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BAI Digilife Tech

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  • 1.320
  • 0.0000.00%
10min DelayMarket Closed Jun 25 16:43 CST
17.81MMarket Cap-3975P/E (TTM)

Digilife Tech Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2022
(Q2)Sep 30, 2022
(FY)Mar 31, 2022
(Q2)Jun 30, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(Q2)Jun 30, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
(Q3)Sep 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
--11.43M
4.20%13.59M
--10.4M
1.42%13.05M
-23.91%13.57M
-23.91%13.57M
3.53%12.86M
-23.48%17.83M
-23.48%17.83M
21.56%11.43M
-Cash and cash equivalents
--7.82M
-15.83%9.55M
--6.5M
18.46%11.35M
-19.98%10.5M
-19.98%10.5M
-22.92%9.58M
-19.85%13.13M
-19.85%13.13M
21.56%11.43M
-Short-term investments
--3.61M
137.80%4.05M
--3.9M
-48.23%1.7M
-34.90%3.06M
-34.90%3.06M
--3.29M
-32.08%4.7M
-32.08%4.7M
----
-Accounts receivable
--4.46M
-52.73%4.75M
--5.89M
31.00%10.05M
-11.11%10.18M
-11.11%10.18M
-16.16%7.67M
-13.59%11.46M
-13.59%11.46M
17.65%11.59M
-Gross accounts receivable
--6.75M
-44.10%7.21M
--8.04M
--12.89M
-12.90%13.34M
-12.90%13.34M
----
-8.00%15.32M
-8.00%15.32M
----
-Bad debt provision
---2.29M
13.53%-2.45M
---2.15M
---2.84M
18.19%-3.16M
18.19%-3.16M
----
-13.81%-3.86M
-13.81%-3.86M
----
-Other receivables
--2.38M
-20.42%2.07M
--2.05M
-14.04%2.6M
-53.88%1.26M
-53.88%1.26M
-32.74%3.02M
-21.08%2.72M
-21.08%2.72M
3.34%4.96M
Inventory
--12.29M
3.60%10.61M
--11.46M
-22.39%10.24M
-27.62%11.66M
-27.62%11.66M
11.04%13.2M
55.47%16.11M
55.47%16.11M
1.48%15.6M
Prepaid assets
--666K
-70.44%1.25M
--1.26M
-25.77%4.22M
2.31%4.6M
2.31%4.6M
22.45%5.68M
26.65%4.5M
26.65%4.5M
-30.05%4.29M
Restricted cash
----
----
----
----
----
----
----
----
----
-44.87%4.67M
Deferred assets-Current
----
----
----
----
----
----
--414K
--294K
--294K
----
Total current assets
--32.39M
-19.16%33.73M
--38.98M
-4.70%41.73M
-20.54%42.64M
-20.54%42.64M
-9.45%43.79M
-1.58%53.66M
-1.58%53.66M
-2.33%53.79M
Non current assets
Net PPE
--1.09M
-82.47%1.11M
--1.12M
-13.86%6.32M
-15.91%6.63M
-15.91%6.63M
-16.28%7.33M
-11.21%7.89M
-11.21%7.89M
-6.64%8.57M
-Gross PP&E
----
----
--3.43M
-13.86%6.32M
-3.05%18.18M
-3.05%18.18M
-16.28%7.33M
-28.20%18.75M
-28.20%18.75M
--8.57M
-Accumulated depreciation
----
----
---2.31M
----
-6.29%-11.54M
-6.29%-11.54M
----
36.96%-10.86M
36.96%-10.86M
----
Prepaid assets-Non current
--779K
-24.96%905K
--977K
-38.78%1.21M
-11.02%1.06M
-11.02%1.06M
2,273.49%1.97M
20.10%1.19M
20.10%1.19M
-20.00%80K
Total investment
--295K
--299K
--0
----
--0
--0
0.00%201K
0.00%201K
0.00%201K
0.00%201K
-Long-term equity investment
--0
--0
--0
----
--0
--0
--0
--0
--0
--0
Goodwill and other intangible assets
--1.23M
-14.37%1.28M
--1.37M
-16.54%1.49M
-8.71%1.72M
-8.71%1.72M
757.69%1.78M
11,662.50%1.88M
11,662.50%1.88M
1,947.06%348K
-Goodwill
--0
--0
--0
--0
--0
--0
----
--0
--0
----
-Other intangible assets
