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BFT Lincotrade

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10min DelayNot Open Nov 26 10:01 CST
34.06MMarket Cap15.23P/E (TTM)

Lincotrade Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 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
24.03%6.7M
237.35%5.4M
-60.20%1.6M
1,982.89%4.02M
-92.40%193.11K
-95.92%123.92K
379.56%1.24M
-56.87%2.54M
-103.29%-145.16K
-157.91%-600.89K
Net profit before non-cash adjustment
135.49%2.83M
-861.32%-7.97M
106.93%1.05M
-261.40%-15.11M
85.94%-4.18M
-5.90%-662.29K
45.32%-631.77K
-613.42%-29.74M
-1,853.07%-26.14M
1.43%-1.86M
Total adjustment of non-cash items
-87.90%1.43M
1,242.47%11.85M
-94.17%883K
430.13%15.15M
-90.44%2.86M
-57.93%549.03K
-55.26%640.42K
435.50%29.9M
1,441.71%25.23M
46.32%1.99M
-Depreciation and amortization
36.75%893K
3.98%653K
-70.43%628K
26.42%2.12M
-61.37%1.68M
-62.11%400.67K
-69.52%339.37K
0.21%4.35M
5.55%1.2M
-5.53%1.02M
-Reversal of impairment losses recognized in profit and loss
----
----
----
6,782.02%11.32M
-100.68%-169.47K
88.84%-11.44K
-80.49%-54.04K
7,966.86%24.81M
6,785.79%24.31M
6,649.69%630.89K
-Assets reserve and write-off
----
----
----
30.27%593.43K
-8.72%455.53K
-12.81%109.19K
-16.12%112.4K
-9.89%499.04K
-21.48%118.64K
-2.31%126.34K
-Disposal profit
71.43%-2K
---7K
--0
48.20%-68.9K
81.43%-133.01K
---126.25K
--0
-182.06%-716.35K
-313.73%-702.25K
24.38%-14.1K
-Net exchange gains and losses
---1K
--0
----
867.32%19.98K
-139.07%-2.6K
-587.81%-3.88K
29.78%5.9K
313.09%6.66K
-222.06%-685.0825
277.70%2.19K
-Remuneration paid in stock
--0
--1.2M
--0
----
----
----
----
----
----
----
-Other non-cash items
-94.56%544K
3,823.53%10.01M
-77.95%255K
12.58%1.16M
7.74%1.03M
-19.39%180.75K
12.98%236.79K
48.88%953.66K
87.04%300.72K
23.75%227.25K
Changes in working capital
60.47%2.44M
561.40%1.52M
-108.27%-329K
162.63%3.98M
-36.26%1.52M
-89.95%237.18K
7,582.69%1.24M
-46.92%2.38M
-81.37%766.09K
-146.83%-732K
-Change in receivables
1,104.69%3.22M
72.29%-320K
-171.57%-1.16M
-12.42%1.61M
-33.48%1.84M
-87.92%130.52K
-24.91%1.15M
163.33%2.77M
41.95%1.1M
-133.69%-883.56K
-Change in inventory
---156K
--0
----
-34.83%-1.75M
-173.40%-1.3M
-104.80%-49.26K
-810.96%-470.24K
163.05%1.77M
-82.72%369.55K
132.37%423.9K
-Change in payables
-122.16%-628K
509.46%2.83M
-90.02%465K
240.61%4.66M
261.61%1.37M
98.37%474.37K
152.53%158.78K
-139.94%-846.62K
-129.71%-238.77K
-2,786.09%-556K
-Changes in other current assets
100.50%5K
-375.90%-996K
344.62%361K
89.12%-147.58K
-73.98%-1.36M
-57.11%-926.62K
78.19%-198.47K
-201.21%-779.36K
-34.47%166.97K
137.63%518.65K
-Changes in other current liabilities
----
----
----
-141.09%-394.44K
278.96%959.94K
0.68%608.18K
306.84%593.65K
-296.99%-536.41K
-541.13%-628.97K
-2,147.55%-234.99K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-53.73%-618K
-216.54%-402K
-127K
Interest received (cash flow from operating activities)
Tax refund paid
-68.75%-567K
26.96%-336K
-636.65%-460K
37.66%-62.44K
0.81%-100.16K
0
4.83%-49.13K
11.95%-100.98K
15.52%-1.66K
3.07%-49.66K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
18.25%5.51M
359.86%4.66M
-74.39%1.01M
4,160.21%3.96M
-96.19%92.95K
-95.92%123.92K
474.99%1.2M
-57.77%2.44M
-103.33%-146.82K
-165.95%-650.55K
Investing cash flow
Net PPE purchase and sale
-2,730.14%-10.33M
-150.00%-365K
91.29%-146K
-22.21%-1.68M
46.71%-1.37M
74.58%-127.03K
13.04%-578.32K
34.64%-2.57M
74.20%-691.24K
1.25%-742.92K
Interest received (cash flow from investment activities)
166.20%189K
1,083.33%71K
-90.33%6K
12.60%62.03K
-6.91%55.09K
