(Q2)Jun 30, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q2)Jun 30, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q2)Jun 30, 2022 | (FY)Dec 31, 2021 | (Q4)Dec 31, 2021 | (Q2)Jun 30, 2021 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -4.57%23.15M | 58.18%17.38M | 58.18%17.38M | 288.55%24.26M | 81.04%10.99M | 81.04%10.99M | 47.45%6.24M | 16.48%6.07M | 16.48%6.07M | -33.07%4.23M |
-Cash and cash equivalents | -28.28%17.4M | 58.18%17.38M | 58.18%17.38M | 288.55%24.26M | 81.04%10.99M | 81.04%10.99M | 47.45%6.24M | 16.48%6.07M | 16.48%6.07M | -33.07%4.23M |
-Short-term investments | --5.75M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Accounts receivable | 12.81%55.19M | 1.10%47.07M | 1.10%47.07M | 45.58%48.93M | 57.80%46.56M | 57.80%46.56M | 20.20%33.61M | 21.77%29.51M | 21.77%29.51M | 7.83%27.96M |
-Gross accounts receivable | 13.86%57.12M | 0.76%49M | 0.76%49M | 40.64%50.16M | 53.62%48.63M | 53.62%48.63M | 20.33%35.67M | 21.57%31.65M | 21.57%31.65M | --29.64M |
-Bad debt provision | -55.38%-1.92M | 6.86%-1.93M | 6.86%-1.93M | 39.95%-1.24M | 3.68%-2.07M | 3.68%-2.07M | -22.47%-2.06M | -18.93%-2.15M | -18.93%-2.15M | ---1.68M |
-Other receivables | -34.91%4.2M | 27.76%11.81M | 27.76%11.81M | 71.47%6.45M | -16.01%9.24M | -16.01%9.24M | -47.03%3.76M | 10.02%11.01M | 10.02%11.01M | --7.11M |
Inventory | 66.66%105.29M | 58.35%90.26M | 58.35%90.26M | 15.44%63.17M | 23.24%57M | 23.24%57M | 8.96%54.73M | -9.21%46.25M | -9.21%46.25M | -12.67%50.23M |
Prepaid assets | 43.65%6.01M | 62.12%4.61M | 62.12%4.61M | 1,069.27%4.19M | 47.69%2.85M | 47.69%2.85M | 19.73%358K | 75.82%1.93M | 75.82%1.93M | --299K |
Restricted cash | ---- | 0.00%515K | 0.00%515K | ---- | --515K | --515K | ---- | --0 | --0 | ---- |
Other current assets | ---- | -14.13%79K | -14.13%79K | 16.59%7.28M | 15.00%92K | 15.00%92K | -9.95%6.24M | 2,566.67%80K | 2,566.67%80K | 25.91%6.93M |
Total current assets | 25.61%193.84M | 34.88%171.73M | 34.88%171.73M | 47.06%154.32M | 34.25%127.32M | 34.25%127.32M | 8.46%104.94M | 3.66%94.84M | 3.66%94.84M | 1.54%96.76M |
Non current assets | ||||||||||
Net PPE | 4.52%255.24M | 5.53%249.3M | 5.53%249.3M | 39.61%244.19M | 41.99%236.23M | 41.99%236.23M | 34.01%174.91M | 50.74%166.36M | 50.74%166.36M | 16.86%130.52M |
-Gross PP&E | 7.72%333.6M | 9.00%322.54M | 9.00%322.54M | 33.33%309.69M | 34.88%295.9M | 34.88%295.9M | 29.32%232.26M | 40.37%219.38M | 40.37%219.38M | 60.80%179.6M |
-Accumulated depreciation | -19.63%-78.36M | -22.75%-73.25M | -22.75%-73.25M | -14.19%-65.5M | -12.55%-59.67M | -12.55%-59.67M | -16.87%-57.36M | -15.45%-53.02M | -15.45%-53.02M | ---49.08M |
Total investment | -6.61%21.56M | -7.40%20.92M | -7.40%20.92M | 7.96%23.09M | 9.38%22.59M | 9.38%22.59M | 11.50%21.39M | 9.73%20.65M | 9.73%20.65M | -0.86%19.18M |
-Long-term equity investment | -6.88%21.19M | -7.69%20.54M | -7.69%20.54M | 8.12%22.76M | 9.57%22.26M | 9.57%22.26M | 12.14%21.05M | 10.34%20.31M | 10.34%20.31M | -0.30%18.77M |
-Including:Available-for-sale securities | 11.64%374K | 11.64%374K | 11.64%374K | -1.47%335K | -1.47%335K | -1.47%335K | -17.48%340K | -17.48%340K | -17.48%340K | -21.07%412K |
Goodwill and other intangible assets | --8.15M | --8.48M | --8.48M | ---- | --0 | --0 | ---- | ---- | ---- | ---- |
-Goodwill | --5.23M | --5.23M | --5.23M | ---- | --0 | --0 | ---- | ---- | ---- | ---- |
-Other intangible assets | --2.92M | --3.24M | --3.24M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total non current assets | 6.05%306.03M | 8.57%299.87M | 8.57%299.87M | 43.96%288.58M | 44.47%276.21M | 44.47%276.21M | 30.27%200.46M | 43.35%191.19M | 43.35%191.19M | 13.32%153.88M |
