SG Stock MarketDetailed Quotes

595 GKE

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  • 0.073
  • +0.001+1.39%
10min DelayMarket Closed Nov 26 17:04 CST
56.27MMarket Cap12.17P/E (TTM)

GKE Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)May 31, 2024
(FY)May 31, 2023
(FY)May 31, 2022
(FY)May 31, 2021
(FY)May 31, 2020
(Q2)Nov 30, 2019
(Q1)Aug 31, 2019
(FY)May 31, 2019
(Q4)May 31, 2019
(Q3)Feb 28, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
-11.34%24.66M
-2.45%27.82M
-4.21%28.52M
13.29%29.77M
215.83%26.27M
-48.75%2.11M
-13.36%1.63M
1.12%8.32M
-103.14%-175K
165.15%2.25M
Net profit before non-cash adjustment
-1.77%6.76M
-19.26%6.88M
-50.32%8.52M
103.68%17.16M
4,632.58%8.42M
599.81%2.63M
557.37%869K
102.13%178K
823.86%1.43M
-226.38%-532K
Total adjustment of non-cash items
-1.21%21.18M
20.80%21.44M
0.83%17.75M
-7.20%17.6M
48.87%18.97M
35.28%4.39M
46.00%4.42M
-23.82%12.74M
17.94%3.37M
9.71%2.84M
-Depreciation and amortization
-0.13%15.75M
9.77%15.77M
-9.84%14.37M
1.61%15.94M
60.27%15.69M
42.79%3.71M
54.57%4.02M
25.36%9.79M
22.04%2.22M
-7.06%2.37M
-Reversal of impairment losses recognized in profit and loss
93.67%153K
--79K
--0
7,225.00%586K
-99.63%8K
--5K
----
4,874.42%2.14M
138.47%2.14M
100.15%1K
-Assets reserve and write-off
25.40%2.76M
141.87%2.2M
15.34%910K
172.07%789K
1,712.50%290K
----
----
100.00%16K
220.00%16K
--0
-Share of associates
66.42%-45K
33.00%-134K
-322.22%-200K
210.34%90K
-81.17%29K
--1K
--0
-94.85%154K
--0
--0
-Disposal profit
30.30%-23K
-294.12%-33K
100.61%17K
-911.96%-2.79M
-43.75%-276K
-31.48%37K
4.74%-382K
-104.16%-192K
-96.82%153K
130.77%4K
-Net exchange gains and losses
-101.72%-18K
17,566.67%1.05M
-102.78%-6K
10,900.00%216K
-100.69%-2K
325.81%132K
-75.22%85K
185.29%290K
426.92%85K
22.48%-169K
-Remuneration paid in stock
-15.00%102K
275.00%120K
--32K
--0
----
----
----
----
----
----
-Deferred income tax
--0
---365K
----
----
----
----
----
----
----
----
-Other non-cash items
-9.12%2.5M
4.76%2.75M
-5.40%2.63M
-14.10%2.78M
490.15%3.23M
-10.14%505K
110.91%696K
-65.77%548K
-260.68%-1.23M
78.25%631K
Changes in working capital
-544.79%-3.28M
-122.71%-509K
144.86%2.24M
-346.38%-5M
75.68%-1.12M
-453.92%-4.92M
-281.86%-3.66M
-3,258.39%-4.6M
-270.63%-4.97M
99.03%-57K
-Change in receivables
-504.64%-4.01M
-80.09%991K
161.72%4.98M
-61.90%-8.07M
26.02%-4.98M
-171.24%-5.62M
-308.64%-1.69M
-83.59%-6.73M
-1,173.89%-6.29M
-71.11%821K
-Change in inventory
114.08%128K
-558.70%-909K
60.23%-138K
-730.91%-347K
-25.68%55K
-156.14%-32K
2,016.67%115K
134.26%74K
90.82%187K
29.61%-164K
-Change in prepaid assets
-117.30%-141K
606.21%815K
51.21%-161K
3.79%-330K
76.76%-343K
130.26%69K
5.56%-136K
-1,005.52%-1.48M
-849.25%-1M
-33.33%-100K
-Change in payables
17.47%901K
-61.48%767K
-42.93%1.99M
27.15%3.49M
-50.01%2.74M
-36.56%2.09M
-295.52%-530K
573.50%5.49M
177.62%2.41M
99.32%-72K
-Changes in other current liabilities
92.64%-160K
50.94%-2.17M
-1,810.04%-4.43M
-81.59%259K
172.01%1.41M
-512.50%-1.42M
