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6718 CRESNDO

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  • 1.290
  • -0.100-7.19%
15min DelayMarket Closed Mar 28 16:51 CST
1.09BMarket Cap1.95P/E (TTM)

CRESNDO Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Oct 31, 2024
(Q2)Jul 31, 2024
(Q1)Apr 30, 2024
(FY)Jan 31, 2024
(Q4)Jan 31, 2024
(Q3)Oct 31, 2023
(Q2)Jul 31, 2023
(Q1)Apr 30, 2023
(FY)Jan 31, 2023
(Q4)Jan 31, 2023
Operating cash flow (direct method)
Cash income from operating activities
138.82%165.28M
552.47%385.54M
711.50%435.98M
22.82%298.62M
103.47%116.6M
-14.25%69.21M
16.31%59.09M
-1.08%53.73M
7.73%243.13M
-9.25%57.3M
Revenue from customers
138.82%165.28M
552.47%385.54M
711.50%435.98M
22.82%298.62M
103.47%116.6M
-14.25%69.21M
16.31%59.09M
-1.08%53.73M
7.73%243.13M
-9.25%57.3M
Cash paid
-216.05%-224.88M
-15.36%-71.65M
-206.18%-144.73M
-109.33%-345.13M
-229.39%-164.6M
-72.44%-71.15M
-71.04%-62.11M
-26.62%-47.27M
-13.71%-164.88M
-26.03%-49.97M
Payments to suppliers for goods and services
-216.05%-224.88M
-15.36%-71.65M
-206.18%-144.73M
-109.33%-345.13M
-229.39%-164.6M
-72.44%-71.15M
-71.04%-62.11M
-26.62%-47.27M
-13.71%-164.88M
-26.03%-49.97M
Direct dividend paid
Direct dividend received
Direct interest paid
43.14%-1.69M
-31.79%-4.02M
18.15%-2.48M
6.86%-11.57M
16.83%-2.52M
3.89%-2.97M
2.74%-3.05M
4.32%-3.04M
16.50%-12.42M
-10.38%-3.03M
Direct interest received
737.43%2.8M
389.26%2.19M
269.18%1.86M
-14.91%1.63M
-37.97%350.03K
-33.20%334K
0.90%447K
21.79%503K
72.60%1.92M
-1.27%564.29K
Direct tax refund paid
-386.64%-9.43M
-91.03%-4.13M
-43.72%-4.54M
-8.84%-16.61M
-103.93%-9.35M
63.12%-1.94M
25.95%-2.16M
-26.34%-3.16M
6.26%-15.26M
58.30%-4.58M
Operating cash flow
-941.92%-67.92M
4,055.40%307.93M
37,443.04%286.08M
-239.20%-73.06M
-20,806.50%-59.52M
-120.63%-6.52M
-187.71%-7.79M
-93.50%762K
3.66%52.49M
-97.22%287.44K
Investing cash flow
Net PPE purchase and sale
-259.77%-16.64M
-554.45%-24.86M
139.15%3.06M
-119.88%-9.1M
39.28%7.14M
2.05%-4.63M
-20.38%-3.8M
-462.73%-7.82M
-18.11%-4.14M
594.17%5.13M
Net investment property transactions
----
12,040.51%9.59M
3.14%197K
21.44%-8.3M
----
----
--79K
--191K
-727.54%-10.57M
----
Net investment product transactions
496,764.52%154.03M
-315,419.35%-97.81M
-21,260.87%-107.07M
-83.14%505.69K
-100.06%-308
--31K
---31K
-79.76%506K
-63.97%3M
-92.35%500K
Net changes in other investments
----
----
4,293.33%629K
-3,423.03%-1.47M
-10,287.99%-1.42M
----
----
-150.00%-15K
97.89%-41.64K
99.31%-13.64K
Investing cash flow
2,728.38%129.19M
-2,944.31%-113.71M