Total assets | 12.86%499.87M | 16.87%471.6M | 16.87%471.6M | 45.02%442.9M | 41.08%403.53M | 41.08%403.53M | 21.85%305.4M | 27.20%286.02M | 27.20%286.02M | 8.46%250.64M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
-Current debt and capital lease obligation | 37.86%128.21M | 15.51%89.11M | 15.51%89.11M | 38.73%93M | 37.59%77.15M | 37.59%77.15M | 43.43%67.03M | 58.04%56.07M | 58.04%56.07M | -7.88%46.74M |
-Including:Current debt | 35.40%124.35M | 13.36%86.3M | 13.36%86.3M | 39.09%91.83M | 38.06%76.13M | 38.06%76.13M | 44.34%66.02M | 59.38%55.14M | 59.38%55.14M | -8.08%45.74M |
-Including:Current capital Lease obligation | 231.79%3.86M | 176.75%2.81M | 176.75%2.81M | 15.13%1.16M | 9.61%1.02M | 9.61%1.02M | 1.61%1.01M | 5.11%926K | 5.11%926K | 2.05%995K |
Payables | 24.93%57.51M | 83.91%62.21M | 83.91%62.21M | 116.36%46.03M | 66.17%33.83M | 66.17%33.83M | 13.90%21.28M | 15.92%20.36M | 15.92%20.36M | 17.63%18.68M |
-accounts payable | 7.23%40.82M | 119.84%45.27M | 119.84%45.27M | 117.70%38.06M | 50.95%20.59M | 50.95%20.59M | 2.48%17.49M | 33.33%13.64M | 33.33%13.64M | 23.95%17.06M |
-Total tax payable | -1.69%7.83M | 22.74%8.8M | 22.74%8.8M | 110.18%7.97M | 166.82%7.17M | 166.82%7.17M | 134.38%3.79M | 109.18%2.69M | 109.18%2.69M | -23.51%1.62M |
-Other payable | --8.86M | 34.25%8.14M | 34.25%8.14M | ---- | 50.55%6.06M | 50.55%6.06M | ---- | -33.37%4.03M | -33.37%4.03M | ---- |
Current provisions | -12.66%1.01M | -12.42%980K | -12.42%980K | 29.72%1.16M | 21.10%1.12M | 21.10%1.12M | 2.40%895K | 27.45%924K | 27.45%924K | 388.27%874K |
Other current liabilities | 27.75%8.77M | 0.00%88K | 0.00%88K | 44.35%6.87M | 131.58%88K | 131.58%88K | -0.94%4.76M | --38K | --38K | -0.23%4.8M |
Current liabilities | 32.96%195.52M | 33.22%160.17M | 33.22%160.17M | 56.40%147.06M | 46.18%120.23M | 46.18%120.23M | 32.21%94.03M | 39.12%82.25M | 39.12%82.25M | -0.68%71.12M |
Non current liabilities | ||||||||||
-Long term debt and capital lease obligation | -5.56%179.53M | -1.38%183.83M | -1.38%183.83M | 46.36%190.11M | 48.63%186.4M | 48.63%186.4M | 25.04%129.89M | 36.90%125.42M | 36.90%125.42M | 13.83%103.88M |
-Including:Long term debt | -8.77%161.13M | -2.78%168.2M | -2.78%168.2M | 51.54%176.63M | 53.21%173.02M | 53.21%173.02M | 28.15%116.55M | 37.28%112.92M | 37.28%112.92M | 11.70%90.95M |
-Including:Long term capital lease obligation | 36.50%18.4M | 16.81%15.63M | 16.81%15.63M | 1.06%13.48M | 7.14%13.38M | 7.14%13.38M | 3.15%13.34M | 33.52%12.49M | 33.52%12.49M | 31.39%12.93M |
Total non current liabilities | -5.22%181.03M | -0.90%185.6M | -0.90%185.6M | 46.02%190.99M | 48.21%187.29M | 48.21%187.29M | 25.18%130.8M | 36.95%126.37M | 36.95%126.37M | 13.86%104.48M |
Total liabilities | 11.39%376.55M | 12.44%345.77M | 12.44%345.77M | 50.36%338.05M | 47.41%307.52M | 47.41%307.52M | 28.03%224.82M | 37.79%208.62M | 37.79%208.62M | 7.48%175.6M |
Shareholders'equity | ||||||||||
Share capital | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M |
-common stock | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M | 0.00%26.93M |
Retained earnings | 21.94%93.48M | 40.42%94.58M | 40.42%94.58M | 48.58%76.66M | 38.55%67.35M | 38.55%67.35M | 8.75%51.59M | 6.65%48.61M | 6.65%48.61M | 19.48%47.44M |
Total stockholders'equity | 15.28%116.47M | 27.63%118.15M | 27.63%118.15M | 29.53%101.03M | 22.65%92.57M | 22.65%92.57M | 5.75%78M | 5.84%75.48M | 5.84%75.48M | 12.10%73.76M |
Noncontrolling interests | 79.55%6.85M | 123.39%7.69M | 123.39%7.69M | 48.16%3.82M | 78.20%3.44M | 78.20%3.44M | 101.64%2.58M | -10.56%1.93M | -10.56%1.93M | -33.21%1.28M |
Total equity | 17.62%123.32M | 31.06%125.84M | 31.06%125.84M | 30.13%104.85M | 24.04%96.01M | 24.04%96.01M | 7.38%80.57M | 5.36%77.41M | 5.36%77.41M | 10.82%75.04M |
Currency Unit | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD |
No Data