SG Stock MarketDetailed Quotes

F34 Wilmar Intl

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  • 3.080
  • +0.020+0.65%
10min DelayMarket Closed Nov 29 17:14 CST
19.23BMarket Cap9.11P/E (TTM)

Wilmar Intl Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-24.67%10.39B
26.02%10.51B
26.02%10.51B
22.21%13.8B
5.52%8.34B
5.52%8.34B
2.85%11.29B
-9.13%7.9B
-9.13%7.9B
-16.31%10.98B
-Cash and cash equivalents
-14.76%3.58B
50.19%4.5B
50.19%4.5B
12.22%4.2B
11.40%3B
11.40%3B
28.69%3.74B
-0.50%2.69B
-0.50%2.69B
27.51%2.9B
-Short-term investments
-29.00%6.82B
12.45%6B
12.45%6B
27.16%9.6B
2.48%5.34B
2.48%5.34B
-6.46%7.55B
-13.03%5.21B
-13.03%5.21B
-25.53%8.07B
-Accounts receivable
3.30%5.63B
-2.51%6.38B
-2.51%6.38B
-20.56%5.45B
-4.16%6.55B
-4.16%6.55B
26.87%6.86B
29.47%6.83B
29.47%6.83B
35.37%5.4B
-Gross accounts receivable
----
-2.47%6.42B
-2.47%6.42B
----
-4.10%6.59B
-4.10%6.59B
----
28.86%6.87B
28.86%6.87B
----
-Bad debt provision
----
-5.25%-38.06M
-5.25%-38.06M
----
-8.74%-36.16M
-8.74%-36.16M
----
34.66%-33.26M
34.66%-33.26M
----
-Other receivables
----
-6.96%765.46M
-6.96%765.46M
----
2.48%822.74M
2.48%822.74M
----
2.58%802.81M
2.58%802.81M
----
Inventory
0.75%10.58B
-10.80%11.85B
-10.80%11.85B
-14.49%10.5B
12.51%13.28B
12.51%13.28B
7.28%12.27B
24.51%11.8B
24.51%11.8B
67.20%11.44B
Prepaid assets
----
-29.04%935.17M
-29.04%935.17M
----
-14.85%1.32B
-14.85%1.32B
----
-3.14%1.55B
-3.14%1.55B
----
Restricted cash
----
30.91%1.74B
30.91%1.74B
----
-32.16%1.33B
-32.16%1.33B
----
72.92%1.96B
72.92%1.96B
----
Other current assets
-17.37%1.59B
-12.34%209.63M
-12.34%209.63M
-17.96%1.93B
-10.47%239.14M
-10.47%239.14M
27.26%2.35B
38.87%267.09M
38.87%267.09M
29.29%1.84B
Total current assets
-10.40%29.4B
5.34%34.37B
5.34%34.37B
-2.84%32.81B
2.57%32.63B
2.57%32.63B
11.54%33.77B
13.94%31.81B
13.94%31.81B
16.87%30.27B
Non current assets
Net PPE
4.96%15.65B
6.43%15.77B
6.43%15.77B
3.11%14.91B
4.38%14.81B
4.38%14.81B
8.76%14.46B
11.11%14.19B
11.11%14.19B
16.35%13.29B
-Gross PP&E
----
8.19%24.6B
8.19%24.6B
----
4.73%22.74B
4.73%22.74B
----
10.37%21.71B
10.37%21.71B
----
-Accumulated depreciation
----
-11.48%-8.84B
-11.48%-8.84B
----
-5.40%-7.93B
-5.40%-7.93B
----
-9.01%-7.52B
-9.01%-7.52B
----
Prepaid assets-Non current
----
2.13%53.88M
2.13%53.88M
----
3.62%52.76M
3.62%52.76M
----
-12.74%50.91M
-12.74%50.91M
----
Total investment
-24.37%4.08B
-1.30%4.13B
-1.30%4.13B
-20.94%5.39B
-32.76%4.18B
-32.76%4.18B
23.74%6.82B
66.36%6.22B
66.36%6.22B
58.34%5.51B
-Long-term equity investment
-6.93%3.49B
-4.06%3.47B
-4.06%3.47B
1.53%3.75B
3.09%3.61B
3.09%3.61B
4.97%3.69B
4.66%3.51B
4.66%3.51B
15.38%3.51B
-Including:Available-for-sale securities
-64.05%592.23M
18.60%656.01M