-1,345.18%-103.19M
-56.33%-18.37M
47.96%-2.58M
-3.80%-4.92M
-18.01%-3.74M
-746.74%-7.14M
-849.23%-11.75M
-320.52%-4.95M
Financing cash flow
Net issuance payments of debt
-2,312.86%-31.14M
-1,220.85%-107.4M
-5,313.23%-72M
229.11%62.71M
1,151.38%70.76M
109.72%1.41M
43.66%-8.13M
89.71%-1.33M
-304.75%-48.57M
9.42%-6.73M
Cash dividends paid
--0
----
----
60.00%-5.59M
100.00%-374
----
----
----
16.67%-13.97M
-49.99%-8.38M
Cash dividends for minorities
---810K
--0
---925K
--0
--0
--0
--0
--0
5.48%-1.46M
--0
Net other fund-raising expenses
--0
--0
--220K
--400K
----
----
----
----
----
----
Financing cash flow
-651.73%-31.43M
-1,839.40%-157.69M
-5,366.24%-72.7M
189.88%57.52M
570.86%71.16M
79.64%-4.18M
47.27%-8.13M
89.71%-1.33M
-1,281.99%-64M
-16.08%-15.11M
Net cash flow
Beginning cash position
272.76%191.57M
118.23%155.04M
-43.06%44.84M
-22.80%78.75M
-63.69%35.78M
-44.26%51.39M
-30.29%71.04M
-22.80%78.75M
129.78%102.01M
-3.83%98.53M
Current changes in cash
291.05%29.83M
285.89%36.53M
1,529.57%110.19M
-45.75%-33.91M
145.84%9.07M
-346.64%-15.62M
-102.38%-19.65M
-7,240.95%-7.71M
-140.38%-23.26M
-4,365.32%-19.78M
End cash Position
518.84%221.4M
272.76%191.57M
118.23%155.04M
-43.06%44.84M
-43.06%44.84M
-63.69%35.78M
-44.26%51.39M
-30.29%71.04M
-22.80%78.75M
-22.80%78.75M
Free cash flow
-726.91%-94.39M
2,570.29%286.13M
4,152.10%286.08M
-270.96%-82.48M
-1,072.15%-52.42M
-142.52%-11.42M
-302.71%-11.58M
-168.60%-7.06M
3.39%48.24M
-41.87%5.39M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)Oct 31, 2024(Q2)Jul 31, 2024(Q1)Apr 30, 2024(FY)Jan 31, 2024(Q4)Jan 31, 2024(Q3)Oct 31, 2023(Q2)Jul 31, 2023(Q1)Apr 30, 2023(FY)Jan 31, 2023(Q4)Jan 31, 2023
Operating cash flow (direct method)
Cash income from operating activities 138.82%165.28M552.47%385.54M711.50%435.98M22.82%298.62M103.47%116.6M-14.25%69.21M16.31%59.09M-1.08%53.73M7.73%243.13M-9.25%57.3M
Revenue from customers 138.82%165.28M552.47%385.54M711.50%435.98M22.82%298.62M103.47%116.6M-14.25%69.21M16.31%59.09M-1.08%53.73M7.73%243.13M-9.25%57.3M
Cash paid -216.05%-224.88M-15.36%-71.65M-206.18%-144.73M-109.33%-345.13M-229.39%-164.6M-72.44%-71.15M-71.04%-62.11M-26.62%-47.27M-13.71%-164.88M-26.03%-49.97M
Payments to suppliers for goods and services -216.05%-224.88M-15.36%-71.65M-206.18%-144.73M-109.33%-345.13M-229.39%-164.6M-72.44%-71.15M-71.04%-62.11M-26.62%-47.27M-13.71%-164.88M-26.03%-49.97M
Direct dividend paid
Direct dividend received
Direct interest paid 43.14%-1.69M-31.79%-4.02M18.15%-2.48M6.86%-11.57M16.83%-2.52M3.89%-2.97M2.74%-3.05M4.32%-3.04M16.50%-12.42M-10.38%-3.03M
