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5FX New Wave

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10min DelayNot Open Sep 27 15:23 CST
8.64MMarket Cap-1666P/E (TTM)

New Wave 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
(FY)Mar 31, 2020
(FY)Mar 31, 2019
(FY)Mar 31, 2018
(FY)Mar 31, 2017
(FY)Mar 31, 2016
(FY)Mar 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities
34.28%2.99M
178.13%2.23M
-2,084.00%-2.85M
-127.84%-130.44K
137.44%468.5K
43.43%-1.25M
-157.28%-2.21M
204.37%3.86M
155.25%1.27M
-83.75%-2.3M
Net profit before non-cash adjustment
-1,050.56%-4.34M
-118.80%-376.84K
401.57%2M
70.23%-664.62K
-58.11%-2.23M
-187.55%-1.41M
245.76%1.61M
13.04%-1.11M
-144.21%-1.27M
2.07%-521K
Total adjustment of non-cash items
103.82%2.24M
-1.75%1.1M
-4.83%1.12M
-11.38%1.17M
39.44%1.32M
147.83%949.44K
-520.68%-1.98M
-20.14%471.83K
-24.60%590.84K
45.04%783.6K
-Depreciation and amortization
2.74%778.89K
3.36%758.1K
1.52%733.45K
-20.27%722.49K
45.44%906.18K
69.47%623.06K
-6.07%367.65K
-8.48%391.42K
-5.01%427.68K
7.32%450.25K
-Reversal of impairment losses recognized in profit and loss
1,792.48%1.04M
13.91%54.75K
87.56%48.07K
-90.59%25.63K
88.41%272.39K
153.27%144.57K
236.49%57.08K
-57.81%16.96K
-72.25%40.21K
111.82%144.9K
-Assets reserve and write-off
251.34%75.1K
-79.01%21.38K
63.55%101.84K
1,129.89%62.27K
-441.27%-6.05K
70.53%-1.12K
58.83%-3.79K
-152.39%-9.21K
-59.99%17.57K
365.90%43.91K
-Disposal profit
62.41%-7.7K
-2,737.40%-20.49K
-100.46%-722
2,709.55%156.57K
47.86%-6K
99.54%-11.51K
-16,177.11%-2.52M
62.77%-15.5K
-3,911.37%-41.64K
97.12%-1.04K
-Net exchange gains and losses
112.52%12.9K
-763.82%-103.05K
-17.88%-11.93K
---10.12K
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----
----
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-Other non-cash items
-11.85%340.55K
57.12%386.3K
13.60%245.87K
37.51%216.43K
-19.05%157.39K
65.99%194.43K
32.88%117.14K
-40.04%88.16K
0.99%147.01K
38.75%145.58K
Changes in working capital
238.00%5.09M
125.22%1.51M
-834.09%-5.97M
-146.41%-639.09K
274.57%1.38M
57.13%-788.81K
-140.92%-1.84M
130.56%4.5M
176.20%1.95M
-103.42%-2.56M
-Change in receivables
-80.71%455.11K
209.51%2.36M
-190.48%-2.15M
-242.02%-741.56K
-115.72%-216.82K
2,427.67%1.38M
-92.37%54.57K
-43.77%714.93K
269.59%1.27M
5.53%-749.78K
-Change in inventory
447.23%4.08M
72.41%-1.17M
-1,206.03%-4.26M
-117.48%-325.82K
205.79%1.86M
4.39%-1.76M
-154.85%-1.84M
81.40%3.36M
206.04%1.85M
-84.57%-1.75M
-Change in prepaid assets
91.12%-2.74K
16.12%-30.86K
-106.72%-36.79K
210.20%547.23K
-2,257.94%-496.58K
-4.00%-21.06K
-120.24%-20.25K
301.07%100.03K
-1,039.73%-49.75K
82.89%-4.37K
-Change in payables
