SG Stock MarketDetailed Quotes

H20 Hoe Leong

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  • 0.002
  • 0.0000.00%
10min DelayMarket Closed Nov 15 15:11 CST
30.20MMarket Cap0.00P/E (TTM)

Hoe Leong Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(Q3)Sep 30, 2020
Operating cash flow (Indirect Method)
Cash from operating activities
-171.07%-1.69M
137.07%2.38M
-329.66%-6.43M
-1,494.05%-1.17M
-213.62%-1.47M
-476.54%-3M
-132.66%-779K
-57.04%2.8M
152.83%84K
-110.63%-470K
Net profit before non-cash adjustment
-23.32%457K
-67.07%596K
-20.23%1.81M
-151.40%-843K
253.62%2.54M
2,966.67%644K
-380.91%-529K
113.66%2.27M
130.63%1.64M
106.95%718K
Total adjustment of non-cash items
80.33%-1.22M
-54.01%-6.22M
-69.45%-4.04M
89.61%-246K
-1,219.60%-2.8M
-385.84%-1.1M
392.86%123K
-113.12%-2.38M
-152.06%-2.37M
-97.92%250K
-Depreciation and amortization
-13.99%1.28M
-11.54%1.49M
-10.92%1.68M
-1.75%393K
-12.50%420K
-14.82%431K
-12.60%437K
-43.67%1.89M
-55.60%400K
-48.94%480K
-Reversal of impairment losses recognized in profit and loss
44.85%-3.25M
-254.79%-5.89M
-88.54%-1.66M
-16,866.67%-509K
-294.38%-351K
----
41.19%-434K
-106.23%-881K
-100.04%-3K
-101.46%-89K
-Assets reserve and write-off
87.50%-1K
99.78%-8K
-1,641.13%-3.56M
-344.62%-318K
-1,600.00%-3.03M
-238.60%-579K
----
125.05%231K
102.30%130K
-95.72%202K
-Disposal profit
98.51%-36K
-122.49%-2.41M
73.79%-1.09M
99.90%-3K
99.79%-1K
-48.05%-1.06M
----
-843.09%-4.14M
-639.61%-3.01M
-46,700.00%-468K
-Remuneration paid in stock
-42.86%8K
--14K
--0
----
----
----
----
----
----
----
-Pension and employee benefit expenses
-31.60%223K
--326K
----
----
----
----
----
----
----
----
-Other non-cash items
105.95%554K
-54.17%269K
13.10%587K
63.25%191K
30.40%163K
-18.12%113K
-13.67%120K
-50.19%519K
-53.94%117K
-52.29%125K
Changes in working capital
-111.58%-927K
290.69%8.01M
-244.16%-4.2M
-110.11%-82K
15.58%-1.21M
-354.19%-2.55M
-114.70%-373K
-41.36%2.91M
25.15%811K
-152.54%-1.44M
-Change in receivables
-106.57%-208K
171.42%3.17M
-466.31%-4.44M
-286.66%-2.81M
121.42%260K
-111,300.00%-2.22M
-62.73%341K
-34.54%1.21M
69.33%1.51M
-2,123.33%-1.21M
-Change in inventory
-88.54%676K
589.25%5.9M
-64.17%856K
734.14%2.88M
-373.24%-1.4M
-1,015.28%-803K
-92.55%179K
-47.04%2.39M
-136.35%-454K
-78.63%512K
-Change in payables
-31.23%-1.4M
-72.01%-1.06M
10.17%-618K
38.84%-148K
89.81%-75K
-55.22%480K
-14.19%-893K
50.68%-688K
83.77%-242K
-361.92%-736K
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
-25.21%178K
23,900.00%238K
99.14%-1K
327.27%25K
158.18%32K
-82.35%-31K
18.18%-27K
64.53%-116K
95.77%-11K
17.91%-55K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-157.82%-1.52M
140.77%2.62M
-339.63%-6.43M
-1,669.86%-1.15M
-174.67%-1.44M
-488.72%-3.03M
-134.27%-806K
-56.64%2.68M
117.42%73K
-112.05%-525K
Investing cash flow
Net PPE purchase and sale
-120.53%-519K
1,473.91%2.53M
27.27%-184K
129.03%9K
24.36%-59K
-112.70%-134K
----
84.73%-253K
-141.33%-31K
-609.09%-78K
Net business purchase and sale
----
----
----
----
----
----
----
1,456.81%10.17M
274.77%2.47M
--5.38M
Investing cash flow
-120.53%-519K
1,473.91%2.53M
-101.86%-184K
-99.63%9K
