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5G3 TalkMed

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  • 0.445
  • -0.010-2.20%
10min DelayNot Open Nov 4 10:30 CST
590.81MMarket Cap21.19P/E (TTM)

TalkMed 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
(Q4)Dec 31, 2020
(Q3)Sep 30, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
(Q3)Sep 30, 2019
(Q2)Jun 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
11.00%47.5M
33.25%42.79M
-11.94%32.12M
-11.77%36.47M
-6.04%7.57M
-26.93%9.47M
13.35%41.34M
-19.09%8.06M
39.81%12.96M
13.45%9.65M
Net profit before non-cash adjustment
2.63%37.82M
35.04%36.85M
9.99%27.29M
-40.01%24.81M
-48.42%6.98M
-39.76%5.94M
21.60%41.35M
19.08%13.53M
9.85%9.85M
36.21%9.98M
Total adjustment of non-cash items
-17.77%4.56M
69.79%5.54M
-66.79%3.26M
165.86%9.83M
438.50%4.03M
52.75%1.58M
209.37%3.7M
327.43%748K
178.02%1.04M
190.09%673K
-Depreciation and amortization
9.63%2.79M
2.21%2.54M
-29.18%2.49M
2.57%3.51M
2.71%873K
10.20%951K
810.90%3.43M
804.26%850K
915.29%863K
1,025.97%867K
-Reversal of impairment losses recognized in profit and loss
207.97%1.97M
--640K
--0
--3.41M
----
----
--0
----
----
----
-Share of associates
-33.26%1.51M
109.77%2.26M
-0.92%1.08M
3.33%1.09M
-112.80%-32K
-46.93%164K
-7.65%1.05M
-43.69%250K
8.04%309K
14.36%215K
-Disposal profit
--0
--0
---996K
--0
--0
--0
--0
--0
--0
--0
-Net exchange gains and losses
-98.59%2K
11.81%142K
-15.89%127K
277.65%151K
-144.71%-208K
--244K
---85K
---85K
--0
----
-Remuneration paid in stock
9.82%548K
-2.54%499K
-75.76%512K
860.00%2.11M
1,040.00%188K
31.65%183K
-59.03%220K
-114.93%-20K
2.96%139K
-123.88%-32K
-Deferred income tax
----
----
----
---253K
----
----
--0
----
----
----
-Other non-cash items
-320.30%-2.26M
-1,025.86%-537K
131.18%58K
79.63%-186K
121.46%53K
115.33%42K
-6.78%-913K
50.30%-247K
-106.02%-274K
-125.75%-377K
Changes in working capital
1,169.31%5.13M
-74.19%404K
-14.71%1.57M
149.49%1.84M
44.79%-3.43M
-5.79%1.95M
-391.51%-3.71M
-295.17%-6.22M
2,976.39%2.07M
-205.37%-1M
-Change in receivables
131.17%757K
-448.49%-2.43M
-63.87%697K
152.38%1.93M
43.43%-2.95M
158.67%2.57M
-9,107.50%-3.68M
-74.99%-5.22M
912.24%992K
-954.78%-983K
-Change in inventory
70.38%-149K
-753.25%-503K
152.03%77K
74.22%-148K
-173.33%-41K
100.71%1K
-399.13%-574K
-287.50%-15K
-2,250.00%-141K
-314.04%-236K
-Change in prepaid assets
159.52%109K
-53.33%42K
373.68%90K
-20.83%19K
336.51%298K
-101.96%-1K
106.49%24K
-121.47%-126K
107.41%51K
127.11%61K
-Change in payables
34.72%939K
62.85%697K
140.68%428K
-199.81%-1.05M
640.74%200K
-342.95%-1.9M
164.16%1.05M
-89.73%27K
926.32%780K
-88.77%31K
-Changes in other current assets
----
----
----
----
----
----
----
----
----
---2.91M
-Changes in other current liabilities
33.69%3.47M
851.28%2.6M
-74.89%273K
305.48%1.09M
-6.12%-936K
229.05%1.28M
-137.84%-529K
-259.78%-882K
-13.17%389K
260.95%3.03M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-1.42%-214K
3.65%-211K
7.59%-219K
-94.26%-237K
-41.03%-55K
-177.50%-111K
-122K
-39K
-40K
-13K
Interest received (cash flow from operating activities)
284.25%2.29M
64.46%597K
-51.73%363K
-47.67%752K
-84.34%44K
-63.35%140K
51.42%1.44M
-19.94%281K
124.71%382K
147.19%571K
Tax refund paid
-33.41%-7.86M
35.30%-5.89M
-59.30%-9.1M
15.61%-5.71M
-158.32%-2.16M
16.23%-2.13M
7.77%-6.77M
42.77%-835K
-15.67%-2.54M
-54.85%-3.39M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
11.89%41.73M
