SG Stock MarketDetailed Quotes

5IE Lorenzo Intl

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  • 0.016
  • 0.0000.00%
10min DelayMarket Closed Nov 29 09:49 CST
7.03MMarket Cap5.33P/E (TTM)

Lorenzo Intl Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Jun 30, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
(Q1)Jun 30, 2022
(Q3)Dec 31, 2021
(Q2)Sep 30, 2021
(Q1)Jun 30, 2021
Operating cash flow (Indirect Method)
Cash from operating activities
17.65%120K
33.17%819K
-29.71%492K
-50.49%102K
-79.11%615K
-30.76%700K
103.03%206K
12.93%2.94M
-19.12%1.01M
-7,498.91%-6.81M
Net profit before non-cash adjustment
-61.11%-406K
-55.81%19K
-164.72%-233K
-362.50%-252K
-96.92%43K
442.86%360K
-98.97%96K
1,065.00%1.4M
-102.92%-105K
2,288.50%9.32M
Total adjustment of non-cash items
-34.36%382K
1,311.43%848K
-80.67%172K
-28.94%582K
-106.65%-70K
2.53%890K
111.97%819K
-49.95%1.05M
130.19%868K
-1,357.35%-6.84M
-Depreciation and amortization
-9.00%283K
262.88%531K
-68.10%252K
-57.28%311K
-123.02%-326K
54.30%790K
285.19%728K
-21.29%1.42M
20.75%512K
3,050.00%189K
-Reversal of impairment losses recognized in profit and loss
-92.98%12K
-14.22%199K
---165K
--171K
--232K
--0
--0
--0
--270K
--0
-Assets reserve and write-off
--0
----
----
--2K
----
----
--0
----
----
----
-Disposal profit
----
--0
----
----
81.54%-67K
----
----
-458.46%-363K
99.51%-17K
-2,209.44%-7.15M
-Other non-cash items
-11.22%87K
29.67%118K
-6.00%94K
7.69%98K
--91K
-2.91%100K
-25.41%91K
--0
-42.78%103K
-38.69%122K
Changes in working capital
163.16%144K
-107.48%-48K
200.55%553K
67.84%-228K
30.22%642K
-321.77%-550K
92.37%-709K
28.72%493K
-52.58%248K
-35,630.77%-9.29M
-Change in receivables
261.18%274K
-305.12%-1.19M
277.31%211K
-134.55%-170K
-136.40%-293K
85.05%-119K
106.71%492K
201.77%805K
-314.58%-796K
-2,952.92%-7.33M
-Change in inventory
128.76%132K
-101.26%-4K
44.26%-68K
42.77%-459K
59.00%318K
-161.31%-122K
-111.05%-802K
-8.68%200K
183.26%199K
-2,614.29%-380K
-Change in payables
-65.35%44K
-2,328.57%-510K
774.42%376K
-76.52%127K
-101.45%-21K
104.36%43K
136.78%541K
344.43%1.45M
-140.03%-986K
-6.98%-1.47M
-Changes in other current assets
-211.68%-306K
159.09%1.65M
109.66%34K
129.15%274K
132.57%638K
-119.22%-352K
-739.29%-940K
-226.63%-1.96M
221.34%1.83M
-106.99%-112K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
19.09%-89K
-22.33%-126K
16.36%-92K
-7.84%-110K
-103K
0.90%-110K
17.74%-102K
0
-111K
-124K
Interest received (cash flow from operating activities)
Tax refund paid
-43.48%-33K
-321.21%-73K
29.41%-132K
-309.09%-23K
170.21%33K
-96.84%-187K
140.74%11K
75.26%-47K
-282.69%-95K
80.71%-27K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
93.55%-2K
13.76%620K
-33.50%268K
-126.96%-31K
-81.19%545K
-49.94%403K
101.65%115K
35.06%2.9M
-28.25%805K
-57,883.33%-6.96M
Investing cash flow
Net PPE purchase and sale
81.25%-3K
-100.54%-11K
99.63%-5K
98.06%-16K
243.00%2.03M
-1,983.08%-1.35M
-6,966.67%-824K
71.53%-1.42M
-101.33%-65K
142.86%12K
Net investment property transactions
----
----
----
----
--0
----
----
--0
----
----
Net investment product transactions
----
----
----
----
----
----
----
