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A31 Addvalue Tech - watch list

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10min DelayMarket Closed Nov 6 16:37 CST
35.66MMarket Cap0.00P/E (TTM)

Addvalue Tech - watch list Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(Q2)Sep 30, 2019
(Q1)Jun 30, 2019
(FY)Mar 31, 2019
(Q4)Mar 31, 2019
(Q3)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities
165.86%1.8M
-730.48%-2.73M
115.54%433.65K
-201.82%-2.79M
0.32%-924.6K
-362.78%-2.1M
311.50%423K
73.27%-927.57K
107.25%227.43K
-109.25%-701K
Net profit before non-cash adjustment
109.21%307.2K
57.75%-3.34M
-29.74%-7.9M
-436.55%-6.09M
143.18%1.81M
28.99%-659K
74.12%-220K
61.53%-4.19M
72.29%-2.68M
52.37%-583K
Total adjustment of non-cash items
-54.39%1.42M
-65.53%3.11M
106.44%9.02M
87.05%4.37M
-9.50%2.34M
123.03%397K
20.52%276K
-67.47%2.58M
-73.94%1.96M
6.99%444K
-Depreciation and amortization
-2.43%975.88K
1.18%1M
8.32%988.48K
6.91%912.54K
25.62%853.55K
13.87%197K
18.24%201K
-56.74%679.47K
-70.53%346.47K
-59.49%160K
-Reversal of impairment losses recognized in profit and loss
-89.60%103.13K
28.48%991.54K
7,710.74%771.73K
-101.23%-10.14K
15.28%824.86K
----
----
-88.63%715.51K
--691.51K
--20K
-Assets reserve and write-off
-60.51%36.73K
-98.46%93.02K
79,723.90%6.02M
87.69%-7.57K
-111.38%-61.47K
208.62%63K
-166.67%-4K
633.30%540.14K
585.14%564.14K
126.67%34K
-Disposal profit
-122.62%-67.14K
217.13%296.88K
---253.46K
--0
--0
--0
--0
-2,109.09%-13.48K
-2,109.09%-13.48K
--0
-Net exchange gains and losses
-119.26%-50.8K
41.80%263.77K
-10.15%186.01K
168.02%207.02K
-5,122.28%-304.35K
-1,200.00%-65K
-83.33%-22K
-90.67%6.06K
-371.34%-102.94K
322.22%114K
-Remuneration paid in stock
----
----
-92.89%114.18K
--1.61M
--0
----
----
----
----
----
-Other non-cash items
-9.46%420.84K
-61.01%464.81K
-28.29%1.19M
62.31%1.66M
56.49%1.02M
212.50%200K
55.38%101K
481.95%654.48K
252.87%474.48K
627.27%116K
Changes in working capital
102.99%74.97K
-262.47%-2.51M
35.60%-691.86K
78.81%-1.07M
-846.42%-5.07M
-721.28%-1.84M
-12.83%367K
230.86%679.25K
195.19%945.25K
-218.57%-562K
-Change in receivables
-173.21%-2.07M
34.18%-756.34K
-654.75%-1.15M
103.60%207.15K
-6,417.83%-5.75M
-141.29%-256K
17.21%-457K
-110.49%-88.17K
-221.23%-569.17K
-137.47%-139K
-Change in inventory
108.12%198.13K
-237.10%-2.44M
-69.79%-723.65K
-366.48%-426.19K
-33.21%159.94K
28.25%-127K
-148.98%-120K
124.05%239.45K
260.14%644.45K
61.55%-228K
-Change in payables
-0.46%827.42K
10.44%831.24K
202.58%752.67K
-599.66%-733.74K
-72.02%146.85K
-867.82%-1.68M
34.11%975K
270.83%524.78K
192.34%968.78K
-136.39%-270K
-Changes in other current assets
879.13%1.12M
-133.44%-143.22K
452.58%428.29K
-132.82%-121.47K
11,487.85%370.12K
744.44%228K
-3,200.00%-31K
105.61%3.19K
---98.81K
263.04%75K
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)
-47.60%109
-54.19%208
58.74%454
257.50%286
-82.46%80
-65.79%456
Tax refund paid
-66.07%4.43K
200.00%4K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
165.87%1.8M
-729.78%-2.73M
115.56%434.11K
-201.81%-2.79M
-0.20%-924.52K
-362.78%-2.1M
311.50%423K
73.30%-922.68K
107.32%228.32K
-105.60%-697K
Investing cash flow
Net PPE purchase and sale
53.33%-128.09K
-206.76%-274.44K
17.72%-89.46K
79.28%-108.73K
-987.31%-524.78K
---77K
-442.86%-38K
67.59%-48.26K
92.50%-10.26K
-216.67%-38K
Net intangibles purchase and sale
42.56%-776.01K
32.74%-1.35M
-19.03%-2.01M
13.47%-1.69M
28.73%-1.95M
