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Q0F IHH

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  • 2.170
  • +0.020+0.93%
10min DelayNot Open Dec 13 16:34 CST
19.12BMarket Cap23.09P/E (TTM)

IHH Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating cash flow (Indirect Method)
Cash from operating activities
-12.42%1.4B
25.39%1.26B
22.69%951.41M
3.03%4.41B
6.12%1.04B
22.35%1.59B
-30.25%1B
38.19%775.43M
6.50%4.28B
-25.45%979.47M
Net profit before non-cash adjustment
-18.66%824M
65.97%900.39M
-48.08%930.61M
82.64%4.05B
243.48%701.3M
97.37%1.01B
-38.25%542.49M
188.58%1.79B
-13.25%2.22B
-70.16%204.18M
Total adjustment of non-cash items
16.44%503M
-5.34%486.04M
177.14%463.96M
-63.66%730.95M
-57.43%386.95M
-38.11%432M
4,015.66%513.47M
-253.51%-601.47M
17.58%2.01B
100.32%909M
-Depreciation and amortization
-8.13%384M
26.20%426.03M
12.06%413.97M
7.35%1.51B
5.61%384.95M
19.49%418M
-11.71%337.59M
19.22%369.42M
6.81%1.41B
134.52%364.49M
-Reversal of impairment losses recognized in profit and loss
47.83%34M
-15.72%18.75M
-25.86%27.25M
-79.39%122.52M
-92.73%40.52M
-83.62%23M
119.25%22.25M
193.64%36.75M
112.08%594.49M
206.62%557.09M
-Share of associates
-33.33%-8M
-21.73%-6.56M
-12.55%-7.45M
32.47%-26.25M
6.70%-8.25M
39.25%-6M
54.06%-5.39M
21.53%-6.62M
69.13%-38.87M
-106.72%-8.84M
-Disposal profit
360.71%146M
-259.50%-53.24M
105.05%49.24M
-2,752.24%-1.02B
189.13%27.41M
-4,675.16%-56M
-107.63%-14.81M
-99,304.89%-974.19M
88.60%-35.68M
86.38%-30.75M
-Net exchange gains and losses
----
----
-35.56%-22M
----
----
----
----
---16.23M
----
----
-Remuneration paid in stock
-66.67%1M
-11.50%1.58M
-35.86%1.42M
132.42%7.71M
-68.29%714K
299,900.00%3M
245.54%1.78M
303.09%2.22M
-44.14%3.32M
325.71%2.25M
-Other non-cash items
168.33%82M
-50.28%77.47M
111.96%1.53M
65.13%134.61M
350.84%111.61M
-155.46%-120M
166.04%155.82M
-116.79%-12.82M
-85.02%81.52M
-88.23%24.76M
Changes in working capital
-53.69%69M
-146.80%-126.84M
-6.63%-443.16M
-762.26%-366.84M
63.47%-48.84M
62.73%149M
-109.35%-51.39M
8.02%-415.61M
122.69%55.39M
-175.98%-133.71M
-Change in receivables
-121.88%-497M
-504.76%-544.13M
-57.98%-451.88M
5.14%-550.15M
115.27%49.85M
12.94%-224M
-146.64%-89.97M
-51.31%-286.03M
43.96%-579.93M
-3.56%-326.49M
-Change in inventory
77.78%-18M
67.13%-12.29M
26.84%-59.71M
-75.99%-195.57M
115.46%4.43M
-1.61%-81M
-243.47%-37.39M
-183.33%-81.61M
20.31%-111.12M
56.01%-28.66M
-Change in payables
28.63%584M
465.44%429.58M
242.62%68.42M
-49.24%378.88M
-146.57%-103.12M
5.93%454M
-77.01%75.97M
79.50%-47.97M
-19.74%746.45M
-60.20%221.44M
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
-37.79%-237M
4.20%-196.93M
-4.92%-120.08M
-6.14%-653.98M
-41.26%-161.98M
11.96%-172M
1.84%-205.56M
-18.35%-114.45M
-25.66%-616.13M
33.20%-114.67M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-18.50%1.16B
33.00%1.06B
25.77%831.34M
2.50%3.76B
1.46%877.43M
28.40%1.42B
-35.09%799.02M
42.32%660.99M
3.84%3.67B
-24.29%864.8M
Investing cash flow
Net PPE purchase and sale
7.58%-622M
-79.63%-708.84M
-167.01%-615.16M
-12.66%-1.84B
-37.78%-542.1M
-41.74%-673M
14.99%-394.61M
23.43%-230.39M
-71.82%-1.63B
-30.30%-393.47M
Net intangibles purchase and sale
80.17%-23M
-1,104.87%-30.42M
