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DU4 Mermaid Maritime

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  • 0.134
  • -0.009-6.29%
10min DelayNot Open Sep 13 17:10 CST
189.39MMarket Cap9.57P/E (TTM)

Mermaid Maritime Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
-126.64%-9.35M
75.68%-510K
-61.56%11.95M
-36.29%2.75M
-22.35%15.43M
-245.19%-4.13M
-125.84%-2.1M
1,511.71%31.1M
150.86%4.31M
17,029.31%19.87M
Net profit before non-cash adjustment
-10.85%2.89M
109.29%455K
2,759.17%9.66M
59.52%4.38M
121.15%6.93M
32.02%3.25M
38.82%-4.9M
102.16%338K
164.53%2.75M
174.93%3.14M
Total adjustment of non-cash items
87.50%9.38M
-6.76%7.38M
46.60%29.59M
-16.72%10.3M
37.73%6.37M
2,758.29%5M
162.66%7.91M
82.12%20.18M
276.73%12.37M
150.03%4.63M
-Depreciation and amortization
24.34%7.79M
12.49%6.87M
33.79%25.05M
6.78%6.41M
2.45%6.27M
93.66%6.27M
81.35%6.11M
26.62%18.73M
64.49%6M
67.41%6.12M
-Reversal of impairment losses recognized in profit and loss
-54.58%109K
-40.57%104K
11,200.00%444K
-202.16%-237K
163.48%266K
203.80%240K
68.27%175K
-100.33%-4K
-65.88%232K
-296.71%-419K
-Share of associates
-33.93%-967K
360.93%1.18M
-33.48%-3.87M
-351.26%-1.96M
-31.83%-729K
10.42%-722K
58.93%-453K
-443.53%-2.9M
60.27%-435K
-380.71%-553K
-Disposal profit
-150.00%-1K
---3K
90.16%-12K
---12K
50.00%-2K
166.67%2K
--0
94.06%-122K
--0
-102.00%-4K
-Net exchange gains and losses
85.97%-375K
-512.36%-3.7M
148.52%394K
-24.75%3.68M
46.79%-1.51M
11.14%-2.67M
523.61%898K
84.00%-812K
450.11%4.89M
0.07%-2.83M
-Pension and employee benefit expenses
0.58%173K
-29.85%141K
16.44%602K
-5.22%127K
50.00%102K
15.44%172K
21.08%201K
30.23%517K
4.69%134K
325.00%68K
-Deferred income tax
27.59%541K
320.82%594K
-4.10%1.52M
77.32%782K
-48.63%583K
4,611.11%424K
---269K
111.33%1.59M
226.67%441K
4,440.00%1.14M
-Other non-cash items
63.11%2.11M
74.88%2.19M
70.98%5.46M
36.95%1.52M
24.82%1.39M
149.13%1.29M
179.29%1.25M
97.59%3.19M
185.31%1.11M
192.91%1.12M
Changes in working capital
-74.76%-21.62M
-63.13%-8.34M
-358.08%-27.3M
-10.47%-11.94M
-82.46%2.12M
-223.20%-12.37M
-139.03%-5.12M
343.52%10.58M
-44.07%-10.81M
394.37%12.11M
-Change in receivables
-312.82%-60.98M
-351.91%-27.13M
-10,598.55%-43.57M
-150.16%-5.27M
-1,028.34%-17.53M
-27.65%-14.77M
-1,397.01%-6M
102.05%415K
139.91%10.5M
733.56%1.89M
-Change in inventory
-621.57%-266K
-16.67%260K
100.67%4K
-297.83%-366K
-98.58%7K
122.17%51K
140.36%312K
-7,612.50%-601K
-387.50%-92K
888.00%494K
-Change in payables
1,617.69%39.63M
980.72%6.95M
108.23%22.88M
101.36%285K
102.01%19.65M
-71.47%2.31M
-95.46%643K
-49.07%10.99M
-211.53%-20.99M
224.06%9.73M
-Changes in other current assets
--0
17,376.12%11.58M
-2,853.13%-6.62M
-2,815.04%-6.59M
---2K
137.17%42K
-158.26%-67K
-122.24%-224K
-425.58%-226K
--0
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)
