SG Stock MarketDetailed Quotes

RCU Revez

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  • 0.040
  • 0.0000.00%
10min DelayMarket Closed Aug 5 16:09 CST
10.53MMarket Cap-2857P/E (TTM)

Revez Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2014
(FY)Dec 31, 2013
Operating cash flow (Indirect Method)
Cash from operating activities
-156.82%-1.66M
-117.63%-646.36K
-128.60%-297K
210.97%1.04M
-629.56%-935.92K
87.56%-128.29K
-18,973.34%-1.03M
5.47K
6.30%-2.54M
56.27%-2.71M
Net profit before non-cash adjustment
32.02%-3.02M
-100.03%-4.44M
-6,892.61%-2.22M
99.74%-31.72K
-1,681.24%-12.11M
-475.30%-679.77K
97.59%-118.16K
---4.91M
121.74%412.19K
-936.69%-1.9M
Total adjustment of non-cash items
-85.50%633.3K
153.66%4.37M
848.46%1.72M
-101.92%-230.02K
989,919.75%11.98M
100.13%1.21K
-118.92%-899.46K
--4.75M
-55.03%943.91K
41.29%2.1M
-Depreciation and amortization
-67.13%424.32K
43.16%1.29M
121.49%901.78K
78.76%407.13K
63,520.11%227.76K
-99.45%358
-16.90%64.96K
--78.17K
-5.47%391.51K
-4.22%414.17K
-Reversal of impairment losses recognized in profit and loss
-92.29%293.19K
120.83%3.8M
1,150.91%1.72M
-1,026.22%-163.79K
--17.68K
--0
-60.52%132.61K
--335.89K
--0
7,850.46%278.9K
-Assets reserve and write-off
--0
-1,217.03%-123.15K
-90.17%11.03K
--112.13K
--0
--0
-100.03%-373
--1.15M
-101.68%-15.01K
61.53%893.58K
-Disposal profit
202.17%608.91K
-2,143.83%-596K
153.20%29.16K
18,475.81%11.52K
--62
--0
-99.36%20.58K
--3.19M
---21.56K
--0
-Net exchange gains and losses
----
----
----
----
----
140.82%614
-290.38%-1.5K
--790
--77.98K
--0
-Deferred income tax
86.16%-10.16K
---73.41K
----
----
----
----
----
----
----
----
-Other non-cash items
-1,115.36%-682.96K
107.14%67.26K
-57.73%-941.67K
-105.09%-597.01K
4,930,039.92%11.73M
100.02%238
-111,228.39%-1.12M
--1K
-0.24%510.98K
3.18%512.21K
Changes in working capital
225.22%722.43K
-389.54%-576.93K
-84.68%199.25K
261.15%1.3M
-246.64%-806.91K
4,083.71%550.27K
-108.44%-13.81K
--163.65K
-33.73%-3.9M
63.18%-2.91M
-Change in receivables
117.44%356.14K
-382.33%-2.04M
1,196.21%723.44K
111.26%55.81K
-742.69%-495.63K
-81.26%77.12K
166.74%411.59K
---616.73K
17.63%-2.31M
50.04%-2.81M
-Change in inventory
--0
195.29%47.45K
-817.88%-49.79K
--6.94K
--0
--0
-104.97%-8.84K
--177.78K
103.85%63K
-1,249.90%-1.64M
-Change in prepaid assets
----
----
----
----
----
-86.05%3.83K
-5.96%27.41K
--29.15K
-498.41%-158.22K
-106.37%-26.44K
-Change in payables
-81.83%215.19K
282.42%1.18M
-159.64%-649.2K
389.41%1.09M
-180.15%-376.15K
205.71%469.33K
-177.42%-443.98K
--573.45K
-195.83%-1.49M
154.49%1.56M
-Provision for loans, leases and other losses
--4K
--0
----
----
----
----
----
----
----
----
-Changes in other current assets
-37.09%147.09K
33.76%233.81K
17.38%174.8K
129.56%148.93K
--64.88K
----
----
----
----
----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-1.3K