-356.79%-29.58M
-52.52%-72.98M
410.02%52.02M
-386.33%-116M
-25.31%-2.53M
-24.50%-6.48M
-74.92%-47.85M
-19.23%-16.78M
Net business purchase and sale
-116.67%-2M
-596.52%-22.02M
-122.69%-208.98M
1,904.80%904.66M
---25.34M
123.94%12M
---3.16M
--921.16M
-125.59%-50.13M
--0
Net investment property transactions
-1,320.00%-71M
-116.44%-1.92M
69.54%-5.08M
62.91%-76.75M
-772.51%-66.75M
97.36%-5M
248.30%11.68M
-740.73%-16.68M
-2.67%-206.94M
94.28%-7.65M
Net investment product transactions
-57.41%-170M
-297.43%-224.96M
-71.49%30.96M
-114.89%-56.03M
-100.35%-26K
-11.68%-108M
-189.25%-56.6M
42,857.09%108.6M
-138.24%-26.07M
-92.21%7.47M
Dividends received (cash flow from investment activities)
--0
-89.16%1.67M
-97.58%329K
25.99%31.34M
80.51%2.34M
--0
-21.84%15.42M
638.44%13.58M
-22.51%24.88M
11.61%1.3M
Interest received (cash flow from investment activities)
-56.67%13M
63.31%26.22M
49.47%38.79M
6.34%91.02M
129.27%19.02M
57.83%30M
-56.58%16.05M
21.69%25.95M
64.56%85.6M
-29.41%8.3M
Net changes in other investments
---2M
---694K
--67.69M
--82.54M
--543K
----
----
----
----
----
Investing cash flow
-12.72%-877M
-132.26%-960.97M
-188.39%-721.03M
49.50%-936.29M
-39.78%-560.29M
4.41%-778M
-16.88%-413.75M
386.08%815.75M
-125.62%-1.85B
-170.18%-400.83M
Financing cash flow
Net issuance payments of debt
337.89%226M
16.47%-209.24M
56.53%179.24M
-178.44%-535.61M
-390.29%-304.61M
-107.01%-95M
65.34%-250.5M
312.22%114.5M
226.40%682.79M
-67.07%104.94M
Net common stock issuance
--15M
-101.17%-6K
-99.89%6K
-90.15%5.49M
---511K
--0
12.56%511K
-84.92%5.49M
-45.98%55.74M
--0
Increase or decrease of lease financing
-426.53%-258M
-196.62%-177.88M
20.08%-103.12M
23.89%-256.62M
51.67%-18.62M
59.18%-49M
28.25%-59.97M
-35.80%-129.03M
12.01%-337.14M
58.86%-38.52M
Cash dividends paid
--0
----
----
-235.16%-1.77B
-285.90%-308.21M
--0
----
----
-50.40%-528.16M
10.45%165.8M
Cash dividends for minorities
1.97%-149M
-59.14%-15.28M
-7.22%-108.72M
-44.31%-266.76M
---3.76M
---152M
---9.6M
---101.4M
23.85%-184.85M
----
Interest paid (cash flow from financing activities)
31.43%-96M
-111.64%-127.48M
-3.65%-106.52M
-57.36%-462.18M
-175.46%-159.18M
-36.99%-140M
21.60%-60.23M
-80.65%-102.77M
3.11%-293.71M
29.58%-57.79M
Net other fund-raising expenses
98.09%-8M
--4.08M
---15.08M
69.21%-712.7M
---303.7M
81.58%-418M
----
----
-2,566.10%-2.31B
--0
Financing cash flow
68.38%-270M
44.90%-1.01B
27.67%-154.2M
-36.94%-4B
-10,431.89%-1.1B
30.13%-854M
-28.58%-1.83B
18.52%-213.21M
-61.86%-2.92B
-108.09%-10.43M
Net cash flow
Beginning cash position
-60.51%1.39B
-55.34%2.18B
-37.17%2.3B
-26.66%3.66B
-4.07%3.25B
-19.07%3.51B
-0.16%4.87B
-26.66%3.66B
19.68%4.99B
-15.31%3.38B
Current changes in cash
105.71%12M
37.27%-908.11M
-103.47%-43.89M
-6.27%-1.18B
-272.30%-781.44M
77.39%-210M
-163.92%-1.45B
1,633.73%1.26B
-222.06%-1.11B
-59.61%453.54M
Effect of exchange rate changes
82.14%-10M
34.89%119.7M
-49.25%-81.7M
49.96%-185.68M
6.44%-163.68M
67.69%-56M
870.13%88.74M
-71.32%-54.74M
-336.22%-371.07M
-40.16%-174.94M
Cash adjustments other than cash changes
----
----
----
----
----
----
----
----
--146.07M
--0
End cash Position
-57.21%1.39B
-60.51%1.39B
-55.34%2.18B
-37.17%2.3B
-37.17%2.3B
-4.07%3.25B
-19.07%3.51B
-0.16%4.87B
