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5IC SingHoldings

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  • 0.325
  • 0.0000.00%
10min DelayNot Open Jul 23 09:48 CST
130.32MMarket Cap16.25P/E (TTM)

SingHoldings 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
(Q4)Dec 31, 2019
(Q3)Sep 30, 2019
(Q2)Jun 30, 2019
(Q1)Mar 31, 2019
(FY)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities
-87.85%39.09M
198.17%321.66M
-536.25%-327.67M
-163.44%-51.5M
37.81%81.18M
29.69M
61.28%18.31M
16.30%24.42M
-62.63%8.72M
-11.43%58.91M
Net profit before non-cash adjustment
-11.09%12.21M
-30.67%13.74M
-45.08%19.81M
-56.63%36.07M
398.47%83.17M
--26.34M
812.45%25.59M
216.16%14.99M
381.72%16.26M
189.12%16.69M
Total adjustment of non-cash items
-213.74%-2.6M
-57.60%2.29M
-47.37%5.39M
19.20%10.24M
37.92%8.59M
--7.15M
-44.03%633K
-86.60%183K
-58.12%624K
-0.18%6.23M
-Depreciation and amortization
-38.23%1.5M
1,104.98%2.42M
-20.55%201K
158.16%253K
-44.94%98K
---11K
-52.27%21K
-2.22%44K
-2.22%44K
-2.20%178K
-Disposal profit
-24.05%-392K
-110.55%-316K
-65.73%2.99M
66.72%8.74M
4,010.45%5.24M
--6.64M
50.00%-95K
-9,375.00%-758K
-2,922.22%-544K
-102.56%-134K
-Net exchange gains and losses
-300.00%-2K
125.00%1K
-108.89%-4K
175.00%45K
-500.00%-60K
---18K
-20.69%-35K
18.75%-26K
-75.95%19K
98.97%-10K
-Other non-cash items
-2,168.16%-3.7M
-91.86%179K
81.82%2.2M
-63.51%1.21M
-46.49%3.32M
--546K
-43.19%742K
-32.18%923K
-20.16%1.11M
242.75%6.2M
Changes in working capital
-90.36%29.48M
186.61%305.64M
-260.75%-352.87M
-824.28%-97.82M
-129.40%-10.58M
---3.8M
-206.56%-7.91M
-37.91%9.24M
-144.15%-8.16M
-33.96%35.99M
-Change in receivables
-85.43%36.9M
392.19%253.22M
-34.64%-86.66M
50.21%-64.36M
-1,218.70%-129.28M
---61.53M
-1,114.22%-53.98M
-1,594.41%-21.54M
-61.82%7.75M
147.27%11.56M
-Change in inventory
-1,404.80%-71.84M
98.75%-4.77M
-527.99%-383.3M
-34.55%89.56M
659.07%136.83M
--57.72M
840.40%40.87M
152.19%20.02M
----
-57.70%18.03M
-Change in prepaid assets
-125.71%-18K
-99.94%70K
199.92%108.22M
-401,262.96%-108.31M
575.00%27K
--43K
99.33%-12K
1,952.24%9.93M
-142,000.00%-9.93M
107.41%4K
-Change in payables
-271.69%-3.45M
-110.48%-929K
160.31%8.86M
-181.45%-14.7M
417.83%18.04M
---37K
229.19%5.21M
89.34%5.65M
157.79%7.19M
-146.32%-5.68M
-Changes in other current assets
16.94%67.89M
--58.05M
--0
----
-399.67%-36.21M
--0
--0
-183.52%-4.82M
-224.09%-13.17M
-49.92%12.08M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-93.83%-14M
-55.27%-7.22M
-384.58%-4.65M
76.41%-960K
35.32%-4.07M
-718K
49.51%-832K
32.66%-1.13M
12.77%-1.39M
0.91%-6.29M
Interest received (cash flow from operating activities)
575.05%3.73M
3,586.67%553K
-96.12%15K
-67.72%387K
-23.63%1.2M
242K
-58.29%166K
-11.83%343K
14.29%448K
129.87%1.57M
Tax refund paid
-11,734.94%-31.84M
-715.15%-269K
97.05%-33K
-76.74%-1.12M
-0.96%-632K
0
78.95%-4K
-4.34%-625K
0
93.98%-626K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-100.96%-3.02M
194.70%314.72M
-524.82%-332.34M
-168.47%-53.19M
45.03%77.68M
--29.22M
74.93%17.64M
20.39%23.01M
-64.86%7.78M
6.18%53.56M
Investing cash flow
Net PPE purchase and sale
86.17%-556K
-80,300.00%-4.02M
37.50%-5K
---8K
--0
--0
--0
--0
----
-250.00%-7K
Net business purchase and sale
----
----
----
---21K
--0
----
----
----
----
----
Net investment property transactions
----
----
51.89%-153K
---318K
--0
----
----
----
----
----
Net investment product transactions
----
----
209.92%266K
-103.92%-242K
510.92%6.17M
--0
--5.14M
1,128.00%1.03M
--0
-85.20%-1.5M
