SG Stock MarketDetailed Quotes

5PO Hiap Tong

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  • 0.080
  • -0.004-4.76%
10min DelayMarket Closed Nov 22 14:12 CST
25.39MMarket Cap6.67P/E (TTM)

Hiap Tong 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
-7.51%22.55M
79.16%24.38M
-20.41%13.61M
-5.32%17.1M
55.18%18.06M
-27.33%11.64M
24.59%16.01M
-8.01%12.85M
-5.65%13.97M
-10.99%14.81M
Net profit before non-cash adjustment
-69.30%5.15M
994.98%16.79M
251.63%1.53M
87.55%-1.01M
-464.73%-8.12M
94.58%2.23M
-75.86%1.14M
111.99%4.74M
40.89%2.24M
-57.33%1.59M
Total adjustment of non-cash items
-0.26%17.91M
16.91%17.96M
-16.39%15.36M
-27.45%18.37M
89.42%25.32M
10.12%13.37M
41.23%12.14M
-37.98%8.6M
4.97%13.86M
-2.98%13.2M
-Depreciation and amortization
13.94%17.04M
7.61%14.96M
1.46%13.9M
-2.37%13.7M
21.81%14.03M
1.63%11.52M
1.91%11.34M
-1.06%11.12M
-2.87%11.24M
6.67%11.57M
-Reversal of impairment losses recognized in profit and loss
99.78%-5K
---2.23M
--0
-73.50%2.12M
3,378.26%8M
-68.96%230K
103.57%741K
-65.43%364K
50.43%1.05M
-10.37%700K
-Assets reserve and write-off
-162.16%-1.59M
2,880.43%2.56M
---92K
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-Disposal profit
-52.41%306K
310.13%643K
-154.84%-306K
-31.37%558K
-2.28%813K
153.40%832K
66.08%-1.56M
-833.54%-4.59M
72.00%-492K
-23.30%-1.76M
-Deferred income tax
----
----
----
----
156.42%369K
-267.26%-654K
-7.35%391K
--422K
----
----
-Other non-cash items
6.41%2.16M
9.15%2.03M
-6.82%1.86M
-5.41%1.99M
46.39%2.11M
17.07%1.44M
-3.91%1.23M
-37.74%1.28M
-23.45%2.06M
-32.38%2.69M
Changes in working capital
95.04%-514K
-215.46%-10.36M
-1,149.05%-3.29M
-130.76%-263K
121.61%855K
-244.95%-3.96M
665.22%2.73M
77.25%-483K
-11,894.44%-2.12M
102.60%18K
-Change in receivables
78.01%-1.48M
-56.84%-6.72M
-4,425.25%-4.28M
105.51%99K
62.76%-1.8M
-223.92%-4.83M
356.32%3.9M
30.75%-1.52M
-271.75%-2.2M
405.01%1.28M
-Change in inventory
----
----
----
----
----
----
-46.21%71K
85.92%132K
117.27%71K
60.52%-411K
-Change in payables
126.41%963K
-465.80%-3.65M
375.41%997K
-113.64%-362K
204.59%2.65M
170.41%871K
-236.69%-1.24M
90,400.00%905K
100.13%1K
-197.40%-749K
-Changes in other current assets
----
----
----
----
----
----
----
----
----
---100K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-862.16%-1.42M
-6.47%-148K
55.02%-139K
-309K
0
-7K
0
94.90%-37K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-12.82%21.13M
79.91%24.23M
-19.77%13.47M
-7.03%16.79M
55.27%18.06M
-27.37%11.63M
24.59%16.01M
-8.01%12.85M
-5.41%13.97M
-7.16%14.77M
Investing cash flow
Net PPE purchase and sale
-66.09%-5.27M
-62.30%-3.17M
-267.24%-1.96M
283.52%1.17M
88.36%-637K
-467.84%-5.47M
40.53%-964K
-340.49%-1.62M
-114.83%-368K
112.78%2.48M
Net business purchase and sale
----
----
----
----
----
----
----
----
----
---142K
Net investment property transactions
----
----
----
----
----
----
----
-62.35%-927K
-150.44%-571K
---228K
Net investment product transactions
----
----
----
----
---200K
--0
----
----
----
----
Interest received (cash flow from investment activities)
211.11%28K
-18.18%9K
175.00%11K
-42.86%4K
--7K
----
----
----
--0
-83.33%1K
Investing cash flow
-65.68%-5.24M