-26.66%3.66B
-26.66%3.66B
Free cash flow
-18.79%510M
-17.54%333.6M
-58.99%163.41M
-6.95%1.82B
-12.17%384.81M
3.72%628M
-46.22%404.57M
156.10%398.43M
-20.71%1.95B
-41.39%438.15M
Currency Unit
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
(Q3)Sep 30, 2024(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
Operating cash flow (Indirect Method)
Cash from operating activities -12.42%1.4B25.39%1.26B22.69%951.41M3.03%4.41B6.12%1.04B22.35%1.59B-30.25%1B38.19%775.43M6.50%4.28B-25.45%979.47M
Net profit before non-cash adjustment -18.66%824M65.97%900.39M-48.08%930.61M82.64%4.05B243.48%701.3M97.37%1.01B-38.25%542.49M188.58%1.79B-13.25%2.22B-70.16%204.18M
Total adjustment of non-cash items 16.44%503M-5.34%486.04M177.14%463.96M-63.66%730.95M-57.43%386.95M-38.11%432M4,015.66%513.47M-253.51%-601.47M17.58%2.01B100.32%909M
-Depreciation and amortization -8.13%384M26.20%426.03M12.06%413.97M7.35%1.51B5.61%384.95M19.49%418M-11.71%337.59M19.22%369.42M6.81%1.41B134.52%364.49M
-Reversal of impairment losses recognized in profit and loss 47.83%34M-15.72%18.75M-25.86%27.25M-79.39%122.52M-92.73%40.52M-83.62%23M119.25%22.25M193.64%36.75M112.08%594.49M206.62%557.09M
-Share of associates -33.33%-8M-21.73%-6.56M-12.55%-7.45M32.47%-26.25M6.70%-8.25M39.25%-6M54.06%-5.39M21.53%-6.62M69.13%-38.87M-106.72%-8.84M
-Disposal profit 360.71%146M-259.50%-53.24M105.05%49.24M-2,752.24%-1.02B189.13%27.41M-4,675.16%-56M-107.63%-14.81M-99,304.89%-974.19M88.60%-35.68M86.38%-30.75M
-Net exchange gains and losses ---------35.56%-22M-------------------16.23M--------
-Remuneration paid in stock -66.67%1M-11.50%1.58M-35.86%1.42M132.42%7.71M-68.29%714K299,900.00%3M245.54%1.78M303.09%2.22M-44.14%3.32M325.71%2.25M
-Other non-cash items 168.33%82M-50.28%77.47M111.96%1.53M65.13%134.61M350.84%111.61M-155.46%-120M166.04%155.82M-116.79%-12.82M-85.02%81.52M-88.23%24.76M
Changes in working capital -53.69%69M-146.80%-126.84M-6.63%-443.16M-762.26%-366.84M63.47%-48.84M62.73%149M-109.35%-51.39M8.02%-415.61M122.69%55.39M-175.98%-133.71M
-Change in receivables -121.88%-497M-504.76%-544.13M-57.98%-451.88M5.14%-550.15M115.27%49.85M12.94%-224M-146.64%-89.97M-51.31%-286.03M43.96%-579.93M-3.56%-326.49M
-Change in inventory 77.78%-18M67.13%-12.29M26.84%-59.71M-75.99%-195.57M115.46%4.43M-1.61%-81M-243.47%-37.39M-183.33%-81.61M20.31%-111.12M56.01%-28.66M
-Change in payables 28.63%584M465.44%429.58M242.62%68.42M-49.24%378.88M-146.57%-103.12M5.93%454M-77.01%75.97M79.50%-47.97M-19.74%746.45M-60.20%221.44M
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 -37.79%-237M4.20%-196.93M-4.92%-120.08M-6.14%-653.98M-41.26%-161.98M11.96%-172M1.84%-205.56M-18.35%-114.45M-25.66%-616.13M33.20%-114.67M
Other operating cash inflow (outflow) 0000000000
Operating cash flow -18.50%1.16B33.00%1.06B25.77%831.34M2.50%3.76B1.46%877.43M28.40%1.42B-35.09%799.02M42.32%660.99M3.84%3.67B-24.29%864.8M
Investing cash flow
Net PPE purchase and sale 7.58%-622M-79.63%-708.84M-167.01%-615.16M-12.66%-1.84B-37.78%-542.1M-41.74%-673M14.99%-394.61M23.43%-230.39M-71.82%-1.63B-30.30%-393.47M
Net intangibles purchase and sale 80.17%-23M-1,104.87%-30.42M-356.79%-29.58M-52.52%-72.98M410.02%52.02M-386.33%-116M-25.31%-2.53M-24.50%-6.48M-74.92%-47.85M-19.23%-16.78M