-101.11%-59K
-112.70%-134K
----
1,092.29%9.91M
229.95%2.44M
48,318.18%5.3M
Financing cash flow
Net issuance payments of debt
127.91%1.36M
-154.60%-4.88M
188.85%8.93M
1,437.82%3.18M
112.10%584K
10,219.15%4.85M
104.29%220K
-118.64%-10.05M
75.89%-238K
-140.15%-4.83M
Net common stock issuance
-41.47%1.85M
--3.15M
--0
----
----
----
----
----
----
----
Increase or decrease of lease financing
11.71%-822K
-9.79%-931K
-1.56%-848K
19.13%-224K
-134.74%-223K
54.55%-85K
-20.65%-222K
-26.71%-835K
6.42%-277K
59.92%-95K
Interest paid (cash flow from financing activities)
-9.92%-554K
-2.65%-504K
5.39%-491K
25.29%-130K
-27.72%-129K
-6.67%-112K
13.67%-120K
39.93%-519K
-1.75%-174K
55.11%-101K
Financing cash flow
157.98%1.83M
-141.59%-3.16M
166.56%7.59M
510.74%2.83M
104.62%232K
1,999.18%4.65M
97.76%-122K
-86.36%-11.41M
52.61%-689K
-103.20%-5.02M
Net cash flow
Beginning cash position
53.29%4.67M
-1.96%3.04M
24.25%3.11M
-7.97%1.32M
50.28%3.44M
36.02%1.96M
24.25%3.11M
-23.44%2.5M
-47.06%1.43M
46.98%2.29M
Current changes in cash
-110.20%-203K
102.65%1.99M
-17.34%982K
-6.93%1.69M
-420.08%-1.27M
215.04%1.49M
-7.78%-928K
227.19%1.19M
260.26%1.82M
-113.03%-244K
Effect of exchange rate changes
-176.63%-1.02M
64.72%-368K
-79.21%-1.04M
123.45%34K
-39.05%-851K
-102.67%-10K
-10.15%-217K
-444.38%-582K
-115.57%-145K
15.70%-612K
End cash Position
-26.17%3.45M
53.29%4.67M
-1.96%3.04M
-1.96%3.04M
-7.97%1.32M
50.28%3.44M
36.02%1.96M
24.25%3.11M
24.25%3.11M
-47.06%1.43M
Free cash flow
-191.50%-2.09M
134.34%2.28M
-384.46%-6.65M
-1,970.49%-1.14M
-140.73%-1.52M
-572.21%-3.18M
-136.13%-806K
-47.88%2.34M
116.90%61K
-114.62%-631K
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(Q3)Sep 30, 2020
Operating cash flow (Indirect Method)
Cash from operating activities -171.07%-1.69M137.07%2.38M-329.66%-6.43M-1,494.05%-1.17M-213.62%-1.47M-476.54%-3M-132.66%-779K-57.04%2.8M152.83%84K-110.63%-470K
Net profit before non-cash adjustment -23.32%457K-67.07%596K-20.23%1.81M-151.40%-843K253.62%2.54M2,966.67%644K-380.91%-529K113.66%2.27M130.63%1.64M106.95%718K
Total adjustment of non-cash items 80.33%-1.22M-54.01%-6.22M-69.45%-4.04M89.61%-246K-1,219.60%-2.8M-385.84%-1.1M392.86%123K-113.12%-2.38M-152.06%-2.37M-97.92%250K
-Depreciation and amortization -13.99%1.28M-11.54%1.49M-10.92%1.68M-1.75%393K-12.50%420K-14.82%431K-12.60%437K-43.67%1.89M-55.60%400K-48.94%480K
-Reversal of impairment losses recognized in profit and loss 44.85%-3.25M-254.79%-5.89M-88.54%-1.66M-16,866.67%-509K-294.38%-351K----41.19%-434K-106.23%-881K-100.04%-3K-101.46%-89K
-Assets reserve and write-off 87.50%-1K99.78%-8K-1,641.13%-3.56M-344.62%-318K-1,600.00%-3.03M-238.60%-579K----125.05%231K102.30%130K-95.72%202K
-Disposal profit 98.51%-36K-122.49%-2.41M73.79%-1.09M99.90%-3K99.79%-1K-48.05%-1.06M-----843.09%-4.14M-639.61%-3.01M-46,700.00%-468K
-Remuneration paid in stock -42.86%8K--14K--0----------------------------
-Pension and employee benefit expenses -31.60%223K--326K--------------------------------
-Other non-cash items 105.95%554K-54.17%269K13.10%587K63.25%191K30.40%163K-18.12%113K-13.67%120K-50.19%519K-53.94%117K-52.29%125K
