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5EW Sevens Atelier

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  • 0.036
  • 0.0000.00%
10min DelayTrading Oct 28 10:52 CST
7.74MMarket Cap-2400P/E (TTM)

Sevens Atelier Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(Q2)Jun 30, 2018
(FY)Dec 31, 2017
(Q2)Jun 30, 2017
(FY)Dec 31, 2016
Operating cash flow (Indirect Method)
Cash from operating activities
-107.36%-197K
341.61%2.68M
45.55%-1.11M
-150.56%-2.04M
263.92%4.03M
-34.36%1.11M
-110.92%-468K
-16.71%1.69M
4.29M
-28.13%2.02M
Net profit before non-cash adjustment
-0.24%-4.24M
-1,558.43%-4.23M
-272.30%-255K
-77.40%148K
160.82%655K
-312.85%-1.08M
-287.60%-938K
-23.22%506K
--500K
15.41%659K
Total adjustment of non-cash items
-25.46%3.63M
239.42%4.87M
267.26%1.44M
-62.04%391K
33.42%1.03M
-4.10%772K
17.77%411K
-7.89%805K
--349K
133.76%874K
-Depreciation and amortization
22.07%1.47M
15.75%1.21M
6.99%1.04M
8.84%973K
16.56%894K
20.79%767K
30.58%380K
4.27%635K
--291K
-16.58%609K
-Reversal of impairment losses recognized in profit and loss
6,036.67%1.84M
-52.38%30K
--63K
--0
----
----
--1K
----
--0
-99.75%5K
-Assets reserve and write-off
--165K
--0
----
----
----
----
----
----
----
----
-Share of associates
--0
-68.33%76K
110.53%240K
183.21%114K
-80.26%-137K
-268.89%-76K
-204.76%-22K
-72.39%45K
--21K
266.33%163K
-Disposal profit
--118K
--0
97.45%-23K
-2,200.00%-903K
168.25%43K
-800.00%-63K
-53.33%7K
152.94%9K
--15K
99.69%-17K
-Other non-cash items
-98.93%38K
2,998.26%3.56M
-44.44%115K
-10.00%207K
59.72%230K
24.14%144K
104.55%45K
1.75%116K
--22K
-55.64%114K
Changes in working capital
-79.87%409K
188.77%2.03M
11.07%-2.29M
-210.00%-2.57M
65.84%2.34M
277.27%1.41M
-98.28%59K
-23.67%374K
--3.44M
-89.86%490K
-Change in receivables
107.51%280K
-193.70%-3.73M
13.43%-1.27M
-150.15%-1.47M
201.04%2.93M
-162.31%-2.9M
-113.13%-852K
5,262.22%4.65M
--6.49M
97.91%-90K
-Change in inventory
102.76%10K
-254.04%-362K
-63.05%235K
-14.17%636K
81.62%741K
8.22%408K
-68.14%361K
61.11%377K
--1.13M
-87.19%234K
-Change in payables
-103.77%-116K
209.88%3.07M
228.17%992K
54.71%-774K
-139.65%-1.71M
188.12%4.31M
163.93%2.48M
-738.94%-4.89M
---3.88M
-108.90%-583K
-Provision for loans, leases and other losses
--51K
--0
----
----
----
----
----
----
----
----
-Changes in other current assets
-93.97%184K
235.80%3.05M
-131.79%-2.25M
-353.00%-969K
192.96%383K
-270.25%-412K
-530.07%-1.93M
-73.95%242K
---306K
22.72%929K
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
0
2.95%-230K
-18.50%-237K
-814.29%-200K
108.07%28K
11.48%-347K
169.35%43K
-145.00%-392K
-62K
31.62%-160K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-108.05%-197K
281.93%2.45M
39.82%-1.35M
-155.14%-2.24M
433.99%4.05M
-41.30%759K
-110.06%-425K
-30.60%1.29M
--4.23M
-27.82%1.86M
Investing cash flow
Net PPE purchase and sale
-930.43%-237K
90.50%-23K
-15.24%-242K
-13.51%-210K
93.50%-185K
1.46%-2.84M
22.03%-269K
-2,022.06%-2.89M
---345K
-103.81%-136K
Net business purchase and sale
--0
-784.23%-2.3M
-110.56%-260K
4,272.88%2.46M
-37.21%-59K
-105.82%-43K
--0
1,902.44%739K
---149K
-103.93%-41K
Net investment product transactions
----
----
----
----
----
----
----
----
----
--120K
Interest received (cash flow from investment activities)
--0
37.50%11K
