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5DD Micro-Mechanics

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  • 1.660
  • 0.0000.00%
10min DelayTrading Feb 27 09:15 CST
230.79MMarket Cap23.06P/E (TTM)

Micro-Mechanics Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities
45.73%6.54M
17.72%4.99M
-21.40%18.05M
5.82%5.35M
17.15%3.98M
-41.29%4.49M
-38.32%4.24M
-24.69%22.96M
-39.70%5.05M
-60.41%3.39M
Net profit before non-cash adjustment
108.87%2.95M
14.00%3.08M
-17.73%8.04M
4.47%2.08M
12.77%1.84M
-25.43%1.41M
-36.44%2.7M
-50.67%9.77M
-66.05%1.99M
-62.95%1.64M
Total adjustment of non-cash items
-2.08%2.5M
-1.63%2.7M
-2.96%10.27M
1.74%2.73M
0.79%2.33M
1.33%2.55M
-10.96%2.74M
-20.10%10.59M
-13.65%2.68M
-31.11%2.31M
-Depreciation and amortization
-6.12%1.55M
-7.32%1.55M
-3.10%6.51M
-4.32%1.6M
-4.79%1.59M
-1.38%1.65M
-1.95%1.67M
-5.66%6.72M
-8.14%1.67M
-6.84%1.67M
-Reversal of impairment losses recognized in profit and loss
-66.66%13.06K
388.42%113.98K
150.16%227.37K
140.88%218.79K
1,423.08%198
95,465.85%39.18K
333,285.71%23.34K
718.70%90.89K
6,234.10%90.83K
-97.03%13
-Disposal profit
80.52%-1.61K
53.44%-603
81.04%-14.19K
57.27%-4.66K
100.06%37
-29.71%-8.27K
---1.3K
70.25%-74.83K
95.76%-10.92K
-1,574.77%-57.55K
-Pension and employee benefit expenses
79.08%18.82K
----
10.48%60.23K
----
----
--10.51K
----
--54.51K
----
----
-Deferred income tax
9.09%944.04K
2.33%1.07M
-9.40%3.5M
-4.25%838.36K
5.71%742.17K
-1.65%865.35K
-25.07%1.05M
-39.21%3.86M
-43.67%875.61K
-54.66%702.11K
-Other non-cash items
-308.90%-25.95K
-1,585.41%-35.84K
92.62%-4.42K
1,069.36%14.62K
9.81%-6K
78.45%-6.35K
110.84%2.41K
-363.32%-59.87K
89.63%-1.51K
-150.34%-6.66K
Changes in working capital
108.18%1.09M
34.79%-783.93K
-110.09%-263.06K
41.18%542.22K
64.21%-197.85K
-83.84%521.55K
-165.39%-1.2M
201.61%2.61M
165.57%384.06K
-168.82%-552.81K
-Change in receivables
-26.69%854.83K
21.42%-679.95K
-108.72%-396.13K
-366.98%-578.55K
-112.82%-118.33K
-54.09%1.17M
-171.77%-865.31K
242.05%4.55M
94.69%-123.89K
3.46%923.22K
-Change in inventory
185.81%488.8K
-96.73%-292.13K
-79.95%196.75K
-85.72%80.48K
-84.46%39.6K
224.62%171.03K
-149.51%-148.49K
290.36%981.31K
-24.71%563.77K
138.59%254.84K
-Change in payables
69.55%-248.33K
209.81%218.58K
97.82%-63.68K
1,963.53%1.04M
93.12%-119.12K
-198.89%-815.54K
89.84%-199.05K
-353.82%-2.92M
-105.60%-55.82K
-402.95%-1.73M
-Provision for loans, leases and other losses
---9.54K
-384.33%-30.44K
----
----
----
--0
--10.71K
----
----
----
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
2.99%-1.02M
-28.36%-879.44K
34.05%-3.47M
25.94%-945.99K
55.34%-790.45K
27.01%-1.05M
11.94%-685.13K
0.12%-5.26M
-18.72%-1.28M
-19.98%-1.77M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
60.61%5.52M
15.67%4.11M
-17.64%14.58M
16.56%4.4M
96.16%3.19M
-44.61%3.44M
-41.69%3.55M
-29.82%17.7M
-48.30%3.78M
-77.12%1.62M
Investing cash flow
Net PPE purchase and sale
65.21%-242.48K
-60.35%-938.18K
5.53%-2.44M
-280.38%-496.86K
-80.41%-660.09K
60.78%-696.91K
18.12%-585.09K
43.53%-2.58M
119.38%275.45K
78.97%-365.89K
Interest received (cash flow from investment activities)
9.90%68.51K
18.54%50.26K
22.44%193.42K
-4.09%41.57K
