SG Stock MarketDetailed Quotes

5LY MarcoPolo Marine

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  • 0.056
  • +0.001+1.82%
10min DelayMarket Closed Nov 6 17:04 CST
210.20MMarket Cap7.00P/E (TTM)

MarcoPolo Marine Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Sep 30, 2023
(FY)Sep 30, 2022
(FY)Sep 30, 2021
(FY)Sep 30, 2020
(FY)Sep 30, 2019
(Q4)Sep 30, 2019
(Q3)Jun 30, 2019
(Q2)Mar 31, 2019
(Q1)Dec 31, 2018
(FY)Sep 30, 2018
Operating cash flow (Indirect Method)
Cash from operating activities
-0.88%29.09M
217.84%29.35M
108.04%9.23M
187.83%4.44M
-30.67%-5.05M
-3.35M
252.96%956K
27.11%-2.42M
19.87%-238K
-285.82%-3.87M
Net profit before non-cash adjustment
31.05%30.47M
52.28%23.25M
269.56%15.27M
-145.90%-9.01M
-102.18%-3.66M
--2.51M
-154.22%-1.43M
-101.50%-2.61M
70.23%-2.13M
153.81%168.04M
Total adjustment of non-cash items
602.36%12.36M
56.67%-2.46M
-152.83%-5.68M
74.89%10.75M
103.70%6.14M
---3.33M
231.39%2.97M
102.03%3.54M
-66.26%2.97M
-152.59%-165.9M
-Depreciation and amortization
33.10%12.06M
29.42%9.06M
-4.34%7M
-1.52%7.32M
1.84%7.43M
--1.77M
3.46%1.89M
5.37%1.89M
4.70%1.89M
-55.79%7.3M
-Reversal of impairment losses recognized in profit and loss
93.42%-272K
-3,527.19%-4.14M
-138.91%-114K
163.56%293K
99.74%-461K
--9K
24.07%-470K
--0
----
-197.53%-180.55M
-Assets reserve and write-off
--0
144.64%411K
189.66%168K
--58K
--0
--0
--0
--0
--0
-93.19%1.15M
-Share of associates
96.85%-171K
-2,741.36%-5.43M
-106.78%-191K
-47.56%2.82M
-0.74%5.37M
--2.8M
26.32%792K
-34.80%817K
-52.27%958K
-89.45%5.41M
-Disposal profit
-4.26%-1.03M
84.28%-985K
-19,478.13%-6.27M
99.29%-32K
-582.11%-4.54M
---4.54M
--0
--0
--0
-164.94%-665K
-Net exchange gains and losses
1,660.48%3.28M
-140.46%-210K
-33.89%519K
161.67%785K
4.93%-1.27M
---3.27M
123.40%971K
-67.02%869K
-88.48%156K
-198.24%-1.34M
-Remuneration paid in stock
----
----
----
-50.60%41K
0.00%83K
--21K
0.00%21K
-4.76%20K
5.00%21K
-25.89%83K
-Other non-cash items
-28.43%-1.51M
82.71%-1.18M
-1,170.09%-6.8M
-13.59%-535K
-117.35%-471K
---131K
-284.75%-227K
-104.78%-53K
-103.59%-60K
-93.90%2.72M
Changes in working capital
-260.63%-13.74M
2,482.73%8.55M
-113.31%-359K
135.81%2.7M
-25.42%-7.54M
---2.53M
42.05%-583K
-14.78%-3.35M
44.44%-1.07M
-450.69%-6.01M
-Change in receivables
-238.29%-7.46M
235.32%5.39M
-183.52%-3.98M
157.72%4.77M
-14,598.25%-8.26M
---1.83M
-104.19%-2.63M
-229.65%-3.44M
-128.82%-364K
100.87%57K
-Change in inventory
-1,735.15%-6.74M
-6.07%-367K
-1,093.10%-346K
-132.58%-29K
-47.02%89K
--31K
76.09%-11K
-85.14%37K
140.00%32K
-97.55%168K
-Change in payables
-88.39%450K
-16.17%3.88M
255.57%4.63M
-408.40%-2.97M
110.00%964K
---403K
527.44%2.06M
102.40%51K
76.19%-742K