-63.64%8K
340.00%22K
-44.44%5K
-25.00%9K
66.67%5K
71.43%12K
--3K
--7K
Net changes in other investments
----
----
----
----
----
----
----
---46K
--68K
----
Investing cash flow
89.74%-237K
-367.81%-2.31M
-121.72%-494K
1,051.46%2.27M
91.70%-239K
-31.96%-2.88M
37.59%-264K
-4,262.00%-2.18M
---423K
-101.08%-50K
Financing cash flow
Net issuance payments of debt
85.68%-58K
-178.79%-405K
-18.15%514K
221.94%628K
-136.58%-515K
218.55%1.41M
74.32%-452K
8,740.00%442K
---1.76M
100.11%5K
Increase or decrease of lease financing
76.98%-215K
-322.62%-934K
29.84%-221K
-20.69%-315K
-148.57%-261K
-28.05%-105K
-62.50%42K
43.45%-82K
--112K
-74.70%-145K
Cash dividends paid
----
----
----
---386K
----
----
----
----
----
---1.07M
Interest paid (cash flow from financing activities)
96.70%-3K
25.41%-91K
37.11%-122K
15.65%-194K
-50.33%-230K
-19.53%-153K
-148.00%-62K
-5.79%-128K
---25K
52.92%-121K
Net other fund-raising expenses
----
----
----
----
----
----
----
----
---156K
----
Financing cash flow
80.70%-276K
-936.26%-1.43M
164.04%171K
73.46%-267K
-187.48%-1.01M
395.69%1.15M
74.19%-472K
117.42%232K
---1.83M
73.29%-1.33M
Net cash flow
Beginning cash position
-35.01%2.4M
-31.48%3.7M
-3.04%5.39M
96.09%5.56M
-26.37%2.84M
-20.10%3.85M
-20.10%3.85M
11.91%4.82M
--4.82M
141.94%4.31M
Current changes in cash
45.13%-710K
22.42%-1.29M
-631.58%-1.67M
-108.12%-228K
389.78%2.81M
-47.71%-969K
-158.84%-1.16M
-236.38%-656K
--1.97M
-78.24%481K
Effect of exchange rate changes
----
----
-150.85%-30K
171.95%59K
-74.47%-82K
84.98%-47K
253.18%337K
-1,078.13%-313K
---220K
-89.94%32K
End cash Position
-29.56%1.69M
-35.01%2.4M
-31.48%3.7M
-3.04%5.39M
96.09%5.56M
-26.37%2.84M
-53.93%3.03M
-20.10%3.85M
--6.58M
11.91%4.82M
Free cash flow
-122.77%-552K
246.02%2.42M
38.70%-1.66M
-174.09%-2.71M
274.55%3.66M
-30.22%-2.09M
-117.92%-694K
-204.01%-1.61M
--3.87M
182.45%1.55M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(Q2)Jun 30, 2018(FY)Dec 31, 2017(Q2)Jun 30, 2017(FY)Dec 31, 2016
Operating cash flow (Indirect Method)
Cash from operating activities -107.36%-197K341.61%2.68M45.55%-1.11M-150.56%-2.04M263.92%4.03M-34.36%1.11M-110.92%-468K-16.71%1.69M4.29M-28.13%2.02M
Net profit before non-cash adjustment -0.24%-4.24M-1,558.43%-4.23M-272.30%-255K-77.40%148K160.82%655K-312.85%-1.08M-287.60%-938K-23.22%506K--500K15.41%659K
Total adjustment of non-cash items -25.46%3.63M239.42%4.87M267.26%1.44M-62.04%391K33.42%1.03M-4.10%772K17.77%411K-7.89%805K--349K133.76%874K
-Depreciation and amortization 22.07%1.47M15.75%1.21M6.99%1.04M8.84%973K16.56%894K20.79%767K30.58%380K4.27%635K--291K-16.58%609K
-Reversal of impairment losses recognized in profit and loss 6,036.67%1.84M-52.38%30K--63K--0----------1K------0-99.75%5K
-Assets reserve and write-off --165K--0--------------------------------
-Share of associates --0-68.33%76K110.53%240K183.21%114K-80.26%-137K-268.89%-76K-204.76%-22K-72.39%45K--21K266.33%163K
-Disposal profit --118K--097.45%-23K-2,200.00%-903K168.25%43K-800.00%-63K-53.33%7K152.94%9K--15K99.69%-17K
-Other non-cash items -98.93%38K2,998.26%3.56M-44.44%115K-10.00%207K59.72%230K24.14%144K104.55%45K1.75%116K--22K-55.64%114K
Changes in working capital -79.87%409K188.77%2.03M11.07%-2.29M-210.00%-2.57M65.84%2.34M277.27%1.41M-98.28%59K-23.67%374K--3.44M-89.86%490K
