SG Stock MarketDetailed Quotes

RXS PacificRadiance

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  • 0.047
  • -0.001-2.08%
10min DelayTrading Nov 26 09:45 CST
68.06MMarket Cap1.24P/E (TTM)

PacificRadiance Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
222.79%8.98M
427.66%2.68M
-56.10%4.51M
-3.85%-4.31M
343.37%6.11M
-64.36%2.78M
-156.11%-817K
289.82%10.26M
-2,706.76%-4.15M
-164.97%-2.51M
Net profit before non-cash adjustment
-95.48%15.47M
360.92%9.16M
-99.12%2.8M
13.36%348K
-88.66%3.16M
905.03%342.51M
89.01%-3.51M
4,382.57%317.85M
104.77%307K
756.41%27.86M
Total adjustment of non-cash items
97.45%-8.54M
-165.45%-6.63M
99.64%-1.13M
-60.74%700K
95.25%-1.48M
-782.60%-334.9M
-71.37%10.13M
-4,302.94%-315.64M
-82.39%1.78M
-687.17%-31.17M
-Depreciation and amortization
7.50%3.24M
11.63%854K
17.23%871K
-0.13%754K
1.33%762K
-76.28%3.02M
-54.65%765K
-79.88%743K
-79.52%755K
-79.37%752K
-Reversal of impairment losses recognized in profit and loss
95.31%-12.52M
-223.72%-7.44M
99.19%-2.13M
-48.41%-794K
77.67%-2.16M
-1,455.75%-266.88M
-64.14%6.01M
-2,928.83%-262.69M
-132.58%-535K
-20.70%-9.67M
-Share of associates
94.76%-325K
79.31%-18K
---138K
---143K
99.57%-26K
-158.61%-6.2M
---87K
--0
--0
-154.99%-6.11M
-Disposal profit
99.69%-55K
-106.15%-27K
82.42%-187K
17,800.00%179K
99.88%-20K
-5,481.71%-17.65M
43,800.00%439K
-106,500.00%-1.06M
133.33%1K
-5,275.68%-17.03M
-Net exchange gains and losses
-65.56%416K
-109.07%-223K
-66.53%326K
134.09%544K
63.22%-231K
179.95%1.21M
362.03%2.46M
226.66%974K
-654.17%-1.6M
59.80%-628K
-Other non-cash items
101.46%707K
-59.19%222K
100.24%130K
-94.93%160K
-87.14%195K
-339.02%-48.39M
-96.68%544K
-1,040.62%-53.61M
-29.98%3.16M
-62.45%1.52M
Changes in working capital
142.53%2.05M
101.98%147K
-64.80%2.84M
14.13%-5.36M
452.74%4.43M
-474.19%-4.83M
-274.33%-7.44M
216.42%8.05M
-62.60%-6.24M
-82.46%802K
-Change in receivables
238.81%11.89M
300.53%3.79M
-31.96%4.83M
216.25%5.74M
72.03%-2.47M
-861.83%-8.56M
-150.36%-1.89M
379.65%7.09M
-13.89%-4.94M
-4,060.09%-8.83M
-Change in inventory
-88.80%43K
-6,115.79%-2.29M
691.45%2.41M
-37.86%64K
-131.15%-141K
97.94%384K
112.26%38K
-28.97%304K
138.43%103K
-117.73%-61K
-Change in payables
-394.63%-9.88M
65.54%-1.38M
-52.72%-1.43M
-7,483.33%-18.66M
35.86%11.59M
12,071.43%3.35M
-46.59%-3.99M
-167.02%-937K
72.79%-246K
287.28%8.53M
-Changes in other current assets
----
----
---2.97M
--7.49M
-489.54%-4.54M
----
----
----
----
-35.33%1.17M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
0.34%-293K
2.67%-73K
-1.43%-71K
-1.37%-74K
1.32%-75K
57.70%-294K
27.88%-75K
30.69%-70K
70.56%-73K
68.60%-76K
Interest received (cash flow from operating activities)
317K
18K
162K
57K
80K
0
0
0
0
0
Tax refund paid
86.14%-83K
-94.22%10K
119.82%44K
13.10%-126K
97.28%-11K
60.49%-599K
147.79%173K
61.19%-222K
68.82%-145K
-246.15%-405K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
372.26%8.92M
466.06%2.63M
-53.46%4.64M
-1.94%-4.46M
304.04%6.11M
-66.29%1.89M
-172.19%-719K
408.26%9.97M
-407.78%-4.37M
-185.34%-2.99M
Investing cash flow
Net PPE purchase and sale
-245.00%-4.83M
-13,337.50%-4.3M
---495K
---27K
99.42%-8K
26.35%-1.4M