4.31%-1.42M
-170.57%-1.95M
-111.73%-271K
-124.89%-542K
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)
122.58%207K
481.25%93K
-46.67%16K
-79.02%30K
197.92%143K
36K
-32.50%27K
65.52%48K
-51.85%13K
15K
Tax refund paid
-5.78%-3.11M
-16.07%-2.94M
45.28%-2.53M
-54.61%-4.63M
-38.10%-2.99M
-96.40%-982K
-221.21%-530K
13.31%-2.17M
-517.65%-1.05M
76.75%-453K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-12.86%21.76M
-3.96%24.97M
3.30%26M
7.45%25.17M
277.85%23.42M
-67.75%1.16M
-35.86%1.13M
7.72%6.2M
-122.30%-1.21M
133.52%1.81M
Investing cash flow
Net PPE purchase and sale
62.54%-2.33M
-7.89%-6.22M
-8.00%-5.77M
-224.70%-5.34M
24.27%-1.64M
73.50%-208K
58.87%-153K
88.50%-2.17M
67.92%-325K
68.29%-689K
Net business purchase and sale
--0
126.66%3.21M
-355.46%-12.06M
494.24%4.72M
-142.64%-1.2M
---622K
-163.14%-185K
93.45%2.81M
73.26%2.51M
--0
Net investment product transactions
----
----
----
336.79%251K
---106K
---86K
---19K
--0
--0
--0
Dividends received (cash flow from investment activities)
-19.53%103K
--128K
--0
----
----
----
----
----
----
----
Investing cash flow
22.62%-2.23M
83.85%-2.88M
-4,742.39%-17.82M
87.51%-368K
-563.36%-2.95M
-16.69%-916K
-351.90%-357K
103.64%636K
398.63%2.19M
68.29%-689K
Financing cash flow
Net issuance payments of debt
-43.16%-11.98M
-3,099.64%-8.37M
112.32%279K
40.01%-2.26M
31.21%-3.77M
573.47%928K
122.94%555K
-130.79%-5.49M
-165.36%-1.38M
-117.95%-1.49M
Net common stock issuance
---247K
--0
----
-107.12%-469K
--6.59M
--0
--6.98M
--0
----
----
Increase or decrease of lease financing
3.01%-6.22M
-3.79%-6.41M
25.49%-6.18M
1.33%-8.29M
-420.11%-8.41M
24.86%-269K
-5.54%-552K
17.13%-1.62M
31.35%-346K
17.23%-389K
Cash dividends paid
0.00%-1.55M
50.00%-1.55M
---3.1M
----
----
----
----
----
----
----
Cash dividends for minorities
----
----
----
-7.14%-225K
41.67%-210K
--0
-16.67%-210K
-71.43%-360K
--0
--0
Interest paid (cash flow from financing activities)
3.91%-2.73M
0.66%-2.84M
-1.89%-2.86M
16.85%-2.81M
-30.94%-3.38M
-19.42%-658K
-16.49%-431K
-32.60%-2.58M
4.15%-762K
-82.49%-646K
Net other fund-raising expenses
----
----
182.07%1.41M
-4,090.24%-1.72M
76.02%-41K
----
----
---171K
---34K
----
Financing cash flow
-18.54%-22.73M
-83.47%-19.17M
33.76%-10.45M
-71.17%-15.78M
9.74%-9.22M
100.07%1K
277.30%6.34M
-174.46%-10.21M
-409.06%-2.53M
-134.77%-2.52M
Net cash flow
Beginning cash position
9.79%29.76M
-8.05%27.11M
42.36%29.48M
122.43%20.71M
-26.34%9.31M
53.58%16.43M
-25.66%9.4M
19.45%12.64M
85.53%10.85M
97.98%12.18M
Current changes in cash
-209.67%-3.2M
228.29%2.92M
-125.19%-2.27M
-19.86%9.02M
433.40%11.26M
-83.36%246K
473.82%7.11M
-268.85%-3.38M
-123.14%-1.55M
-348.24%-1.4M
Effect of exchange rate changes
70.61%-77K
-162.00%-262K
60.32%-100K
-281.29%-252K
195.74%139K
-3,700.00%-76K
134.21%13K
-18.97%47K
-92.08%8K
600.00%77K
End cash Position
-11.00%26.49M
9.79%29.76M
-8.05%27.11M
42.36%29.48M
122.43%20.71M
36.36%16.6M
54.38%16.52M
-26.34%9.31M
-26.34%9.31M
85.53%10.85M
Free cash flow
