SG Stock MarketDetailed Quotes

CJLU NetLink NBN Tr

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  • 0.865
  • 0.0000.00%
10min DelayMarket Closed Nov 22 17:11 CST
3.37BMarket Cap34.60P/E (TTM)

NetLink NBN Tr 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
(Q4)Mar 31, 2020
(Q3)Dec 31, 2019
(Q2)Sep 30, 2019
(Q1)Jun 30, 2019
(FY)Mar 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
2.40%316.01M
14.34%308.61M
-6.29%269.91M
2.84%288.03M
11.06%280.08M
75.56M
-10.13%61.48M
20.36%82.38M
21.22%60.66M
32.84%252.2M
Net profit before non-cash adjustment
-7.46%101.07M
25.42%109.22M
-4.98%87.08M
27.51%91.64M
3.04%71.87M
--9.18M
13.23%20.5M
31.71%22.22M
16.96%19.97M
59.21%69.75M
Total adjustment of non-cash items
5.90%200.02M
-2.62%188.87M
2.48%193.96M
-6.95%189.26M
12.91%203.4M
--62.58M
5.02%47.54M
2.51%46.44M
5.35%46.85M
44.14%180.14M
-Depreciation and amortization
1.35%172.93M
0.53%170.62M
1.15%169.72M
0.01%167.79M
4.35%167.78M
--41.7M
5.02%42.26M
4.37%41.78M
5.69%42.04M
43.81%160.79M
-Reversal of impairment losses recognized in profit and loss
271.12%8.84M
108.40%2.38M
-87.49%1.14M
-45.42%9.14M
747.90%16.75M
--15.83M
1.96%573K
-87.14%119K
-52.89%261K
35.65%1.98M
-Assets reserve and write-off
693.75%254K
1,166.67%32K
-104.29%-3K
-32.04%70K
123.91%103K
--148K
106.90%2K
-1,172.73%-118K
780.00%34K
-22.03%46K
-Disposal profit
-141.38%-14.55M
-42,964.29%-6.03M
---14K
--0
0.00%-4K
--0
--0
--0
---4K
20.00%-4K
-Remuneration paid in stock
2.27%720K
18.92%704K
-59.40%592K
--1.46M
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-Other non-cash items
50.39%31.84M
-6.02%21.17M
108.49%22.52M
-42.46%10.8M
8.31%18.77M
--4.9M
4.68%4.7M
7.37%4.66M
9.00%4.52M
48.73%17.33M
Changes in working capital
41.87%14.92M
194.48%10.52M
-256.19%-11.13M
48.16%7.13M
108.90%4.81M
--3.8M
-230.04%-6.56M
118.80%13.72M
46.46%-6.16M
-89.06%2.3M
-Change in receivables
6,192.46%15.35M
99.00%-252K
-325.81%-25.08M
380.57%11.11M
118.43%2.31M
--5.08M
-261.60%-1.19M
129.41%8.37M
2.17%-9.95M
-176.23%-12.54M
-Change in inventory
180.81%2.18M
-353.20%-2.69M
214.53%1.06M
-270.15%-929K
161.01%546K
--902K
110.55%27K
134.78%128K
-69.77%-511K
-145.27%-895K
-Change in payables
-157.36%-3.28M
-55.61%5.72M
522.47%12.88M
-256.04%-3.05M
-87.58%1.95M
---2.18M
-218.24%-5.39M
74.67%5.23M
519.69%4.31M
496.89%15.73M
-Changes in other current assets
-91.32%672K
--7.75M
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Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-32.43%-19.79M
-96.97%-14.94M
55.12%-7.59M
10.04%-16.91M
-2.77%-18.79M
-4.53M
2.15%-4.73M
-9.15%-4.83M
-7.64%-4.69M
10.40%-18.29M
Interest received (cash flow from operating activities)
112.82%3.32M
361.54%1.56M
-27.93%338K
-73.92%469K
0.33%1.8M
374K
-25.31%366K
34.29%517K
31.95%541K
241.33%1.79M
Tax refund paid
-14.64%-10.93M
-142.63%-9.53M
44.54%-3.93M
-1,145.17%-7.09M
90.61%-569K
12K
87.98%-291K
91.29%-290K
47.34%-6.06M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
1.02%288.61M
10.42%285.69M
-2.19%258.73M
0.76%264.51M
14.32%262.52M
--71.41M
-7.82%56.82M
27.35%77.78M
22.60%56.51M
44.93%229.64M
Investing cash flow
Net PPE purchase and sale
-35.04%-119.6M