-25.16%10.86K
-12.34%13.76K
0.28%59.17K
-3.12%15.27K
-0.31%14.3K
Net changes in other investments
----
----
----
----
--737.98K
--714.65K
----
----
----
----
Investing cash flow
-3,349.32%-10.14M
-110.00%-294K
91.33%-140K
-179.08%-1.61M
77.00%-578.33K
223.34%598.48K
13.06%-564.57K
35.17%-2.51M
74.62%-675.96K
1.27%-728.62K
Financing cash flow
Net issuance payments of debt
503.81%6.04M
-6.40%-1.5M
-1,250.96%-1.41M
---104.07K
--0
-119.51%-3.49M
4.83%-5.9M
97.32%-333.23K
5,507.57%11.52M
3.07%-4.3M
Net common stock issuance
--0
--1.17M
--0
----
----
----
----
----
----
----
Increase or decrease of lease financing
-15.24%-121K
-1.94%-105K
-94.05%-103K
-20.44%-53.08K
---44.07K
----
----
--0
----
----
Cash dividends paid
---654K
----
----
----
----
----
----
----
----
----
Interest paid (cash flow from financing activities)
-20.69%-105K
27.50%-87K
86.73%-120K
-10.74%-904.61K
-6.44%-816.91K
27.89%-128.58K
-15.00%-186.88K
-9.70%-767.45K
-31.25%-231.71K
-1.64%-201.22K
Net other fund-raising expenses
-3,429.09%-1.94M
-101.98%-55K
826.51%2.78M
--299.94K
----
----
-4.83%5.9M
----
----
-10.46%3.97M
Financing cash flow
665.91%3.22M
-149.48%-569K
250.95%1.15M
11.52%-761.82K
21.78%-860.98K
-1,929.87%-3.62M
-15.00%-186.88K
-57.34%-1.1M
-34.35%-237.18K
-167.20%-528.98K
Net cash flow
Beginning cash position
71.48%9.12M
61.48%5.32M
-79.32%3.29M
-4.49%15.92M
-7.29%16.67M
-3.15%16.58M
-11.04%16.35M
3.57%17.98M
5.23%17.57M
17.02%19.48M
Current changes in cash
-137.03%-1.41M
87.75%3.8M
27.78%2.02M
217.65%1.58M
-14.72%-1.35M
-221.86%-2.9M
173.53%444.11K
-197.58%-1.17M
-167.57%-1.06M
-3,884.82%-1.91M
End cash Position
-15.43%7.71M
71.48%9.12M
-69.63%5.32M
14.25%17.5M
-8.82%15.32M
-29.82%13.68M
-5.52%16.79M
-9.47%16.8M
-9.47%16.8M
5.23%17.57M
Free cash flow
-212.62%-4.82M
392.86%4.28M
-60.59%868K
271.40%2.2M
-690.43%-1.29M
-100.27%-6.98K
235.02%617.23K
-110.87%-162.58K
-156.84%-849.88K
-796.00%-1.41M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 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 24.03%6.7M237.35%5.4M-60.20%1.6M1,982.89%4.02M-92.40%193.11K-95.92%123.92K379.56%1.24M-56.87%2.54M-103.29%-145.16K-157.91%-600.89K
Net profit before non-cash adjustment 135.49%2.83M-861.32%-7.97M106.93%1.05M-261.40%-15.11M85.94%-4.18M-5.90%-662.29K45.32%-631.77K-613.42%-29.74M-1,853.07%-26.14M1.43%-1.86M
Total adjustment of non-cash items -87.90%1.43M1,242.47%11.85M-94.17%883K430.13%15.15M-90.44%2.86M-57.93%549.03K-55.26%640.42K435.50%29.9M1,441.71%25.23M46.32%1.99M
-Depreciation and amortization 36.75%893K3.98%653K-70.43%628K26.42%2.12M-61.37%1.68M-62.11%400.67K-69.52%339.37K0.21%4.35M5.55%1.2M-5.53%1.02M
-Reversal of impairment losses recognized in profit and loss ------------6,782.02%11.32M-100.68%-169.47K88.84%-11.44K-80.49%-54.04K7,966.86%24.81M6,785.79%24.31M6,649.69%630.89K
-Assets reserve and write-off ------------30.27%593.43K-8.72%455.53K-12.81%109.19K-16.12%112.4K-9.89%499.04K-21.48%118.64K-2.31%126.34K
-Disposal profit 71.43%-2K---7K--048.20%-68.9K81.43%-133.01K---126.25K--0-182.06%-716.35K-313.73%-702.25K24.38%-14.1K
-Net exchange gains and losses ---1K--0----867.32%19.98K-139.07%-2.6K-587.81%-3.88K29.78%5.9K313.09%6.66K-222.06%-685.0825277.70%2.19K
-Remuneration paid in stock --0--1.2M--0----------------------------
-Other non-cash items -94.56%544K3,823.53%10.01M-77.95%255K12.58%1.16M7.74%1.03M-19.39%180.75K12.98%236.79K48.88%953.66K87.04%300.72K23.75%227.25K
Changes in working capital 60.47%2.44M561.40%1.52M-108.27%-329K162.63%3.98M-36.26%1.52M-89.95%237.18K7,582.69%1.24M-46.92%2.38M-81.37%766.09K-146.83%-732K
