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AZA IPC Corp - watch list

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  • 0.101
  • 0.0000.00%
10min DelayTrading Feb 27 13:46 CST
8.61MMarket Cap1.42P/E (TTM)

IPC Corp - watch list Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
(Q3)Sep 30, 2019
(Q2)Jun 30, 2019
(Q1)Mar 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
-199.14%-574K
130.27%579K
-2,204.82%-1.91M
-105.41%-83K
158.80%1.53M
-171.58%-2.61M
-95.29%236K
-233.33%-550K
-163.97%-1.37M
-30.74%-923K
Net profit before non-cash adjustment
1,437.00%6.07M
93.94%-454K
11.44%-7.5M
70.08%-8.47M
-69.34%-28.29M
-166.91%-16.71M
-145.00%-13.26M
62.16%-968K
-41.07%-1.27M
-15.09%-1.21M
Total adjustment of non-cash items
-600.09%-7.76M
-123.54%-1.11M
-26.61%4.71M
-75.37%6.41M
77.01%26.03M
153.63%14.71M
142.41%12.92M
-72.63%590K
51.41%592K
26.57%605K
-Depreciation and amortization
-87.28%85K
-59.12%668K
-14.23%1.63M
-7.97%1.91M
-7.84%2.07M
11.63%2.25M
54.25%762K
-3.57%486K
-5.21%382K
4.63%384K
-Reversal of impairment losses recognized in profit and loss
-107.25%-128K
-10.54%1.77M
58.43%1.97M
-74.54%1.25M
489,200.00%4.89M
-99.93%1K
-94.74%1K
--0
----
----
-Disposal profit
-89.63%-7.31M
-660.47%-3.86M
-76.36%688K
-84.33%2.91M
60.50%18.57M
136.91%11.57M
137.14%11.64M
--0
---70K
--0
-Net exchange gains and losses
-111.32%-6K
-46.46%53K
153.23%99K
-93.75%-186K
-148.48%-96K
378.87%198K
-42.86%120K
-110.13%-8K
129.06%68K
114.29%18K
-Deferred income tax
----
----
----
----
----
240.85%242K
437.78%242K
--0
--0
--0
-Other non-cash items
-251.72%-396K
-16.08%261K
-42.09%311K
-9.75%537K
32.52%595K
2.98%449K
41.28%154K
0.00%112K
-4.50%212K
-7.73%203K
Changes in working capital
-48.01%1.11M
143.85%2.14M
-55.43%878K
-48.09%1.97M
727.27%3.8M
-109.93%-605K
-90.32%581K
-172.57%-172K
-7,577.78%-691K
-135.77%-323K
-Change in receivables
-216.30%-157K
12.50%135K
1,900.00%120K
108.00%6K
-134.38%-75K
-119.39%-32K
89.54%290K
-823.33%-217K
-100.00%-10K
-630.77%-95K
-Change in inventory
-85.38%99K
376.76%677K
-92.94%142K
-48.25%2.01M
10,408.11%3.89M
-99.27%37K
-99.26%37K
--0
----
----
-Change in payables
-11.05%1.18M
116.56%1.32M
1,370.83%610K
-300.00%-48K
98.03%-12K
-170.62%-608K
-70.89%253K
-74.12%44K
-7,500.00%-684K
-30.77%-221K
-Changes in other current assets
-150.00%-4K
33.33%8K
--6K
--0
-200.00%-6K
-166.67%-2K
-66.67%1K
-66.67%1K
-40.00%3K
-115.56%-7K
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)
-85.71%3K
-16.00%21K
150.00%25K
-62.96%10K
-80.58%27K
23.01%139K
-63.04%17K
111.76%36K
39.58%67K
850.00%19K
Tax refund paid
-146.00%-123K
86.49%-50K
-527.12%-370K
56.93%-59K
-137K
0
0
0
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-226.18%-694K
124.36%550K
-1,610.61%-2.26M
-109.28%-132K
157.66%1.42M
-166.99%-2.47M
-94.96%253K
-227.39%-514K
-176.65%-1.3M
-28.41%-904K
Investing cash flow
Net PPE purchase and sale
-1,759.38%-1.06M
3,300.00%64K
86.67%-2K
87.70%-15K
26.95%-122K
53.61%-167K
---108K
-775.00%-35K
----
----
Net investment property transactions
----
----
----
----
----
----