Changes in working capital -111.58%-927K290.69%8.01M-244.16%-4.2M-110.11%-82K15.58%-1.21M-354.19%-2.55M-114.70%-373K-41.36%2.91M25.15%811K-152.54%-1.44M
-Change in receivables -106.57%-208K171.42%3.17M-466.31%-4.44M-286.66%-2.81M121.42%260K-111,300.00%-2.22M-62.73%341K-34.54%1.21M69.33%1.51M-2,123.33%-1.21M
-Change in inventory -88.54%676K589.25%5.9M-64.17%856K734.14%2.88M-373.24%-1.4M-1,015.28%-803K-92.55%179K-47.04%2.39M-136.35%-454K-78.63%512K
-Change in payables -31.23%-1.4M-72.01%-1.06M10.17%-618K38.84%-148K89.81%-75K-55.22%480K-14.19%-893K50.68%-688K83.77%-242K-361.92%-736K
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 -25.21%178K23,900.00%238K99.14%-1K327.27%25K158.18%32K-82.35%-31K18.18%-27K64.53%-116K95.77%-11K17.91%-55K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -157.82%-1.52M140.77%2.62M-339.63%-6.43M-1,669.86%-1.15M-174.67%-1.44M-488.72%-3.03M-134.27%-806K-56.64%2.68M117.42%73K-112.05%-525K
Investing cash flow
Net PPE purchase and sale -120.53%-519K1,473.91%2.53M27.27%-184K129.03%9K24.36%-59K-112.70%-134K----84.73%-253K-141.33%-31K-609.09%-78K
Net business purchase and sale ----------------------------1,456.81%10.17M274.77%2.47M--5.38M
Investing cash flow -120.53%-519K1,473.91%2.53M-101.86%-184K-99.63%9K-101.11%-59K-112.70%-134K----1,092.29%9.91M229.95%2.44M48,318.18%5.3M
Financing cash flow
Net issuance payments of debt 127.91%1.36M-154.60%-4.88M188.85%8.93M1,437.82%3.18M112.10%584K10,219.15%4.85M104.29%220K-118.64%-10.05M75.89%-238K-140.15%-4.83M
Net common stock issuance -41.47%1.85M--3.15M--0----------------------------
Increase or decrease of lease financing 11.71%-822K-9.79%-931K-1.56%-848K19.13%-224K-134.74%-223K54.55%-85K-20.65%-222K-26.71%-835K6.42%-277K59.92%-95K
Interest paid (cash flow from financing activities) -9.92%-554K-2.65%-504K5.39%-491K25.29%-130K-27.72%-129K-6.67%-112K13.67%-120K39.93%-519K-1.75%-174K55.11%-101K
Financing cash flow 157.98%1.83M-141.59%-3.16M166.56%7.59M510.74%2.83M104.62%232K1,999.18%4.65M97.76%-122K-86.36%-11.41M52.61%-689K-103.20%-5.02M
Net cash flow
Beginning cash position 53.29%4.67M-1.96%3.04M24.25%3.11M-7.97%1.32M50.28%3.44M36.02%1.96M24.25%3.11M-23.44%2.5M-47.06%1.43M46.98%2.29M
Current changes in cash -110.20%-203K102.65%1.99M-17.34%982K-6.93%1.69M-420.08%-1.27M215.04%1.49M-7.78%-928K227.19%1.19M260.26%1.82M-113.03%-244K
Effect of exchange rate changes -176.63%-1.02M64.72%-368K-79.21%-1.04M123.45%34K-39.05%-851K-102.67%-10K-10.15%-217K-444.38%-582K-115.57%-145K15.70%-612K
End cash Position -26.17%3.45M53.29%4.67M-1.96%3.04M-1.96%3.04M-7.97%1.32M50.28%3.44M36.02%1.96M24.25%3.11M24.25%3.11M-47.06%1.43M
Free cash flow -191.50%-2.09M134.34%2.28M-384.46%-6.65M-1,970.49%-1.14M-140.73%-1.52M-572.21%-3.18M-136.13%-806K-47.88%2.34M116.90%61K-114.62%-631K
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

Analyst Rating

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Price Target

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Heat List
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Symbol
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% Chg

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