(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 | 697.63%27.64M | -25.76%2.35M | -25.76%2.35M | 9.17%3.47M | -53.26%3.16M | -53.26%3.16M | -49.25%3.17M | -52.46%6.77M | -52.46%6.77M | -11.19%6.25M |
-Cash and cash equivalents | 697.63%27.64M | -25.76%2.35M | -25.76%2.35M | 9.17%3.47M | -53.26%3.16M | -53.26%3.16M | -49.25%3.17M | -32.26%6.77M | -32.26%6.77M | -0.08%6.25M |
-Accounts receivable | --0 | 38.68%147K | 38.68%147K | --0 | 92.73%106K | 92.73%106K | 31.79%199K | -68.57%55K | -68.57%55K | -94.20%151K |
-Taxes receivable | -80.00%3K | -60.26%455K | -60.26%455K | -99.39%15K | 229.97%1.15M | 229.97%1.15M | 160.36%2.46M | -22.89%347K | -22.89%347K | 4,630.00%946K |
-Other receivables | 0.00%12K | -80.60%13K | -80.60%13K | -87.50%12K | 139.29%67K | 139.29%67K | 231.03%96K | -30.00%28K | -30.00%28K | --29K |
Inventory | --0 | -24.14%22.06M | -24.14%22.06M | -99.82%93K | 6.48%29.08M | 6.48%29.08M | 70.86%51.15M | 57.63%27.31M | 57.63%27.31M | 25.38%29.93M |
Prepaid assets | 79.41%61K | -58.65%636K | -58.65%636K | -93.58%34K | -48.51%1.54M | -48.51%1.54M | -14.79%530K | 18.48%2.99M | 18.48%2.99M | --622K |
Total current assets | 17.44%99.49M | -26.90%25.66M | -26.90%25.66M | 47.06%84.72M | -6.39%35.1M | -6.39%35.1M | 51.86%57.61M | 7.90%37.49M | 7.90%37.49M | 13.11%37.94M |
Non current assets | ||||||||||
Net PPE | -99.51%8K | -14.86%44.08M | -14.86%44.08M | -97.40%1.62M | 18.73%51.78M | 18.73%51.78M | 234.70%62.35M | 147.91%43.61M | 147.91%43.61M | 20.01%18.63M |
-Gross PP&E | -99.51%8K | -12.32%57.29M | -12.32%57.29M | -97.40%1.62M | 16.80%65.34M | 16.80%65.34M | 234.70%62.35M | 100.04%55.94M | 100.04%55.94M | 20.01%18.63M |
-Accumulated depreciation | ---- | 2.62%-13.21M | 2.62%-13.21M | ---- | -9.97%-13.57M | -9.97%-13.57M | ---- | -18.88%-12.34M | -18.88%-12.34M | ---- |
-Long term equity investment | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | ---- |
Goodwill and other intangible assets | --0 | -7.43%436K | -7.43%436K | -92.24%51K | 1.29%471K | 1.29%471K | 38.32%657K | 0.65%465K | 0.65%465K | --475K |
-Goodwill | --0 | -7.43%436K | -7.43%436K | -92.24%51K | 1.29%471K | 1.29%471K | 38.32%657K | 0.65%465K | 0.65%465K | --475K |
Other non current assets | --1K | -6.67%14K | -6.67%14K | ---- | -31.82%15K | -31.82%15K | 21.88%39K | -8.33%22K | -8.33%22K | 3.23%32K |
Total non current assets | -99.46%9K | -15.04%53.51M | -15.04%53.51M | -97.66%1.67M | 21.94%62.99M | 21.94%62.99M | 184.12%71.4M | 99.56%51.65M | 99.56%51.65M | -1.18%25.13M |
Total assets | 15.18%99.5M | -19.29%79.17M | -19.29%79.17M | -33.04%86.39M | 10.02%98.08M | 10.02%98.08M | 104.56%129.01M | 47.03%89.14M | 47.03%89.14M | 6.95%63.07M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Current debt and capital lease obligation | --0 | -17.38%5.13M | -17.38%5.13M | --0 | -16.28%6.21M | -16.28%6.21M | 81.37%10.96M | 10.17%7.42M | 10.17%7.42M | -23.88%6.04M |
-Current debt | --0 | -22.23%3.92M | -22.23%3.92M | --0 | -20.00%5.04M | -20.00%5.04M | 74.57%9.34M | 3.52%6.3M | 3.52%6.3M | -28.11%5.35M |