--1.23M
-14.37%1.28M
--1.37M
--1.49M
-8.71%1.72M
-8.71%1.72M
----
11,662.50%1.88M
11,662.50%1.88M
----
Total non current assets
--6.96M
-39.86%7.56M
--6.61M
-15.99%12.57M
-10.73%12.98M
-10.73%12.98M
12.61%14.96M
9.00%14.54M
9.00%14.54M
4.65%13.33M
Total assets
--39.35M
-23.95%41.29M
--45.59M
-7.58%54.3M
-18.45%55.61M
-18.45%55.61M
-4.69%58.75M
0.50%68.19M
0.50%68.19M
-1.02%67.12M
Liabilities
Current liabilities
-Current debt and capital lease obligation
--2.23M
2.97%729K
--2.28M
-48.51%708K
-15.53%2.76M
-15.53%2.76M
-50.16%1.38M
15.09%3.26M
15.09%3.26M
-78.87%1.11M
-Including:Current debt
--2.18M
117.65%703K
--2.23M
-65.38%323K
-18.34%2.03M
-18.34%2.03M
-59.35%933K
7.94%2.49M
7.94%2.49M
-84.00%843K
-Including:Current capital Lease obligation
--52K
-93.25%26K
--50K
-12.90%385K
-6.56%726K
-6.56%726K
-4.74%442K
46.05%777K
46.05%777K
27,000.00%271K
Payables
--4.55M
-54.55%5.12M
--1.56M
-8.86%11.27M
-45.75%7.38M
-45.75%7.38M
4.30%12.37M
1.51%13.61M
1.51%13.61M
66.33%19.15M
-accounts payable
--1.34M
-72.09%1.79M
--974K
-14.48%6.4M
-46.87%6.37M
-46.87%6.37M
21.87%7.48M
13.42%11.98M
13.42%11.98M
28.57%13.38M
-Total tax payable
--299K
155.21%490K
--84K
38.13%192K
-9.74%176K
-9.74%176K
-76.28%139K
-63.28%195K
-63.28%195K
-43.02%633K
-Other payable
--2.91M
-39.19%2.85M
--498K
-1.39%4.69M
-41.26%840K
-41.26%840K
-7.50%4.75M
-38.10%1.43M
-38.10%1.43M
--5.14M
Current liabilities
--7.4M
-57.08%6.55M
--10.83M
-6.21%15.26M
-37.20%15.29M
-37.20%15.29M
-7.96%16.27M
5.75%24.34M
5.75%24.34M
-7.48%22.76M
Non current liabilities
-Long term debt and capital lease obligation
--204K
-86.55%208K
--224K
-14.20%1.55M
-28.76%1.34M
-28.76%1.34M
-27.94%1.8M
-14.38%1.88M
-14.38%1.88M
16,580.00%2.5M
-Including:Long term debt
--150K
-56.27%164K
--156K
--375K
--175K
--175K
--0
--0
--0
--0
-Including:Long term capital lease obligation
--54K
-96.25%44K
--68K
-35.00%1.17M
-38.06%1.17M
-38.06%1.17M
-27.94%1.8M
-14.38%1.88M
-14.38%1.88M
16,580.00%2.5M
Total non current liabilities
--1.73M
-49.64%1.83M
--1.8M
8.82%3.64M
1.87%3.43M
1.87%3.43M
-2.14%3.34M
7.91%3.37M
7.91%3.37M
244.48%3.43M
Total liabilities
--9.13M
-55.65%8.38M
--12.63M
-3.64%18.9M
-32.45%18.72M
-32.45%18.72M
-7.02%19.62M
6.01%27.71M
6.01%27.71M
2.33%26.19M
Shareholders'equity
Share capital
--549.7M
0.31%549.7M
--549.7M
0.00%548.02M
0.00%548.02M
0.00%548.02M
0.00%548.02M
-5.23%548.02M
-5.23%548.02M
--548.02M
-common stock
--549.7M
0.31%549.7M
--549.7M
0.00%548.02M
0.00%548.02M
0.00%548.02M
0.00%548.02M
-5.23%548.02M
-5.23%548.02M
--548.02M
Retained earnings
---499.11M
-0.84%-499.46M
---499.65M
-0.82%-495.28M
-0.58%-492.67M
-0.58%-492.67M
-0.20%-491.23M
5.95%-489.83M
5.95%-489.83M
5.90%-490M
Other equity interest
----
----
---10.79M
----
0.00%-9.42M
0.00%-9.42M
----
-7.26%-9.42M
-7.26%-9.42M
----
Total stockholders'equity
--30.28M
-7.01%32.97M
--33.02M
-9.53%35.46M
-8.88%36.96M
-8.88%36.96M
-3.48%39.2M
-3.00%40.56M
-3.00%40.56M
-3.04%41.01M