61.03%37.29M
-25.95%23.16M
-12.85%31.27M
-27.61%5.41M
-31.51%7.37M
19.30%35.88M
-15.66%7.47M
48.56%10.76M
4.15%6.82M
Investing cash flow
Net PPE purchase and sale
83.73%-704K
-461.82%-4.33M
60.59%-770K
8.18%-1.95M
-2,447.22%-917K
-1,721.74%-838K
45.84%-2.13M
99.00%-36K
69.93%-46K
-262.32%-250K
Net business purchase and sale
--0
92.87%-86K
81.41%-1.21M
-5,293.60%-6.49M
---6.49M
--0
--125K
--0
--0
--125K
Advance cash and loans provided to other parties
--0
---600K
--0
----
----
----
----
----
----
----
Investing cash flow
85.95%-704K
-153.52%-5.01M
76.59%-1.98M
-321.67%-8.45M
-20,480.56%-7.41M
-1,721.74%-838K
49.02%-2M
99.00%-36K
69.93%-46K
-81.16%-125K
Financing cash flow
Net issuance payments of debt
--1.8M
--0
----
----
----
----
----
----
----
--0
Increase or decrease of lease financing
-0.05%-2.13M
-0.95%-2.13M
-34.74%-2.11M
18.42%-1.56M
56.69%-204K
12.50%-413K
---1.92M
---471K
---472K
---496K
Cash dividends paid
-0.18%-31.79M
-65.76%-31.73M
23.56%-19.14M
7.74%-25.04M
---7.91M
----
3.09%-27.14M
--0
-31.42%-13.15M
22.26%-14M
Net other fund-raising expenses
--400K
----
11.55%2.8M
33.30%2.51M
---1.25M
--3.76M
--1.88M
----
----
----
Financing cash flow
6.32%-31.71M
-83.53%-33.86M
23.44%-18.45M
11.33%-24.1M
-763.03%-9.36M
124.58%3.35M
-17.09%-27.18M
-49.57%1.41M
-36.14%-13.62M
9.45%-14.49M
Net cash flow
Beginning cash position
-1.92%80.59M
3.44%82.16M
-1.57%79.43M
9.06%80.7M
26.36%90.8M
8.24%80.91M
4.14%73.99M
8.95%71.85M
8.56%74.75M
5.31%82.55M
Current changes in cash
690.61%9.31M
-157.64%-1.58M
315.62%2.73M
-118.91%-1.27M
-228.51%-11.37M
440.72%9.88M
127.91%6.71M
9.95%8.84M
0.34%-2.9M
18.15%-7.8M
End cash Position
11.55%89.9M
-1.92%80.59M
3.44%82.16M
-1.57%79.43M
-1.57%79.43M
26.36%90.8M
9.06%80.7M
9.06%80.7M
8.95%71.85M
8.56%74.75M
Free cash flow
24.44%41.02M
47.24%32.97M
-23.64%22.39M
-13.14%29.32M
-39.60%4.49M
-39.03%6.53M
29.08%33.76M
41.72%7.43M
51.11%10.72M
1.40%6.57M
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(Q4)Dec 31, 2020(Q3)Sep 30, 2020(FY)Dec 31, 2019(Q4)Dec 31, 2019(Q3)Sep 30, 2019(Q2)Jun 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities 11.00%47.5M33.25%42.79M-11.94%32.12M-11.77%36.47M-6.04%7.57M-26.93%9.47M13.35%41.34M-19.09%8.06M39.81%12.96M13.45%9.65M
Net profit before non-cash adjustment 2.63%37.82M35.04%36.85M9.99%27.29M-40.01%24.81M-48.42%6.98M-39.76%5.94M21.60%41.35M19.08%13.53M9.85%9.85M36.21%9.98M
Total adjustment of non-cash items -17.77%4.56M69.79%5.54M-66.79%3.26M165.86%9.83M438.50%4.03M52.75%1.58M209.37%3.7M327.43%748K178.02%1.04M190.09%673K
-Depreciation and amortization 9.63%2.79M2.21%2.54M-29.18%2.49M2.57%3.51M2.71%873K10.20%951K810.90%3.43M804.26%850K915.29%863K1,025.97%867K
-Reversal of impairment losses recognized in profit and loss 207.97%1.97M--640K--0--3.41M----------0------------
-Share of associates -33.26%1.51M109.77%2.26M-0.92%1.08M3.33%1.09M-112.80%-32K-46.93%164K-7.65%1.05M-43.69%250K8.04%309K14.36%215K
-Disposal profit --0--0---996K--0--0--0--0--0--0--0
-Net exchange gains and losses -98.59%2K11.81%142K-15.89%127K277.65%151K-144.71%-208K--244K---85K---85K--0----
-Remuneration paid in stock 9.82%548K-2.54%499K-75.76%512K860.00%2.11M1,040.00%188K31.65%183K-59.03%220K-114.93%-20K2.96%139K-123.88%-32K
-Deferred income tax ---------------253K----------0------------
-Other non-cash items -320.30%-2.26M-1,025.86%-537K131.18%58K79.63%-186K121.46%53K115.33%42K-6.78%-913K50.30%-247K-106.02%-274K-125.75%-377K