----
--0
--0
Interest received (cash flow from investment activities)
-83.33%2K
-58.33%5K
-90.00%1K
9.09%12K
--12K
25.00%10K
450.00%11K
--0
700.00%8K
-50.00%2K
Investing cash flow
75.00%-1K
-100.29%-6K
99.70%-4K
99.51%-4K
243.84%2.04M
-2,257.89%-1.34M
-5,907.14%-813K
-1,514.77%-1.42M
-101.16%-57K
158.33%14K
Financing cash flow
Net issuance payments of debt
-700.00%-12K
275.00%28K
93.94%-2K
109.09%2K
57.89%-16K
-116.18%-33K
87.98%-22K
86.85%-38K
105.55%204K
-373.13%-183K
Increase or decrease of lease financing
10.98%-300K
76.24%-397K
-142.30%-239K
-365.35%-337K
-313.68%-1.67M
264.72%565K
1,914.29%127K
153.20%782K
-17,050.00%-343K
-75.00%-7K
Net other fund-raising expenses
-205.81%-263K
-118.82%-32K
-2,362.50%-197K
80.63%-86K
127.69%170K
-101.82%-8K
-107.17%-444K
-4,485.71%-614K
--440K
--6.19M
Financing cash flow
-36.58%-575K
73.57%-401K
-183.59%-438K
-24.19%-421K
-1,266.92%-1.52M
74.09%524K
-105.65%-339K
107.45%130K
106.84%301K
9,423.81%6M
Net cash flow
Beginning cash position
-2.64%-4.12M
-38.97%-4.65M
-61.17%-4.47M
-135.74%-4.02M
-18.11%-3.35M
29.36%-2.78M
41.40%-1.7M
20.38%-2.83M
8.43%-3.93M
36.58%-2.91M
Current changes in cash
-26.75%-578K
-80.13%213K
58.27%-174K
56.03%-456K
-33.25%1.07M
-139.75%-417K
-9.85%-1.04M
414.74%1.61M
-35.21%1.05M
-3,596.30%-944K
Effect of exchange rate changes
400.00%3K
74.83%-222K
98.69%-2K
97.14%-1K
-165.66%-882K
-418.75%-153K
55.13%-35K
---332K
118.39%48K
-129.32%-78K
End cash Position
-5.01%-4.7M
-47.83%-4.66M
-38.97%-4.65M
-61.17%-4.47M
-102.37%-3.16M
-18.11%-3.35M
29.36%-2.78M
49.17%-1.56M
20.38%-2.83M
8.43%-3.93M
Free cash flow
89.36%-5K
-75.74%609K
126.92%256K
93.37%-47K
214.93%2.51M
-226.13%-951K
89.81%-709K
-61.14%797K
-32.56%754K
-17,300.00%-6.96M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(Q1)Jun 30, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(Q3)Dec 31, 2022(Q2)Sep 30, 2022(Q1)Jun 30, 2022(Q3)Dec 31, 2021(Q2)Sep 30, 2021(Q1)Jun 30, 2021
Operating cash flow (Indirect Method)
Cash from operating activities 17.65%120K33.17%819K-29.71%492K-50.49%102K-79.11%615K-30.76%700K103.03%206K12.93%2.94M-19.12%1.01M-7,498.91%-6.81M
Net profit before non-cash adjustment -61.11%-406K-55.81%19K-164.72%-233K-362.50%-252K-96.92%43K442.86%360K-98.97%96K1,065.00%1.4M-102.92%-105K2,288.50%9.32M
Total adjustment of non-cash items -34.36%382K1,311.43%848K-80.67%172K-28.94%582K-106.65%-70K2.53%890K111.97%819K-49.95%1.05M130.19%868K-1,357.35%-6.84M
-Depreciation and amortization -9.00%283K262.88%531K-68.10%252K-57.28%311K-123.02%-326K54.30%790K285.19%728K-21.29%1.42M20.75%512K3,050.00%189K
-Reversal of impairment losses recognized in profit and loss -92.98%12K-14.22%199K---165K--171K--232K--0--0--0--270K--0
-Assets reserve and write-off --0----------2K----------0------------
-Disposal profit ------0--------81.54%-67K---------458.46%-363K99.51%-17K-2,209.44%-7.15M
-Other non-cash items -11.22%87K29.67%118K-6.00%94K7.69%98K--91K-2.91%100K-25.41%91K--0-42.78%103K-38.69%122K
Changes in working capital 163.16%144K-107.48%-48K200.55%553K67.84%-228K30.22%642K-321.77%-550K92.37%-709K28.72%493K-52.58%248K-35,630.77%-9.29M