-62.76%-3.16M
-265.73%-1.94M
241.33%1.17M
84.84%-830K
-467.84%-5.47M
62.17%-964K
-171.35%-2.55M
-144.46%-939K
110.74%2.11M
Financing cash flow
Net issuance payments of debt
110.76%302K
-142.61%-2.81M
-136.45%-1.16M
285.72%3.17M
-112.07%-1.71M
3,811.33%14.16M
-93.53%362K
32.91%5.59M
275.59%4.21M
-127.48%-2.4M
Increase or decrease of lease financing
5.35%-15.15M
-35.79%-16.01M
12.74%-11.79M
-13.12%-13.51M
28.88%-11.94M
-29.38%-16.79M
17.75%-12.98M
-4.40%-15.78M
-10.44%-15.12M
-10.40%-13.69M
Cash dividends paid
---424K
----
----
----
---154K
----
----
----
----
----
Interest paid (cash flow from financing activities)
-5.53%-1.68M
-13.33%-1.59M
6.15%-1.4M
29.31%-1.5M
-46.88%-2.12M
-17.07%-1.44M
3.91%-1.23M
11.78%-1.28M
19.43%-1.45M
11.41%-1.8M
Net other fund-raising expenses
----
----
----
----
-3,900.00%-456K
--12K
----
----
----
113.56%160K
Financing cash flow
16.92%-16.95M
-42.21%-20.41M
-21.28%-14.35M
27.76%-11.83M
-303.20%-16.38M
70.67%-4.06M
-20.75%-13.85M
7.21%-11.47M
30.28%-12.36M
-1,250.29%-17.73M
Net cash flow
Beginning cash position
10.96%11.21M
-21.60%10.1M
93.63%12.88M
15.15%6.65M
67.40%5.78M
52.56%3.45M
-32.94%2.26M
25.06%3.37M
-24.56%2.7M
-38.32%3.58M
Current changes in cash
-261.09%-1.07M
123.48%663K
-146.06%-2.82M
619.60%6.13M
-59.33%852K
74.29%2.1M
203.35%1.2M
-272.55%-1.16M
179.95%674K
61.80%-843K
Effect of exchange rate changes
-13.06%386K
957.14%444K
-56.70%42K
321.74%97K
-90.04%23K
1,876.92%231K
-125.00%-13K
2,500.00%52K
105.71%2K
-150.00%-35K
End cash Position
-6.09%10.52M
10.96%11.21M
-21.60%10.1M
93.63%12.88M
15.15%6.65M
67.40%5.78M
52.56%3.45M
-32.94%2.26M
25.06%3.37M
-24.56%2.7M
Free cash flow
-28.07%14.57M
100.73%20.25M
-32.89%10.09M
-13.46%15.03M
205.68%17.37M
-60.64%5.68M
46.97%14.44M
-24.94%9.83M
-7.95%13.09M
350.78%14.22M
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 -7.51%22.55M79.16%24.38M-20.41%13.61M-5.32%17.1M55.18%18.06M-27.33%11.64M24.59%16.01M-8.01%12.85M-5.65%13.97M-10.99%14.81M
Net profit before non-cash adjustment -69.30%5.15M994.98%16.79M251.63%1.53M87.55%-1.01M-464.73%-8.12M94.58%2.23M-75.86%1.14M111.99%4.74M40.89%2.24M-57.33%1.59M
Total adjustment of non-cash items -0.26%17.91M16.91%17.96M-16.39%15.36M-27.45%18.37M89.42%25.32M10.12%13.37M41.23%12.14M-37.98%8.6M4.97%13.86M-2.98%13.2M
-Depreciation and amortization 13.94%17.04M7.61%14.96M1.46%13.9M-2.37%13.7M21.81%14.03M1.63%11.52M1.91%11.34M-1.06%11.12M-2.87%11.24M6.67%11.57M
-Reversal of impairment losses recognized in profit and loss 99.78%-5K---2.23M--0-73.50%2.12M3,378.26%8M-68.96%230K103.57%741K-65.43%364K50.43%1.05M-10.37%700K
-Assets reserve and write-off -162.16%-1.59M2,880.43%2.56M---92K----------------------------
-Disposal profit -52.41%306K310.13%643K-154.84%-306K-31.37%558K-2.28%813K153.40%832K66.08%-1.56M-833.54%-4.59M72.00%-492K-23.30%-1.76M
-Deferred income tax ----------------156.42%369K-267.26%-654K-7.35%391K--422K--------
-Other non-cash items 6.41%2.16M9.15%2.03M-6.82%1.86M-5.41%1.99M46.39%2.11M17.07%1.44M-3.91%1.23M-37.74%1.28M-23.45%2.06M-32.38%2.69M
Changes in working capital 95.04%-514K-215.46%-10.36M-1,149.05%-3.29M-130.76%-263K121.61%855K-244.95%-3.96M665.22%2.73M77.25%-483K-11,894.44%-2.12M102.60%18K