18.60%656.01M
-47.42%1.65B
-79.54%553.13M
-79.54%553.13M
56.76%3.13B
629.15%2.7B
629.15%2.7B
358.80%2B
Financial assets
-69.92%19.46M
125.71%62.27M
125.71%62.27M
200.44%64.7M
130.74%27.59M
130.74%27.59M
120.45%21.54M
-80.46%11.96M
-80.46%11.96M
-43.45%9.77M
Goodwill and other intangible assets
-3.20%5.21B
-2.20%5.28B
-2.20%5.28B
-0.34%5.38B
0.17%5.4B
0.17%5.4B
-0.41%5.4B
-0.95%5.39B
-0.95%5.39B
1.27%5.42B
-Goodwill
----
-2.79%3.73B
-2.79%3.73B
----
0.34%3.83B
0.34%3.83B
----
-1.26%3.82B
-1.26%3.82B
----
-Other intangible assets
----
-0.76%1.56B
-0.76%1.56B
----
-0.24%1.57B
-0.24%1.57B
----
-0.18%1.57B
-0.18%1.57B
----
Other non current assets
-9.69%51.84M
----
----
-16.77%57.4M
----
----
6.03%68.97M
----
----
12.38%65.04M
Total non current assets
-2.46%26.32B
-1.20%27.44B
-1.20%27.44B
-3.27%26.98B
3.22%27.77B
3.22%27.77B
9.93%27.9B
16.48%26.9B
16.48%26.9B
18.47%25.38B
Total assets
-6.82%55.72B
2.33%61.81B
2.33%61.81B
-3.03%59.79B
2.87%60.4B
2.87%60.4B
10.81%61.66B
15.09%58.72B
15.09%58.72B
17.60%55.65B
Liabilities
Current liabilities
-Current debt and capital lease obligation
-17.54%19.54B
-5.05%22.31B
-5.05%22.31B
-3.68%23.7B
5.12%23.5B
5.12%23.5B
15.20%24.6B
29.99%22.35B
29.99%22.35B
14.31%21.36B
-Including:Current debt
-17.54%19.54B
-5.09%22.24B
-5.09%22.24B
-3.68%23.7B
5.13%23.43B
5.13%23.43B
15.20%24.6B
30.01%22.29B
30.01%22.29B
14.31%21.36B
-Including:Current capital Lease obligation
----
10.94%67.3M
10.94%67.3M
----
1.73%60.67M
1.73%60.67M
----
20.95%59.64M
20.95%59.64M
----
Payables
19.00%2.65B
12.96%3.8B
12.96%3.8B
-11.45%2.23B
8.71%3.37B
8.71%3.37B
32.56%2.51B
18.69%3.1B
18.69%3.1B
2.88%1.9B
-accounts payable
22.01%2.5B
25.39%2.87B
25.39%2.87B
-7.35%2.05B
15.38%2.29B
15.38%2.29B
33.23%2.22B
24.88%1.98B
24.88%1.98B
0.17%1.66B
-Total tax payable
-16.85%143.47M
-41.29%204.32M
-41.29%204.32M
-41.98%172.53M
5.67%348.05M
5.67%348.05M
27.77%297.35M
-11.70%329.37M
-11.70%329.37M
27.50%232.73M
-Other payable
----
-0.21%726.37M
-0.21%726.37M
----
-6.93%727.87M
-6.93%727.87M
----
21.01%782.03M
21.01%782.03M
----
Other current liabilities
-19.99%318.23M
8.81%235.88M
8.81%235.88M
-21.10%397.71M
-25.85%216.78M
-25.85%216.78M
43.15%504.07M
8.59%292.36M
8.59%292.36M
-8.98%352.14M
Current liabilities
-14.86%25.2B
-0.96%29.66B
-0.96%29.66B
-3.29%29.6B
5.46%29.94B
5.46%29.94B
16.18%30.6B
24.35%28.39B
24.35%28.39B
13.94%26.34B
Non current liabilities
-Long term debt and capital lease obligation
-2.11%7.27B
20.54%8.63B
20.54%8.63B
-3.84%7.43B
1.94%7.16B
1.94%7.16B
12.63%7.73B
13.00%7.03B
13.00%7.03B
16.28%6.86B
-Including:Long term debt
-2.11%7.27B
20.95%8.46B
20.95%8.46B
-3.84%7.43B
2.52%6.99B
2.52%6.99B
12.63%7.73B
13.64%6.82B
13.64%6.82B
16.28%6.86B
