SG Stock MarketDetailed Quotes

8YY Biolidics

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  • 0.009
  • +0.001+12.50%
10min DelayMarket Closed Nov 8 16:14 CST
6.70MMarket Cap-2250P/E (TTM)

Biolidics 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
Assets
Current assets
Cash, cash equivalents and short term investments
-94.66%150K
-94.18%223K
-96.36%183K
-96.36%183K
281.59%2.01M
119.45%2.81M
--3.83M
26.99%5.03M
26.99%5.03M
--527K
-Cash and cash equivalents
-94.66%150K
-94.18%223K
-96.36%183K
-96.36%183K
281.59%2.01M
119.45%2.81M
--3.83M
26.99%5.03M
26.99%5.03M
--527K
-Accounts receivable
-96.31%8K
-82.73%72K
-85.83%73K
-85.83%73K
-64.06%156K
-2.69%217K
--417K
305.51%515K
305.51%515K
--434K
-Gross accounts receivable
----
----
-60.74%234K
-60.74%234K
----
----
----
369.29%596K
369.29%596K
----
-Bad debt provision
----
----
-98.77%-161K
-98.77%-161K
----
----
----
---81K
---81K
----
-Other receivables
40.00%70K
49.12%85K
-88.76%10K
-88.76%10K
-25.71%52K
-39.76%50K
--57K
-39.46%89K
-39.46%89K
--70K
Inventory
--0
-96.26%7K
-59.26%11K
-59.26%11K
-87.65%180K
-87.63%183K
--187K
-98.21%27K
-98.21%27K
--1.46M
Prepaid assets
-62.42%56K
-50.00%88K
-39.73%135K
-39.73%135K
-14.39%113K
-20.32%149K
--176K
-31.91%224K
-31.91%224K
--132K
Total current assets
-86.41%463K
-89.82%475K
-92.74%430K
-92.74%430K
-4.12%2.51M
4.80%3.41M
--4.67M
-3.11%5.92M
-3.11%5.92M
--2.62M
Non current assets
Net PPE
-18.00%82K
52.48%215K
50.00%252K
50.00%252K
-87.65%74K
-87.39%100K
--141K
-85.92%168K
-85.92%168K
--599K
-Gross PP&E
-18.00%82K
52.48%215K
3.80%3.8M
3.80%3.8M
-87.65%74K
-87.39%100K
--141K
-9.07%3.66M
-9.07%3.66M
--599K
-Accumulated depreciation
----
----
-1.57%-3.55M
-1.57%-3.55M
----
----
----
-23.30%-3.49M
-23.30%-3.49M
----
Total investment
----
----
--0
--0
----
----
----
--0
--0
--0
-Long-term equity investment
----
----
--0
--0
----
----
----
--0
--0
--0
Goodwill and other intangible assets
--0
--0
--0
--0
----
----
----
--0
--0
--3.85M
-Goodwill
----
----
--0
--0
----
----
----
--0
--0
--626K
-Other intangible assets
----
----
----
----
----
----
----
----
----
--3.23M
Total non current assets
-18.00%82K
52.48%215K
50.00%252K
50.00%252K
-98.34%74K
-97.89%100K
--141K
-96.84%168K
-96.84%168K
--4.45M
Total assets
-84.46%545K
-85.65%690K
-88.80%682K
-88.80%682K
-63.42%2.59M
-56.10%3.51M
--4.81M
-46.71%6.09M
-46.71%6.09M
--7.07M
Liabilities
Current liabilities
-Current debt and capital lease obligation
-13.39%1.07M
-0.39%1.27M
1.75%1.28M
1.75%1.28M
-2.56%1.22M
-1.59%1.24M
--1.28M
-1.10%1.26M
-1.10%1.26M
--1.25M
-Including:Current debt
-7.98%980K
2.84%1.09M
2.86%1.08M
2.86%1.08M
2.78%1.07M
2.90%1.07M
--1.06M
2.84%1.05M
2.84%1.05M
--1.04M
-Including:Current capital Lease obligation
-46.29%94K
-15.91%185K
-3.81%202K
-3.81%202K
-29.33%147K
-22.22%175K
--220K
-17.00%210K
-17.00%210K
--208K
Payables
6.55%472K
-28.13%598K
-50.52%238K
-50.52%238K
-48.81%431K
-24.14%443K
--832K
3.89%481K
3.89%481K
--842K
-accounts payable
0.00%16K
-98.06%4K
-79.57%19K
-79.57%19K
200.00%12K
1,500.00%16K
--206K
9.41%93K
9.41%93K
--4K
-Total tax payable
----
----
--0
--0
----
----
----
--33K
--33K
----
-Other payable
6.79%456K
-5.11%594K
-38.31%219K
-38.31%219K
-50.00%419K
-26.76%427K
--626K
-6.08%355K
-6.08%355K
--838K
Current provisions
----
----
-37.50%5K
-37.50%5K
----
----
----
166.67%8K
166.67%8K
----
Other current liabilities