-591.75%-9.64M
-Changes in other current assets
--0
46.94%-347K
-170.32%-654K
387.04%930K
-109.50%-324K
----
----
----
----
--3.41M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
0
0
0
62.75%-19K
Interest received (cash flow from operating activities)
Tax refund paid
-41.59%-977K
-69.95%-690K
-7.69%-406K
-42.26%-377K
7.99%-265K
-83K
73.88%-76K
-84K
-833.33%-22K
76.18%-288K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-1.90%28.11M
224.64%28.66M
117.36%8.83M
176.36%4.06M
-27.41%-5.32M
---3.43M
196.07%880K
23.89%-2.5M
24.20%-260K
-608.40%-4.17M
Investing cash flow
Net PPE purchase and sale
-2,045.91%-25.71M
46.23%-1.2M
67.87%-2.23M
-817.06%-6.93M
245.36%967K
--2.97M
-129.79%-1.43M
-40.58%-537K
79.01%-34K
3,211.11%280K
Net business purchase and sale
--0
--3.24M
--0
----
--187K
--602K
--0
---300K
----
--0
Advance cash and loans provided to other parties
----
----
----
----
---1.8M
----
----
----
---115K
--0
Repayment of advance payments to other parties and cash income from loans
----
----
----
79.76%2.56M
-54.27%1.42M
--461K
--962K
----
----
--3.11M
Net changes in other investments
106.81%2.89M
--1.4M
----
----
----
----
----
----
----
----
Investing cash flow
-764.56%-22.82M
254.13%3.43M
49.09%-2.23M
-660.31%-4.38M
-76.98%781K
--2.23M
25.12%-465K
-119.11%-837K
8.02%-149K
37,788.89%3.39M
Financing cash flow
Net issuance payments of debt
0.00%-1.08M
-499.63%-1.08M
--269K
----
----
----
--0
--0
--0
-1,109.01%-43.88M
Net common stock issuance
1,275.55%7.54M
--548K
--0
--81K
--0
--0
--0
--0
----
--60.01M
Increase or decrease of lease financing
-371.96%-1.9M
-3.60%-403K
-19.69%-389K
-513.21%-325K
22.06%-53K
---5K
50.00%-8K
-31.25%-21K
-11.76%-19K
4.23%-68K
Interest paid (cash flow from financing activities)
----
----
----
55.56%-4K
93.92%-9K
---1K
0.00%-2K
84.21%-3K
94.40%-7K
96.42%-148K
Net other fund-raising expenses
749.14%1.49M
186.63%175K
-131.17%-202K
252.17%648K
-85.11%184K
--24K
-92.30%53K
-97.47%63K
-96.11%44K
141.41%1.24M
Financing cash flow
900.93%6.05M
-134.47%-755K
-180.50%-322K
227.87%400K
-99.29%122K
--18K
-93.58%43K
-99.80%39K
124.00%18K
334.26%17.15M
Net cash flow
Beginning cash position
160.15%51.64M
46.02%19.85M
0.18%13.59M
-24.39%13.57M
987.70%17.95M
--14.6M
-16.28%14.17M
1,796.97%17.53M
987.70%17.95M
-79.90%1.65M
Current changes in cash
-63.82%11.34M
399.20%31.34M
7,284.71%6.28M
101.93%85K
-126.97%-4.42M
---1.18M
152.83%458K
-120.64%-3.3M
32.59%-391K
351.47%16.37M
Effect of exchange rate changes
-473.45%-1.69M
2,154.55%452K
63.93%-22K
-264.86%-61K
152.11%37K
--153K
-145.71%-32K
-343.48%-56K
80.82%-28K
-39.22%-71K
End cash Position
18.69%61.29M
160.15%51.64M
46.02%19.85M
0.18%13.59M