37.85%47.12K
23.17%62.34K
42.06%42.4K
177.04%157.98K
74.12%43.34K
248.74%34.18K
Investing cash flow
72.59%-173.97K
-63.61%-887.92K
7.36%-2.25M
-242.81%-455.28K
-84.79%-612.97K
63.24%-634.58K
20.74%-542.69K
46.32%-2.42M
122.83%318.79K
80.83%-331.71K
Financing cash flow
Increase or decrease of lease financing
-6.96%-374.16K
-10.79%-363.47K
-15.25%-1.4M
6.08%-229K
-20.57%-397.82K
-11.14%-349.82K
-0.16%-328.08K
-1.67%-1.22M
-5.02%-243.82K
-2.34%-329.96K
Cash dividends paid
0.00%-4.17M
----
57.14%-8.34M
--2
50.00%-4.17M
62.50%-4.17M
----
0.00%-19.46M
--0
0.00%-8.34M
Interest paid (cash flow from financing activities)
54.55%-20.88K
47.69%-26.62K
-77.88%-170.53K
----
----
---45.93K
---50.89K
-5.41%-95.87K
----
----
Net other fund-raising expenses
----
----
---13.83K
----
----
----
----
----
----
----
Financing cash flow
0.02%-4.57M
-2.93%-390.09K
52.22%-9.93M
-21.69%-413.35K
47.32%-4.57M
60.07%-4.57M
-15.70%-378.98K
-0.12%-20.78M
-5.13%-339.69K
-0.09%-8.67M
Net cash flow
Beginning cash position
13.73%19.08M
16.20%16.41M
-30.12%14.12M
22.65%12.91M
-17.00%14.83M
-33.21%16.78M
-30.12%14.12M
-1.17%20.21M
-29.24%10.52M
-1.66%17.86M
Current changes in cash
144.10%778.49K
7.62%2.83M
143.72%2.4M
-5.92%3.53M
72.95%-2M
74.64%-1.77M
-48.21%2.63M
-12,346.99%-5.5M
-32.76%3.76M
-123.82%-7.38M
Effect of exchange rate changes
211.15%208.96K
-776.29%-161.65K
80.17%-116.59K
80.40%-30.97K
85.93%77.9K
36.97%-187.99K
113.78%23.9K
-200.69%-587.83K
36.08%-158.03K
691.72%41.9K
End cash Position
35.37%20.07M
13.73%19.08M
16.20%16.41M
16.20%16.41M
22.65%12.91M
-17.00%14.83M
-33.21%16.78M
-30.12%14.12M
-30.12%14.12M
-29.24%10.52M
Free cash flow
93.59%5.27M
6.90%3.17M
-15.65%12.12M
15.41%3.9M
110.66%2.52M
-38.14%2.72M
-44.84%2.97M
-29.30%14.36M
-39.20%3.38M
-77.63%1.2M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(Q2)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities 45.73%6.54M17.72%4.99M-21.40%18.05M5.82%5.35M17.15%3.98M-41.29%4.49M-38.32%4.24M-24.69%22.96M-39.70%5.05M-60.41%3.39M
Net profit before non-cash adjustment 108.87%2.95M14.00%3.08M-17.73%8.04M4.47%2.08M12.77%1.84M-25.43%1.41M-36.44%2.7M-50.67%9.77M-66.05%1.99M-62.95%1.64M
Total adjustment of non-cash items -2.08%2.5M-1.63%2.7M-2.96%10.27M1.74%2.73M0.79%2.33M1.33%2.55M-10.96%2.74M-20.10%10.59M-13.65%2.68M-31.11%2.31M
-Depreciation and amortization -6.12%1.55M-7.32%1.55M-3.10%6.51M-4.32%1.6M-4.79%1.59M-1.38%1.65M-1.95%1.67M-5.66%6.72M-8.14%1.67M-6.84%1.67M
-Reversal of impairment losses recognized in profit and loss -66.66%13.06K388.42%113.98K150.16%227.37K140.88%218.79K1,423.08%19895,465.85%39.18K333,285.71%23.34K718.70%90.89K6,234.10%90.83K-97.03%13
-Disposal profit 80.52%-1.61K53.44%-60381.04%-14.19K57.27%-4.66K100.06%37-29.71%-8.27K---1.3K70.25%-74.83K95.76%-10.92K-1,574.77%-57.55K
-Pension and employee benefit expenses 79.08%18.82K----10.48%60.23K----------10.51K------54.51K--------
-Deferred income tax 9.09%944.04K2.33%1.07M-9.40%3.5M-4.25%838.36K5.71%742.17K-1.65%865.35K-25.07%1.05M-39.21%3.86M-43.67%875.61K-54.66%702.11K
-Other non-cash items -308.90%-25.95K-1,585.41%-35.84K92.62%-4.42K1,069.36%14.62K9.81%-6K78.45%-6.35K110.84%2.41K-363.32%-59.87K89.63%-1.51K-150.34%-6.66K