-1.05%-517.83K
-3.11%-512.44K
Interest received (cash flow from operating activities)
4,303.87%15.94K
-86.81%362
-93.89%2.75K
-20.59%44.94K
56.59K
4
2,876.09%6.85K
-59.22%230
Tax refund paid
198.29%10.16K
93.76%-10.34K
-214.80%-165.72K
85.56%-52.64K
-2,353.17%-364.61K
200.00%16.18K
-16.18K
167.86%178.26K
53.09%-262.68K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-148.94%-1.63M
-42.69%-656.33K
-144.62%-459.97K
182.87%1.03M
-1,009.63%-1.24M
89.30%-112.1K
-25,204.48%-1.05M
--4.17K
17.58%-2.87M
51.96%-3.49M
Investing cash flow
Net PPE purchase and sale
110.00%60.32K
75.36%-603.23K
-465.73%-2.45M
-708.86%-432.81K
-2,120.25%-53.51K
80.56%-2.41K
69.27%-12.4K
---40.35K
58.82%-23.44K
-15.06%-56.93K
Net intangibles purchase and sale
----
----
----
----
----
----
----
----
96.37%-2.55K
46.93%-70.31K
Net business purchase and sale
-6,807.92%-5.61M
676.51%83.66K
99.32%-14.51K
---2.14M
--0
----
----
--40.23K
--0
---96.51K
Net investment property transactions
--0
--1.15M
--0
----
----
----
----
----
----
----
Net investment product transactions
----
----
-39.34%1.85M
162.24%3.05M
---4.9M
----
----
----
----
----
Investing cash flow
-980.57%-5.55M
202.84%630.43K
-227.19%-613K
109.73%481.97K
-205,439.75%-4.95M
80.56%-2.41K
-10,408.47%-12.4K
---118
88.38%-25.99K
-22.96%-223.75K
Financing cash flow
Net issuance payments of debt
237.10%1.49M
-156.49%-1.08M
6,360.11%1.92M
89.72%-30.63K
---297.96K
----
----
----
-149.15%-4.85M
311.76%9.88M
Net common stock issuance
--7.97M
--0
----
----
--7.92M
--0
--1M
--0
----
----
Increase or decrease of lease financing
44.42%-156.9K
0.80%-282.29K
-74.43%-284.57K
-44.31%-163.15K
-1,938.04%-113.05K
2.74%-5.55K
2.21%-5.7K
---5.83K
-85.26%-164.71K
13.64%-88.91K
Issuance fees
---63K
--0
----
----
----
----
----
----
----
----
Cash dividends paid
----
---33.73K
----
-26.86%-887.99K
---700K
----
----
----
----
----
Cash dividends for minorities
--0
---13.9K
--0
----
--0
----
----
----
----
----
Interest paid (cash flow from financing activities)
38.64%-43.8K
18.72%-71.38K
-314.39%-87.82K
-25.88%-21.19K
-6,973.95%-16.84K
60.92%-238
39.58%-609
---1.01K
----
----
Net other fund-raising expenses
----
----
----
3,614.22%340K
-90.24%9.15K
--93.78K
----
----
--600K
----
Financing cash flow
719.24%9.19M
-196.09%-1.48M
302.50%1.55M
-111.21%-762.96K
7,632.79%6.8M
-91.14%88K
14,627.60%993.69K
---6.84K
-145.15%-4.42M
61.04%9.79M
Net cash flow
Beginning cash position
-45.53%1.81M
16.59%3.32M
35.78%2.85M
40.78%2.1M
4,295.09%1.49M
-66.20%33.87K
-2.70%100.19K
--102.97K
525.76%7.23M
-54.11%1.16M
Current changes in cash
232.91%2.01M
-419.98%-1.51M
-37.05%472.04K
23.53%749.86K
2,389.13%607.03K
60.02%-26.52K
-2,281.40%-66.32K
---2.79K
-220.44%-7.32M
545.82%6.08M
End cash Position
111.10%3.81M
-45.53%1.81M
16.59%3.32M
35.78%2.85M
28,417.61%2.1M