-112.45%-32K
--0
--0
35.50%-1.37M
Net business purchase and sale
--0
--0
----
----
----
-144.44%-1.2M
--0
----
----
----
Repayment of advance payments to other parties and cash income from loans
----
----
----
----
----
266.67%5M
--0
--0
----
----
Investing cash flow
-301.25%-4.83M
-13,337.50%-4.3M
58.75%-495K
-100.54%-27K
99.42%-8K
352.37%2.4M
-112.45%-32K
-837.50%-1.2M
187.19%5M
51.51%-1.37M
Financing cash flow
Net common stock issuance
--0
--0
--0
----
----
--723K
--0
----
----
----
Increase or decrease of lease financing
-13.31%-383K
-150.63%-198K
156.67%51K
-19.28%-99K
-59.30%-137K
47.76%-338K
32.48%-79K
7.22%-90K
63.76%-83K
57.84%-86K
Net other fund-raising expenses
-2.71%-2.77M
27.02%-1.97M
----
----
-100,400.00%-2.01M
-288.14%-2.7M
---2.7M
--0
--0
-99.86%2K
Financing cash flow
-36.39%-3.15M
21.97%-2.17M
-218.33%-749K
2,397.59%1.91M
-2,451.19%-2.14M
-228.73%-2.31M
-2,273.50%-2.78M
752.58%633K
63.76%-83K
67.69%-84K
Net cash flow
Beginning cash position
9.35%23.61M
12.24%30.28M
52.57%26.92M
72.49%29.57M
18.56%25.6M
22.38%21.59M
31.89%26.98M
-5.73%17.65M
-5.10%17.15M
22.38%21.59M
Current changes in cash
-52.53%939K
-8.70%-3.84M
-63.88%3.4M
-572.84%-2.58M
188.97%3.95M
-49.91%1.98M
-410.56%-3.53M
441.45%9.41M
-16.28%545K
-1,145.65%-4.44M
Effect of exchange rate changes
172.50%109K
25.79%200K
47.30%-39K
-68.89%-76K
--24K
4,100.00%40K
--159K
-7,300.00%-74K
-4,400.00%-45K
--0
End cash Position
4.44%24.66M
4.44%24.66M
12.24%30.28M
52.57%26.92M
72.49%29.57M
9.35%23.61M
9.35%23.61M
31.89%26.98M
-5.73%17.65M
-5.10%17.15M
Free cash flow
736.61%4.09M
-122.10%-1.67M
-58.42%4.15M
-2.56%-4.48M
239.84%6.1M
-86.79%489K
-159.94%-751K
443.73%9.97M
-467.79%-4.37M
-414.80%-4.36M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(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(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities 222.79%8.98M427.66%2.68M-56.10%4.51M-3.85%-4.31M343.37%6.11M-64.36%2.78M-156.11%-817K289.82%10.26M-2,706.76%-4.15M-164.97%-2.51M
Net profit before non-cash adjustment -95.48%15.47M360.92%9.16M-99.12%2.8M13.36%348K-88.66%3.16M905.03%342.51M89.01%-3.51M4,382.57%317.85M104.77%307K756.41%27.86M
Total adjustment of non-cash items 97.45%-8.54M-165.45%-6.63M99.64%-1.13M-60.74%700K95.25%-1.48M-782.60%-334.9M-71.37%10.13M-4,302.94%-315.64M-82.39%1.78M-687.17%-31.17M
-Depreciation and amortization 7.50%3.24M11.63%854K17.23%871K-0.13%754K1.33%762K-76.28%3.02M-54.65%765K-79.88%743K-79.52%755K-79.37%752K
-Reversal of impairment losses recognized in profit and loss 95.31%-12.52M-223.72%-7.44M99.19%-2.13M-48.41%-794K77.67%-2.16M-1,455.75%-266.88M-64.14%6.01M-2,928.83%-262.69M-132.58%-535K-20.70%-9.67M
-Share of associates 94.76%-325K79.31%-18K---138K---143K99.57%-26K-158.61%-6.2M---87K--0--0-154.99%-6.11M
-Disposal profit 99.69%-55K-106.15%-27K82.42%-187K17,800.00%179K99.88%-20K-5,481.71%-17.65M43,800.00%439K-106,500.00%-1.06M133.33%1K-5,275.68%-17.03M
-Net exchange gains and losses -65.56%416K-109.07%-223K-66.53%326K134.09%544K63.22%-231K179.95%1.21M362.03%2.46M226.66%974K-654.17%-1.6M59.80%-628K