59.48%560.06K
-26.30%351.18K
500.64%476.49K
-152.46%-118.93K
158.82%226.72K
-1,107.23%-385.44K
-109.90%-31.93K
128.70%322.35K
-1,812.03%-1.12M
-111.58%-58.75K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
11.15%-346.94K
-53.61%-390.46K
-14.64%-254.18K
-33.37%-221.72K
20.96%-166.25K
-44.15%-210.32K
-30.20%-145.91K
29.86%-112.06K
-1.01%-159.76K
-34.51%-158.16K
Interest received (cash flow from operating activities)
13.87%6.4K
14.75%5.62K
-7.52%4.89K
-40.24%5.29K
-44.27%8.86K
-44.76%15.89K
20.34%28.77K
87.54%23.91K
1.36%12.75K
-0.66%12.58K
Tax refund paid
108.87%37.85K
20.66%-426.69K
-627.85%-537.81K
-244.64%-73.89K
94.62%-21.44K
-160.67%-398.79K
-30.36%-152.99K
37.34%-117.36K
17.50%-187.3K
-519.23%-227.03K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
89.93%2.69M
138.89%1.41M
-764.12%-3.64M
-245.25%-420.76K
115.70%289.67K
25.69%-1.84M
-167.89%-2.48M
291.27%3.66M
135.01%934.52K
-91.83%-2.67M
Investing cash flow
Net PPE purchase and sale
-93.95%-73.1K
59.28%-37.69K
-428.89%-92.57K
50.87%-17.5K
73.31%-35.62K
-76.95%-133.46K
49.79%-75.42K
-42.76%-150.23K
-161.24%-105.23K
95.48%-40.28K
Net business purchase and sale
----
----
----
----
----
---528.03K
--0
----
----
----
Investing cash flow
-93.95%-73.1K
59.28%-37.69K
-428.89%-92.57K
50.87%-17.5K
94.61%-35.62K
-777.05%-661.5K
49.79%-75.42K
-42.76%-150.23K
-161.24%-105.23K
95.48%-40.28K
Financing cash flow
Net issuance payments of debt
-71.82%-3M
-180.48%-1.75M
-43.60%2.17M
3,797.91%3.85M
-194.13%-104.11K
-105.97%-35.4K
223.18%593.08K
83.20%-481.49K
-219.91%-2.87M
355.10%2.39M
Net common stock issuance
----
----
----
----
----
----
----
----
--1.34M
--0
Increase or decrease of lease financing
-2.08%-434.2K
-12.29%-425.34K
-16.59%-378.79K
2.68%-324.88K
-677.18%-333.82K
-7.62%-42.95K
18.45%-39.91K
-19.28%-48.94K
-75.95%-41.03K
-13.69%-23.32K
Net other fund-raising expenses
----
----
----
----
----
--13.29K
----
----
----
----
Financing cash flow
-58.17%-3.44M
-221.22%-2.17M
-49.15%1.79M
904.94%3.53M
-573.12%-437.93K
-111.76%-65.06K
204.29%553.16K
66.22%-530.43K
-166.36%-1.57M
347.20%2.37M
Net cash flow
Beginning cash position
-35.35%1.62M
-43.61%2.51M
227.91%4.44M
-12.55%1.36M
-62.75%1.55M
-31.47%4.16M
90.78%6.07M
-21.07%3.18M
-9.37%4.03M
-42.82%4.45M
Current changes in cash
-3.47%-824.11K
58.86%-796.49K
-162.72%-1.94M
1,778.71%3.09M
92.85%-183.88K
-28.26%-2.57M
-167.37%-2M
501.50%2.98M
-115.95%-741.17K
89.41%-343.2K
Effect of exchange rate changes
58.11%-37.45K
-4,669.85%-89.39K
-215.47%-1.87K
115.34%1.62K
72.71%-10.58K
-140.90%-38.78K
208.03%94.83K
18.84%-87.78K
-46.71%-108.15K
19.32%-73.72K
End cash Position
-53.19%758.31K
-35.35%1.62M
-43.61%2.51M
227.91%4.44M