-78.30%7.35K
-66.20%33.87K
--100.19K
-101.19%-86.42K
525.76%7.23M
Free cash flow
-29.93%-1.64M
56.50%-1.27M
-593.26%-2.91M
145.45%589.64K
-1,033.00%-1.3M
89.28%-114.51K
-2,853.40%-1.07M
---36.18K
17.54%-2.98M
51.43%-3.61M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2014(FY)Dec 31, 2013
Operating cash flow (Indirect Method)
Cash from operating activities -156.82%-1.66M-117.63%-646.36K-128.60%-297K210.97%1.04M-629.56%-935.92K87.56%-128.29K-18,973.34%-1.03M5.47K6.30%-2.54M56.27%-2.71M
Net profit before non-cash adjustment 32.02%-3.02M-100.03%-4.44M-6,892.61%-2.22M99.74%-31.72K-1,681.24%-12.11M-475.30%-679.77K97.59%-118.16K---4.91M121.74%412.19K-936.69%-1.9M
Total adjustment of non-cash items -85.50%633.3K153.66%4.37M848.46%1.72M-101.92%-230.02K989,919.75%11.98M100.13%1.21K-118.92%-899.46K--4.75M-55.03%943.91K41.29%2.1M
-Depreciation and amortization -67.13%424.32K43.16%1.29M121.49%901.78K78.76%407.13K63,520.11%227.76K-99.45%358-16.90%64.96K--78.17K-5.47%391.51K-4.22%414.17K
-Reversal of impairment losses recognized in profit and loss -92.29%293.19K120.83%3.8M1,150.91%1.72M-1,026.22%-163.79K--17.68K--0-60.52%132.61K--335.89K--07,850.46%278.9K
-Assets reserve and write-off --0-1,217.03%-123.15K-90.17%11.03K--112.13K--0--0-100.03%-373--1.15M-101.68%-15.01K61.53%893.58K
-Disposal profit 202.17%608.91K-2,143.83%-596K153.20%29.16K18,475.81%11.52K--62--0-99.36%20.58K--3.19M---21.56K--0
-Net exchange gains and losses --------------------140.82%614-290.38%-1.5K--790--77.98K--0
-Deferred income tax 86.16%-10.16K---73.41K--------------------------------
-Other non-cash items -1,115.36%-682.96K107.14%67.26K-57.73%-941.67K-105.09%-597.01K4,930,039.92%11.73M100.02%238-111,228.39%-1.12M--1K-0.24%510.98K3.18%512.21K
Changes in working capital 225.22%722.43K-389.54%-576.93K-84.68%199.25K261.15%1.3M-246.64%-806.91K4,083.71%550.27K-108.44%-13.81K--163.65K-33.73%-3.9M63.18%-2.91M
-Change in receivables 117.44%356.14K-382.33%-2.04M1,196.21%723.44K111.26%55.81K-742.69%-495.63K-81.26%77.12K166.74%411.59K---616.73K17.63%-2.31M50.04%-2.81M
-Change in inventory --0195.29%47.45K-817.88%-49.79K--6.94K--0--0-104.97%-8.84K--177.78K103.85%63K-1,249.90%-1.64M
-Change in prepaid assets ---------------------86.05%3.83K-5.96%27.41K--29.15K-498.41%-158.22K-106.37%-26.44K
-Change in payables -81.83%215.19K282.42%1.18M-159.64%-649.2K389.41%1.09M-180.15%-376.15K205.71%469.33K-177.42%-443.98K--573.45K-195.83%-1.49M154.49%1.56M
-Provision for loans, leases and other losses --4K--0--------------------------------
-Changes in other current assets -37.09%147.09K33.76%233.81K17.38%174.8K129.56%148.93K--64.88K--------------------
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -1.3K-1.05%-517.83K-3.11%-512.44K
Interest received (cash flow from operating activities) 4,303.87%15.94K-86.81%362-93.89%2.75K-20.59%44.94K56.59K42,876.09%6.85K-59.22%230