Dividends received (cash flow from investment activities)
24.56%284K
98.26%228K
-40.72%115K
-54.67%194K
-8.74%428K
--0
5.95%89K
-2.27%258K
40.00%70K
54.79%469K
Net changes in other investments
----
----
----
----
----
----
----
0.00%11K
----
----
Investing cash flow
92.83%-272K
-1,800.45%-3.79M
156.46%223K
-105.98%-395K
734.62%6.6M
--0
6,281.71%5.23M
662.94%1.3M
107.73%70K
98.35%-1.04M
Financing cash flow
Net issuance payments of debt
--0
-158.25%-184.28M
667.30%316.38M
136.45%41.23M
-63.07%-113.11M
---25.11M
-32.52%-15.44M
-250.07%-58.69M
-49.14%-13.87M
-188.33%-69.37M
Increase or decrease of lease financing
-7.76%-236K
0.00%-219K
-31.14%-219K
---167K
--0
----
----
----
----
----
Cash dividends paid
0.00%-4.01M
0.00%-4.01M
45.94%-4.01M
-54.16%-7.42M
-20.00%-4.81M
--0
----
-20.00%-4.81M
----
27.28%-4.01M
Cash dividends for minorities
82.86%-6.3M
---36.75M
--0
----
----
----
----
----
----
----
Net other fund-raising expenses
---5.4M
----
--2.25M
----
----
----
----
----
----
----
Financing cash flow
92.92%-15.95M
-171.65%-225.25M
834.38%314.4M
128.53%33.65M
-60.71%-117.92M
---25.11M
-32.52%-15.44M
-205.66%-63.5M
-49.14%-13.87M
-207.94%-73.38M
Net cash flow
Beginning cash position
511.29%102.43M
-51.45%16.76M
-36.32%34.51M
-38.34%54.2M
-19.23%87.9M
--50.05M
-64.25%42.63M
-32.18%81.88M
-19.23%87.9M
103.93%108.83M
Current changes in cash
-122.45%-19.23M
583.59%85.68M
11.14%-17.72M
40.74%-19.94M
-61.32%-33.64M
--4.1M
601.48%7.44M
-2,525.32%-39.2M
-150.49%-6.02M
-137.60%-20.86M
Effect of exchange rate changes
-633.33%-44K
84.62%-6K
-115.42%-39K
551.79%253K
27.27%-56K
--39K
7.14%-13K
-5,500.00%-54K
118.52%5K
---77K
End cash Position
-18.82%83.15M
511.29%102.43M
-51.45%16.76M
-36.32%34.51M
-38.34%54.2M
--54.2M
-57.49%50.05M
-64.25%42.63M
-32.18%81.88M
-19.23%87.9M
Free cash flow
-101.18%-3.68M
193.46%310.62M
-524.73%-332.35M
-168.48%-53.2M
45.05%77.68M
--29.22M
74.97%17.64M
20.42%23.01M
-64.86%7.78M
6.17%53.55M
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(Q4)Dec 31, 2019(Q3)Sep 30, 2019(Q2)Jun 30, 2019(Q1)Mar 31, 2019(FY)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities -87.85%39.09M198.17%321.66M-536.25%-327.67M-163.44%-51.5M37.81%81.18M29.69M61.28%18.31M16.30%24.42M-62.63%8.72M-11.43%58.91M
Net profit before non-cash adjustment -11.09%12.21M-30.67%13.74M-45.08%19.81M-56.63%36.07M398.47%83.17M--26.34M812.45%25.59M216.16%14.99M381.72%16.26M189.12%16.69M
Total adjustment of non-cash items -213.74%-2.6M-57.60%2.29M-47.37%5.39M19.20%10.24M37.92%8.59M--7.15M-44.03%633K-86.60%183K-58.12%624K-0.18%6.23M
-Depreciation and amortization -38.23%1.5M1,104.98%2.42M-20.55%201K158.16%253K-44.94%98K---11K-52.27%21K-2.22%44K-2.22%44K-2.20%178K
-Disposal profit -24.05%-392K-110.55%-316K-65.73%2.99M66.72%8.74M4,010.45%5.24M--6.64M50.00%-95K-9,375.00%-758K-2,922.22%-544K-102.56%-134K
-Net exchange gains and losses -300.00%-2K125.00%1K-108.89%-4K175.00%45K-500.00%-60K---18K-20.69%-35K18.75%-26K-75.95%19K98.97%-10K
-Other non-cash items -2,168.16%-3.7M-91.86%179K81.82%2.2M-63.51%1.21M-46.49%3.32M--546K-43.19%742K-32.18%923K-20.16%1.11M242.75%6.2M
Changes in working capital -90.36%29.48M186.61%305.64M-260.75%-352.87M-824.28%-97.82M-129.40%-10.58M---3.8M-206.56%-7.91M-37.91%9.24M-144.15%-8.16M-33.96%35.99M
-Change in receivables -85.43%36.9M392.19%253.22M-34.64%-86.66M50.21%-64.36M-1,218.70%-129.28M---61.53M-1,114.22%-53.98M-1,594.41%-21.54M-61.82%7.75M147.27%11.56M