-Change in receivables 261.18%274K-305.12%-1.19M277.31%211K-134.55%-170K-136.40%-293K85.05%-119K106.71%492K201.77%805K-314.58%-796K-2,952.92%-7.33M
-Change in inventory 128.76%132K-101.26%-4K44.26%-68K42.77%-459K59.00%318K-161.31%-122K-111.05%-802K-8.68%200K183.26%199K-2,614.29%-380K
-Change in payables -65.35%44K-2,328.57%-510K774.42%376K-76.52%127K-101.45%-21K104.36%43K136.78%541K344.43%1.45M-140.03%-986K-6.98%-1.47M
-Changes in other current assets -211.68%-306K159.09%1.65M109.66%34K129.15%274K132.57%638K-119.22%-352K-739.29%-940K-226.63%-1.96M221.34%1.83M-106.99%-112K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 19.09%-89K-22.33%-126K16.36%-92K-7.84%-110K-103K0.90%-110K17.74%-102K0-111K-124K
Interest received (cash flow from operating activities)
Tax refund paid -43.48%-33K-321.21%-73K29.41%-132K-309.09%-23K170.21%33K-96.84%-187K140.74%11K75.26%-47K-282.69%-95K80.71%-27K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 93.55%-2K13.76%620K-33.50%268K-126.96%-31K-81.19%545K-49.94%403K101.65%115K35.06%2.9M-28.25%805K-57,883.33%-6.96M
Investing cash flow
Net PPE purchase and sale 81.25%-3K-100.54%-11K99.63%-5K98.06%-16K243.00%2.03M-1,983.08%-1.35M-6,966.67%-824K71.53%-1.42M-101.33%-65K142.86%12K
Net investment property transactions ------------------0----------0--------
Net investment product transactions ----------------------------------0--0
Interest received (cash flow from investment activities) -83.33%2K-58.33%5K-90.00%1K9.09%12K--12K25.00%10K450.00%11K--0700.00%8K-50.00%2K
Investing cash flow 75.00%-1K-100.29%-6K99.70%-4K99.51%-4K243.84%2.04M-2,257.89%-1.34M-5,907.14%-813K-1,514.77%-1.42M-101.16%-57K158.33%14K
Financing cash flow
Net issuance payments of debt -700.00%-12K275.00%28K93.94%-2K109.09%2K57.89%-16K-116.18%-33K87.98%-22K86.85%-38K105.55%204K-373.13%-183K
Increase or decrease of lease financing 10.98%-300K76.24%-397K-142.30%-239K-365.35%-337K-313.68%-1.67M264.72%565K1,914.29%127K153.20%782K-17,050.00%-343K-75.00%-7K
Net other fund-raising expenses -205.81%-263K-118.82%-32K-2,362.50%-197K80.63%-86K127.69%170K-101.82%-8K-107.17%-444K-4,485.71%-614K--440K--6.19M
Financing cash flow -36.58%-575K73.57%-401K-183.59%-438K-24.19%-421K-1,266.92%-1.52M74.09%524K-105.65%-339K107.45%130K106.84%301K9,423.81%6M
Net cash flow
Beginning cash position -2.64%-4.12M-38.97%-4.65M-61.17%-4.47M-135.74%-4.02M-18.11%-3.35M29.36%-2.78M41.40%-1.7M20.38%-2.83M8.43%-3.93M36.58%-2.91M
Current changes in cash -26.75%-578K-80.13%213K58.27%-174K56.03%-456K-33.25%1.07M-139.75%-417K-9.85%-1.04M414.74%1.61M-35.21%1.05M-3,596.30%-944K
Effect of exchange rate changes 400.00%3K74.83%-222K98.69%-2K97.14%-1K-165.66%-882K-418.75%-153K55.13%-35K---332K118.39%48K-129.32%-78K
End cash Position -5.01%-4.7M-47.83%-4.66M-38.97%-4.65M-61.17%-4.47M-102.37%-3.16M-18.11%-3.35M29.36%-2.78M49.17%-1.56M20.38%-2.83M8.43%-3.93M
Free cash flow 89.36%-5K-75.74%609K126.92%256K93.37%-47K214.93%2.51M-226.13%-951K89.81%-709K-61.14%797K-32.56%754K-17,300.00%-6.96M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Price Target

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