Tax refund paid 198.29%10.16K93.76%-10.34K-214.80%-165.72K85.56%-52.64K-2,353.17%-364.61K200.00%16.18K-16.18K167.86%178.26K53.09%-262.68K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -148.94%-1.63M-42.69%-656.33K-144.62%-459.97K182.87%1.03M-1,009.63%-1.24M89.30%-112.1K-25,204.48%-1.05M--4.17K17.58%-2.87M51.96%-3.49M
Investing cash flow
Net PPE purchase and sale 110.00%60.32K75.36%-603.23K-465.73%-2.45M-708.86%-432.81K-2,120.25%-53.51K80.56%-2.41K69.27%-12.4K---40.35K58.82%-23.44K-15.06%-56.93K
Net intangibles purchase and sale --------------------------------96.37%-2.55K46.93%-70.31K
Net business purchase and sale -6,807.92%-5.61M676.51%83.66K99.32%-14.51K---2.14M--0----------40.23K--0---96.51K
Net investment property transactions --0--1.15M--0----------------------------
Net investment product transactions ---------39.34%1.85M162.24%3.05M---4.9M--------------------
Investing cash flow -980.57%-5.55M202.84%630.43K-227.19%-613K109.73%481.97K-205,439.75%-4.95M80.56%-2.41K-10,408.47%-12.4K---11888.38%-25.99K-22.96%-223.75K
Financing cash flow
Net issuance payments of debt 237.10%1.49M-156.49%-1.08M6,360.11%1.92M89.72%-30.63K---297.96K-------------149.15%-4.85M311.76%9.88M
Net common stock issuance --7.97M--0----------7.92M--0--1M--0--------
Increase or decrease of lease financing 44.42%-156.9K0.80%-282.29K-74.43%-284.57K-44.31%-163.15K-1,938.04%-113.05K2.74%-5.55K2.21%-5.7K---5.83K-85.26%-164.71K13.64%-88.91K
Issuance fees ---63K--0--------------------------------
Cash dividends paid -------33.73K-----26.86%-887.99K---700K--------------------
Cash dividends for minorities --0---13.9K--0------0--------------------
Interest paid (cash flow from financing activities) 38.64%-43.8K18.72%-71.38K-314.39%-87.82K-25.88%-21.19K-6,973.95%-16.84K60.92%-23839.58%-609---1.01K--------
Net other fund-raising expenses ------------3,614.22%340K-90.24%9.15K--93.78K----------600K----
Financing cash flow 719.24%9.19M-196.09%-1.48M302.50%1.55M-111.21%-762.96K7,632.79%6.8M-91.14%88K14,627.60%993.69K---6.84K-145.15%-4.42M61.04%9.79M
Net cash flow
Beginning cash position -45.53%1.81M16.59%3.32M35.78%2.85M40.78%2.1M4,295.09%1.49M-66.20%33.87K-2.70%100.19K--102.97K525.76%7.23M-54.11%1.16M
Current changes in cash 232.91%2.01M-419.98%-1.51M-37.05%472.04K23.53%749.86K2,389.13%607.03K60.02%-26.52K-2,281.40%-66.32K---2.79K-220.44%-7.32M545.82%6.08M
End cash Position 111.10%3.81M-45.53%1.81M16.59%3.32M35.78%2.85M28,417.61%2.1M-78.30%7.35K-66.20%33.87K--100.19K-101.19%-86.42K525.76%7.23M
Free cash flow -29.93%-1.64M56.50%-1.27M-593.26%-2.91M145.45%589.64K-1,033.00%-1.3M89.28%-114.51K-2,853.40%-1.07M---36.18K17.54%-2.98M51.43%-3.61M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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