3.96%19.4M
-7.38%18.66M
2.50%20.15M
-8.63%19.66M
455.06%21.51M
-67.80%894K
-27.57%938K
128.55%3.88M
-135.38%-1.55M
114.62%1.11M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)May 31, 2024(FY)May 31, 2023(FY)May 31, 2022(FY)May 31, 2021(FY)May 31, 2020(Q2)Nov 30, 2019(Q1)Aug 31, 2019(FY)May 31, 2019(Q4)May 31, 2019(Q3)Feb 28, 2019
Operating cash flow (Indirect Method)
Cash from operating activities -11.34%24.66M-2.45%27.82M-4.21%28.52M13.29%29.77M215.83%26.27M-48.75%2.11M-13.36%1.63M1.12%8.32M-103.14%-175K165.15%2.25M
Net profit before non-cash adjustment -1.77%6.76M-19.26%6.88M-50.32%8.52M103.68%17.16M4,632.58%8.42M599.81%2.63M557.37%869K102.13%178K823.86%1.43M-226.38%-532K
Total adjustment of non-cash items -1.21%21.18M20.80%21.44M0.83%17.75M-7.20%17.6M48.87%18.97M35.28%4.39M46.00%4.42M-23.82%12.74M17.94%3.37M9.71%2.84M
-Depreciation and amortization -0.13%15.75M9.77%15.77M-9.84%14.37M1.61%15.94M60.27%15.69M42.79%3.71M54.57%4.02M25.36%9.79M22.04%2.22M-7.06%2.37M
-Reversal of impairment losses recognized in profit and loss 93.67%153K--79K--07,225.00%586K-99.63%8K--5K----4,874.42%2.14M138.47%2.14M100.15%1K
-Assets reserve and write-off 25.40%2.76M141.87%2.2M15.34%910K172.07%789K1,712.50%290K--------100.00%16K220.00%16K--0
-Share of associates 66.42%-45K33.00%-134K-322.22%-200K210.34%90K-81.17%29K--1K--0-94.85%154K--0--0
-Disposal profit 30.30%-23K-294.12%-33K100.61%17K-911.96%-2.79M-43.75%-276K-31.48%37K4.74%-382K-104.16%-192K-96.82%153K130.77%4K
-Net exchange gains and losses -101.72%-18K17,566.67%1.05M-102.78%-6K10,900.00%216K-100.69%-2K325.81%132K-75.22%85K185.29%290K426.92%85K22.48%-169K
-Remuneration paid in stock -15.00%102K275.00%120K--32K--0------------------------
-Deferred income tax --0---365K--------------------------------
-Other non-cash items -9.12%2.5M4.76%2.75M-5.40%2.63M-14.10%2.78M490.15%3.23M-10.14%505K110.91%696K-65.77%548K-260.68%-1.23M78.25%631K
Changes in working capital -544.79%-3.28M-122.71%-509K144.86%2.24M-346.38%-5M75.68%-1.12M-453.92%-4.92M-281.86%-3.66M-3,258.39%-4.6M-270.63%-4.97M99.03%-57K
-Change in receivables -504.64%-4.01M-80.09%991K161.72%4.98M-61.90%-8.07M26.02%-4.98M-171.24%-5.62M-308.64%-1.69M-83.59%-6.73M-1,173.89%-6.29M-71.11%821K
-Change in inventory 114.08%128K-558.70%-909K60.23%-138K-730.91%-347K-25.68%55K-156.14%-32K2,016.67%115K134.26%74K90.82%187K29.61%-164K
-Change in prepaid assets -117.30%-141K606.21%815K51.21%-161K3.79%-330K76.76%-343K130.26%69K5.56%-136K-1,005.52%-1.48M-849.25%-1M-33.33%-100K
-Change in payables 17.47%901K-61.48%767K-42.93%1.99M27.15%3.49M-50.01%2.74M-36.56%2.09M-295.52%-530K573.50%5.49M177.62%2.41M99.32%-72K
-Changes in other current liabilities 92.64%-160K50.94%-2.17M-1,810.04%-4.43M-81.59%259K172.01%1.41M-512.50%-1.42M4.31%-1.42M-170.57%-1.95M-111.73%-271K-124.89%-542K
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) 122.58%207K481.25%93K-46.67%16K-79.02%30K197.92%143K36K-32.50%27K65.52%48K-51.85%13K15K