-Change in receivables 1,104.69%3.22M72.29%-320K-171.57%-1.16M-12.42%1.61M-33.48%1.84M-87.92%130.52K-24.91%1.15M163.33%2.77M41.95%1.1M-133.69%-883.56K
-Change in inventory ---156K--0-----34.83%-1.75M-173.40%-1.3M-104.80%-49.26K-810.96%-470.24K163.05%1.77M-82.72%369.55K132.37%423.9K
-Change in payables -122.16%-628K509.46%2.83M-90.02%465K240.61%4.66M261.61%1.37M98.37%474.37K152.53%158.78K-139.94%-846.62K-129.71%-238.77K-2,786.09%-556K
-Changes in other current assets 100.50%5K-375.90%-996K344.62%361K89.12%-147.58K-73.98%-1.36M-57.11%-926.62K78.19%-198.47K-201.21%-779.36K-34.47%166.97K137.63%518.65K
-Changes in other current liabilities -------------141.09%-394.44K278.96%959.94K0.68%608.18K306.84%593.65K-296.99%-536.41K-541.13%-628.97K-2,147.55%-234.99K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -53.73%-618K-216.54%-402K-127K
Interest received (cash flow from operating activities)
Tax refund paid -68.75%-567K26.96%-336K-636.65%-460K37.66%-62.44K0.81%-100.16K04.83%-49.13K11.95%-100.98K15.52%-1.66K3.07%-49.66K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 18.25%5.51M359.86%4.66M-74.39%1.01M4,160.21%3.96M-96.19%92.95K-95.92%123.92K474.99%1.2M-57.77%2.44M-103.33%-146.82K-165.95%-650.55K
Investing cash flow
Net PPE purchase and sale -2,730.14%-10.33M-150.00%-365K91.29%-146K-22.21%-1.68M46.71%-1.37M74.58%-127.03K13.04%-578.32K34.64%-2.57M74.20%-691.24K1.25%-742.92K
Interest received (cash flow from investment activities) 166.20%189K1,083.33%71K-90.33%6K12.60%62.03K-6.91%55.09K-25.16%10.86K-12.34%13.76K0.28%59.17K-3.12%15.27K-0.31%14.3K
Net changes in other investments ------------------737.98K--714.65K----------------
Investing cash flow -3,349.32%-10.14M-110.00%-294K91.33%-140K-179.08%-1.61M77.00%-578.33K223.34%598.48K13.06%-564.57K35.17%-2.51M74.62%-675.96K1.27%-728.62K
Financing cash flow
Net issuance payments of debt 503.81%6.04M-6.40%-1.5M-1,250.96%-1.41M---104.07K--0-119.51%-3.49M4.83%-5.9M97.32%-333.23K5,507.57%11.52M3.07%-4.3M
Net common stock issuance --0--1.17M--0----------------------------
Increase or decrease of lease financing -15.24%-121K-1.94%-105K-94.05%-103K-20.44%-53.08K---44.07K----------0--------
Cash dividends paid ---654K------------------------------------
Interest paid (cash flow from financing activities) -20.69%-105K27.50%-87K86.73%-120K-10.74%-904.61K-6.44%-816.91K27.89%-128.58K-15.00%-186.88K-9.70%-767.45K-31.25%-231.71K-1.64%-201.22K
Net other fund-raising expenses -3,429.09%-1.94M-101.98%-55K826.51%2.78M--299.94K---------4.83%5.9M---------10.46%3.97M
Financing cash flow 665.91%3.22M-149.48%-569K250.95%1.15M11.52%-761.82K21.78%-860.98K-1,929.87%-3.62M-15.00%-186.88K-57.34%-1.1M-34.35%-237.18K-167.20%-528.98K
Net cash flow
Beginning cash position 71.48%9.12M61.48%5.32M-79.32%3.29M-4.49%15.92M-7.29%16.67M-3.15%16.58M-11.04%16.35M3.57%17.98M5.23%17.57M17.02%19.48M
Current changes in cash -137.03%-1.41M87.75%3.8M27.78%2.02M217.65%1.58M-14.72%-1.35M-221.86%-2.9M173.53%444.11K-197.58%-1.17M-167.57%-1.06M-3,884.82%-1.91M
End cash Position -15.43%7.71M71.48%9.12M-69.63%5.32M14.25%17.5M-8.82%15.32M-29.82%13.68M-5.52%16.79M-9.47%16.8M-9.47%16.8M5.23%17.57M
Free cash flow -212.62%-4.82M392.86%4.28M-60.59%868K271.40%2.2M-690.43%-1.29M-100.27%-6.98K235.02%617.23K-110.87%-162.58K-156.84%-849.88K-796.00%-1.41M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Price Target

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Symbol
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% Chg

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