22.18%-449K
37.00%-521K
19.14%-2.74M
33.97%-1.62M
42.04%-539K
Net changes in other investments
----
-57.65%788.25K
177.86%1.86M
-47.07%669.82K
19.68%1.27M
-5.47%242K
21.00%340K
-9.36%1.06M
--546.4K
--255K
Investing cash flow
-8.01%-904.1K
-253.50%-837.08K
78.97%-236.8K
6.87%-1.13M
29.97%-1.21M
11.53%-284K
60.40%-219K
27.00%-1.73M
23.87%-1.08M
65.82%-322K
Financing cash flow
Net issuance payments of debt
99.66%248.03K
117.28%124.22K
-194.23%-718.99K
-71.45%763.02K
165.77%2.67M
284.15%2.91M
-130.18%-223K
-77.85%1.01M
-102.08%-94.32K
8,675.00%343K
Net common stock issuance
--0
122.14%3.75M
-61.49%1.69M
--4.38M
----
----
----
-7.43%1.9M
----
--759K
Increase or decrease of lease financing
0.69%-209.1K
7.21%-210.56K
-1.63%-226.92K
-35.49%-223.28K
---164.8K
----
----
--0
----
----
Interest paid (cash flow from financing activities)
3.26%-551.74K
1.69%-570.32K
26.48%-580.16K
-75.03%-789.16K
-19.81%-450.86K
-313.95%-178K
-58.00%-79K
-214.33%-376.3K
-135.27%-239.3K
-422.22%-94K
Net other fund-raising expenses
----
----
----
----
----
----
----
106.09%39.66K
----
----
Financing cash flow
-116.59%-512.82K
1,823.87%3.09M
-96.11%160.63K
100.79%4.13M
-19.98%2.06M
282.35%2.73M
-141.43%-302K
-55.85%2.57M
-85.48%848.6K
4,681.82%1.01M
Net cash flow
Beginning cash position
-76.06%151.29K
130.59%632.04K
355.93%274.1K
-56.05%60.12K
-36.57%136.78K
-79.69%39K
-36.57%137K
0.45%215.64K
-61.54%120K
-91.89%131K
Current changes in cash
179.88%384K
-234.31%-480.75K
67.28%357.94K
379.12%213.98K
2.78%-76.66K
665.57%345K
-308.33%-98K
-8,179.30%-78.85K
-100.53%-6.85K
99.16%-11K
End cash Position
253.82%535.29K
-76.06%151.29K
130.59%632.04K
355.93%274.1K
-56.05%60.12K
193.13%384K
-79.69%39K
-36.57%136.78K
-36.57%136.78K
-61.54%120K
Free cash flow
120.57%896.82K
-162.00%-4.36M
63.72%-1.66M
-34.92%-4.59M
8.30%-3.4M
-154.80%-2.63M
86.85%-136K
46.96%-3.71M
75.44%-1.4M
0.55%-1.27M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Mar 31, 2024(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(Q2)Sep 30, 2019(Q1)Jun 30, 2019(FY)Mar 31, 2019(Q4)Mar 31, 2019(Q3)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities 165.86%1.8M-730.48%-2.73M115.54%433.65K-201.82%-2.79M0.32%-924.6K-362.78%-2.1M311.50%423K73.27%-927.57K107.25%227.43K-109.25%-701K
Net profit before non-cash adjustment 109.21%307.2K57.75%-3.34M-29.74%-7.9M-436.55%-6.09M143.18%1.81M28.99%-659K74.12%-220K61.53%-4.19M72.29%-2.68M52.37%-583K
Total adjustment of non-cash items -54.39%1.42M-65.53%3.11M106.44%9.02M87.05%4.37M-9.50%2.34M123.03%397K20.52%276K-67.47%2.58M-73.94%1.96M6.99%444K
-Depreciation and amortization -2.43%975.88K1.18%1M8.32%988.48K6.91%912.54K25.62%853.55K13.87%197K18.24%201K-56.74%679.47K-70.53%346.47K-59.49%160K
-Reversal of impairment losses recognized in profit and loss -89.60%103.13K28.48%991.54K7,710.74%771.73K-101.23%-10.14K15.28%824.86K---------88.63%715.51K--691.51K--20K
-Assets reserve and write-off -60.51%36.73K-98.46%93.02K79,723.90%6.02M87.69%-7.57K-111.38%-61.47K208.62%63K-166.67%-4K633.30%540.14K585.14%564.14K126.67%34K
-Disposal profit -122.62%-67.14K217.13%296.88K---253.46K--0--0--0--0-2,109.09%-13.48K-2,109.09%-13.48K--0
-Net exchange gains and losses -119.26%-50.8K41.80%263.77K-10.15%186.01K168.02%207.02K-5,122.28%-304.35K-1,200.00%-65K-83.33%-22K-90.67%6.06K-371.34%-102.94K322.22%114K
-Remuneration paid in stock ---------92.89%114.18K--1.61M--0--------------------
