SG Stock MarketDetailed Quotes

9QX BeverlyJCG

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  • 0.009
  • 0.0000.00%
10min DelayMarket Closed Nov 7 09:08 CST
5.70MMarket Cap-1285P/E (TTM)

BeverlyJCG 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
69.12%-63K
198.54%612K
167.34%466K
178.11%364K
-60.70%101K
-230.77%-204K
132.08%205K
-2.22%-692K
-4,336.36%-466K
1,611.76%257K
Net profit before non-cash adjustment
-46.24%-661K
-16.76%-655K
-7.20%-2.41M
-126.64%-655K
-33.09%-744K
28.25%-452K
27.33%-561K
21.22%-2.25M
60.52%-289K
-24.50%-559K
Total adjustment of non-cash items
-34.50%355K
-26.99%330K
-23.04%1.85M
-60.20%277K
-10.51%579K
-2.34%542K
-10.67%452K
41.08%2.4M
205.26%696K
16.79%647K
-Depreciation and amortization
-22.19%270K
-25.57%259K
-29.06%1.36M
-34.23%317K
-26.89%348K
-26.79%347K
-28.25%348K
-2.19%1.92M
-1.43%482K
-11.52%476K
-Assets reserve and write-off
----
----
-87.23%18K
----
----
----
----
2,450.00%141K
----
----
-Disposal profit
--0
--0
--1K
--1K
--0
--0
--0
--0
--0
--0
-Net exchange gains and losses
-117.02%-24K
-84.78%7K
-19.71%224K
-127.63%-21K
-42.00%58K
93.15%141K
53.33%46K
355.96%279K
149.35%76K
3,433.33%100K
-Remuneration paid in stock
--0
--25K
----
----
----
--0
--0
----
----
----
-Deferred income tax
90.00%-2K
85.00%-3K
45.81%-97K
15.56%-38K
58.70%-19K
54.55%-20K
54.55%-20K
-13.29%-179K
-15.38%-45K
-15.00%-46K
-Other non-cash items
50.00%111K
-46.15%42K
39.84%344K
--0
64.10%192K
42.31%74K
122.86%78K
612.50%246K
133.07%42K
98.31%117K
Changes in working capital
182.65%243K
198.41%937K
221.51%1.03M
184.99%742K
57.40%266K
-227.27%-294K
184.18%314K
-278.11%-846K
-269.51%-873K
238.52%169K
-Change in receivables
225.00%60K
316.22%154K
278.95%68K
---219K
238.64%298K
54.72%-48K
285.00%37K
77.91%-38K
--0
-31.25%88K
-Change in inventory
-28.85%37K
110.26%4K
394.29%206K
333.33%203K
-112.50%-10K
279.31%52K
-14.71%-39K
-1,500.00%-70K
-201.16%-87K
1,100.00%80K
-Change in payables
148.99%146K
146.52%779K
202.17%754K
196.44%758K
-2,300.00%-22K
-181.42%-298K
199.06%316K
-214.95%-738K
-234.82%-786K
100.41%1K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
0.00%-3K
-166.67%-8K
42.86%-16K
82.14%-5K
-5K
-3K
-3K
-21.74%-28K
-28K
0
Interest received (cash flow from operating activities)
Tax refund paid
0
0
-4K
0
0
0
-4K
0
0
0
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
68.12%-66K
205.05%604K
161.94%446K
172.67%359K
-62.65%96K
-232.69%-207K
130.99%198K
-5.42%-720K
-9,980.00%-494K
1,611.76%257K
Investing cash flow
Net PPE purchase and sale
-66.67%-5K
42.11%-11K
24.78%-85K
33.33%-8K
12.70%-55K
86.96%-3K
-26.67%-19K
65.23%-113K
-105.43%-12K
-61.54%-63K
Net business purchase and sale
----
----
--10K
----
----
----
----
--0
----
----
Investing cash flow
-66.67%-5K
42.11%-11K
33.63%-75K
116.67%2K
12.70%-55K
86.96%-3K
-26.67%-19K
65.23%-113K
-105.43%-12K
-61.54%-63K
Financing cash flow
Net issuance payments of debt
-92.86%7K