-Change in inventory -1,404.80%-71.84M98.75%-4.77M-527.99%-383.3M-34.55%89.56M659.07%136.83M--57.72M840.40%40.87M152.19%20.02M-----57.70%18.03M
-Change in prepaid assets -125.71%-18K-99.94%70K199.92%108.22M-401,262.96%-108.31M575.00%27K--43K99.33%-12K1,952.24%9.93M-142,000.00%-9.93M107.41%4K
-Change in payables -271.69%-3.45M-110.48%-929K160.31%8.86M-181.45%-14.7M417.83%18.04M---37K229.19%5.21M89.34%5.65M157.79%7.19M-146.32%-5.68M
-Changes in other current assets 16.94%67.89M--58.05M--0-----399.67%-36.21M--0--0-183.52%-4.82M-224.09%-13.17M-49.92%12.08M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -93.83%-14M-55.27%-7.22M-384.58%-4.65M76.41%-960K35.32%-4.07M-718K49.51%-832K32.66%-1.13M12.77%-1.39M0.91%-6.29M
Interest received (cash flow from operating activities) 575.05%3.73M3,586.67%553K-96.12%15K-67.72%387K-23.63%1.2M242K-58.29%166K-11.83%343K14.29%448K129.87%1.57M
Tax refund paid -11,734.94%-31.84M-715.15%-269K97.05%-33K-76.74%-1.12M-0.96%-632K078.95%-4K-4.34%-625K093.98%-626K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -100.96%-3.02M194.70%314.72M-524.82%-332.34M-168.47%-53.19M45.03%77.68M--29.22M74.93%17.64M20.39%23.01M-64.86%7.78M6.18%53.56M
Investing cash flow
Net PPE purchase and sale 86.17%-556K-80,300.00%-4.02M37.50%-5K---8K--0--0--0--0-----250.00%-7K
Net business purchase and sale ---------------21K--0--------------------
Net investment property transactions --------51.89%-153K---318K--0--------------------
Net investment product transactions --------209.92%266K-103.92%-242K510.92%6.17M--0--5.14M1,128.00%1.03M--0-85.20%-1.5M
Dividends received (cash flow from investment activities) 24.56%284K98.26%228K-40.72%115K-54.67%194K-8.74%428K--05.95%89K-2.27%258K40.00%70K54.79%469K
Net changes in other investments ----------------------------0.00%11K--------
Investing cash flow 92.83%-272K-1,800.45%-3.79M156.46%223K-105.98%-395K734.62%6.6M--06,281.71%5.23M662.94%1.3M107.73%70K98.35%-1.04M
Financing cash flow
Net issuance payments of debt --0-158.25%-184.28M667.30%316.38M136.45%41.23M-63.07%-113.11M---25.11M-32.52%-15.44M-250.07%-58.69M-49.14%-13.87M-188.33%-69.37M
Increase or decrease of lease financing -7.76%-236K0.00%-219K-31.14%-219K---167K--0--------------------
Cash dividends paid 0.00%-4.01M0.00%-4.01M45.94%-4.01M-54.16%-7.42M-20.00%-4.81M--0-----20.00%-4.81M----27.28%-4.01M
Cash dividends for minorities 82.86%-6.3M---36.75M--0----------------------------
Net other fund-raising expenses ---5.4M------2.25M----------------------------
Financing cash flow 92.92%-15.95M-171.65%-225.25M834.38%314.4M128.53%33.65M-60.71%-117.92M---25.11M-32.52%-15.44M-205.66%-63.5M-49.14%-13.87M-207.94%-73.38M
Net cash flow
Beginning cash position 511.29%102.43M-51.45%16.76M-36.32%34.51M-38.34%54.2M-19.23%87.9M--50.05M-64.25%42.63M-32.18%81.88M-19.23%87.9M103.93%108.83M
Current changes in cash -122.45%-19.23M583.59%85.68M11.14%-17.72M40.74%-19.94M-61.32%-33.64M--4.1M601.48%7.44M-2,525.32%-39.2M-150.49%-6.02M-137.60%-20.86M
Effect of exchange rate changes -633.33%-44K84.62%-6K-115.42%-39K551.79%253K27.27%-56K--39K7.14%-13K-5,500.00%-54K118.52%5K---77K
End cash Position -18.82%83.15M511.29%102.43M-51.45%16.76M-36.32%34.51M-38.34%54.2M--54.2M-57.49%50.05M-64.25%42.63M-32.18%81.88M-19.23%87.9M
Free cash flow -101.18%-3.68M193.46%310.62M-524.73%-332.35M-168.48%-53.2M45.05%77.68M--29.22M74.97%17.64M20.42%23.01M-64.86%7.78M6.17%53.55M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

Analyst Rating

No Data

Price Target

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