-19.90%-88.57M
-22.61%-73.87M
20.24%-60.25M
-6.24%-75.53M
---14.81M
4.55%-16.85M
-20.32%-26.56M
0.07%-17.31M
66.49%-71.09M
Net intangibles purchase and sale
1.64%-8.03M
---8.17M
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----
----
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Investing cash flow
-31.94%-127.63M
-30.96%-96.73M
-22.61%-73.87M
20.24%-60.25M
-6.24%-75.53M
---14.81M
4.55%-16.85M
-20.32%-26.56M
0.07%-17.31M
94.56%-71.09M
Financing cash flow
Net issuance payments of debt
-56.52%30M
--69M
--0
----
-33.33%30M
--30M
--0
--0
----
104.41%45M
Increase or decrease of lease financing
-2.50%-3.33M
15.87%-3.25M
9.20%-3.86M
-40.94%-4.25M
---3.01M
---758K
---756K
---751K
---749K
--0
Issuance fees
95.24%-75K
39.24%-1.58M
-181.74%-2.59M
-35.29%-920K
-2,328.57%-680K
---672K
--0
--0
0.00%-8K
-21.74%-28K
Cash dividends paid
-1.54%-205.37M
-1.57%-202.25M
-0.99%-199.14M
-2.02%-197.19M
12.68%-193.29M
--0
-3.28%-98.2M
----
24.69%-95.09M
---221.35M
Financing cash flow
-29.48%-178.77M
32.84%-138.07M
-1.60%-205.58M
-21.18%-202.35M
5.32%-166.98M
--28.57M
-4.07%-98.96M
-101.67%-751K
24.10%-95.84M
-113.41%-176.38M
Net cash flow
Beginning cash position
33.97%200.7M
-12.15%149.82M
1.13%170.54M
13.46%168.62M
-10.71%148.62M
--83.45M
-6.87%142.44M
33.40%91.97M
-10.71%148.62M
--166.45M
Current changes in cash
-134.96%-17.79M
345.61%50.89M
-1,183.58%-20.72M
-90.44%1.91M
212.20%20M
--85.18M
-15.45%-58.99M
-39.92%50.47M
41.90%-56.65M
-110.71%-17.83M
End cash Position
-8.86%182.91M
33.97%200.7M
-12.15%149.82M
1.13%170.54M
13.46%168.62M
--168.62M
-18.06%83.45M
-6.87%142.44M
33.40%91.97M
-10.71%148.62M
Free cash flow
-17.28%156.29M
2.22%188.95M
-9.50%184.85M
9.24%204.27M
17.94%186.98M
--56.61M
-9.14%39.97M
31.34%51.22M
36.24%39.19M
395.07%158.54M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Mar 31, 2024(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(Q4)Mar 31, 2020(Q3)Dec 31, 2019(Q2)Sep 30, 2019(Q1)Jun 30, 2019(FY)Mar 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities 2.40%316.01M14.34%308.61M-6.29%269.91M2.84%288.03M11.06%280.08M75.56M-10.13%61.48M20.36%82.38M21.22%60.66M32.84%252.2M
Net profit before non-cash adjustment -7.46%101.07M25.42%109.22M-4.98%87.08M27.51%91.64M3.04%71.87M--9.18M13.23%20.5M31.71%22.22M16.96%19.97M59.21%69.75M
Total adjustment of non-cash items 5.90%200.02M-2.62%188.87M2.48%193.96M-6.95%189.26M12.91%203.4M--62.58M5.02%47.54M2.51%46.44M5.35%46.85M44.14%180.14M
-Depreciation and amortization 1.35%172.93M0.53%170.62M1.15%169.72M0.01%167.79M4.35%167.78M--41.7M5.02%42.26M4.37%41.78M5.69%42.04M43.81%160.79M
-Reversal of impairment losses recognized in profit and loss 271.12%8.84M108.40%2.38M-87.49%1.14M-45.42%9.14M747.90%16.75M--15.83M1.96%573K-87.14%119K-52.89%261K35.65%1.98M
-Assets reserve and write-off 693.75%254K1,166.67%32K-104.29%-3K-32.04%70K123.91%103K--148K106.90%2K-1,172.73%-118K780.00%34K-22.03%46K
-Disposal profit -141.38%-14.55M-42,964.29%-6.03M---14K--00.00%-4K--0--0--0---4K20.00%-4K
-Remuneration paid in stock 2.27%720K18.92%704K-59.40%592K--1.46M------------------------