-12.55%1.36M
-62.75%1.55M
-31.47%4.16M
90.78%6.07M
-21.07%3.18M
-9.37%4.03M
Free cash flow
93.68%2.61M
136.03%1.35M
-749.33%-3.73M
-277.18%-439.5K
112.41%248.05K
22.45%-2M
-173.85%-2.58M
346.43%3.49M
128.81%781.91K
-18.67%-2.71M
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(FY)Mar 31, 2020(FY)Mar 31, 2019(FY)Mar 31, 2018(FY)Mar 31, 2017(FY)Mar 31, 2016(FY)Mar 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities 34.28%2.99M178.13%2.23M-2,084.00%-2.85M-127.84%-130.44K137.44%468.5K43.43%-1.25M-157.28%-2.21M204.37%3.86M155.25%1.27M-83.75%-2.3M
Net profit before non-cash adjustment -1,050.56%-4.34M-118.80%-376.84K401.57%2M70.23%-664.62K-58.11%-2.23M-187.55%-1.41M245.76%1.61M13.04%-1.11M-144.21%-1.27M2.07%-521K
Total adjustment of non-cash items 103.82%2.24M-1.75%1.1M-4.83%1.12M-11.38%1.17M39.44%1.32M147.83%949.44K-520.68%-1.98M-20.14%471.83K-24.60%590.84K45.04%783.6K
-Depreciation and amortization 2.74%778.89K3.36%758.1K1.52%733.45K-20.27%722.49K45.44%906.18K69.47%623.06K-6.07%367.65K-8.48%391.42K-5.01%427.68K7.32%450.25K
-Reversal of impairment losses recognized in profit and loss 1,792.48%1.04M13.91%54.75K87.56%48.07K-90.59%25.63K88.41%272.39K153.27%144.57K236.49%57.08K-57.81%16.96K-72.25%40.21K111.82%144.9K
-Assets reserve and write-off 251.34%75.1K-79.01%21.38K63.55%101.84K1,129.89%62.27K-441.27%-6.05K70.53%-1.12K58.83%-3.79K-152.39%-9.21K-59.99%17.57K365.90%43.91K
-Disposal profit 62.41%-7.7K-2,737.40%-20.49K-100.46%-7222,709.55%156.57K47.86%-6K99.54%-11.51K-16,177.11%-2.52M62.77%-15.5K-3,911.37%-41.64K97.12%-1.04K
-Net exchange gains and losses 112.52%12.9K-763.82%-103.05K-17.88%-11.93K---10.12K------------------------
-Other non-cash items -11.85%340.55K57.12%386.3K13.60%245.87K37.51%216.43K-19.05%157.39K65.99%194.43K32.88%117.14K-40.04%88.16K0.99%147.01K38.75%145.58K
Changes in working capital 238.00%5.09M125.22%1.51M-834.09%-5.97M-146.41%-639.09K274.57%1.38M57.13%-788.81K-140.92%-1.84M130.56%4.5M176.20%1.95M-103.42%-2.56M
-Change in receivables -80.71%455.11K209.51%2.36M-190.48%-2.15M-242.02%-741.56K-115.72%-216.82K2,427.67%1.38M-92.37%54.57K-43.77%714.93K269.59%1.27M5.53%-749.78K
-Change in inventory 447.23%4.08M72.41%-1.17M-1,206.03%-4.26M-117.48%-325.82K205.79%1.86M4.39%-1.76M-154.85%-1.84M81.40%3.36M206.04%1.85M-84.57%-1.75M
-Change in prepaid assets 91.12%-2.74K16.12%-30.86K-106.72%-36.79K210.20%547.23K-2,257.94%-496.58K-4.00%-21.06K-120.24%-20.25K301.07%100.03K-1,039.73%-49.75K82.89%-4.37K
-Change in payables 59.48%560.06K-26.30%351.18K500.64%476.49K-152.46%-118.93K158.82%226.72K-1,107.23%-385.44K-109.90%-31.93K128.70%322.35K-1,812.03%-1.12M-111.58%-58.75K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 11.15%-346.94K-53.61%-390.46K-14.64%-254.18K-33.37%-221.72K20.96%-166.25K-44.15%-210.32K-30.20%-145.91K29.86%-112.06K-1.01%-159.76K-34.51%-158.16K