-24.39%13.57M
--13.57M
-9.50%14.6M
-16.28%14.17M
1,796.97%17.53M
987.70%17.95M
Free cash flow
-117.75%-4.27M
264.65%24.06M
327.16%6.6M
69.69%-2.91M
-71.36%-9.58M
---5.7M
64.41%-547K
17.18%-3.04M
41.78%-294K
-788.79%-5.59M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Sep 30, 2023(FY)Sep 30, 2022(FY)Sep 30, 2021(FY)Sep 30, 2020(FY)Sep 30, 2019(Q4)Sep 30, 2019(Q3)Jun 30, 2019(Q2)Mar 31, 2019(Q1)Dec 31, 2018(FY)Sep 30, 2018
Operating cash flow (Indirect Method)
Cash from operating activities -0.88%29.09M217.84%29.35M108.04%9.23M187.83%4.44M-30.67%-5.05M-3.35M252.96%956K27.11%-2.42M19.87%-238K-285.82%-3.87M
Net profit before non-cash adjustment 31.05%30.47M52.28%23.25M269.56%15.27M-145.90%-9.01M-102.18%-3.66M--2.51M-154.22%-1.43M-101.50%-2.61M70.23%-2.13M153.81%168.04M
Total adjustment of non-cash items 602.36%12.36M56.67%-2.46M-152.83%-5.68M74.89%10.75M103.70%6.14M---3.33M231.39%2.97M102.03%3.54M-66.26%2.97M-152.59%-165.9M
-Depreciation and amortization 33.10%12.06M29.42%9.06M-4.34%7M-1.52%7.32M1.84%7.43M--1.77M3.46%1.89M5.37%1.89M4.70%1.89M-55.79%7.3M
-Reversal of impairment losses recognized in profit and loss 93.42%-272K-3,527.19%-4.14M-138.91%-114K163.56%293K99.74%-461K--9K24.07%-470K--0-----197.53%-180.55M
-Assets reserve and write-off --0144.64%411K189.66%168K--58K--0--0--0--0--0-93.19%1.15M
-Share of associates 96.85%-171K-2,741.36%-5.43M-106.78%-191K-47.56%2.82M-0.74%5.37M--2.8M26.32%792K-34.80%817K-52.27%958K-89.45%5.41M
-Disposal profit -4.26%-1.03M84.28%-985K-19,478.13%-6.27M99.29%-32K-582.11%-4.54M---4.54M--0--0--0-164.94%-665K
-Net exchange gains and losses 1,660.48%3.28M-140.46%-210K-33.89%519K161.67%785K4.93%-1.27M---3.27M123.40%971K-67.02%869K-88.48%156K-198.24%-1.34M
-Remuneration paid in stock -------------50.60%41K0.00%83K--21K0.00%21K-4.76%20K5.00%21K-25.89%83K
-Other non-cash items -28.43%-1.51M82.71%-1.18M-1,170.09%-6.8M-13.59%-535K-117.35%-471K---131K-284.75%-227K-104.78%-53K-103.59%-60K-93.90%2.72M
Changes in working capital -260.63%-13.74M2,482.73%8.55M-113.31%-359K135.81%2.7M-25.42%-7.54M---2.53M42.05%-583K-14.78%-3.35M44.44%-1.07M-450.69%-6.01M
-Change in receivables -238.29%-7.46M235.32%5.39M-183.52%-3.98M157.72%4.77M-14,598.25%-8.26M---1.83M-104.19%-2.63M-229.65%-3.44M-128.82%-364K100.87%57K
-Change in inventory -1,735.15%-6.74M-6.07%-367K-1,093.10%-346K-132.58%-29K-47.02%89K--31K76.09%-11K-85.14%37K140.00%32K-97.55%168K
-Change in payables -88.39%450K-16.17%3.88M255.57%4.63M-408.40%-2.97M110.00%964K---403K527.44%2.06M102.40%51K76.19%-742K-591.75%-9.64M
-Changes in other current assets --046.94%-347K-170.32%-654K387.04%930K-109.50%-324K------------------3.41M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 00062.75%-19K