Noncontrolling interests
---63K
-3.13%-66K
---59K
1.54%-64K
12.86%-61K
12.86%-61K
2.99%-65K
23.91%-70K
23.91%-70K
-2.94%-70K
Total equity
--30.22M
-7.03%32.91M
--32.97M
-9.55%35.4M
-8.87%36.9M
-8.87%36.9M
-3.48%39.13M
-2.96%40.49M
-2.96%40.49M
-3.05%40.94M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(Q3)Dec 31, 2022(Q2)Sep 30, 2022(FY)Mar 31, 2022(Q2)Jun 30, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(Q2)Jun 30, 2020(FY)Dec 31, 2019(Q4)Dec 31, 2019(Q3)Sep 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments --11.43M4.20%13.59M--10.4M1.42%13.05M-23.91%13.57M-23.91%13.57M3.53%12.86M-23.48%17.83M-23.48%17.83M21.56%11.43M
-Cash and cash equivalents --7.82M-15.83%9.55M--6.5M18.46%11.35M-19.98%10.5M-19.98%10.5M-22.92%9.58M-19.85%13.13M-19.85%13.13M21.56%11.43M
-Short-term investments --3.61M137.80%4.05M--3.9M-48.23%1.7M-34.90%3.06M-34.90%3.06M--3.29M-32.08%4.7M-32.08%4.7M----
-Accounts receivable --4.46M-52.73%4.75M--5.89M31.00%10.05M-11.11%10.18M-11.11%10.18M-16.16%7.67M-13.59%11.46M-13.59%11.46M17.65%11.59M
-Gross accounts receivable --6.75M-44.10%7.21M--8.04M--12.89M-12.90%13.34M-12.90%13.34M-----8.00%15.32M-8.00%15.32M----
-Bad debt provision ---2.29M13.53%-2.45M---2.15M---2.84M18.19%-3.16M18.19%-3.16M-----13.81%-3.86M-13.81%-3.86M----
-Other receivables --2.38M-20.42%2.07M--2.05M-14.04%2.6M-53.88%1.26M-53.88%1.26M-32.74%3.02M-21.08%2.72M-21.08%2.72M3.34%4.96M
Inventory --12.29M3.60%10.61M--11.46M-22.39%10.24M-27.62%11.66M-27.62%11.66M11.04%13.2M55.47%16.11M55.47%16.11M1.48%15.6M
Prepaid assets --666K-70.44%1.25M--1.26M-25.77%4.22M2.31%4.6M2.31%4.6M22.45%5.68M26.65%4.5M26.65%4.5M-30.05%4.29M
Restricted cash -------------------------------------44.87%4.67M
Deferred assets-Current --------------------------414K--294K--294K----
Total current assets --32.39M-19.16%33.73M--38.98M-4.70%41.73M-20.54%42.64M-20.54%42.64M-9.45%43.79M-1.58%53.66M-1.58%53.66M-2.33%53.79M
Non current assets
Net PPE --1.09M-82.47%1.11M--1.12M-13.86%6.32M-15.91%6.63M-15.91%6.63M-16.28%7.33M-11.21%7.89M-11.21%7.89M-6.64%8.57M
-Gross PP&E ----------3.43M-13.86%6.32M-3.05%18.18M-3.05%18.18M-16.28%7.33M-28.20%18.75M-28.20%18.75M--8.57M
-Accumulated depreciation -----------2.31M-----6.29%-11.54M-6.29%-11.54M----36.96%-10.86M36.96%-10.86M----
Prepaid assets-Non current --779K-24.96%905K--977K-38.78%1.21M-11.02%1.06M-11.02%1.06M2,273.49%1.97M20.10%1.19M20.10%1.19M-20.00%80K
Total investment --295K--299K--0------0--00.00%201K0.00%201K0.00%201K0.00%201K
-Long-term equity investment --0--0--0------0--0--0--0--0--0
Goodwill and other intangible assets --1.23M-14.37%1.28M--1.37M-16.54%1.49M-8.71%1.72M-8.71%1.72M757.69%1.78M11,662.50%1.88M11,662.50%1.88M1,947.06%348K
-Goodwill --0--0--0--0--0--0------0--0----
-Other intangible assets --1.23M-14.37%1.28M--1.37M--1.49M-8.71%1.72M-8.71%1.72M----11,662.50%1.88M11,662.50%1.88M----