-Current capital lease obligation | --0 | 3.40%1.22M | 3.40%1.22M | --0 | 4.63%1.18M | 4.63%1.18M | 133.96%1.62M | 72.24%1.12M | 72.24%1.12M | 39.80%692K |
Payables | 84.62%1.54M | 37.76%2.39M | 37.76%2.39M | -77.65%832K | -10.63%1.73M | -10.63%1.73M | 57.29%3.72M | -27.85%1.94M | -27.85%1.94M | -23.47%2.37M |
-accounts payable | 632.14%615K | 247.21%934K | 247.21%934K | -95.79%84K | -34.71%269K | -34.71%269K | 160.44%2M | 27.16%412K | 27.16%412K | -75.22%766K |
-Total tax payable | 154.63%275K | 3.77%660K | 3.77%660K | -83.83%108K | 16.70%636K | 16.70%636K | -9.24%668K | -27.91%545K | -27.91%545K | 36,700.00%736K |
-Dividends payable | 0.00%171K | 0.00%171K | 0.00%171K | 0.00%171K | 0.00%171K | 0.00%171K | 23.02%171K | 228.85%171K | 228.85%171K | --139K |
-Other payable | 1.28%475K | -5.34%621K | -5.34%621K | -47.24%469K | -19.01%656K | -19.01%656K | 22.45%889K | -47.88%810K | -47.88%810K | --726K |
Current provisions | 15.22%159K | -8.70%619K | -8.70%619K | -85.41%138K | 7.96%678K | 7.96%678K | 73.90%946K | -10.29%628K | -10.29%628K | -9.18%544K |
Other current liabilities | --27.2M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Current liabilities | 101.83%53.05M | -15.28%11.67M | -15.28%11.67M | 65.52%26.29M | 23.28%13.77M | 23.28%13.77M | 73.93%15.88M | -1.18%11.17M | -1.18%11.17M | -22.19%9.13M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | --0 | -7.02%5.03M | -7.02%5.03M | --0 | -7.42%5.41M | -7.42%5.41M | 45.77%8.83M | 4.60%5.85M | 4.60%5.85M | 29.72%6.06M |
-Long term debt | --0 | 76.04%1.99M | 76.04%1.99M | --0 | 150.22%1.13M | 150.22%1.13M | -37.34%636K | -57.40%452K | -57.40%452K | 96.32%1.02M |
-Long term capital lease obligation | --0 | -28.95%3.04M | -28.95%3.04M | --0 | -20.63%4.28M | -20.63%4.28M | 62.50%8.2M | 19.12%5.4M | 19.12%5.4M | 21.43%5.04M |
Total non current liabilities | --0 | -10.97%10.17M | -10.97%10.17M | --0 | 10.57%11.42M | 10.57%11.42M | 137.52%15.11M | 74.27%10.33M | 74.27%10.33M | 27.44%6.36M |
Total liabilities | 101.83%53.05M | -13.33%21.84M | -13.33%21.84M | -15.19%26.29M | 17.18%25.19M | 17.18%25.19M | 100.05%30.99M | 24.78%21.5M | 24.78%21.5M | -7.37%15.49M |
Shareholders'equity | ||||||||||
Share capital | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.03%40.67M |
-common stock | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.00%40.67M | 0.03%40.67M |
Retained earnings | -68.13%7.85M | -16.46%21.69M | -16.46%21.69M | -22.54%24.62M | -7.10%25.96M | -7.10%25.96M | 34.27%31.78M | 35.37%27.95M | 35.37%27.95M | 44.76%23.67M |
Total stockholders'equity | -22.71%46.4M | -21.34%57.28M | -21.34%57.28M | -38.72%60.04M | 7.73%72.83M | 7.73%72.83M | 106.10%97.97M | 55.88%67.6M | 55.88%67.6M | 12.62%47.54M |
Noncontrolling interests | -31.25%44K | -23.73%45K | -23.73%45K | 42.22%64K | 37.21%59K | 37.21%59K | 18.42%45K | 34.38%43K | 34.38%43K | 8.57%38K |
Total equity | -22.72%46.45M | -21.35%57.33M | -21.35%57.33M | -38.68%60.1M | 7.75%72.89M | 7.75%72.89M | 106.03%98.02M | 55.87%67.64M | 55.87%67.64M | 12.62%47.57M |
Currency Unit | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD |
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