Tax refund paid -5.78%-3.11M-16.07%-2.94M45.28%-2.53M-54.61%-4.63M-38.10%-2.99M-96.40%-982K-221.21%-530K13.31%-2.17M-517.65%-1.05M76.75%-453K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -12.86%21.76M-3.96%24.97M3.30%26M7.45%25.17M277.85%23.42M-67.75%1.16M-35.86%1.13M7.72%6.2M-122.30%-1.21M133.52%1.81M
Investing cash flow
Net PPE purchase and sale 62.54%-2.33M-7.89%-6.22M-8.00%-5.77M-224.70%-5.34M24.27%-1.64M73.50%-208K58.87%-153K88.50%-2.17M67.92%-325K68.29%-689K
Net business purchase and sale --0126.66%3.21M-355.46%-12.06M494.24%4.72M-142.64%-1.2M---622K-163.14%-185K93.45%2.81M73.26%2.51M--0
Net investment product transactions ------------336.79%251K---106K---86K---19K--0--0--0
Dividends received (cash flow from investment activities) -19.53%103K--128K--0----------------------------
Investing cash flow 22.62%-2.23M83.85%-2.88M-4,742.39%-17.82M87.51%-368K-563.36%-2.95M-16.69%-916K-351.90%-357K103.64%636K398.63%2.19M68.29%-689K
Financing cash flow
Net issuance payments of debt -43.16%-11.98M-3,099.64%-8.37M112.32%279K40.01%-2.26M31.21%-3.77M573.47%928K122.94%555K-130.79%-5.49M-165.36%-1.38M-117.95%-1.49M
Net common stock issuance ---247K--0-----107.12%-469K--6.59M--0--6.98M--0--------
Increase or decrease of lease financing 3.01%-6.22M-3.79%-6.41M25.49%-6.18M1.33%-8.29M-420.11%-8.41M24.86%-269K-5.54%-552K17.13%-1.62M31.35%-346K17.23%-389K
Cash dividends paid 0.00%-1.55M50.00%-1.55M---3.1M----------------------------
Cash dividends for minorities -------------7.14%-225K41.67%-210K--0-16.67%-210K-71.43%-360K--0--0
Interest paid (cash flow from financing activities) 3.91%-2.73M0.66%-2.84M-1.89%-2.86M16.85%-2.81M-30.94%-3.38M-19.42%-658K-16.49%-431K-32.60%-2.58M4.15%-762K-82.49%-646K
Net other fund-raising expenses --------182.07%1.41M-4,090.24%-1.72M76.02%-41K-----------171K---34K----
Financing cash flow -18.54%-22.73M-83.47%-19.17M33.76%-10.45M-71.17%-15.78M9.74%-9.22M100.07%1K277.30%6.34M-174.46%-10.21M-409.06%-2.53M-134.77%-2.52M
Net cash flow
Beginning cash position 9.79%29.76M-8.05%27.11M42.36%29.48M122.43%20.71M-26.34%9.31M53.58%16.43M-25.66%9.4M19.45%12.64M85.53%10.85M97.98%12.18M
Current changes in cash -209.67%-3.2M228.29%2.92M-125.19%-2.27M-19.86%9.02M433.40%11.26M-83.36%246K473.82%7.11M-268.85%-3.38M-123.14%-1.55M-348.24%-1.4M
Effect of exchange rate changes 70.61%-77K-162.00%-262K60.32%-100K-281.29%-252K195.74%139K-3,700.00%-76K134.21%13K-18.97%47K-92.08%8K600.00%77K
End cash Position -11.00%26.49M9.79%29.76M-8.05%27.11M42.36%29.48M122.43%20.71M36.36%16.6M54.38%16.52M-26.34%9.31M-26.34%9.31M85.53%10.85M
Free cash flow 3.96%19.4M-7.38%18.66M2.50%20.15M-8.63%19.66M455.06%21.51M-67.80%894K-27.57%938K128.55%3.88M-135.38%-1.55M114.62%1.11M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

Analyst Rating

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Price Target

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Heat List
SG
Overall
Symbol
Latest Price
% Chg

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