Tax refund paid
-2,808.20%-1.77M
-14.50%-750K
28.43%-1.83M
-16.21%-925K
38.64%-189K
79.87%-61K
43.04%-655K
-340.86%-2.56M
-1,143.75%-796K
-271.08%-308K
Other operating cash inflow (outflow)
0
0
-7.84%-165K
87.76%-6K
-207.69%-80K
-238.46%-44K
46.15%-35K
-109.59%-153K
-226.67%-49K
21.21%-26K
Operating cash flow
-162.96%-11.12M
54.79%-1.26M
-64.92%9.96M
-47.62%1.82M
-22.39%15.16M
-179.95%-4.23M
-140.39%-2.79M
1,094.05%28.39M
140.51%3.47M
--19.54M
Investing cash flow
Net PPE purchase and sale
-490.08%-11.72M
-241.83%-7.67M
13.66%-11.09M
-24.60%-4.96M
49.59%-1.9M
-962.03%-1.99M
54.32%-2.25M
42.57%-12.84M
48.71%-3.98M
-0.05%-3.76M
Net business purchase and sale
--0
---750K
--0
--0
--0
--0
--0
101.21%31K
--0
--0
Net investment product transactions
----
----
--0
--0
----
----
----
-57.93%2.88M
--0
-99.57%2K
Advance cash and loans provided to other parties
-119.30%-500K
---500K
-60.00%-2M
40.00%-750K
---1.02M
---228K
--0
-9.65%-1.25M
-1,853.13%-1.25M
--0
Repayment of advance payments to other parties and cash income from loans
--0
--1.25M
----
----
----
----
----
--1.09M
--0
--0
Interest received (cash flow from investment activities)
460.00%84K
250.00%105K
88.57%198K
120.31%141K
-67.57%12K
--15K
650.00%30K
650.00%105K
966.67%64K
640.00%37K
Net changes in other investments
--0
--752K
----
----
----
----
----
----
----
----
Investing cash flow
-451.84%-12.14M
-207.77%-6.82M
-29.09%-12.89M
-7.80%-5.57M
21.91%-2.91M
-1,075.94%-2.2M
-143.41%-2.22M
47.99%-9.99M
2.08%-5.17M
-10.12%-3.72M
Financing cash flow
Net issuance payments of debt
80.06%16.08M
53.43%6.03M
485.87%39.64M
5,765.97%25.34M
140.13%1.43M
350.34%8.93M
210.20%3.93M
-77.84%-10.27M
-69.83%432K
-87.00%-3.57M
Increase or decrease of lease financing
1.21%-2.53M
-0.12%-2.54M
-89.00%-10.31M
-3.24%-2.65M
8.35%-2.57M
-5,711.36%-2.56M
-5,663.64%-2.54M
-2,292.11%-5.45M
-5,862.79%-2.56M
-4,347.62%-2.8M
Interest paid (cash flow from financing activities)
-106.86%-1.9M
-133.18%-1.97M
-80.53%-3.99M
-70.99%-1.17M
-81.52%-1.05M
-82.50%-918K
-91.82%-844K
-40.73%-2.21M
-85.41%-686K
-55.65%-579K
Financing cash flow
113.63%11.66M
176.45%1.53M
241.31%25.34M
863.70%21.52M
68.53%-2.19M
232.61%5.46M
113.62%552K
-136.82%-17.93M
-376.55%-2.82M
-196.59%-6.95M
Net cash flow
Beginning cash position
586.85%23.6M
288.63%30.32M
-2.28%7.8M
0.35%12.45M
-39.25%2.45M
-65.22%3.44M
-2.28%7.8M
-78.86%7.98M
-40.33%12.4M
-84.83%4.03M
Current changes in cash
-1,093.42%-11.6M
-47.21%-6.55M
4,668.30%22.41M
492.84%17.76M
13.56%10.07M
83.28%-972K
-329.62%-4.45M
101.59%470K
64.71%-4.52M
254.99%8.87M
Effect of exchange rate changes
88.24%-2K
-295.29%-166K
116.10%105K
233.75%107K
85.77%-70K
56.41%-17K
307.32%85K
-355.94%-652K
-900.00%-80K
-1,194.74%-492K
End cash Position
390.31%12M
586.85%23.6M
288.63%30.32M
288.63%30.32M
0.35%12.45M