Changes in working capital 1,169.31%5.13M-74.19%404K-14.71%1.57M149.49%1.84M44.79%-3.43M-5.79%1.95M-391.51%-3.71M-295.17%-6.22M2,976.39%2.07M-205.37%-1M
-Change in receivables 131.17%757K-448.49%-2.43M-63.87%697K152.38%1.93M43.43%-2.95M158.67%2.57M-9,107.50%-3.68M-74.99%-5.22M912.24%992K-954.78%-983K
-Change in inventory 70.38%-149K-753.25%-503K152.03%77K74.22%-148K-173.33%-41K100.71%1K-399.13%-574K-287.50%-15K-2,250.00%-141K-314.04%-236K
-Change in prepaid assets 159.52%109K-53.33%42K373.68%90K-20.83%19K336.51%298K-101.96%-1K106.49%24K-121.47%-126K107.41%51K127.11%61K
-Change in payables 34.72%939K62.85%697K140.68%428K-199.81%-1.05M640.74%200K-342.95%-1.9M164.16%1.05M-89.73%27K926.32%780K-88.77%31K
-Changes in other current assets ---------------------------------------2.91M
-Changes in other current liabilities 33.69%3.47M851.28%2.6M-74.89%273K305.48%1.09M-6.12%-936K229.05%1.28M-137.84%-529K-259.78%-882K-13.17%389K260.95%3.03M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -1.42%-214K3.65%-211K7.59%-219K-94.26%-237K-41.03%-55K-177.50%-111K-122K-39K-40K-13K
Interest received (cash flow from operating activities) 284.25%2.29M64.46%597K-51.73%363K-47.67%752K-84.34%44K-63.35%140K51.42%1.44M-19.94%281K124.71%382K147.19%571K
Tax refund paid -33.41%-7.86M35.30%-5.89M-59.30%-9.1M15.61%-5.71M-158.32%-2.16M16.23%-2.13M7.77%-6.77M42.77%-835K-15.67%-2.54M-54.85%-3.39M
Other operating cash inflow (outflow) 0000000000
Operating cash flow 11.89%41.73M61.03%37.29M-25.95%23.16M-12.85%31.27M-27.61%5.41M-31.51%7.37M19.30%35.88M-15.66%7.47M48.56%10.76M4.15%6.82M
Investing cash flow
Net PPE purchase and sale 83.73%-704K-461.82%-4.33M60.59%-770K8.18%-1.95M-2,447.22%-917K-1,721.74%-838K45.84%-2.13M99.00%-36K69.93%-46K-262.32%-250K
Net business purchase and sale --092.87%-86K81.41%-1.21M-5,293.60%-6.49M---6.49M--0--125K--0--0--125K
Advance cash and loans provided to other parties --0---600K--0----------------------------
Investing cash flow 85.95%-704K-153.52%-5.01M76.59%-1.98M-321.67%-8.45M-20,480.56%-7.41M-1,721.74%-838K49.02%-2M99.00%-36K69.93%-46K-81.16%-125K
Financing cash flow
Net issuance payments of debt --1.8M--0------------------------------0
Increase or decrease of lease financing -0.05%-2.13M-0.95%-2.13M-34.74%-2.11M18.42%-1.56M56.69%-204K12.50%-413K---1.92M---471K---472K---496K
Cash dividends paid -0.18%-31.79M-65.76%-31.73M23.56%-19.14M7.74%-25.04M---7.91M----3.09%-27.14M--0-31.42%-13.15M22.26%-14M
Net other fund-raising expenses --400K----11.55%2.8M33.30%2.51M---1.25M--3.76M--1.88M------------
Financing cash flow 6.32%-31.71M-83.53%-33.86M23.44%-18.45M11.33%-24.1M-763.03%-9.36M124.58%3.35M-17.09%-27.18M-49.57%1.41M-36.14%-13.62M9.45%-14.49M
Net cash flow
Beginning cash position -1.92%80.59M3.44%82.16M-1.57%79.43M9.06%80.7M26.36%90.8M8.24%80.91M4.14%73.99M8.95%71.85M8.56%74.75M5.31%82.55M
Current changes in cash 690.61%9.31M-157.64%-1.58M315.62%2.73M-118.91%-1.27M-228.51%-11.37M440.72%9.88M127.91%6.71M9.95%8.84M0.34%-2.9M18.15%-7.8M
End cash Position 11.55%89.9M-1.92%80.59M3.44%82.16M-1.57%79.43M-1.57%79.43M26.36%90.8M9.06%80.7M9.06%80.7M8.95%71.85M8.56%74.75M
Free cash flow 24.44%41.02M47.24%32.97M-23.64%22.39M-13.14%29.32M-39.60%4.49M-39.03%6.53M29.08%33.76M41.72%7.43M51.11%10.72M1.40%6.57M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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