----
----
----
----
--2.13M
--2.12M
--2.11M
12,476.92%3.27M
12,476.92%3.27M
----
Current liabilities
-30.14%2.73M
-54.64%1.96M
-68.04%1.92M
-68.04%1.92M
74.81%3.88M
98.58%3.91M
--4.32M
148.57%6.01M
148.57%6.01M
--2.22M
Non current liabilities
-Long term debt and capital lease obligation
-83.01%200K
-71.40%421K
-57.73%741K
-57.73%741K
-56.53%886K
-49.96%1.18M
--1.47M
-41.08%1.75M
-41.08%1.75M
--2.04M
-Including:Long term debt
-84.79%176K
-76.30%338K
-63.79%613K
-63.79%613K
-54.75%886K
-47.91%1.16M
--1.43M
-38.28%1.69M
-38.28%1.69M
--1.96M
-Including:Long term capital lease obligation
20.00%24K
80.43%83K
113.33%128K
113.33%128K
--0
-84.73%20K
--46K
-74.14%60K
-74.14%60K
--80K
Long term provisions
----
-33.33%10K
-33.33%10K
-33.33%10K
50.00%15K
50.00%15K
--15K
50.00%15K
50.00%15K
--10K
Other non current liabilities
----
----
----
----
----
----
----
----
----
--3.24M
Total non current liabilities
-83.22%200K
-71.02%431K
-57.52%751K
-57.52%751K
-84.26%901K
-80.26%1.19M
--1.49M
-73.51%1.77M
-73.51%1.77M
--5.73M
Total liabilities
-42.54%2.93M
-58.84%2.39M
-65.65%2.67M
-65.65%2.67M
-39.84%4.78M
-36.27%5.1M
--5.8M
-14.47%7.78M
-14.47%7.78M
--7.95M
Shareholders'equity
Share capital
3.25%67.52M
3.25%67.52M
3.38%66.54M
3.38%66.54M
11.06%65.39M
11.06%65.39M
--65.39M
9.30%64.36M
9.30%64.36M
--58.88M
-common stock
3.25%67.52M
3.25%67.52M
3.38%66.54M
3.38%66.54M
11.06%65.39M
11.06%65.39M
--65.39M
9.30%64.36M
9.30%64.36M
--58.88M
Retained earnings
-4.45%-70M
-4.37%-69.31M
-3.77%-68.55M
-3.77%-68.55M
-12.97%-67.61M
-13.63%-67.01M
---66.4M
-16.54%-66.06M
-16.54%-66.06M
---59.85M
Total stockholders'equity
-49.62%-2.39M
-70.58%-1.7M
-17.83%-1.99M
-17.83%-1.99M
-150.74%-2.19M
-8,300.00%-1.6M
---996K
-172.38%-1.69M
-172.38%-1.69M
---875K
Total equity
-49.62%-2.39M
-70.58%-1.7M
-17.83%-1.99M
-17.83%-1.99M
-150.74%-2.19M
-8,300.00%-1.6M
---996K
-172.38%-1.69M
-172.38%-1.69M
---875K
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(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
Assets
Current assets
Cash, cash equivalents and short term investments -94.66%150K-94.18%223K-96.36%183K-96.36%183K281.59%2.01M119.45%2.81M--3.83M26.99%5.03M26.99%5.03M--527K
-Cash and cash equivalents -94.66%150K-94.18%223K-96.36%183K-96.36%183K281.59%2.01M119.45%2.81M--3.83M26.99%5.03M26.99%5.03M--527K
-Accounts receivable -96.31%8K-82.73%72K-85.83%73K-85.83%73K-64.06%156K-2.69%217K--417K305.51%515K305.51%515K--434K
-Gross accounts receivable ---------60.74%234K-60.74%234K------------369.29%596K369.29%596K----
-Bad debt provision ---------98.77%-161K-98.77%-161K---------------81K---81K----
-Other receivables 40.00%70K49.12%85K-88.76%10K-88.76%10K-25.71%52K-39.76%50K--57K-39.46%89K-39.46%89K--70K
Inventory --0-96.26%7K-59.26%11K-59.26%11K-87.65%180K-87.63%183K--187K-98.21%27K-98.21%27K--1.46M
Prepaid assets -62.42%56K-50.00%88K-39.73%135K-39.73%135K-14.39%113K-20.32%149K--176K-31.91%224K-31.91%224K--132K
Total current assets -86.41%463K-89.82%475K-92.74%430K-92.74%430K-4.12%2.51M4.80%3.41M--4.67M-3.11%5.92M-3.11%5.92M--2.62M
Non current assets
Net PPE -18.00%82K52.48%215K50.00%252K50.00%252K-87.65%74K-87.39%100K--141K-85.92%168K-85.92%168K--599K
-Gross PP&E -18.00%82K52.48%215K3.80%3.8M3.80%3.8M-87.65%74K-87.39%100K--141K-9.07%3.66M-9.07%3.66M--599K
-Accumulated depreciation ---------1.57%-3.55M-1.57%-3.55M-------------23.30%-3.49M-23.30%-3.49M----