-39.25%2.45M
-65.22%3.44M
-2.28%7.8M
-2.28%7.8M
-40.33%12.4M
Free cash flow
-267.49%-22.84M
-77.60%-8.94M
-108.60%-1.16M
-512.74%-3.17M
-15.90%13.26M
-265.65%-6.22M
-5,196.84%-5.03M
148.95%13.46M
97.03%-518K
519.80%15.77M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities -126.64%-9.35M75.68%-510K-61.56%11.95M-36.29%2.75M-22.35%15.43M-245.19%-4.13M-125.84%-2.1M1,511.71%31.1M150.86%4.31M17,029.31%19.87M
Net profit before non-cash adjustment -10.85%2.89M109.29%455K2,759.17%9.66M59.52%4.38M121.15%6.93M32.02%3.25M38.82%-4.9M102.16%338K164.53%2.75M174.93%3.14M
Total adjustment of non-cash items 87.50%9.38M-6.76%7.38M46.60%29.59M-16.72%10.3M37.73%6.37M2,758.29%5M162.66%7.91M82.12%20.18M276.73%12.37M150.03%4.63M
-Depreciation and amortization 24.34%7.79M12.49%6.87M33.79%25.05M6.78%6.41M2.45%6.27M93.66%6.27M81.35%6.11M26.62%18.73M64.49%6M67.41%6.12M
-Reversal of impairment losses recognized in profit and loss -54.58%109K-40.57%104K11,200.00%444K-202.16%-237K163.48%266K203.80%240K68.27%175K-100.33%-4K-65.88%232K-296.71%-419K
-Share of associates -33.93%-967K360.93%1.18M-33.48%-3.87M-351.26%-1.96M-31.83%-729K10.42%-722K58.93%-453K-443.53%-2.9M60.27%-435K-380.71%-553K
-Disposal profit -150.00%-1K---3K90.16%-12K---12K50.00%-2K166.67%2K--094.06%-122K--0-102.00%-4K
-Net exchange gains and losses 85.97%-375K-512.36%-3.7M148.52%394K-24.75%3.68M46.79%-1.51M11.14%-2.67M523.61%898K84.00%-812K450.11%4.89M0.07%-2.83M
-Pension and employee benefit expenses 0.58%173K-29.85%141K16.44%602K-5.22%127K50.00%102K15.44%172K21.08%201K30.23%517K4.69%134K325.00%68K
-Deferred income tax 27.59%541K320.82%594K-4.10%1.52M77.32%782K-48.63%583K4,611.11%424K---269K111.33%1.59M226.67%441K4,440.00%1.14M
-Other non-cash items 63.11%2.11M74.88%2.19M70.98%5.46M36.95%1.52M24.82%1.39M149.13%1.29M179.29%1.25M97.59%3.19M185.31%1.11M192.91%1.12M
Changes in working capital -74.76%-21.62M-63.13%-8.34M-358.08%-27.3M-10.47%-11.94M-82.46%2.12M-223.20%-12.37M-139.03%-5.12M343.52%10.58M-44.07%-10.81M394.37%12.11M
-Change in receivables -312.82%-60.98M-351.91%-27.13M-10,598.55%-43.57M-150.16%-5.27M-1,028.34%-17.53M-27.65%-14.77M-1,397.01%-6M102.05%415K139.91%10.5M733.56%1.89M
-Change in inventory -621.57%-266K-16.67%260K100.67%4K-297.83%-366K-98.58%7K122.17%51K140.36%312K-7,612.50%-601K-387.50%-92K888.00%494K
-Change in payables 1,617.69%39.63M980.72%6.95M108.23%22.88M101.36%285K102.01%19.65M-71.47%2.31M-95.46%643K-49.07%10.99M-211.53%-20.99M224.06%9.73M
-Changes in other current assets --017,376.12%11.58M-2,853.13%-6.62M-2,815.04%-6.59M---2K137.17%42K-158.26%-67K-122.24%-224K-425.58%-226K--0
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)
Tax refund paid -2,808.20%-1.77M-14.50%-750K28.43%-1.83M-16.21%-925K38.64%-189K79.87%-61K43.04%-655K-340.86%-2.56M-1,143.75%-796K-271.08%-308K