Net business purchase and sale -116.67%-2M-596.52%-22.02M-122.69%-208.98M1,904.80%904.66M---25.34M123.94%12M---3.16M--921.16M-125.59%-50.13M--0
Net investment property transactions -1,320.00%-71M-116.44%-1.92M69.54%-5.08M62.91%-76.75M-772.51%-66.75M97.36%-5M248.30%11.68M-740.73%-16.68M-2.67%-206.94M94.28%-7.65M
Net investment product transactions -57.41%-170M-297.43%-224.96M-71.49%30.96M-114.89%-56.03M-100.35%-26K-11.68%-108M-189.25%-56.6M42,857.09%108.6M-138.24%-26.07M-92.21%7.47M
Dividends received (cash flow from investment activities) --0-89.16%1.67M-97.58%329K25.99%31.34M80.51%2.34M--0-21.84%15.42M638.44%13.58M-22.51%24.88M11.61%1.3M
Interest received (cash flow from investment activities) -56.67%13M63.31%26.22M49.47%38.79M6.34%91.02M129.27%19.02M57.83%30M-56.58%16.05M21.69%25.95M64.56%85.6M-29.41%8.3M
Net changes in other investments ---2M---694K--67.69M--82.54M--543K--------------------
Investing cash flow -12.72%-877M-132.26%-960.97M-188.39%-721.03M49.50%-936.29M-39.78%-560.29M4.41%-778M-16.88%-413.75M386.08%815.75M-125.62%-1.85B-170.18%-400.83M
Financing cash flow
Net issuance payments of debt 337.89%226M16.47%-209.24M56.53%179.24M-178.44%-535.61M-390.29%-304.61M-107.01%-95M65.34%-250.5M312.22%114.5M226.40%682.79M-67.07%104.94M
Net common stock issuance --15M-101.17%-6K-99.89%6K-90.15%5.49M---511K--012.56%511K-84.92%5.49M-45.98%55.74M--0
Increase or decrease of lease financing -426.53%-258M-196.62%-177.88M20.08%-103.12M23.89%-256.62M51.67%-18.62M59.18%-49M28.25%-59.97M-35.80%-129.03M12.01%-337.14M58.86%-38.52M
Cash dividends paid --0---------235.16%-1.77B-285.90%-308.21M--0---------50.40%-528.16M10.45%165.8M
Cash dividends for minorities 1.97%-149M-59.14%-15.28M-7.22%-108.72M-44.31%-266.76M---3.76M---152M---9.6M---101.4M23.85%-184.85M----
Interest paid (cash flow from financing activities) 31.43%-96M-111.64%-127.48M-3.65%-106.52M-57.36%-462.18M-175.46%-159.18M-36.99%-140M21.60%-60.23M-80.65%-102.77M3.11%-293.71M29.58%-57.79M
Net other fund-raising expenses 98.09%-8M--4.08M---15.08M69.21%-712.7M---303.7M81.58%-418M---------2,566.10%-2.31B--0
Financing cash flow 68.38%-270M44.90%-1.01B27.67%-154.2M-36.94%-4B-10,431.89%-1.1B30.13%-854M-28.58%-1.83B18.52%-213.21M-61.86%-2.92B-108.09%-10.43M
Net cash flow
Beginning cash position -60.51%1.39B-55.34%2.18B-37.17%2.3B-26.66%3.66B-4.07%3.25B-19.07%3.51B-0.16%4.87B-26.66%3.66B19.68%4.99B-15.31%3.38B
Current changes in cash 105.71%12M37.27%-908.11M-103.47%-43.89M-6.27%-1.18B-272.30%-781.44M77.39%-210M-163.92%-1.45B1,633.73%1.26B-222.06%-1.11B-59.61%453.54M
Effect of exchange rate changes 82.14%-10M34.89%119.7M-49.25%-81.7M49.96%-185.68M6.44%-163.68M67.69%-56M870.13%88.74M-71.32%-54.74M-336.22%-371.07M-40.16%-174.94M
Cash adjustments other than cash changes ----------------------------------146.07M--0
End cash Position -57.21%1.39B-60.51%1.39B-55.34%2.18B-37.17%2.3B-37.17%2.3B-4.07%3.25B-19.07%3.51B-0.16%4.87B-26.66%3.66B-26.66%3.66B
Free cash flow -18.79%510M-17.54%333.6M-58.99%163.41M-6.95%1.82B-12.17%384.81M3.72%628M-46.22%404.57M156.10%398.43M-20.71%1.95B-41.39%438.15M
Currency Unit MYRMYRMYRMYRMYRMYRMYRMYRMYRMYR
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