Total investment ----------0--0--------------0--0--0
-Long-term equity investment ----------0--0--------------0--0--0
Goodwill and other intangible assets --0--0--0--0--------------0--0--3.85M
-Goodwill ----------0--0--------------0--0--626K
-Other intangible assets --------------------------------------3.23M
Total non current assets -18.00%82K52.48%215K50.00%252K50.00%252K-98.34%74K-97.89%100K--141K-96.84%168K-96.84%168K--4.45M
Total assets -84.46%545K-85.65%690K-88.80%682K-88.80%682K-63.42%2.59M-56.10%3.51M--4.81M-46.71%6.09M-46.71%6.09M--7.07M
Liabilities
Current liabilities
-Current debt and capital lease obligation -13.39%1.07M-0.39%1.27M1.75%1.28M1.75%1.28M-2.56%1.22M-1.59%1.24M--1.28M-1.10%1.26M-1.10%1.26M--1.25M
-Including:Current debt -7.98%980K2.84%1.09M2.86%1.08M2.86%1.08M2.78%1.07M2.90%1.07M--1.06M2.84%1.05M2.84%1.05M--1.04M
-Including:Current capital Lease obligation -46.29%94K-15.91%185K-3.81%202K-3.81%202K-29.33%147K-22.22%175K--220K-17.00%210K-17.00%210K--208K
Payables 6.55%472K-28.13%598K-50.52%238K-50.52%238K-48.81%431K-24.14%443K--832K3.89%481K3.89%481K--842K
-accounts payable 0.00%16K-98.06%4K-79.57%19K-79.57%19K200.00%12K1,500.00%16K--206K9.41%93K9.41%93K--4K
-Total tax payable ----------0--0--------------33K--33K----
-Other payable 6.79%456K-5.11%594K-38.31%219K-38.31%219K-50.00%419K-26.76%427K--626K-6.08%355K-6.08%355K--838K
Current provisions ---------37.50%5K-37.50%5K------------166.67%8K166.67%8K----
Other current liabilities ------------------2.13M--2.12M--2.11M12,476.92%3.27M12,476.92%3.27M----
Current liabilities -30.14%2.73M-54.64%1.96M-68.04%1.92M-68.04%1.92M74.81%3.88M98.58%3.91M--4.32M148.57%6.01M148.57%6.01M--2.22M
Non current liabilities
-Long term debt and capital lease obligation -83.01%200K-71.40%421K-57.73%741K-57.73%741K-56.53%886K-49.96%1.18M--1.47M-41.08%1.75M-41.08%1.75M--2.04M
-Including:Long term debt -84.79%176K-76.30%338K-63.79%613K-63.79%613K-54.75%886K-47.91%1.16M--1.43M-38.28%1.69M-38.28%1.69M--1.96M
-Including:Long term capital lease obligation 20.00%24K80.43%83K113.33%128K113.33%128K--0-84.73%20K--46K-74.14%60K-74.14%60K--80K
Long term provisions -----33.33%10K-33.33%10K-33.33%10K50.00%15K50.00%15K--15K50.00%15K50.00%15K--10K
Other non current liabilities --------------------------------------3.24M
Total non current liabilities -83.22%200K-71.02%431K-57.52%751K-57.52%751K-84.26%901K-80.26%1.19M--1.49M-73.51%1.77M-73.51%1.77M--5.73M
Total liabilities -42.54%2.93M-58.84%2.39M-65.65%2.67M-65.65%2.67M-39.84%4.78M-36.27%5.1M--5.8M-14.47%7.78M-14.47%7.78M--7.95M
Shareholders'equity
Share capital 3.25%67.52M3.25%67.52M3.38%66.54M3.38%66.54M11.06%65.39M11.06%65.39M--65.39M9.30%64.36M9.30%64.36M--58.88M
-common stock 3.25%67.52M3.25%67.52M3.38%66.54M3.38%66.54M11.06%65.39M11.06%65.39M--65.39M9.30%64.36M9.30%64.36M--58.88M
Retained earnings -4.45%-70M-4.37%-69.31M-3.77%-68.55M-3.77%-68.55M-12.97%-67.61M-13.63%-67.01M---66.4M-16.54%-66.06M-16.54%-66.06M---59.85M
Total stockholders'equity -49.62%-2.39M-70.58%-1.7M-17.83%-1.99M-17.83%-1.99M-150.74%-2.19M-8,300.00%-1.6M---996K-172.38%-1.69M-172.38%-1.69M---875K
Total equity -49.62%-2.39M-70.58%-1.7M-17.83%-1.99M-17.83%-1.99M-150.74%-2.19M-8,300.00%-1.6M---996K-172.38%-1.69M-172.38%-1.69M---875K
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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