----
----
95.17%-17K
-75.00%-7K
Net investment product transactions
----
----
----
--893K
--0
--877K
--0
--0
--877K
----
Investing cash flow
-1,759.38%-1.06M
3,300.00%64K
-100.23%-2K
819.67%878K
-117.18%-122K
297.22%710K
---108K
-775.00%-35K
344.32%860K
-75.00%-7K
Financing cash flow
Net issuance payments of debt
301.32%2.29M
-266.91%-1.14M
115.45%680K
-1,479.31%-4.4M
61.93%319K
197.04%197K
1.48%-200K
-1,158.94%-2.61M
673.91%3.2M
2.90%-201K
Increase or decrease of lease financing
0.00%-2K
98.20%-2K
70.32%-111K
-18.35%-374K
-3.61%-316K
---305K
----
----
----
----
Interest paid (cash flow from financing activities)
0.00%-282K
16.81%-282K
38.03%-339K
12.06%-547K
-5.78%-622K
-1.55%-588K
-10.32%-171K
-1.37%-148K
10.00%-135K
-4.69%-134K
Net other fund-raising expenses
--210K
----
----
----
----
----
----
----
----
----
Financing cash flow
255.81%2.21M
-716.96%-1.42M
104.32%230K
-759.61%-5.32M
11.06%-619K
11.00%-696K
-88.83%-676K
-680.17%-2.75M
1,062.50%3.07M
0.00%-335K
Net cash flow
Beginning cash position
-51.69%787K
-56.65%1.63M
-53.60%3.76M
8.86%8.1M
-25.41%7.44M
36.00%9.97M
46.01%8.07M
86.79%11.31M
36.10%8.71M
36.00%9.97M
Current changes in cash
156.52%455K
60.34%-805K
55.63%-2.03M
-770.82%-4.58M
127.79%682K
-196.54%-2.45M
-111.40%-531K
-542.61%-3.3M
569.77%2.63M
-19.46%-1.25M
Effect of exchange rate changes
108.11%3K
62.63%-37K
-142.31%-99K
1,117.39%234K
71.25%-23K
-181.63%-80K
53.08%-99K
506.67%61K
-112.68%-27K
-113.51%-15K
End cash Position
58.20%1.25M
-51.69%787K
-56.65%1.63M
-53.60%3.76M
8.86%8.1M
-25.41%7.44M
-25.41%7.44M
46.01%8.07M
86.79%11.31M
36.10%8.71M
Free cash flow
-485.33%-2M
122.92%518K
-308.68%-2.26M
-142.51%-553K
149.37%1.3M
-179.27%-2.64M
-97.11%145K
-240.99%-549K
-176.65%-1.3M
-28.41%-904K
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(Q4)Dec 31, 2019(Q3)Sep 30, 2019(Q2)Jun 30, 2019(Q1)Mar 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities -199.14%-574K130.27%579K-2,204.82%-1.91M-105.41%-83K158.80%1.53M-171.58%-2.61M-95.29%236K-233.33%-550K-163.97%-1.37M-30.74%-923K
Net profit before non-cash adjustment 1,437.00%6.07M93.94%-454K11.44%-7.5M70.08%-8.47M-69.34%-28.29M-166.91%-16.71M-145.00%-13.26M62.16%-968K-41.07%-1.27M-15.09%-1.21M
Total adjustment of non-cash items -600.09%-7.76M-123.54%-1.11M-26.61%4.71M-75.37%6.41M77.01%26.03M153.63%14.71M142.41%12.92M-72.63%590K51.41%592K26.57%605K
-Depreciation and amortization -87.28%85K-59.12%668K-14.23%1.63M-7.97%1.91M-7.84%2.07M11.63%2.25M54.25%762K-3.57%486K-5.21%382K4.63%384K
-Reversal of impairment losses recognized in profit and loss -107.25%-128K-10.54%1.77M58.43%1.97M-74.54%1.25M489,200.00%4.89M-99.93%1K-94.74%1K--0--------
-Disposal profit -89.63%-7.31M-660.47%-3.86M-76.36%688K-84.33%2.91M60.50%18.57M136.91%11.57M137.14%11.64M--0---70K--0
-Net exchange gains and losses -111.32%-6K-46.46%53K153.23%99K-93.75%-186K-148.48%-96K378.87%198K-42.86%120K-110.13%-8K129.06%68K114.29%18K
-Deferred income tax --------------------240.85%242K437.78%242K--0--0--0