-Other non-cash items 101.46%707K-59.19%222K100.24%130K-94.93%160K-87.14%195K-339.02%-48.39M-96.68%544K-1,040.62%-53.61M-29.98%3.16M-62.45%1.52M
Changes in working capital 142.53%2.05M101.98%147K-64.80%2.84M14.13%-5.36M452.74%4.43M-474.19%-4.83M-274.33%-7.44M216.42%8.05M-62.60%-6.24M-82.46%802K
-Change in receivables 238.81%11.89M300.53%3.79M-31.96%4.83M216.25%5.74M72.03%-2.47M-861.83%-8.56M-150.36%-1.89M379.65%7.09M-13.89%-4.94M-4,060.09%-8.83M
-Change in inventory -88.80%43K-6,115.79%-2.29M691.45%2.41M-37.86%64K-131.15%-141K97.94%384K112.26%38K-28.97%304K138.43%103K-117.73%-61K
-Change in payables -394.63%-9.88M65.54%-1.38M-52.72%-1.43M-7,483.33%-18.66M35.86%11.59M12,071.43%3.35M-46.59%-3.99M-167.02%-937K72.79%-246K287.28%8.53M
-Changes in other current assets -----------2.97M--7.49M-489.54%-4.54M-----------------35.33%1.17M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 0.34%-293K2.67%-73K-1.43%-71K-1.37%-74K1.32%-75K57.70%-294K27.88%-75K30.69%-70K70.56%-73K68.60%-76K
Interest received (cash flow from operating activities) 317K18K162K57K80K00000
Tax refund paid 86.14%-83K-94.22%10K119.82%44K13.10%-126K97.28%-11K60.49%-599K147.79%173K61.19%-222K68.82%-145K-246.15%-405K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 372.26%8.92M466.06%2.63M-53.46%4.64M-1.94%-4.46M304.04%6.11M-66.29%1.89M-172.19%-719K408.26%9.97M-407.78%-4.37M-185.34%-2.99M
Investing cash flow
Net PPE purchase and sale -245.00%-4.83M-13,337.50%-4.3M---495K---27K99.42%-8K26.35%-1.4M-112.45%-32K--0--035.50%-1.37M
Net business purchase and sale --0--0-------------144.44%-1.2M--0------------
Repayment of advance payments to other parties and cash income from loans --------------------266.67%5M--0--0--------
Investing cash flow -301.25%-4.83M-13,337.50%-4.3M58.75%-495K-100.54%-27K99.42%-8K352.37%2.4M-112.45%-32K-837.50%-1.2M187.19%5M51.51%-1.37M
Financing cash flow
Net common stock issuance --0--0--0----------723K--0------------
Increase or decrease of lease financing -13.31%-383K-150.63%-198K156.67%51K-19.28%-99K-59.30%-137K47.76%-338K32.48%-79K7.22%-90K63.76%-83K57.84%-86K
Net other fund-raising expenses -2.71%-2.77M27.02%-1.97M---------100,400.00%-2.01M-288.14%-2.7M---2.7M--0--0-99.86%2K
Financing cash flow -36.39%-3.15M21.97%-2.17M-218.33%-749K2,397.59%1.91M-2,451.19%-2.14M-228.73%-2.31M-2,273.50%-2.78M752.58%633K63.76%-83K67.69%-84K
Net cash flow
Beginning cash position 9.35%23.61M12.24%30.28M52.57%26.92M72.49%29.57M18.56%25.6M22.38%21.59M31.89%26.98M-5.73%17.65M-5.10%17.15M22.38%21.59M
Current changes in cash -52.53%939K-8.70%-3.84M-63.88%3.4M-572.84%-2.58M188.97%3.95M-49.91%1.98M-410.56%-3.53M441.45%9.41M-16.28%545K-1,145.65%-4.44M
Effect of exchange rate changes 172.50%109K25.79%200K47.30%-39K-68.89%-76K--24K4,100.00%40K--159K-7,300.00%-74K-4,400.00%-45K--0
End cash Position 4.44%24.66M4.44%24.66M12.24%30.28M52.57%26.92M72.49%29.57M9.35%23.61M9.35%23.61M31.89%26.98M-5.73%17.65M-5.10%17.15M
Free cash flow 736.61%4.09M-122.10%-1.67M-58.42%4.15M-2.56%-4.48M239.84%6.1M-86.79%489K-159.94%-751K443.73%9.97M-467.79%-4.37M-414.80%-4.36M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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