-102.70%-5K
-107.40%-23K
-715.31%-603K
23.24%297K
590.00%98K
2,412.50%185K
344.29%311K
142.79%98K
313.27%241K
Net common stock issuance
--200K
--185K
--0
----
----
--0
--0
-76.38%600K
----
----
Increase or decrease of lease financing
30.47%-194K
15.23%-206K
9.39%-975K
-8.27%-288K
42.11%-165K
-2.20%-279K
3.57%-243K
-23.54%-1.08M
-54.65%-266K
26.74%-285K
Issuance fees
--0
---324K
----
----
----
--0
--0
----
----
----
Interest paid (cash flow from financing activities)
79.55%-9K
87.88%-4K
71.79%-22K
785.71%186K
-70.13%-131K
-109.52%-44K
-3,200.00%-33K
-59.18%-78K
50.00%21K
-250.00%-77K
Net other fund-raising expenses
103.30%3K
----
-75.08%165K
187.73%379K
-154.84%-79K
-117.33%-91K
-107.33%-44K
4,828.57%662K
-1,060.00%-432K
-3.33%-31K
Financing cash flow
102.22%7K
-162.22%-354K
-304.06%-855K
-1,652.38%-326K
48.68%-78K
-249.76%-316K
-139.82%-135K
-75.00%419K
-88.33%21K
66.15%-152K
Net cash flow
Beginning cash position
-67.52%139K
-126.04%-100K
-51.33%384K
-115.63%-135K
-112.02%-98K
-28.43%428K
-51.33%384K
552.07%789K
151.16%864K
-3.78%815K
Current changes in cash
87.83%-64K
443.18%239K
-16.91%-484K
107.22%35K
-188.10%-37K
-252.91%-526K
113.97%44K
-161.98%-414K
-219.46%-485K
108.32%42K
Effect of exchange rate changes
----
----
--0
--0
--0
----
----
--9K
400.00%5K
250.00%7K
End cash Position
176.53%75K
-67.52%139K
-126.04%-100K
-126.04%-100K
-115.63%-135K
-110.44%-98K
-9.70%428K
-51.33%384K
-51.33%384K
151.16%864K
Free cash flow
66.19%-71K
231.28%593K
142.38%353K
167.79%343K
-78.87%41K
-257.89%-210K
127.37%179K
17.36%-833K
-323.89%-506K
446.43%194K
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
Operating cash flow (Indirect Method)
Cash from operating activities 69.12%-63K198.54%612K167.34%466K178.11%364K-60.70%101K-230.77%-204K132.08%205K-2.22%-692K-4,336.36%-466K1,611.76%257K
Net profit before non-cash adjustment -46.24%-661K-16.76%-655K-7.20%-2.41M-126.64%-655K-33.09%-744K28.25%-452K27.33%-561K21.22%-2.25M60.52%-289K-24.50%-559K
Total adjustment of non-cash items -34.50%355K-26.99%330K-23.04%1.85M-60.20%277K-10.51%579K-2.34%542K-10.67%452K41.08%2.4M205.26%696K16.79%647K
-Depreciation and amortization -22.19%270K-25.57%259K-29.06%1.36M-34.23%317K-26.89%348K-26.79%347K-28.25%348K-2.19%1.92M-1.43%482K-11.52%476K
-Assets reserve and write-off ---------87.23%18K----------------2,450.00%141K--------
-Disposal profit --0--0--1K--1K--0--0--0--0--0--0
-Net exchange gains and losses -117.02%-24K-84.78%7K-19.71%224K-127.63%-21K-42.00%58K93.15%141K53.33%46K355.96%279K149.35%76K3,433.33%100K
-Remuneration paid in stock --0--25K--------------0--0------------
-Deferred income tax 90.00%-2K85.00%-3K45.81%-97K15.56%-38K58.70%-19K54.55%-20K54.55%-20K-13.29%-179K-15.38%-45K-15.00%-46K
-Other non-cash items 50.00%111K-46.15%42K39.84%344K--064.10%192K42.31%74K122.86%78K612.50%246K133.07%42K98.31%117K