-Including:Long term capital lease obligation
----
3.46%174.89M
3.46%174.89M
----
-17.48%169.05M
-17.48%169.05M
----
-5.01%204.86M
-5.01%204.86M
----
-Derivative product liabilities
-13.09%17.62M
-53.94%11.38M
-53.94%11.38M
-57.01%20.27M
-55.32%24.7M
-55.32%24.7M
117.52%47.14M
10.92%55.28M
10.92%55.28M
-34.46%21.67M
Long-term accounts payable and other payables
----
-24.65%14.62M
-24.65%14.62M
----
48.02%19.4M
48.02%19.4M
----
195.69%13.11M
195.69%13.11M
----
Other non current liabilities
24.66%284.43M
-31.00%28.02M
-31.00%28.02M
8.92%228.16M
-30.66%40.6M
-30.66%40.6M
2.43%209.47M
20.74%58.56M
20.74%58.56M
4.64%204.5M
Total non current liabilities
-0.30%8.25B
19.61%9.4B
19.61%9.4B
-3.92%8.28B
1.76%7.86B
1.76%7.86B
12.38%8.62B
13.51%7.72B
13.51%7.72B
15.32%7.67B
Total liabilities
-11.67%33.45B
3.32%39.06B
3.32%39.06B
-3.43%37.87B
4.67%37.8B
4.67%37.8B
15.32%39.22B
21.86%36.12B
21.86%36.12B
14.25%34.01B
Shareholders'equity
Share capital
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
-common stock
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
0.00%8.46B
Retained earnings
5.10%13.92B
5.07%13.92B
5.07%13.92B
7.72%13.25B
12.94%13.24B
12.94%13.24B
13.55%12.3B
7.06%11.73B
7.06%11.73B
6.26%10.83B
Total stockholders'equity
1.73%19.77B
0.94%20.17B
0.94%20.17B
-1.89%19.43B
0.31%19.99B
0.31%19.99B
4.17%19.81B
5.52%19.92B
5.52%19.92B
15.35%19.01B
Noncontrolling interests
0.39%2.5B
-1.37%2.58B
-1.37%2.58B
-5.75%2.49B
-2.38%2.61B
-2.38%2.61B
0.41%2.64B
7.10%2.68B
7.10%2.68B
145.01%2.63B
Total equity
1.58%22.26B
0.67%22.75B
0.67%22.75B
-2.35%21.92B
-0.01%22.6B
-0.01%22.6B
3.71%22.44B
5.70%22.6B
5.70%22.6B
23.27%21.64B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -24.67%10.39B26.02%10.51B26.02%10.51B22.21%13.8B5.52%8.34B5.52%8.34B2.85%11.29B-9.13%7.9B-9.13%7.9B-16.31%10.98B
-Cash and cash equivalents -14.76%3.58B50.19%4.5B50.19%4.5B12.22%4.2B11.40%3B11.40%3B28.69%3.74B-0.50%2.69B-0.50%2.69B27.51%2.9B
-Short-term investments -29.00%6.82B12.45%6B12.45%6B27.16%9.6B2.48%5.34B2.48%5.34B-6.46%7.55B-13.03%5.21B-13.03%5.21B-25.53%8.07B
-Accounts receivable 3.30%5.63B-2.51%6.38B-2.51%6.38B-20.56%5.45B-4.16%6.55B-4.16%6.55B26.87%6.86B29.47%6.83B29.47%6.83B35.37%5.4B
-Gross accounts receivable -----2.47%6.42B-2.47%6.42B-----4.10%6.59B-4.10%6.59B----28.86%6.87B28.86%6.87B----
-Bad debt provision -----5.25%-38.06M-5.25%-38.06M-----8.74%-36.16M-8.74%-36.16M----34.66%-33.26M34.66%-33.26M----
-Other receivables -----6.96%765.46M-6.96%765.46M----2.48%822.74M2.48%822.74M----2.58%802.81M2.58%802.81M----
Inventory 0.75%10.58B-10.80%11.85B-10.80%11.85B-14.49%10.5B12.51%13.28B12.51%13.28B7.28%12.27B24.51%11.8B24.51%11.8B67.20%11.44B
