SG Stock MarketDetailed Quotes

9I7 NoSignboard

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  • 0.070
  • -0.008-10.26%
10min DelayTrading Nov 19 14:36 CST
21.58MMarket Cap-1489P/E (TTM)

NoSignboard Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Jun 30, 2024
(Q2)Mar 31, 2024
(Q1)Dec 31, 2023
(Q3)Jun 30, 2023
(Q2)Mar 31, 2023
(Q1)Dec 31, 2022
(FY)Sep 30, 2022
(Q4)Sep 30, 2022
(Q3)Jun 30, 2022
(Q2)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
-25,409.62%-1.19M
-32.58%-209.13K
-654.48%-425.55K
-96.08%4.71K
85.68%-157.74K
199.73%76.75K
71.14%-981.78K
252.22%76.02K
109.64%120.33K
17.06%-1.1M
Net profit before non-cash adjustment
193.32%389.3K
88.51%-46.32K
-16.63%-367.23K
66.90%-417.15K
-546.58%-402.95K
68.16%-314.87K
48.30%-4.72M
41.41%-2.56M
23.69%-1.26M
106.31%90.23K
Total adjustment of non-cash items
-777.74%-1.41M
-89.79%16.74K
-76.33%21.36K
-75.02%208.49K
117.74%163.96K
-81.55%90.23K
-66.46%2.58M
-50.43%2.21M
-29.20%834.51K
-195.15%-924.36K
-Depreciation and amortization
-93.22%9.98K
-97.14%4.2K
--0
-54.49%147.12K
-49.19%146.83K
-66.02%147.15K
-68.67%1.35M
-76.37%309.33K
-65.68%323.24K
-67.89%288.98K
-Reversal of impairment losses recognized in profit and loss
-21,017.37%-1.4M
----
----
-98.70%6.71K
----
----
-23.83%2.76M
-47.77%1.89M
240.43%517.41K
1,411,376.00%352.87K
-Assets reserve and write-off
----
----
--0
----
----
--0
-239.23%-77.17K
-489.67%-76.71K
--0
--0
-Disposal profit
--0
--0
--0
--0
--0
-3,337.42%-130.62K
-72,470.17%-1.67M
--0
---63.4K
-87,293.18%-1.6M
-Net exchange gains and losses
-111.74%-3.6K
73.44%-2.38K
-86.76%5.98K
32.11%30.64K
-83.95%-8.95K
778.38%45.11K
155.93%39.39K
313.65%51.07K
189.68%23.19K
51.17%-4.87K
-Other non-cash items
-168.52%-16.46K
-42.83%14.91K
-46.20%15.39K
-29.49%24.02K
-35.72%26.08K
-57.32%28.6K
174.90%172.97K
106.56%31.18K
-54.54%34.07K
-51.18%40.57K
Changes in working capital
-179.03%-168.63K
-321.00%-179.55K
-126.44%-79.67K
-60.94%213.37K
130.42%81.25K
-28.73%301.38K
158.49%1.16M
444.48%453.07K
170.50%546.21K
60.49%-267.05K
-Change in receivables
-116.99%-199.42K
85.40%-11.94K
688.70%110.17K
-143.52%-91.91K
-166.79%-81.76K
-88.91%13.97K
307.45%509.27K
140.62%48.33K
-49.47%211.2K
236.01%122.42K
-Change in inventory
-47.09%4.49K
115.73%4.69K
-106.87%-2.49K
-85.55%8.49K
-128.48%-29.79K
-45.05%36.17K
457.73%187.74K
-304.32%-41.45K
183.55%58.78K
225.74%104.6K
-Change in payables
-85.94%41.73K
-189.37%-172.3K
-174.57%-187.36K
7.44%296.78K
149.15%192.8K
-11.87%251.25K
138.04%614.81K
-2.44%447.13K
125.04%276.24K
28.40%-392.27K
-Provision for loans, leases and other losses
---15.43K
--0
----
--0
--0
----
-492.17%-156.71K
-101.52%-939
--0
-1,895.80%-101.8K
-Changes in other current assets
----
----
----
----
----
----
--0
--0
--0
--0
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
0
0
0
0
0
0
0
0
0
0
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-25,409.62%-1.19M
-32.58%-209.13K
-654.48%-425.55K
-96.08%4.71K
85.68%-157.74K
199.73%76.75K
71.23%-981.78K
252.22%76.02K
109.61%120.33K
17.44%-1.1M
Investing cash flow
Net PPE purchase and sale
---1.6K
-216.33%-3.95K
--0
--0
-101.46%-1.25K
86.58%-2.8K
117.47%157.95K
100.00%-1
257.96%93.39K
178.63%85.43K
Net business purchase and sale
---300K
---286.71K
-19,153.91%-480K
--0
--0