Changes in working capital 182.65%243K198.41%937K221.51%1.03M184.99%742K57.40%266K-227.27%-294K184.18%314K-278.11%-846K-269.51%-873K238.52%169K
-Change in receivables 225.00%60K316.22%154K278.95%68K---219K238.64%298K54.72%-48K285.00%37K77.91%-38K--0-31.25%88K
-Change in inventory -28.85%37K110.26%4K394.29%206K333.33%203K-112.50%-10K279.31%52K-14.71%-39K-1,500.00%-70K-201.16%-87K1,100.00%80K
-Change in payables 148.99%146K146.52%779K202.17%754K196.44%758K-2,300.00%-22K-181.42%-298K199.06%316K-214.95%-738K-234.82%-786K100.41%1K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 0.00%-3K-166.67%-8K42.86%-16K82.14%-5K-5K-3K-3K-21.74%-28K-28K0
Interest received (cash flow from operating activities)
Tax refund paid 00-4K000-4K000
Other operating cash inflow (outflow) 0000000000
Operating cash flow 68.12%-66K205.05%604K161.94%446K172.67%359K-62.65%96K-232.69%-207K130.99%198K-5.42%-720K-9,980.00%-494K1,611.76%257K
Investing cash flow
Net PPE purchase and sale -66.67%-5K42.11%-11K24.78%-85K33.33%-8K12.70%-55K86.96%-3K-26.67%-19K65.23%-113K-105.43%-12K-61.54%-63K
Net business purchase and sale ----------10K------------------0--------
Investing cash flow -66.67%-5K42.11%-11K33.63%-75K116.67%2K12.70%-55K86.96%-3K-26.67%-19K65.23%-113K-105.43%-12K-61.54%-63K
Financing cash flow
Net issuance payments of debt -92.86%7K-102.70%-5K-107.40%-23K-715.31%-603K23.24%297K590.00%98K2,412.50%185K344.29%311K142.79%98K313.27%241K
Net common stock issuance --200K--185K--0----------0--0-76.38%600K--------
Increase or decrease of lease financing 30.47%-194K15.23%-206K9.39%-975K-8.27%-288K42.11%-165K-2.20%-279K3.57%-243K-23.54%-1.08M-54.65%-266K26.74%-285K
Issuance fees --0---324K--------------0--0------------
Interest paid (cash flow from financing activities) 79.55%-9K87.88%-4K71.79%-22K785.71%186K-70.13%-131K-109.52%-44K-3,200.00%-33K-59.18%-78K50.00%21K-250.00%-77K
Net other fund-raising expenses 103.30%3K-----75.08%165K187.73%379K-154.84%-79K-117.33%-91K-107.33%-44K4,828.57%662K-1,060.00%-432K-3.33%-31K
Financing cash flow 102.22%7K-162.22%-354K-304.06%-855K-1,652.38%-326K48.68%-78K-249.76%-316K-139.82%-135K-75.00%419K-88.33%21K66.15%-152K
Net cash flow
Beginning cash position -67.52%139K-126.04%-100K-51.33%384K-115.63%-135K-112.02%-98K-28.43%428K-51.33%384K552.07%789K151.16%864K-3.78%815K
Current changes in cash 87.83%-64K443.18%239K-16.91%-484K107.22%35K-188.10%-37K-252.91%-526K113.97%44K-161.98%-414K-219.46%-485K108.32%42K
Effect of exchange rate changes ----------0--0--0----------9K400.00%5K250.00%7K
End cash Position 176.53%75K-67.52%139K-126.04%-100K-126.04%-100K-115.63%-135K-110.44%-98K-9.70%428K-51.33%384K-51.33%384K151.16%864K
Free cash flow 66.19%-71K231.28%593K142.38%353K167.79%343K-78.87%41K-257.89%-210K127.37%179K17.36%-833K-323.89%-506K446.43%194K
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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Price Target

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