -0.50%-25.08M | -0.50%-25.08M | ---- | 14.54%-24.95M | ---24.95M | ---- | 7.00%-29.2M |
Prepaid assets-Non current | ---- | ---- | ---- | ---- | ---- | ---- | --73.99K | --73.99K | ---- | ---- |
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 | -34.15%10.71K | -34.15%10.71K | -31.58%13K | -27.72%16.27K | -27.72%16.27K | -36.67%19K | -44.32%22.51K | --22.51K | -37.50%30K | -31.15%40.43K |
-Other intangible assets | -34.15%10.71K | -34.15%10.71K | ---- | -27.72%16.27K | -27.72%16.27K | ---- | -44.32%22.51K | --22.51K | ---- | -31.15%40.43K |
Total non current assets | -8.41%3.94M | -8.41%3.94M | -3.87%4.1M | -4.94%4.3M | -4.94%4.3M | -9.17%4.27M | -5.81%4.52M | --4.52M | -6.06%4.7M | -6.06%4.8M |
Total assets | -21.54%11.63M | -21.54%11.63M | -13.97%13.35M | -15.95%14.82M | -15.95%14.82M | -13.22%15.52M | -2.49%17.63M | --17.63M | -20.14%17.89M | -21.15%18.08M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
-Current debt and capital lease obligation | 5.29%137.74K | 5.29%137.74K | -2.90%134K | -5.77%130.82K | -5.77%130.82K | -11.54%138K | -15.70%138.83K | --138.83K | -9.83%156K | -12.72%164.69K |
-Including:Current capital Lease obligation | 5.29%137.74K | 5.29%137.74K | -2.90%134K | -5.77%130.82K | -5.77%130.82K | -11.54%138K | -15.70%138.83K | --138.83K | -9.83%156K | -12.72%164.69K |
Payables | -22.17%868.29K | -22.17%868.29K | 7.06%1.93M | -38.72%1.12M | -38.72%1.12M | -23.28%1.8M | 80.56%1.82M | --1.82M | -24.89%2.35M | -28.83%1.01M |
-accounts payable | -24.40%804.72K | -24.40%804.72K | 3.57%1.22M | -38.22%1.06M | -38.22%1.06M | -14.30%1.18M | 81.10%1.72M | --1.72M | 3.16%1.37M | -24.46%951.42K |
-Other payable | 24.26%63.58K | 24.26%63.58K | 13.62%709K | -47.63%51.16K | -47.63%51.16K | -35.93%624K | 71.48%97.7K | --97.7K | -45.68%974K | -63.80%56.97K |
Current liabilities | -17.00%1.64M | -17.00%1.64M | 6.13%2.06M | -31.10%1.98M | -31.10%1.98M | -23.61%1.94M | 31.71%2.87M | --2.87M | -24.93%2.54M | -31.90%2.18M |
Non current liabilities | ||||||||||
-Long term debt and capital lease obligation | -36.53%238.92K | -36.53%238.92K | 92.64%314K | 65.81%376.43K | 65.81%376.43K | -44.18%163K | -37.81%227.03K | --227.03K | -34.82%292K | -31.09%365.04K |
-Including:Long term capital lease obligation | -36.53%238.92K | -36.53%238.92K | 92.64%314K | 65.81%376.43K | 65.81%376.43K | -44.18%163K | -37.81%227.03K | --227.03K | -34.82%292K | -31.09%365.04K |
Long term provisions | 0.00%35K | 0.00%35K | 0.00%35K | 0.00%35K | 0.00%35K | 0.00%35K | 0.00%35K | --35K | 0.00%35K | 0.00%35K |
Total non current liabilities | -33.42%273.92K | -33.42%273.92K | 76.26%349K | 57.02%411.43K | 57.02%411.43K | -39.45%198K | -34.50%262.03K | --262.03K | -32.30%327K | -29.16%400.04K |
Total liabilities | -19.83%1.91M | -19.83%1.91M | 12.62%2.41M | -23.72%2.39M | -23.72%2.39M | -25.42%2.14M | 21.43%3.13M | --3.13M | -25.85%2.87M | -31.49%2.58M |
Shareholders'equity | ||||||||||
Share capital | 0.00%12.85M | 0.00%12.85M | 0.00%12.85M | 0.00%12.85M | 0.00%12.85M | 0.00%12.85M | 0.00%12.85M | --12.85M | 0.00%12.85M | 0.00%12.85M |
-common stock | 0.00%12.85M | 0.00%12.85M | 0.00%12.85M | 0.00%12.85M | 0.00%12.85M | 0.00%12.85M | 0.00%12.85M | --12.85M | 0.00%12.85M | 0.00%12.85M |
Retained earnings | -1,150.16%-2.95M | -1,150.16%-2.95M | -309.77%-1.7M | -113.05%-236.2K | -113.05%-236.2K | -65.26%809K | -35.74%1.81M | --1.81M | -60.07%2.33M | 192.10%2.82M |
Total stockholders'equity | -21.87%9.71M | -21.87%9.71M | -18.22%10.94M | -14.27%12.43M | -14.27%12.43M | -10.89%13.38M | -6.47%14.5M | --14.5M | -18.95%15.02M | -19.12%15.5M |
Total equity | -21.87%9.71M | -21.87%9.71M | -18.22%10.94M | -14.27%12.43M | -14.27%12.43M | -10.89%13.38M | -6.47%14.5M | --14.5M | -18.95%15.02M | -19.12%15.5M |
Currency Unit | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD |
No Data
No Data