-Other non-cash items -9.46%420.84K-61.01%464.81K-28.29%1.19M62.31%1.66M56.49%1.02M212.50%200K55.38%101K481.95%654.48K252.87%474.48K627.27%116K
Changes in working capital 102.99%74.97K-262.47%-2.51M35.60%-691.86K78.81%-1.07M-846.42%-5.07M-721.28%-1.84M-12.83%367K230.86%679.25K195.19%945.25K-218.57%-562K
-Change in receivables -173.21%-2.07M34.18%-756.34K-654.75%-1.15M103.60%207.15K-6,417.83%-5.75M-141.29%-256K17.21%-457K-110.49%-88.17K-221.23%-569.17K-137.47%-139K
-Change in inventory 108.12%198.13K-237.10%-2.44M-69.79%-723.65K-366.48%-426.19K-33.21%159.94K28.25%-127K-148.98%-120K124.05%239.45K260.14%644.45K61.55%-228K
-Change in payables -0.46%827.42K10.44%831.24K202.58%752.67K-599.66%-733.74K-72.02%146.85K-867.82%-1.68M34.11%975K270.83%524.78K192.34%968.78K-136.39%-270K
-Changes in other current assets 879.13%1.12M-133.44%-143.22K452.58%428.29K-132.82%-121.47K11,487.85%370.12K744.44%228K-3,200.00%-31K105.61%3.19K---98.81K263.04%75K
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) -47.60%109-54.19%20858.74%454257.50%286-82.46%80-65.79%456
Tax refund paid -66.07%4.43K200.00%4K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 165.87%1.8M-729.78%-2.73M115.56%434.11K-201.81%-2.79M-0.20%-924.52K-362.78%-2.1M311.50%423K73.30%-922.68K107.32%228.32K-105.60%-697K
Investing cash flow
Net PPE purchase and sale 53.33%-128.09K-206.76%-274.44K17.72%-89.46K79.28%-108.73K-987.31%-524.78K---77K-442.86%-38K67.59%-48.26K92.50%-10.26K-216.67%-38K
Net intangibles purchase and sale 42.56%-776.01K32.74%-1.35M-19.03%-2.01M13.47%-1.69M28.73%-1.95M22.18%-449K37.00%-521K19.14%-2.74M33.97%-1.62M42.04%-539K
Net changes in other investments -----57.65%788.25K177.86%1.86M-47.07%669.82K19.68%1.27M-5.47%242K21.00%340K-9.36%1.06M--546.4K--255K
Investing cash flow -8.01%-904.1K-253.50%-837.08K78.97%-236.8K6.87%-1.13M29.97%-1.21M11.53%-284K60.40%-219K27.00%-1.73M23.87%-1.08M65.82%-322K
Financing cash flow
Net issuance payments of debt 99.66%248.03K117.28%124.22K-194.23%-718.99K-71.45%763.02K165.77%2.67M284.15%2.91M-130.18%-223K-77.85%1.01M-102.08%-94.32K8,675.00%343K
Net common stock issuance --0122.14%3.75M-61.49%1.69M--4.38M-------------7.43%1.9M------759K
Increase or decrease of lease financing 0.69%-209.1K7.21%-210.56K-1.63%-226.92K-35.49%-223.28K---164.8K----------0--------
Interest paid (cash flow from financing activities) 3.26%-551.74K1.69%-570.32K26.48%-580.16K-75.03%-789.16K-19.81%-450.86K-313.95%-178K-58.00%-79K-214.33%-376.3K-135.27%-239.3K-422.22%-94K
Net other fund-raising expenses ----------------------------106.09%39.66K--------
Financing cash flow -116.59%-512.82K1,823.87%3.09M-96.11%160.63K100.79%4.13M-19.98%2.06M282.35%2.73M-141.43%-302K-55.85%2.57M-85.48%848.6K4,681.82%1.01M
Net cash flow
Beginning cash position -76.06%151.29K130.59%632.04K355.93%274.1K-56.05%60.12K-36.57%136.78K-79.69%39K-36.57%137K0.45%215.64K-61.54%120K-91.89%131K
Current changes in cash 179.88%384K-234.31%-480.75K67.28%357.94K379.12%213.98K2.78%-76.66K665.57%345K-308.33%-98K-8,179.30%-78.85K-100.53%-6.85K99.16%-11K
End cash Position 253.82%535.29K-76.06%151.29K130.59%632.04K355.93%274.1K-56.05%60.12K193.13%384K-79.69%39K-36.57%136.78K-36.57%136.78K-61.54%120K
Free cash flow 120.57%896.82K-162.00%-4.36M63.72%-1.66M-34.92%-4.59M8.30%-3.4M-154.80%-2.63M86.85%-136K46.96%-3.71M75.44%-1.4M0.55%-1.27M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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