Other operating cash inflow (outflow) 00-7.84%-165K87.76%-6K-207.69%-80K-238.46%-44K46.15%-35K-109.59%-153K-226.67%-49K21.21%-26K
Operating cash flow -162.96%-11.12M54.79%-1.26M-64.92%9.96M-47.62%1.82M-22.39%15.16M-179.95%-4.23M-140.39%-2.79M1,094.05%28.39M140.51%3.47M--19.54M
Investing cash flow
Net PPE purchase and sale -490.08%-11.72M-241.83%-7.67M13.66%-11.09M-24.60%-4.96M49.59%-1.9M-962.03%-1.99M54.32%-2.25M42.57%-12.84M48.71%-3.98M-0.05%-3.76M
Net business purchase and sale --0---750K--0--0--0--0--0101.21%31K--0--0
Net investment product transactions ----------0--0-------------57.93%2.88M--0-99.57%2K
Advance cash and loans provided to other parties -119.30%-500K---500K-60.00%-2M40.00%-750K---1.02M---228K--0-9.65%-1.25M-1,853.13%-1.25M--0
Repayment of advance payments to other parties and cash income from loans --0--1.25M----------------------1.09M--0--0
Interest received (cash flow from investment activities) 460.00%84K250.00%105K88.57%198K120.31%141K-67.57%12K--15K650.00%30K650.00%105K966.67%64K640.00%37K
Net changes in other investments --0--752K--------------------------------
Investing cash flow -451.84%-12.14M-207.77%-6.82M-29.09%-12.89M-7.80%-5.57M21.91%-2.91M-1,075.94%-2.2M-143.41%-2.22M47.99%-9.99M2.08%-5.17M-10.12%-3.72M
Financing cash flow
Net issuance payments of debt 80.06%16.08M53.43%6.03M485.87%39.64M5,765.97%25.34M140.13%1.43M350.34%8.93M210.20%3.93M-77.84%-10.27M-69.83%432K-87.00%-3.57M
Increase or decrease of lease financing 1.21%-2.53M-0.12%-2.54M-89.00%-10.31M-3.24%-2.65M8.35%-2.57M-5,711.36%-2.56M-5,663.64%-2.54M-2,292.11%-5.45M-5,862.79%-2.56M-4,347.62%-2.8M
Interest paid (cash flow from financing activities) -106.86%-1.9M-133.18%-1.97M-80.53%-3.99M-70.99%-1.17M-81.52%-1.05M-82.50%-918K-91.82%-844K-40.73%-2.21M-85.41%-686K-55.65%-579K
Financing cash flow 113.63%11.66M176.45%1.53M241.31%25.34M863.70%21.52M68.53%-2.19M232.61%5.46M113.62%552K-136.82%-17.93M-376.55%-2.82M-196.59%-6.95M
Net cash flow
Beginning cash position 586.85%23.6M288.63%30.32M-2.28%7.8M0.35%12.45M-39.25%2.45M-65.22%3.44M-2.28%7.8M-78.86%7.98M-40.33%12.4M-84.83%4.03M
Current changes in cash -1,093.42%-11.6M-47.21%-6.55M4,668.30%22.41M492.84%17.76M13.56%10.07M83.28%-972K-329.62%-4.45M101.59%470K64.71%-4.52M254.99%8.87M
Effect of exchange rate changes 88.24%-2K-295.29%-166K116.10%105K233.75%107K85.77%-70K56.41%-17K307.32%85K-355.94%-652K-900.00%-80K-1,194.74%-492K
End cash Position 390.31%12M586.85%23.6M288.63%30.32M288.63%30.32M0.35%12.45M-39.25%2.45M-65.22%3.44M-2.28%7.8M-2.28%7.8M-40.33%12.4M
Free cash flow -267.49%-22.84M-77.60%-8.94M-108.60%-1.16M-512.74%-3.17M-15.90%13.26M-265.65%-6.22M-5,196.84%-5.03M148.95%13.46M97.03%-518K519.80%15.77M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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