Total non current assets --6.96M-39.86%7.56M--6.61M-15.99%12.57M-10.73%12.98M-10.73%12.98M12.61%14.96M9.00%14.54M9.00%14.54M4.65%13.33M
Total assets --39.35M-23.95%41.29M--45.59M-7.58%54.3M-18.45%55.61M-18.45%55.61M-4.69%58.75M0.50%68.19M0.50%68.19M-1.02%67.12M
Liabilities
Current liabilities
-Current debt and capital lease obligation --2.23M2.97%729K--2.28M-48.51%708K-15.53%2.76M-15.53%2.76M-50.16%1.38M15.09%3.26M15.09%3.26M-78.87%1.11M
-Including:Current debt --2.18M117.65%703K--2.23M-65.38%323K-18.34%2.03M-18.34%2.03M-59.35%933K7.94%2.49M7.94%2.49M-84.00%843K
-Including:Current capital Lease obligation --52K-93.25%26K--50K-12.90%385K-6.56%726K-6.56%726K-4.74%442K46.05%777K46.05%777K27,000.00%271K
Payables --4.55M-54.55%5.12M--1.56M-8.86%11.27M-45.75%7.38M-45.75%7.38M4.30%12.37M1.51%13.61M1.51%13.61M66.33%19.15M
-accounts payable --1.34M-72.09%1.79M--974K-14.48%6.4M-46.87%6.37M-46.87%6.37M21.87%7.48M13.42%11.98M13.42%11.98M28.57%13.38M
-Total tax payable --299K155.21%490K--84K38.13%192K-9.74%176K-9.74%176K-76.28%139K-63.28%195K-63.28%195K-43.02%633K
-Other payable --2.91M-39.19%2.85M--498K-1.39%4.69M-41.26%840K-41.26%840K-7.50%4.75M-38.10%1.43M-38.10%1.43M--5.14M
Current liabilities --7.4M-57.08%6.55M--10.83M-6.21%15.26M-37.20%15.29M-37.20%15.29M-7.96%16.27M5.75%24.34M5.75%24.34M-7.48%22.76M
Non current liabilities
-Long term debt and capital lease obligation --204K-86.55%208K--224K-14.20%1.55M-28.76%1.34M-28.76%1.34M-27.94%1.8M-14.38%1.88M-14.38%1.88M16,580.00%2.5M
-Including:Long term debt --150K-56.27%164K--156K--375K--175K--175K--0--0--0--0
-Including:Long term capital lease obligation --54K-96.25%44K--68K-35.00%1.17M-38.06%1.17M-38.06%1.17M-27.94%1.8M-14.38%1.88M-14.38%1.88M16,580.00%2.5M
Total non current liabilities --1.73M-49.64%1.83M--1.8M8.82%3.64M1.87%3.43M1.87%3.43M-2.14%3.34M7.91%3.37M7.91%3.37M244.48%3.43M
Total liabilities --9.13M-55.65%8.38M--12.63M-3.64%18.9M-32.45%18.72M-32.45%18.72M-7.02%19.62M6.01%27.71M6.01%27.71M2.33%26.19M
Shareholders'equity
Share capital --549.7M0.31%549.7M--549.7M0.00%548.02M0.00%548.02M0.00%548.02M0.00%548.02M-5.23%548.02M-5.23%548.02M--548.02M
-common stock --549.7M0.31%549.7M--549.7M0.00%548.02M0.00%548.02M0.00%548.02M0.00%548.02M-5.23%548.02M-5.23%548.02M--548.02M
Retained earnings ---499.11M-0.84%-499.46M---499.65M-0.82%-495.28M-0.58%-492.67M-0.58%-492.67M-0.20%-491.23M5.95%-489.83M5.95%-489.83M5.90%-490M
Other equity interest -----------10.79M----0.00%-9.42M0.00%-9.42M-----7.26%-9.42M-7.26%-9.42M----
Total stockholders'equity --30.28M-7.01%32.97M--33.02M-9.53%35.46M-8.88%36.96M-8.88%36.96M-3.48%39.2M-3.00%40.56M-3.00%40.56M-3.04%41.01M
Noncontrolling interests ---63K-3.13%-66K---59K1.54%-64K12.86%-61K12.86%-61K2.99%-65K23.91%-70K23.91%-70K-2.94%-70K
Total equity --30.22M-7.03%32.91M--32.97M-9.55%35.4M-8.87%36.9M-8.87%36.9M-3.48%39.13M-2.96%40.49M-2.96%40.49M-3.05%40.94M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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