-Change in receivables 107.51%280K-193.70%-3.73M13.43%-1.27M-150.15%-1.47M201.04%2.93M-162.31%-2.9M-113.13%-852K5,262.22%4.65M--6.49M97.91%-90K
-Change in inventory 102.76%10K-254.04%-362K-63.05%235K-14.17%636K81.62%741K8.22%408K-68.14%361K61.11%377K--1.13M-87.19%234K
-Change in payables -103.77%-116K209.88%3.07M228.17%992K54.71%-774K-139.65%-1.71M188.12%4.31M163.93%2.48M-738.94%-4.89M---3.88M-108.90%-583K
-Provision for loans, leases and other losses --51K--0--------------------------------
-Changes in other current assets -93.97%184K235.80%3.05M-131.79%-2.25M-353.00%-969K192.96%383K-270.25%-412K-530.07%-1.93M-73.95%242K---306K22.72%929K
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 02.95%-230K-18.50%-237K-814.29%-200K108.07%28K11.48%-347K169.35%43K-145.00%-392K-62K31.62%-160K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -108.05%-197K281.93%2.45M39.82%-1.35M-155.14%-2.24M433.99%4.05M-41.30%759K-110.06%-425K-30.60%1.29M--4.23M-27.82%1.86M
Investing cash flow
Net PPE purchase and sale -930.43%-237K90.50%-23K-15.24%-242K-13.51%-210K93.50%-185K1.46%-2.84M22.03%-269K-2,022.06%-2.89M---345K-103.81%-136K
Net business purchase and sale --0-784.23%-2.3M-110.56%-260K4,272.88%2.46M-37.21%-59K-105.82%-43K--01,902.44%739K---149K-103.93%-41K
Net investment product transactions --------------------------------------120K
Interest received (cash flow from investment activities) --037.50%11K-63.64%8K340.00%22K-44.44%5K-25.00%9K66.67%5K71.43%12K--3K--7K
Net changes in other investments -------------------------------46K--68K----
Investing cash flow 89.74%-237K-367.81%-2.31M-121.72%-494K1,051.46%2.27M91.70%-239K-31.96%-2.88M37.59%-264K-4,262.00%-2.18M---423K-101.08%-50K
Financing cash flow
Net issuance payments of debt 85.68%-58K-178.79%-405K-18.15%514K221.94%628K-136.58%-515K218.55%1.41M74.32%-452K8,740.00%442K---1.76M100.11%5K
Increase or decrease of lease financing 76.98%-215K-322.62%-934K29.84%-221K-20.69%-315K-148.57%-261K-28.05%-105K-62.50%42K43.45%-82K--112K-74.70%-145K
Cash dividends paid ---------------386K-----------------------1.07M
Interest paid (cash flow from financing activities) 96.70%-3K25.41%-91K37.11%-122K15.65%-194K-50.33%-230K-19.53%-153K-148.00%-62K-5.79%-128K---25K52.92%-121K
Net other fund-raising expenses -----------------------------------156K----
Financing cash flow 80.70%-276K-936.26%-1.43M164.04%171K73.46%-267K-187.48%-1.01M395.69%1.15M74.19%-472K117.42%232K---1.83M73.29%-1.33M
Net cash flow
Beginning cash position -35.01%2.4M-31.48%3.7M-3.04%5.39M96.09%5.56M-26.37%2.84M-20.10%3.85M-20.10%3.85M11.91%4.82M--4.82M141.94%4.31M
Current changes in cash 45.13%-710K22.42%-1.29M-631.58%-1.67M-108.12%-228K389.78%2.81M-47.71%-969K-158.84%-1.16M-236.38%-656K--1.97M-78.24%481K
Effect of exchange rate changes ---------150.85%-30K171.95%59K-74.47%-82K84.98%-47K253.18%337K-1,078.13%-313K---220K-89.94%32K
End cash Position -29.56%1.69M-35.01%2.4M-31.48%3.7M-3.04%5.39M96.09%5.56M-26.37%2.84M-53.93%3.03M-20.10%3.85M--6.58M11.91%4.82M
Free cash flow -122.77%-552K246.02%2.42M38.70%-1.66M-174.09%-2.71M274.55%3.66M-30.22%-2.09M-117.92%-694K-204.01%-1.61M--3.87M182.45%1.55M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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