Interest received (cash flow from operating activities)
Tax refund paid -41.59%-977K-69.95%-690K-7.69%-406K-42.26%-377K7.99%-265K-83K73.88%-76K-84K-833.33%-22K76.18%-288K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -1.90%28.11M224.64%28.66M117.36%8.83M176.36%4.06M-27.41%-5.32M---3.43M196.07%880K23.89%-2.5M24.20%-260K-608.40%-4.17M
Investing cash flow
Net PPE purchase and sale -2,045.91%-25.71M46.23%-1.2M67.87%-2.23M-817.06%-6.93M245.36%967K--2.97M-129.79%-1.43M-40.58%-537K79.01%-34K3,211.11%280K
Net business purchase and sale --0--3.24M--0------187K--602K--0---300K------0
Advance cash and loans provided to other parties -------------------1.8M---------------115K--0
Repayment of advance payments to other parties and cash income from loans ------------79.76%2.56M-54.27%1.42M--461K--962K----------3.11M
Net changes in other investments 106.81%2.89M--1.4M--------------------------------
Investing cash flow -764.56%-22.82M254.13%3.43M49.09%-2.23M-660.31%-4.38M-76.98%781K--2.23M25.12%-465K-119.11%-837K8.02%-149K37,788.89%3.39M
Financing cash flow
Net issuance payments of debt 0.00%-1.08M-499.63%-1.08M--269K--------------0--0--0-1,109.01%-43.88M
Net common stock issuance 1,275.55%7.54M--548K--0--81K--0--0--0--0------60.01M
Increase or decrease of lease financing -371.96%-1.9M-3.60%-403K-19.69%-389K-513.21%-325K22.06%-53K---5K50.00%-8K-31.25%-21K-11.76%-19K4.23%-68K
Interest paid (cash flow from financing activities) ------------55.56%-4K93.92%-9K---1K0.00%-2K84.21%-3K94.40%-7K96.42%-148K
Net other fund-raising expenses 749.14%1.49M186.63%175K-131.17%-202K252.17%648K-85.11%184K--24K-92.30%53K-97.47%63K-96.11%44K141.41%1.24M
Financing cash flow 900.93%6.05M-134.47%-755K-180.50%-322K227.87%400K-99.29%122K--18K-93.58%43K-99.80%39K124.00%18K334.26%17.15M
Net cash flow
Beginning cash position 160.15%51.64M46.02%19.85M0.18%13.59M-24.39%13.57M987.70%17.95M--14.6M-16.28%14.17M1,796.97%17.53M987.70%17.95M-79.90%1.65M
Current changes in cash -63.82%11.34M399.20%31.34M7,284.71%6.28M101.93%85K-126.97%-4.42M---1.18M152.83%458K-120.64%-3.3M32.59%-391K351.47%16.37M
Effect of exchange rate changes -473.45%-1.69M2,154.55%452K63.93%-22K-264.86%-61K152.11%37K--153K-145.71%-32K-343.48%-56K80.82%-28K-39.22%-71K
End cash Position 18.69%61.29M160.15%51.64M46.02%19.85M0.18%13.59M-24.39%13.57M--13.57M-9.50%14.6M-16.28%14.17M1,796.97%17.53M987.70%17.95M
Free cash flow -117.75%-4.27M264.65%24.06M327.16%6.6M69.69%-2.91M-71.36%-9.58M---5.7M64.41%-547K17.18%-3.04M41.78%-294K-788.79%-5.59M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Price Target

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