Interest received (cash flow from operating activities) 13.87%6.4K14.75%5.62K-7.52%4.89K-40.24%5.29K-44.27%8.86K-44.76%15.89K20.34%28.77K87.54%23.91K1.36%12.75K-0.66%12.58K
Tax refund paid 108.87%37.85K20.66%-426.69K-627.85%-537.81K-244.64%-73.89K94.62%-21.44K-160.67%-398.79K-30.36%-152.99K37.34%-117.36K17.50%-187.3K-519.23%-227.03K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 89.93%2.69M138.89%1.41M-764.12%-3.64M-245.25%-420.76K115.70%289.67K25.69%-1.84M-167.89%-2.48M291.27%3.66M135.01%934.52K-91.83%-2.67M
Investing cash flow
Net PPE purchase and sale -93.95%-73.1K59.28%-37.69K-428.89%-92.57K50.87%-17.5K73.31%-35.62K-76.95%-133.46K49.79%-75.42K-42.76%-150.23K-161.24%-105.23K95.48%-40.28K
Net business purchase and sale -----------------------528.03K--0------------
Investing cash flow -93.95%-73.1K59.28%-37.69K-428.89%-92.57K50.87%-17.5K94.61%-35.62K-777.05%-661.5K49.79%-75.42K-42.76%-150.23K-161.24%-105.23K95.48%-40.28K
Financing cash flow
Net issuance payments of debt -71.82%-3M-180.48%-1.75M-43.60%2.17M3,797.91%3.85M-194.13%-104.11K-105.97%-35.4K223.18%593.08K83.20%-481.49K-219.91%-2.87M355.10%2.39M
Net common stock issuance ----------------------------------1.34M--0
Increase or decrease of lease financing -2.08%-434.2K-12.29%-425.34K-16.59%-378.79K2.68%-324.88K-677.18%-333.82K-7.62%-42.95K18.45%-39.91K-19.28%-48.94K-75.95%-41.03K-13.69%-23.32K
Net other fund-raising expenses ----------------------13.29K----------------
Financing cash flow -58.17%-3.44M-221.22%-2.17M-49.15%1.79M904.94%3.53M-573.12%-437.93K-111.76%-65.06K204.29%553.16K66.22%-530.43K-166.36%-1.57M347.20%2.37M
Net cash flow
Beginning cash position -35.35%1.62M-43.61%2.51M227.91%4.44M-12.55%1.36M-62.75%1.55M-31.47%4.16M90.78%6.07M-21.07%3.18M-9.37%4.03M-42.82%4.45M
Current changes in cash -3.47%-824.11K58.86%-796.49K-162.72%-1.94M1,778.71%3.09M92.85%-183.88K-28.26%-2.57M-167.37%-2M501.50%2.98M-115.95%-741.17K89.41%-343.2K
Effect of exchange rate changes 58.11%-37.45K-4,669.85%-89.39K-215.47%-1.87K115.34%1.62K72.71%-10.58K-140.90%-38.78K208.03%94.83K18.84%-87.78K-46.71%-108.15K19.32%-73.72K
End cash Position -53.19%758.31K-35.35%1.62M-43.61%2.51M227.91%4.44M-12.55%1.36M-62.75%1.55M-31.47%4.16M90.78%6.07M-21.07%3.18M-9.37%4.03M
Free cash flow 93.68%2.61M136.03%1.35M-749.33%-3.73M-277.18%-439.5K112.41%248.05K22.45%-2M-173.85%-2.58M346.43%3.49M128.81%781.91K-18.67%-2.71M
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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