-Change in receivables 78.01%-1.48M-56.84%-6.72M-4,425.25%-4.28M105.51%99K62.76%-1.8M-223.92%-4.83M356.32%3.9M30.75%-1.52M-271.75%-2.2M405.01%1.28M
-Change in inventory -------------------------46.21%71K85.92%132K117.27%71K60.52%-411K
-Change in payables 126.41%963K-465.80%-3.65M375.41%997K-113.64%-362K204.59%2.65M170.41%871K-236.69%-1.24M90,400.00%905K100.13%1K-197.40%-749K
-Changes in other current assets ---------------------------------------100K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -862.16%-1.42M-6.47%-148K55.02%-139K-309K0-7K094.90%-37K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -12.82%21.13M79.91%24.23M-19.77%13.47M-7.03%16.79M55.27%18.06M-27.37%11.63M24.59%16.01M-8.01%12.85M-5.41%13.97M-7.16%14.77M
Investing cash flow
Net PPE purchase and sale -66.09%-5.27M-62.30%-3.17M-267.24%-1.96M283.52%1.17M88.36%-637K-467.84%-5.47M40.53%-964K-340.49%-1.62M-114.83%-368K112.78%2.48M
Net business purchase and sale ---------------------------------------142K
Net investment property transactions -----------------------------62.35%-927K-150.44%-571K---228K
Net investment product transactions -------------------200K--0----------------
Interest received (cash flow from investment activities) 211.11%28K-18.18%9K175.00%11K-42.86%4K--7K--------------0-83.33%1K
Investing cash flow -65.68%-5.24M-62.76%-3.16M-265.73%-1.94M241.33%1.17M84.84%-830K-467.84%-5.47M62.17%-964K-171.35%-2.55M-144.46%-939K110.74%2.11M
Financing cash flow
Net issuance payments of debt 110.76%302K-142.61%-2.81M-136.45%-1.16M285.72%3.17M-112.07%-1.71M3,811.33%14.16M-93.53%362K32.91%5.59M275.59%4.21M-127.48%-2.4M
Increase or decrease of lease financing 5.35%-15.15M-35.79%-16.01M12.74%-11.79M-13.12%-13.51M28.88%-11.94M-29.38%-16.79M17.75%-12.98M-4.40%-15.78M-10.44%-15.12M-10.40%-13.69M
Cash dividends paid ---424K---------------154K--------------------
Interest paid (cash flow from financing activities) -5.53%-1.68M-13.33%-1.59M6.15%-1.4M29.31%-1.5M-46.88%-2.12M-17.07%-1.44M3.91%-1.23M11.78%-1.28M19.43%-1.45M11.41%-1.8M
Net other fund-raising expenses -----------------3,900.00%-456K--12K------------113.56%160K
Financing cash flow 16.92%-16.95M-42.21%-20.41M-21.28%-14.35M27.76%-11.83M-303.20%-16.38M70.67%-4.06M-20.75%-13.85M7.21%-11.47M30.28%-12.36M-1,250.29%-17.73M
Net cash flow
Beginning cash position 10.96%11.21M-21.60%10.1M93.63%12.88M15.15%6.65M67.40%5.78M52.56%3.45M-32.94%2.26M25.06%3.37M-24.56%2.7M-38.32%3.58M
Current changes in cash -261.09%-1.07M123.48%663K-146.06%-2.82M619.60%6.13M-59.33%852K74.29%2.1M203.35%1.2M-272.55%-1.16M179.95%674K61.80%-843K
Effect of exchange rate changes -13.06%386K957.14%444K-56.70%42K321.74%97K-90.04%23K1,876.92%231K-125.00%-13K2,500.00%52K105.71%2K-150.00%-35K
End cash Position -6.09%10.52M10.96%11.21M-21.60%10.1M93.63%12.88M15.15%6.65M67.40%5.78M52.56%3.45M-32.94%2.26M25.06%3.37M-24.56%2.7M
Free cash flow -28.07%14.57M100.73%20.25M-32.89%10.09M-13.46%15.03M205.68%17.37M-60.64%5.68M46.97%14.44M-24.94%9.83M-7.95%13.09M350.78%14.22M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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