Prepaid assets -----29.04%935.17M-29.04%935.17M-----14.85%1.32B-14.85%1.32B-----3.14%1.55B-3.14%1.55B----
Restricted cash ----30.91%1.74B30.91%1.74B-----32.16%1.33B-32.16%1.33B----72.92%1.96B72.92%1.96B----
Other current assets -17.37%1.59B-12.34%209.63M-12.34%209.63M-17.96%1.93B-10.47%239.14M-10.47%239.14M27.26%2.35B38.87%267.09M38.87%267.09M29.29%1.84B
Total current assets -10.40%29.4B5.34%34.37B5.34%34.37B-2.84%32.81B2.57%32.63B2.57%32.63B11.54%33.77B13.94%31.81B13.94%31.81B16.87%30.27B
Non current assets
Net PPE 4.96%15.65B6.43%15.77B6.43%15.77B3.11%14.91B4.38%14.81B4.38%14.81B8.76%14.46B11.11%14.19B11.11%14.19B16.35%13.29B
-Gross PP&E ----8.19%24.6B8.19%24.6B----4.73%22.74B4.73%22.74B----10.37%21.71B10.37%21.71B----
-Accumulated depreciation -----11.48%-8.84B-11.48%-8.84B-----5.40%-7.93B-5.40%-7.93B-----9.01%-7.52B-9.01%-7.52B----
Prepaid assets-Non current ----2.13%53.88M2.13%53.88M----3.62%52.76M3.62%52.76M-----12.74%50.91M-12.74%50.91M----
Total investment -24.37%4.08B-1.30%4.13B-1.30%4.13B-20.94%5.39B-32.76%4.18B-32.76%4.18B23.74%6.82B66.36%6.22B66.36%6.22B58.34%5.51B
-Long-term equity investment -6.93%3.49B-4.06%3.47B-4.06%3.47B1.53%3.75B3.09%3.61B3.09%3.61B4.97%3.69B4.66%3.51B4.66%3.51B15.38%3.51B
-Including:Available-for-sale securities -64.05%592.23M18.60%656.01M18.60%656.01M-47.42%1.65B-79.54%553.13M-79.54%553.13M56.76%3.13B629.15%2.7B629.15%2.7B358.80%2B
Financial assets -69.92%19.46M125.71%62.27M125.71%62.27M200.44%64.7M130.74%27.59M130.74%27.59M120.45%21.54M-80.46%11.96M-80.46%11.96M-43.45%9.77M
Goodwill and other intangible assets -3.20%5.21B-2.20%5.28B-2.20%5.28B-0.34%5.38B0.17%5.4B0.17%5.4B-0.41%5.4B-0.95%5.39B-0.95%5.39B1.27%5.42B
-Goodwill -----2.79%3.73B-2.79%3.73B----0.34%3.83B0.34%3.83B-----1.26%3.82B-1.26%3.82B----
-Other intangible assets -----0.76%1.56B-0.76%1.56B-----0.24%1.57B-0.24%1.57B-----0.18%1.57B-0.18%1.57B----
Other non current assets -9.69%51.84M---------16.77%57.4M--------6.03%68.97M--------12.38%65.04M
Total non current assets -2.46%26.32B-1.20%27.44B-1.20%27.44B-3.27%26.98B3.22%27.77B3.22%27.77B9.93%27.9B16.48%26.9B16.48%26.9B18.47%25.38B
Total assets -6.82%55.72B2.33%61.81B2.33%61.81B-3.03%59.79B2.87%60.4B2.87%60.4B10.81%61.66B15.09%58.72B15.09%58.72B17.60%55.65B
Liabilities
Current liabilities
-Current debt and capital lease obligation -17.54%19.54B-5.05%22.31B-5.05%22.31B-3.68%23.7B5.12%23.5B5.12%23.5B15.20%24.6B29.99%22.35B29.99%22.35B14.31%21.36B
-Including:Current debt -17.54%19.54B-5.09%22.24B-5.09%22.24B-3.68%23.7B5.13%23.43B5.13%23.43B15.20%24.6B30.01%22.29B30.01%22.29B14.31%21.36B
-Including:Current capital Lease obligation ----10.94%67.3M10.94%67.3M----1.73%60.67M1.73%60.67M----20.95%59.64M20.95%59.64M----
Payables 19.00%2.65B12.96%3.8B12.96%3.8B-11.45%2.23B8.71%3.37B8.71%3.37B32.56%2.51B18.69%3.1B18.69%3.1B2.88%1.9B
-accounts payable 22.01%2.5B25.39%2.87B25.39%2.87B-7.35%2.05B15.38%2.29B15.38%2.29B33.23%2.22B24.88%1.98B24.88%1.98B0.17%1.66B
-Total tax payable -16.85%143.47M-41.29%204.32M-41.29%204.32M-41.98%172.53M5.67%348.05M5.67%348.05M27.77%297.35M-11.70%329.37M-11.70%329.37M27.50%232.73M
-Other payable -----0.21%726.37M-0.21%726.37M-----6.93%727.87M-6.93%727.87M----21.01%782.03M21.01%782.03M----
Other current liabilities -19.99%318.23M8.81%235.88M8.81%235.88M-21.10%397.71M-25.85%216.78M-25.85%216.78M43.15%504.07M8.59%292.36M8.59%292.36M-8.98%352.14M
Current liabilities -14.86%25.2B-0.96%29.66B-0.96%29.66B-3.29%29.6B5.46%29.94B5.46%29.94B16.18%30.6B24.35%28.39B24.35%28.39B13.94%26.34B
Non current liabilities
-Long term debt and capital lease obligation -2.11%7.27B20.54%8.63B20.54%8.63B-3.84%7.43B1.94%7.16B1.94%7.16B12.63%7.73B13.00%7.03B13.00%7.03B16.28%6.86B
-Including:Long term debt -2.11%7.27B20.95%8.46B20.95%8.46B-3.84%7.43B2.52%6.99B2.52%6.99B12.63%7.73B13.64%6.82B13.64%6.82B16.28%6.86B
-Including:Long term capital lease obligation ----3.46%174.89M3.46%174.89M-----17.48%169.05M-17.48%169.05M-----5.01%204.86M-5.01%204.86M----
-Derivative product liabilities -13.09%17.62M-53.94%11.38M-53.94%11.38M-57.01%20.27M-55.32%24.7M-55.32%24.7M117.52%47.14M10.92%55.28M10.92%55.28M-34.46%21.67M
Long-term accounts payable and other payables -----24.65%14.62M-24.65%14.62M----48.02%19.4M48.02%19.4M----195.69%13.11M195.69%13.11M----
Other non current liabilities 24.66%284.43M-31.00%28.02M-31.00%28.02M8.92%228.16M-30.66%40.6M-30.66%40.6M2.43%209.47M20.74%58.56M20.74%58.56M4.64%204.5M
Total non current liabilities -0.30%8.25B19.61%9.4B19.61%9.4B-3.92%8.28B1.76%7.86B1.76%7.86B12.38%8.62B13.51%7.72B13.51%7.72B15.32%7.67B
Total liabilities -11.67%33.45B3.32%39.06B3.32%39.06B-3.43%37.87B4.67%37.8B4.67%37.8B15.32%39.22B21.86%36.12B21.86%36.12B14.25%34.01B
Shareholders'equity
Share capital 0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B
-common stock 0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B0.00%8.46B
Retained earnings 5.10%13.92B5.07%13.92B5.07%13.92B7.72%13.25B12.94%13.24B12.94%13.24B13.55%12.3B7.06%11.73B7.06%11.73B6.26%10.83B
Total stockholders'equity 1.73%19.77B0.94%20.17B0.94%20.17B-1.89%19.43B0.31%19.99B0.31%19.99B4.17%19.81B5.52%19.92B5.52%19.92B15.35%19.01B
Noncontrolling interests 0.39%2.5B-1.37%2.58B-1.37%2.58B-5.75%2.49B-2.38%2.61B-2.38%2.61B0.41%2.64B7.10%2.68B7.10%2.68B145.01%2.63B
Total equity 1.58%22.26B0.67%22.75B0.67%22.75B-2.35%21.92B-0.01%22.6B-0.01%22.6B3.71%22.44B5.70%22.6B5.70%22.6B23.27%21.64B
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