Changes in working capital 108.18%1.09M34.79%-783.93K-110.09%-263.06K41.18%542.22K64.21%-197.85K-83.84%521.55K-165.39%-1.2M201.61%2.61M165.57%384.06K-168.82%-552.81K
-Change in receivables -26.69%854.83K21.42%-679.95K-108.72%-396.13K-366.98%-578.55K-112.82%-118.33K-54.09%1.17M-171.77%-865.31K242.05%4.55M94.69%-123.89K3.46%923.22K
-Change in inventory 185.81%488.8K-96.73%-292.13K-79.95%196.75K-85.72%80.48K-84.46%39.6K224.62%171.03K-149.51%-148.49K290.36%981.31K-24.71%563.77K138.59%254.84K
-Change in payables 69.55%-248.33K209.81%218.58K97.82%-63.68K1,963.53%1.04M93.12%-119.12K-198.89%-815.54K89.84%-199.05K-353.82%-2.92M-105.60%-55.82K-402.95%-1.73M
-Provision for loans, leases and other losses ---9.54K-384.33%-30.44K--------------0--10.71K------------
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 2.99%-1.02M-28.36%-879.44K34.05%-3.47M25.94%-945.99K55.34%-790.45K27.01%-1.05M11.94%-685.13K0.12%-5.26M-18.72%-1.28M-19.98%-1.77M
Other operating cash inflow (outflow) 0000000000
Operating cash flow 60.61%5.52M15.67%4.11M-17.64%14.58M16.56%4.4M96.16%3.19M-44.61%3.44M-41.69%3.55M-29.82%17.7M-48.30%3.78M-77.12%1.62M
Investing cash flow
Net PPE purchase and sale 65.21%-242.48K-60.35%-938.18K5.53%-2.44M-280.38%-496.86K-80.41%-660.09K60.78%-696.91K18.12%-585.09K43.53%-2.58M119.38%275.45K78.97%-365.89K
Interest received (cash flow from investment activities) 9.90%68.51K18.54%50.26K22.44%193.42K-4.09%41.57K37.85%47.12K23.17%62.34K42.06%42.4K177.04%157.98K74.12%43.34K248.74%34.18K
Investing cash flow 72.59%-173.97K-63.61%-887.92K7.36%-2.25M-242.81%-455.28K-84.79%-612.97K63.24%-634.58K20.74%-542.69K46.32%-2.42M122.83%318.79K80.83%-331.71K
Financing cash flow
Increase or decrease of lease financing -6.96%-374.16K-10.79%-363.47K-15.25%-1.4M6.08%-229K-20.57%-397.82K-11.14%-349.82K-0.16%-328.08K-1.67%-1.22M-5.02%-243.82K-2.34%-329.96K
Cash dividends paid 0.00%-4.17M----57.14%-8.34M--250.00%-4.17M62.50%-4.17M----0.00%-19.46M--00.00%-8.34M
Interest paid (cash flow from financing activities) 54.55%-20.88K47.69%-26.62K-77.88%-170.53K-----------45.93K---50.89K-5.41%-95.87K--------
Net other fund-raising expenses -----------13.83K----------------------------
Financing cash flow 0.02%-4.57M-2.93%-390.09K52.22%-9.93M-21.69%-413.35K47.32%-4.57M60.07%-4.57M-15.70%-378.98K-0.12%-20.78M-5.13%-339.69K-0.09%-8.67M
Net cash flow
Beginning cash position 13.73%19.08M16.20%16.41M-30.12%14.12M22.65%12.91M-17.00%14.83M-33.21%16.78M-30.12%14.12M-1.17%20.21M-29.24%10.52M-1.66%17.86M
Current changes in cash 144.10%778.49K7.62%2.83M143.72%2.4M-5.92%3.53M72.95%-2M74.64%-1.77M-48.21%2.63M-12,346.99%-5.5M-32.76%3.76M-123.82%-7.38M
Effect of exchange rate changes 211.15%208.96K-776.29%-161.65K80.17%-116.59K80.40%-30.97K85.93%77.9K36.97%-187.99K113.78%23.9K-200.69%-587.83K36.08%-158.03K691.72%41.9K
End cash Position 35.37%20.07M13.73%19.08M16.20%16.41M16.20%16.41M22.65%12.91M-17.00%14.83M-33.21%16.78M-30.12%14.12M-30.12%14.12M-29.24%10.52M
Free cash flow 93.59%5.27M6.90%3.17M-15.65%12.12M15.41%3.9M110.66%2.52M-38.14%2.72M-44.84%2.97M-29.30%14.36M-39.20%3.38M-77.63%1.2M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD