SG Stock MarketDetailed Quotes

5QY Net Pacific Fin

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  • 0.020
  • +0.001+5.26%
10min DelayMarket Closed Sep 13 16:52 CST
10.51MMarket Cap-6666P/E (TTM)

Net Pacific Fin Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
-154.17%-4.71M
-330.35%-6.31M
226.99%4.88M
-163.81%-164K
-55.63%-2.18M
657.22%8.69M
-29.16%-1.47M
-24.76%-3.84M
-64.40%257K
-138.44%-1.4M
Net profit before non-cash adjustment
-100.58%-2.07M
-366.75%-3.55M
-65.93%-5.44M
-255.29%-1.67M
14.21%-1.97M
68.25%-1.03M
-163.74%-761K
-503.32%-3.28M
1,611.11%1.08M
-187.13%-2.3M
Total adjustment of non-cash items
214.17%951K
4.12%-792K
44.19%-1.56M
598.40%937K
15.93%-839K
-76.11%-833K
27.42%-826K
58.47%-2.8M
95.65%-188K
-22.45%-998K
-Depreciation and amortization
97,600.00%977K
17,600.00%354K
69.23%66K
6,000.00%61K
0.00%2K
-92.86%1K
-90.91%2K
-54.12%39K
-95.45%1K
-90.48%2K
-Reversal of impairment losses recognized in profit and loss
--520K
--696K
--1.96M
----
----
--0
--0
--0
----
----
-Disposal profit
--0
--0
--0
----
----
--0
--0
--0
----
----
-Net exchange gains and losses
--253K
---732K
-160.71%-289K
----
----
--0
--0
-46.03%476K
----
----
-Other non-cash items
-15.71%-965K
-34.06%-1.11M
0.30%-3.3M
-20.15%-799K
15.90%-841K
-0.72%-834K
-1.10%-828K
-0.15%-3.31M
19.69%-665K
-19.62%-1M
Changes in working capital
-133.99%-3.59M
-1,723.97%-1.97M
430.93%11.88M
190.52%573K
-66.74%631K
387.62%10.55M
110.16%121K
-21.37%2.24M
-112.72%-633K
178.58%1.9M
-Change in receivables
-77.40%2.47M
-639.53%-2.53M
103.26%10.65M
-6.07%-1.33M
-71.32%582K
269.62%10.93M
-68.92%468K
271.46%5.24M
-127.19%-1.25M
122.56%2.03M
-Change in payables
-1,178.34%-4.78M
261.38%560K
140.99%1.23M
206.77%1.9M
137.12%49K
52.78%-374K
87.13%-347K
-150.86%-3M
68.02%620K
-102.01%-132K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
0
-33.33%40K
-33.33%160K
-50.00%20K
-33.33%40K
0.00%40K
-40.00%60K
-31.43%240K
-80.00%40K
60K
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
35.94%590K
35.96%1.69M
48.99%3.31M
-77.85%264K
200.66%1.37M
50.69%434K
332.64%1.25M
-32.88%2.22M
-21.32%1.19M
-62.74%455K
Tax refund paid
-200.00%-1K
21.05%-60K
7.82%-165K
58.14%-90K
0
1K
-311.11%-76K
57.38%-179K
20.96%-215K
0
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-144.94%-4.12M
-1,863.98%-4.64M
626.17%8.18M
-97.65%30K
12.74%-774K
844.27%9.16M
66.81%-236K
-1,042.42%-1.56M
-41.15%1.27M
-240.13%-887K
Investing cash flow
Net PPE purchase and sale
---42K
---3.58M
----
----
----
--0
--0
----
----
----
Investing cash flow
---1.92M
---3.58M
----
----
----
--0
--0
----
----
----
Financing cash flow
Increase or decrease of lease financing
---390K
---131K
-27.27%-42K
---42K
--0
--0
--0
56.58%-33K
--0
--0
Interest paid (cash flow from financing activities)
---163K
---28K
---10K
----
----
--0
--0
--0
----
----
Financing cash flow
--14.36M
---159K
-57.58%-52K
---52K
--0
--0
--0
59.26%-33K
--0
--0
Net cash flow
Beginning cash position
2.38%39.51M
21.68%47.25M
-5.05%38.83M
23.53%46.98M
22.71%47.75M
-4.71%38.59M
-5.05%38.83M
-1.96%40.89M
-4.04%38.03M
-0.30%38.92M
Current changes in cash
-9.20%8.32M
-3,449.15%-8.38M
611.96%8.13M
-101.73%-22K
12.74%-774K
837.68%9.16M
67.80%-236K
-2,506.06%-1.59M
-40.58%1.27M
-248.83%-887K
Effect of exchange rate changes
---397K
--639K
160.71%289K
----
----
--0
--0
46.03%-476K
----
----
End cash Position
-0.67%47.43M
2.38%39.51M
21.68%47.25M
21.68%47.25M
23.53%46.98M
22.71%47.75M
-4.71%38.59M
-5.05%38.83M
-5.05%38.83M
-4.04%38.03M