---2.49K
---182.82K
--0
--0
---182.82K
Interest received (cash flow from investment activities)
621,000.00%6.21K
7,038.89%2.57K
--4.34K
-98.75%1
89.47%36
--0
-93.87%223
-93.49%20
-90.58%80
-98.28%19
Investing cash flow
-29,539,000.00%-295.39K
-23,649.96%-288.09K
-8,886.64%-475.66K
-100.00%1
98.75%-1.21K
74.51%-5.29K
97.26%-24.65K
100.00%19
260.39%93.47K
9.46%-97.37K
Financing cash flow
Net issuance payments of debt
--2.25M
--0
--0
--0
--0
1,623.12%4.55M
-377.92%-2.66M
147.95%125K
117.18%12.5K
-791.84%-2.5M
Increase or decrease of lease financing
-7.35%-249.73K
-5.66%-244.29K
0.18%-239.55K
9.13%-232.64K
23.32%-231.2K
68.93%-239.97K
54.71%-1.59M
77.92%-259.35K
60.25%-256.01K
67.90%-301.53K
Interest paid (cash flow from financing activities)
79.91%-4.83K
33.07%-17.48K
31.03%-19.72K
29.65%-24.02K
51.29%-26.12K
57.43%-28.6K
43.61%-186.23K
62.01%-31.28K
54.95%-34.15K
36.33%-53.62K
Net other fund-raising expenses
--15.08K
----
----
----
----
----
200.00%3M
--0
----
--3M
Financing cash flow
883.33%2.01M
-1.73%-261.77K
-106.06%-259.27K
7.56%-256.66K
-276.42%-257.32K
476.15%4.28M
75.59%-1.44M
96.33%-165.63K
64.97%-277.66K
111.19%145.86K
Net cash flow
Beginning cash position
-76.13%1.01M
-61.91%1.77M
927.20%2.93M
862.95%4.22M
211.04%4.64M
-89.55%284.96K
-78.90%2.73M
-95.32%374.55K
-95.66%438.4K
-88.40%1.49M
Current changes in cash
307.50%522.79K
-82.33%-758.99K
-126.66%-1.16M
-294.57%-251.95K
60.46%-416.28K
452.20%4.35M
76.05%-2.44M
98.30%-89.58K
96.96%-63.85K
61.65%-1.05M
End cash Position
-61.45%1.53M
-76.13%1.01M
-61.91%1.77M
959.85%3.97M
862.95%4.22M
211.04%4.64M
-89.55%284.96K
-89.55%284.96K
-95.32%374.55K
-95.66%438.4K
Free cash flow
-25,443.58%-1.19M
-34.02%-213.09K
-675.48%-425.55K
-96.08%4.71K
85.82%-158.99K
172.77%73.95K
76.23%-1.03M
110.42%76.02K
108.69%120.33K
22.39%-1.12M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(Q3)Jun 30, 2024(Q2)Mar 31, 2024(Q1)Dec 31, 2023(Q3)Jun 30, 2023(Q2)Mar 31, 2023(Q1)Dec 31, 2022(FY)Sep 30, 2022(Q4)Sep 30, 2022(Q3)Jun 30, 2022(Q2)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities -25,409.62%-1.19M-32.58%-209.13K-654.48%-425.55K-96.08%4.71K85.68%-157.74K199.73%76.75K71.14%-981.78K252.22%76.02K109.64%120.33K17.06%-1.1M
Net profit before non-cash adjustment 193.32%389.3K88.51%-46.32K-16.63%-367.23K66.90%-417.15K-546.58%-402.95K68.16%-314.87K48.30%-4.72M41.41%-2.56M23.69%-1.26M106.31%90.23K
Total adjustment of non-cash items -777.74%-1.41M-89.79%16.74K-76.33%21.36K-75.02%208.49K117.74%163.96K-81.55%90.23K-66.46%2.58M-50.43%2.21M-29.20%834.51K-195.15%-924.36K
-Depreciation and amortization -93.22%9.98K-97.14%4.2K--0-54.49%147.12K-49.19%146.83K-66.02%147.15K-68.67%1.35M-76.37%309.33K-65.68%323.24K-67.89%288.98K
-Reversal of impairment losses recognized in profit and loss -21,017.37%-1.4M---------98.70%6.71K---------23.83%2.76M-47.77%1.89M240.43%517.41K1,411,376.00%352.87K
-Assets reserve and write-off ----------0----------0-239.23%-77.17K-489.67%-76.71K--0--0
-Disposal profit --0--0--0--0--0-3,337.42%-130.62K-72,470.17%-1.67M--0---63.4K-87,293.18%-1.6M
-Net exchange gains and losses -111.74%-3.6K73.44%-2.38K-86.76%5.98K32.11%30.64K-83.95%-8.95K778.38%45.11K155.93%39.39K313.65%51.07K189.68%23.19K51.17%-4.87K