Direct interest received 737.43%2.8M389.26%2.19M269.18%1.86M-14.91%1.63M-37.97%350.03K-33.20%334K0.90%447K21.79%503K72.60%1.92M-1.27%564.29K
Direct tax refund paid -386.64%-9.43M-91.03%-4.13M-43.72%-4.54M-8.84%-16.61M-103.93%-9.35M63.12%-1.94M25.95%-2.16M-26.34%-3.16M6.26%-15.26M58.30%-4.58M
Operating cash flow -941.92%-67.92M4,055.40%307.93M37,443.04%286.08M-239.20%-73.06M-20,806.50%-59.52M-120.63%-6.52M-187.71%-7.79M-93.50%762K3.66%52.49M-97.22%287.44K
Investing cash flow
Net PPE purchase and sale -259.77%-16.64M-554.45%-24.86M139.15%3.06M-119.88%-9.1M39.28%7.14M2.05%-4.63M-20.38%-3.8M-462.73%-7.82M-18.11%-4.14M594.17%5.13M
Net investment property transactions ----12,040.51%9.59M3.14%197K21.44%-8.3M----------79K--191K-727.54%-10.57M----
Net investment product transactions 496,764.52%154.03M-315,419.35%-97.81M-21,260.87%-107.07M-83.14%505.69K-100.06%-308--31K---31K-79.76%506K-63.97%3M-92.35%500K
Net changes in other investments --------4,293.33%629K-3,423.03%-1.47M-10,287.99%-1.42M---------150.00%-15K97.89%-41.64K99.31%-13.64K
Investing cash flow 2,728.38%129.19M-2,944.31%-113.71M-1,345.18%-103.19M-56.33%-18.37M47.96%-2.58M-3.80%-4.92M-18.01%-3.74M-746.74%-7.14M-849.23%-11.75M-320.52%-4.95M
Financing cash flow
Net issuance payments of debt -2,312.86%-31.14M-1,220.85%-107.4M-5,313.23%-72M229.11%62.71M1,151.38%70.76M109.72%1.41M43.66%-8.13M89.71%-1.33M-304.75%-48.57M9.42%-6.73M
Cash dividends paid --0--------60.00%-5.59M100.00%-374------------16.67%-13.97M-49.99%-8.38M
Cash dividends for minorities ---810K--0---925K--0--0--0--0--05.48%-1.46M--0
Net other fund-raising expenses --0--0--220K--400K------------------------
Financing cash flow -651.73%-31.43M-1,839.40%-157.69M-5,366.24%-72.7M189.88%57.52M570.86%71.16M79.64%-4.18M47.27%-8.13M89.71%-1.33M-1,281.99%-64M-16.08%-15.11M
Net cash flow
Beginning cash position 272.76%191.57M118.23%155.04M-43.06%44.84M-22.80%78.75M-63.69%35.78M-44.26%51.39M-30.29%71.04M-22.80%78.75M129.78%102.01M-3.83%98.53M
Current changes in cash 291.05%29.83M285.89%36.53M1,529.57%110.19M-45.75%-33.91M145.84%9.07M-346.64%-15.62M-102.38%-19.65M-7,240.95%-7.71M-140.38%-23.26M-4,365.32%-19.78M
End cash Position 518.84%221.4M272.76%191.57M118.23%155.04M-43.06%44.84M-43.06%44.84M-63.69%35.78M-44.26%51.39M-30.29%71.04M-22.80%78.75M-22.80%78.75M
Free cash flow -726.91%-94.39M2,570.29%286.13M4,152.10%286.08M-270.96%-82.48M-1,072.15%-52.42M-142.52%-11.42M-302.71%-11.58M-168.60%-7.06M3.39%48.24M-41.87%5.39M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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