-Other non-cash items 50.39%31.84M-6.02%21.17M108.49%22.52M-42.46%10.8M8.31%18.77M--4.9M4.68%4.7M7.37%4.66M9.00%4.52M48.73%17.33M
Changes in working capital 41.87%14.92M194.48%10.52M-256.19%-11.13M48.16%7.13M108.90%4.81M--3.8M-230.04%-6.56M118.80%13.72M46.46%-6.16M-89.06%2.3M
-Change in receivables 6,192.46%15.35M99.00%-252K-325.81%-25.08M380.57%11.11M118.43%2.31M--5.08M-261.60%-1.19M129.41%8.37M2.17%-9.95M-176.23%-12.54M
-Change in inventory 180.81%2.18M-353.20%-2.69M214.53%1.06M-270.15%-929K161.01%546K--902K110.55%27K134.78%128K-69.77%-511K-145.27%-895K
-Change in payables -157.36%-3.28M-55.61%5.72M522.47%12.88M-256.04%-3.05M-87.58%1.95M---2.18M-218.24%-5.39M74.67%5.23M519.69%4.31M496.89%15.73M
-Changes in other current assets -91.32%672K--7.75M--------------------------------
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -32.43%-19.79M-96.97%-14.94M55.12%-7.59M10.04%-16.91M-2.77%-18.79M-4.53M2.15%-4.73M-9.15%-4.83M-7.64%-4.69M10.40%-18.29M
Interest received (cash flow from operating activities) 112.82%3.32M361.54%1.56M-27.93%338K-73.92%469K0.33%1.8M374K-25.31%366K34.29%517K31.95%541K241.33%1.79M
Tax refund paid -14.64%-10.93M-142.63%-9.53M44.54%-3.93M-1,145.17%-7.09M90.61%-569K12K87.98%-291K91.29%-290K47.34%-6.06M
Other operating cash inflow (outflow) 0000000000
Operating cash flow 1.02%288.61M10.42%285.69M-2.19%258.73M0.76%264.51M14.32%262.52M--71.41M-7.82%56.82M27.35%77.78M22.60%56.51M44.93%229.64M
Investing cash flow
Net PPE purchase and sale -35.04%-119.6M-19.90%-88.57M-22.61%-73.87M20.24%-60.25M-6.24%-75.53M---14.81M4.55%-16.85M-20.32%-26.56M0.07%-17.31M66.49%-71.09M
Net intangibles purchase and sale 1.64%-8.03M---8.17M--------------------------------
Investing cash flow -31.94%-127.63M-30.96%-96.73M-22.61%-73.87M20.24%-60.25M-6.24%-75.53M---14.81M4.55%-16.85M-20.32%-26.56M0.07%-17.31M94.56%-71.09M
Financing cash flow
Net issuance payments of debt -56.52%30M--69M--0-----33.33%30M--30M--0--0----104.41%45M
Increase or decrease of lease financing -2.50%-3.33M15.87%-3.25M9.20%-3.86M-40.94%-4.25M---3.01M---758K---756K---751K---749K--0
Issuance fees 95.24%-75K39.24%-1.58M-181.74%-2.59M-35.29%-920K-2,328.57%-680K---672K--0--00.00%-8K-21.74%-28K
Cash dividends paid -1.54%-205.37M-1.57%-202.25M-0.99%-199.14M-2.02%-197.19M12.68%-193.29M--0-3.28%-98.2M----24.69%-95.09M---221.35M
Financing cash flow -29.48%-178.77M32.84%-138.07M-1.60%-205.58M-21.18%-202.35M5.32%-166.98M--28.57M-4.07%-98.96M-101.67%-751K24.10%-95.84M-113.41%-176.38M
Net cash flow
Beginning cash position 33.97%200.7M-12.15%149.82M1.13%170.54M13.46%168.62M-10.71%148.62M--83.45M-6.87%142.44M33.40%91.97M-10.71%148.62M--166.45M
Current changes in cash -134.96%-17.79M345.61%50.89M-1,183.58%-20.72M-90.44%1.91M212.20%20M--85.18M-15.45%-58.99M-39.92%50.47M41.90%-56.65M-110.71%-17.83M
End cash Position -8.86%182.91M33.97%200.7M-12.15%149.82M1.13%170.54M13.46%168.62M--168.62M-18.06%83.45M-6.87%142.44M33.40%91.97M-10.71%148.62M
Free cash flow -17.28%156.29M2.22%188.95M-9.50%184.85M9.24%204.27M17.94%186.98M--56.61M-9.14%39.97M31.34%51.22M36.24%39.19M395.07%158.54M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Price Target

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