-Other non-cash items -168.52%-16.46K-42.83%14.91K-46.20%15.39K-29.49%24.02K-35.72%26.08K-57.32%28.6K174.90%172.97K106.56%31.18K-54.54%34.07K-51.18%40.57K
Changes in working capital -179.03%-168.63K-321.00%-179.55K-126.44%-79.67K-60.94%213.37K130.42%81.25K-28.73%301.38K158.49%1.16M444.48%453.07K170.50%546.21K60.49%-267.05K
-Change in receivables -116.99%-199.42K85.40%-11.94K688.70%110.17K-143.52%-91.91K-166.79%-81.76K-88.91%13.97K307.45%509.27K140.62%48.33K-49.47%211.2K236.01%122.42K
-Change in inventory -47.09%4.49K115.73%4.69K-106.87%-2.49K-85.55%8.49K-128.48%-29.79K-45.05%36.17K457.73%187.74K-304.32%-41.45K183.55%58.78K225.74%104.6K
-Change in payables -85.94%41.73K-189.37%-172.3K-174.57%-187.36K7.44%296.78K149.15%192.8K-11.87%251.25K138.04%614.81K-2.44%447.13K125.04%276.24K28.40%-392.27K
-Provision for loans, leases and other losses ---15.43K--0------0--0-----492.17%-156.71K-101.52%-939--0-1,895.80%-101.8K
-Changes in other current assets --------------------------0--0--0--0
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 0000000000
Other operating cash inflow (outflow) 0000000000
Operating cash flow -25,409.62%-1.19M-32.58%-209.13K-654.48%-425.55K-96.08%4.71K85.68%-157.74K199.73%76.75K71.23%-981.78K252.22%76.02K109.61%120.33K17.44%-1.1M
Investing cash flow
Net PPE purchase and sale ---1.6K-216.33%-3.95K--0--0-101.46%-1.25K86.58%-2.8K117.47%157.95K100.00%-1257.96%93.39K178.63%85.43K
Net business purchase and sale ---300K---286.71K-19,153.91%-480K--0--0---2.49K---182.82K--0--0---182.82K
Interest received (cash flow from investment activities) 621,000.00%6.21K7,038.89%2.57K--4.34K-98.75%189.47%36--0-93.87%223-93.49%20-90.58%80-98.28%19
Investing cash flow -29,539,000.00%-295.39K-23,649.96%-288.09K-8,886.64%-475.66K-100.00%198.75%-1.21K74.51%-5.29K97.26%-24.65K100.00%19260.39%93.47K9.46%-97.37K
Financing cash flow
Net issuance payments of debt --2.25M--0--0--0--01,623.12%4.55M-377.92%-2.66M147.95%125K117.18%12.5K-791.84%-2.5M
Increase or decrease of lease financing -7.35%-249.73K-5.66%-244.29K0.18%-239.55K9.13%-232.64K23.32%-231.2K68.93%-239.97K54.71%-1.59M77.92%-259.35K60.25%-256.01K67.90%-301.53K
Interest paid (cash flow from financing activities) 79.91%-4.83K33.07%-17.48K31.03%-19.72K29.65%-24.02K51.29%-26.12K57.43%-28.6K43.61%-186.23K62.01%-31.28K54.95%-34.15K36.33%-53.62K
Net other fund-raising expenses --15.08K--------------------200.00%3M--0------3M
Financing cash flow 883.33%2.01M-1.73%-261.77K-106.06%-259.27K7.56%-256.66K-276.42%-257.32K476.15%4.28M75.59%-1.44M96.33%-165.63K64.97%-277.66K111.19%145.86K
Net cash flow
Beginning cash position -76.13%1.01M-61.91%1.77M927.20%2.93M862.95%4.22M211.04%4.64M-89.55%284.96K-78.90%2.73M-95.32%374.55K-95.66%438.4K-88.40%1.49M
Current changes in cash 307.50%522.79K-82.33%-758.99K-126.66%-1.16M-294.57%-251.95K60.46%-416.28K452.20%4.35M76.05%-2.44M98.30%-89.58K96.96%-63.85K61.65%-1.05M
End cash Position -61.45%1.53M-76.13%1.01M-61.91%1.77M959.85%3.97M862.95%4.22M211.04%4.64M-89.55%284.96K-89.55%284.96K-95.32%374.55K-95.66%438.4K
Free cash flow -25,443.58%-1.19M-34.02%-213.09K-675.48%-425.55K-96.08%4.71K85.82%-158.99K172.77%73.95K76.23%-1.03M110.42%76.02K108.69%120.33K22.39%-1.12M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Heat List
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