-Other non-cash items -251.72%-396K-16.08%261K-42.09%311K-9.75%537K32.52%595K2.98%449K41.28%154K0.00%112K-4.50%212K-7.73%203K
Changes in working capital -48.01%1.11M143.85%2.14M-55.43%878K-48.09%1.97M727.27%3.8M-109.93%-605K-90.32%581K-172.57%-172K-7,577.78%-691K-135.77%-323K
-Change in receivables -216.30%-157K12.50%135K1,900.00%120K108.00%6K-134.38%-75K-119.39%-32K89.54%290K-823.33%-217K-100.00%-10K-630.77%-95K
-Change in inventory -85.38%99K376.76%677K-92.94%142K-48.25%2.01M10,408.11%3.89M-99.27%37K-99.26%37K--0--------
-Change in payables -11.05%1.18M116.56%1.32M1,370.83%610K-300.00%-48K98.03%-12K-170.62%-608K-70.89%253K-74.12%44K-7,500.00%-684K-30.77%-221K
-Changes in other current assets -150.00%-4K33.33%8K--6K--0-200.00%-6K-166.67%-2K-66.67%1K-66.67%1K-40.00%3K-115.56%-7K
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) -85.71%3K-16.00%21K150.00%25K-62.96%10K-80.58%27K23.01%139K-63.04%17K111.76%36K39.58%67K850.00%19K
Tax refund paid -146.00%-123K86.49%-50K-527.12%-370K56.93%-59K-137K000
Other operating cash inflow (outflow) 0000000000
Operating cash flow -226.18%-694K124.36%550K-1,610.61%-2.26M-109.28%-132K157.66%1.42M-166.99%-2.47M-94.96%253K-227.39%-514K-176.65%-1.3M-28.41%-904K
Investing cash flow
Net PPE purchase and sale -1,759.38%-1.06M3,300.00%64K86.67%-2K87.70%-15K26.95%-122K53.61%-167K---108K-775.00%-35K--------
Net investment property transactions --------------------------------95.17%-17K-75.00%-7K
Net investment product transactions --------------893K--0--877K--0--0--877K----
Investing cash flow -1,759.38%-1.06M3,300.00%64K-100.23%-2K819.67%878K-117.18%-122K297.22%710K---108K-775.00%-35K344.32%860K-75.00%-7K
Financing cash flow
Net issuance payments of debt 301.32%2.29M-266.91%-1.14M115.45%680K-1,479.31%-4.4M61.93%319K197.04%197K1.48%-200K-1,158.94%-2.61M673.91%3.2M2.90%-201K
Increase or decrease of lease financing 0.00%-2K98.20%-2K70.32%-111K-18.35%-374K-3.61%-316K---305K----------------
Interest paid (cash flow from financing activities) 0.00%-282K16.81%-282K38.03%-339K12.06%-547K-5.78%-622K-1.55%-588K-10.32%-171K-1.37%-148K10.00%-135K-4.69%-134K
Net other fund-raising expenses --210K------------------------------------
Financing cash flow 255.81%2.21M-716.96%-1.42M104.32%230K-759.61%-5.32M11.06%-619K11.00%-696K-88.83%-676K-680.17%-2.75M1,062.50%3.07M0.00%-335K
Net cash flow
Beginning cash position -51.69%787K-56.65%1.63M-53.60%3.76M8.86%8.1M-25.41%7.44M36.00%9.97M46.01%8.07M86.79%11.31M36.10%8.71M36.00%9.97M
Current changes in cash 156.52%455K60.34%-805K55.63%-2.03M-770.82%-4.58M127.79%682K-196.54%-2.45M-111.40%-531K-542.61%-3.3M569.77%2.63M-19.46%-1.25M
Effect of exchange rate changes 108.11%3K62.63%-37K-142.31%-99K1,117.39%234K71.25%-23K-181.63%-80K53.08%-99K506.67%61K-112.68%-27K-113.51%-15K
End cash Position 58.20%1.25M-51.69%787K-56.65%1.63M-53.60%3.76M8.86%8.1M-25.41%7.44M-25.41%7.44M46.01%8.07M86.79%11.31M36.10%8.71M
Free cash flow -485.33%-2M122.92%518K-308.68%-2.26M-142.51%-553K149.37%1.3M-179.27%-2.64M-97.11%145K-240.99%-549K-176.65%-1.3M-28.41%-904K
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD