(FY)Sep 30, 2024 | (Q4)Sep 30, 2024 | (Q2)Mar 31, 2024 | (FY)Sep 30, 2023 | (Q4)Sep 30, 2023 | (Q2)Mar 31, 2023 | (FY)Sep 30, 2022 | (Q4)Sep 30, 2022 | (Q2)Mar 31, 2022 | (FY)Sep 30, 2021 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 22.65%529.64M | 22.65%529.64M | 35.97%473.3M | 57.27%431.83M | 57.27%431.83M | 37.67%348.08M | -41.80%274.59M | --274.59M | -28.65%252.84M | 65.27%471.8M |
-Cash and cash equivalents | 22.65%529.64M | 22.65%529.64M | 35.97%473.3M | 57.27%431.83M | 57.27%431.83M | 37.67%348.08M | -41.80%274.59M | --274.59M | -28.65%252.84M | 65.27%471.8M |
-Accounts receivable | 7.80%315.29M | 7.80%315.29M | 3.17%329.16M | 2.10%292.49M | 2.10%292.49M | -1.29%319.06M | 12.43%286.47M | --286.47M | 2.54%323.22M | -6.26%254.81M |
-Taxes receivable | ---- | ---- | ---- | -12.02%8.91M | -12.02%8.91M | ---- | -29.74%10.13M | --10.13M | ---- | 14.01%14.41M |
-Other receivables | 84.17%158.78M | 84.17%158.78M | 63.09%98.1M | 196.13%86.22M | 196.13%86.22M | -4.49%60.15M | 10.49%29.11M | --29.11M | 9.29%62.98M | -65.16%26.35M |
Inventory | 2.34%332.3M | 2.34%332.3M | -8.42%330.42M | -16.14%324.7M | -16.14%324.7M | 0.91%360.79M | 30.12%387.21M | --387.21M | 37.05%357.55M | 0.29%297.58M |
Prepaid assets | ---- | ---- | ---- | -81.22%14.78M | -81.22%14.78M | ---- | 547.82%78.7M | --78.7M | ---- | -19.94%12.15M |
Current deferred assets | ---- | ---- | ---- | -44.64%93K | -44.64%93K | ---- | 19.15%168K | --168K | ---- | -78.80%141K |
Total current assets | 14.76%1.34B | 14.76%1.34B | 13.13%1.23B | 9.15%1.16B | 9.15%1.16B | 9.18%1.09B | -1.04%1.07B | --1.07B | 0.86%996.58M | 12.41%1.08B |
Non current assets | ||||||||||
Net PPE | 6.64%1.01B | 6.64%1.01B | 0.25%936.53M | 16.65%946.43M | 16.65%946.43M | 17.07%934.24M | 6.75%811.33M | --811.33M | 4.04%798M | -1.50%760.02M |
-Gross PPE | ---- | ---- | ---- | 7.16%1.79B | 7.16%1.79B | ---- | 4.33%1.67B | --1.67B | ---- | 1.34%1.6B |
-Accumulated depreciation | ---- | ---- | ---- | 1.79%-844.83M | 1.79%-844.83M | ---- | -2.14%-860.23M | ---860.23M | ---- | -4.04%-842.18M |
Goodwill and other intangible assets | 1.41%268.33M | 1.41%268.33M | -8.12%260.32M | 58.15%264.6M | 58.15%264.6M | 67.91%283.32M | -2.01%167.31M | --167.31M | -1.59%168.73M | 6.02%170.74M |
-Goodwill | ---- | ---- | ---- | 66.00%142.68M | 66.00%142.68M | ---- | -15.68%85.95M | --85.95M | ---- | 8.97%101.93M |
-Other intangible assets | 120.09%268.33M | 120.09%268.33M | -8.12%260.32M | 49.86%121.92M | 49.86%121.92M | 67.91%283.32M | 18.23%81.35M | --81.35M | -1.59%168.73M | 1.92%68.81M |
Total non current assets | -2.31%3.87B | -2.31%3.87B | -2.68%3.88B | 1.11%3.96B | 1.11%3.96B | 2.56%3.99B | 1.84%3.91B | --3.91B | 2.10%3.89B | 0.72%3.84B |
Total assets | 1.57%5.2B | 1.57%5.2B | 0.71%5.11B | 2.83%5.12B | 2.83%5.12B | 3.91%5.08B | 1.21%4.98B | --4.98B | 1.84%4.89B | 3.07%4.92B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 55.24%518.16M | 55.24%518.16M | 8.72%476.92M | 6.81%333.78M | 6.81%333.78M | 5.13%438.67M | 20.17%312.5M | --312.5M | 4.51%417.25M | 4.78%260.05M |
-accounts payable | 4.85%227.24M | 4.85%227.24M | 2.73%227.13M | -2.36%216.72M | -2.36%216.72M | 7.03%221.09M | 25.95%221.96M | --221.96M | 19.51%206.57M | 9.37%176.22M |
-Other payable | 148.53%290.93M | 148.53%290.93M | 14.80%249.79M | 29.29%117.06M | 29.29%117.06M | 3.28%217.58M | 8.01%90.54M | --90.54M | -6.95%210.68M | -3.71%83.83M |
Current debt and capital lease obligation | -30.70%240.26M | -30.70%240.26M | 139.92%267.32M | 453.87%346.68M | 453.87%346.68M | -64.45%111.42M | -85.75%62.59M | --62.59M | 44.76%313.4M | 670.98%439.22M |
-Current debt | -31.28%233.1M | -31.28%233.1M | 151.69%260.07M | 557.30%339.21M | 557.30%339.21M | -66.03%103.33M | -87.93%51.61M | --51.61M | 49.46%304.19M | 901.32%427.57M |
-Current capital lease obligation | -4.06%7.16M | -4.06%7.16M | -10.32%7.25M | -32.05%7.46M | -32.05%7.46M | -12.19%8.09M | -5.68%10.98M | --10.98M | -28.93%9.21M | -18.38%11.65M |
Current liabilities | -4.61%796.1M | -4.61%796.1M | 33.12%782.01M | 54.22%834.62M | 54.22%834.62M | -24.55%587.44M | -37.52%541.19M | --541.19M | 16.68%778.57M | 78.69%866.23M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 16.19%959.62M | 16.19%959.62M | -12.10%919.01M | -5.40%825.92M | -5.40%825.92M | 85.39%1.05B | 62.94%873.06M | --873.06M | -15.15%563.97M | -34.74%535.8M |
-Long term debt | 17.32%931.99M | 17.32%931.99M | -12.08%889.22M | -5.17%794.4M | -5.17%794.4M | 90.97%1.01B | 67.78%837.67M | --837.67M | -16.74%529.58M | -37.27%499.26M |
-Long term capital lease obligation | -12.36%27.63M | -12.36%27.63M | -12.90%29.79M | -10.91%31.53M | -10.91%31.53M | -0.52%34.21M | -3.16%35.39M | --35.39M | 20.10%34.39M | 45.18%36.54M |
Total non current liabilities | 15.93%1.03B | 15.93%1.03B | -11.98%979.77M | -5.61%884.67M | -5.61%884.67M | 77.09%1.11B | 55.22%937.22M | --937.22M | -14.58%628.52M | -32.48%603.8M |
Total liabilities | 5.96%1.82B | 5.96%1.82B | 3.60%1.76B | 16.29%1.72B | 16.29%1.72B | 20.85%1.7B | 0.57%1.48B | --1.48B | 0.29%1.41B | 6.60%1.47B |
Shareholders'equity | ||||||||||
Share capital | 0.22%865.72M | 0.22%865.72M | 0.22%865.72M | 0.27%863.8M | 0.27%863.8M | 0.27%863.8M | 0.31%861.46M | --861.46M | 0.31%861.46M | 0.35%858.83M |
-common stock | 0.22%865.72M | 0.22%865.72M | 0.22%865.72M | 0.27%863.8M | 0.27%863.8M | 0.27%863.8M | 0.31%861.46M | --861.46M | 0.31%861.46M | 0.35%858.83M |
Less: Treasury stock | --935K | --935K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total stockholders'equity | -2.80%2.86B | -2.80%2.86B | -1.33%2.88B | -3.98%2.95B | -3.98%2.95B | -3.74%2.92B | 1.66%3.07B | --3.07B | 2.76%3.04B | 1.72%3.02B |
Noncontrolling interests | 13.29%515.77M | 13.29%515.77M | 3.04%466.24M | 5.16%455.29M | 5.16%455.29M | 2.51%452.47M | 0.27%432.95M | --432.95M | 0.68%441.4M | 1.09%431.77M |
Total equity | -0.64%3.38B | -0.64%3.38B | -0.74%3.35B | -2.85%3.4B | -2.85%3.4B | -2.95%3.38B | 1.48%3.5B | --3.5B | 2.49%3.48B | 1.64%3.45B |
Currency Unit | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD |
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