Free cash flow
-145.39%-4.16M
-3,381.78%-8.22M
626.17%8.18M
-97.65%30K
12.74%-774K
844.27%9.16M
66.81%-236K
-1,157.82%-1.56M
-41.13%1.27M
-243.99%-887K
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities -154.17%-4.71M-330.35%-6.31M226.99%4.88M-163.81%-164K-55.63%-2.18M657.22%8.69M-29.16%-1.47M-24.76%-3.84M-64.40%257K-138.44%-1.4M
Net profit before non-cash adjustment -100.58%-2.07M-366.75%-3.55M-65.93%-5.44M-255.29%-1.67M14.21%-1.97M68.25%-1.03M-163.74%-761K-503.32%-3.28M1,611.11%1.08M-187.13%-2.3M
Total adjustment of non-cash items 214.17%951K4.12%-792K44.19%-1.56M598.40%937K15.93%-839K-76.11%-833K27.42%-826K58.47%-2.8M95.65%-188K-22.45%-998K
-Depreciation and amortization 97,600.00%977K17,600.00%354K69.23%66K6,000.00%61K0.00%2K-92.86%1K-90.91%2K-54.12%39K-95.45%1K-90.48%2K
-Reversal of impairment losses recognized in profit and loss --520K--696K--1.96M----------0--0--0--------
-Disposal profit --0--0--0----------0--0--0--------
-Net exchange gains and losses --253K---732K-160.71%-289K----------0--0-46.03%476K--------
-Other non-cash items -15.71%-965K-34.06%-1.11M0.30%-3.3M-20.15%-799K15.90%-841K-0.72%-834K-1.10%-828K-0.15%-3.31M19.69%-665K-19.62%-1M
Changes in working capital -133.99%-3.59M-1,723.97%-1.97M430.93%11.88M190.52%573K-66.74%631K387.62%10.55M110.16%121K-21.37%2.24M-112.72%-633K178.58%1.9M
-Change in receivables -77.40%2.47M-639.53%-2.53M103.26%10.65M-6.07%-1.33M-71.32%582K269.62%10.93M-68.92%468K271.46%5.24M-127.19%-1.25M122.56%2.03M
-Change in payables -1,178.34%-4.78M261.38%560K140.99%1.23M206.77%1.9M137.12%49K52.78%-374K87.13%-347K-150.86%-3M68.02%620K-102.01%-132K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities) 0-33.33%40K-33.33%160K-50.00%20K-33.33%40K0.00%40K-40.00%60K-31.43%240K-80.00%40K60K
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities) 35.94%590K35.96%1.69M48.99%3.31M-77.85%264K200.66%1.37M50.69%434K332.64%1.25M-32.88%2.22M-21.32%1.19M-62.74%455K
Tax refund paid -200.00%-1K21.05%-60K7.82%-165K58.14%-90K01K-311.11%-76K57.38%-179K20.96%-215K0
Other operating cash inflow (outflow) 0000000000
Operating cash flow -144.94%-4.12M-1,863.98%-4.64M626.17%8.18M-97.65%30K12.74%-774K844.27%9.16M66.81%-236K-1,042.42%-1.56M-41.15%1.27M-240.13%-887K
Investing cash flow
Net PPE purchase and sale ---42K---3.58M--------------0--0------------
Investing cash flow ---1.92M---3.58M--------------0--0------------
Financing cash flow
Increase or decrease of lease financing ---390K---131K-27.27%-42K---42K--0--0--056.58%-33K--0--0
Interest paid (cash flow from financing activities) ---163K---28K---10K----------0--0--0--------
Financing cash flow --14.36M---159K-57.58%-52K---52K--0--0--059.26%-33K--0--0
Net cash flow
Beginning cash position 2.38%39.51M21.68%47.25M-5.05%38.83M23.53%46.98M22.71%47.75M-4.71%38.59M-5.05%38.83M-1.96%40.89M-4.04%38.03M-0.30%38.92M
Current changes in cash -9.20%8.32M-3,449.15%-8.38M611.96%8.13M-101.73%-22K12.74%-774K837.68%9.16M67.80%-236K-2,506.06%-1.59M-40.58%1.27M-248.83%-887K
Effect of exchange rate changes ---397K--639K160.71%289K----------0--046.03%-476K--------
End cash Position -0.67%47.43M2.38%39.51M21.68%47.25M21.68%47.25M23.53%46.98M22.71%47.75M-4.71%38.59M-5.05%38.83M-5.05%38.83M-4.04%38.03M
Free cash flow -145.39%-4.16M-3,381.78%-8.22M626.17%8.18M-97.65%30K12.74%-774K844.27%9.16M66.81%-236K-1,157.82%-1.56M-41.13%1.27M-243.99%-887K
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD

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