SG Stock MarketDetailed Quotes

S08 SingPost

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  • 0.580
  • 0.0000.00%
10min DelayMarket Closed Nov 29 17:04 CST
1.31BMarket Cap16.57P/E (TTM)

SingPost Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2024
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(Q4)Mar 31, 2020
(Q3)Dec 31, 2019
(Q2)Sep 19, 2019
(Q1)Jun 19, 2019
(FY)Mar 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
-16.24%124.34M
30.71%148.44M
-54.74%113.56M
14.35%250.89M
19.56%219.42M
128.66M
-67.29%33.66M
157.30%24.94M
-55.70%32.17M
-20.02%183.51M
Net profit before non-cash adjustment
110.21%81.48M
-55.83%38.76M
86.65%87.74M
-46.75%47.01M
228.75%88.28M
--6.6M
-53.74%29.58M
20.09%27.23M
47.42%24.88M
-78.46%26.85M
Total adjustment of non-cash items
-34.05%77.75M
44.90%117.89M
-13.94%81.36M
-11.09%94.54M
-33.54%106.33M
--27.71M
360.26%25.95M
-12.93%26.27M
-25.29%26.41M
123.62%159.99M
-Depreciation and amortization
-1.84%81.05M
10.95%82.57M
8.29%74.42M
1.10%68.73M
17.34%67.98M
--16.91M
15.56%16.87M
18.59%17M
19.95%17.2M
-2.19%57.93M
-Reversal of impairment losses recognized in profit and loss
-208.15%-849K
-95.21%785K
282.86%16.4M
-12.48%4.28M
-95.23%4.89M
--4.23M
-91.93%116K
81.00%505K
----
--102.62M
-Assets reserve and write-off
----
----
-121.04%-101K
-49.10%480K
-90.46%943K
----
----
----
-86.87%39K
78.82%9.89M
-Share of associates
6,808.70%1.54M
99.53%-23K
-390.09%-4.85M
-967.54%-989K
-98.39%114K
--224K
-170.59%-46K
-108.78%-319K
-92.67%255K
127.85%7.06M
-Disposal profit
-2,681.94%-40.02M
106.23%1.55M
-465.84%-24.87M
347.24%6.8M
103.41%1.52M
--1.51M
-99.61%30K
-98.75%35K
-100.86%-51K
-78.57%-44.64M
-Remuneration paid in stock
1,780.00%7.39M
90.30%-440K
-253.62%-4.54M
5.28%2.95M
32.45%2.8M
--850K
40.97%726K
19.02%682K
16.17%546K
55.78%2.12M
-Deferred income tax
-37.03%18.42M
49.05%29.25M
48.00%19.62M
-53.30%13.26M
2.26%28.39M
--3.17M
-10.86%8.37M
-9.67%8.36M
-26.91%8.5M
-9.45%27.76M
-Non-controlling interests
----
----
----
----
----
----
--0
----
----
----
-Other non-cash items
143.31%10.21M
-20.27%4.2M
642.22%5.27M
-212.22%-971K
88.67%-311K
---117K
86.25%-122K
100.99%7K
90.10%-79K
17.56%-2.75M
Changes in working capital
-325.02%-34.88M
85.22%-8.21M
-150.79%-55.54M
340.84%109.35M
845.54%24.8M
--94.35M
-144.68%-21.86M
70.36%-28.56M
-193.75%-19.12M
-110.01%-3.33M
-Change in receivables
-118.92%-3.94M
199.12%20.83M
-123.92%-21.02M
313.29%87.87M
-873.65%-41.2M
--44.66M
-165.86%-78.19M
541.18%18.05M
-460.34%-25.73M
106.75%5.33M
-Change in inventory
6,440.00%654K
-52.38%10K
109.25%21K
-162.88%-227K
35.21%361K
--129K
65.85%204K
-243.10%-199K
305.36%227K
-92.35%267K
-Change in payables
-4.78%-30.8M
15.62%-29.4M
-302.29%-34.84M
-75.94%17.22M
878.61%71.59M
--51M
-25.22%56.76M
51.36%-44M
-40.81%7.83M
-108.39%-9.19M
-Changes in other current assets
-327.87%-793K
17.17%348K
-93.38%297K
175.42%4.48M
-2,261.82%-5.95M
---1.45M
-127.58%-641K
-37.75%-2.41M
-5,912.50%-1.44M
129.79%275K
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
5.59%-30.95M
-36.40%-32.79M
32.22%-24.04M
2.19%-35.46M
-15.71%-36.26M
-282K
-13.81%-17.53M
-9.25%-17.41M
23.42%-1.04M
-0.44%-31.33M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-19.25%93.39M
29.19%115.66M
-58.44%89.53M
17.62%215.43M
20.36%183.16M
--128.38M
-81.57%16.13M
112.67%7.53M
-56.32%31.13M
-23.24%152.18M
Investing cash flow
Net PPE purchase and sale
-68.82%-46.78M
-16.37%-27.71M
-10.94%-23.81M
20.41%-21.46M
13.01%-26.97M
---16.66M
47.05%-3.52M
71.24%-2.76M
55.85%-4.02M
41.36%-31M
Net business purchase and sale
-631.12%-123.49M
57.42%-16.89M
33.22%-39.67M
-1,465.40%-59.41M
-110.64%-3.8M
--139K
--0
---3.93M
----
939.91%35.67M
Net investment product transactions
--0
23.08%8M
-31.58%6.5M
31.20%9.5M
422.44%7.24M
--1M
--0
--3M
2,957.55%3.24M
-41.67%1.39M
Advance cash and loans provided to other parties
----
----
----
90.67%-108K
-65.19%-1.16M
---118K
--0
---560K
---480K
---701K
Repayment of advance payments to other parties and cash income from loans
----
34,937.50%2.8M
-97.91%8K
--383K
----
----
----
----
----
----
Dividends received (cash flow from investment activities)
--293K
--0
315.81%1.79M
-20.81%430K
-58.71%543K
----
----
----
----
41.40%1.32M
Interest received (cash flow from investment activities)
73.42%11.47M
251.62%6.61M
-40.23%1.88M
-50.60%3.15M
12.26%6.37M
--1.23M
16.75%1.42M
23.61%2.05M
61.19%1.68M
12.55%5.68M
Net changes in other investments
--12.6M
----
----
----
----
----
----
----
----
----
Investing cash flow
-436.78%-145.91M
49.00%-27.18M
21.05%-53.3M
-280.10%-67.52M
-243.84%-17.76M
---13.87M
65.73%-2.1M
72.25%-2.21M
105.22%416K
125.33%12.35M
Financing cash flow
Net issuance payments of debt
49.85%193.01M
-29.05%128.8M
533.25%181.55M
-157.33%-41.9M
53.82%73.09M
--148.53M
-23,360.23%-60.76M
-132.49%-14.86M
-95.46%182K
139.96%47.52M
Net common stock issuance
----
----
----
----
----
----
--0
--0
--0
5.44%-14.86M
Increase or decrease of lease financing
-55.04%-33.34M
32.47%-21.5M
2.29%-31.84M
-20.72%-32.59M
---27M
---6.33M
---6.67M
---7.29M
---6.7M
--0
Cash dividends paid
60.81%-13.05M
-34.56%-33.3M
35.30%-24.75M
51.43%-38.24M
0.48%-78.74M
---11.25M
0.31%-11.25M
0.60%-56.24M
----
-74.37%-79.12M
Cash dividends for minorities
45.48%-5.44M
-332.35%-9.98M
-234.64%-2.31M
30.44%-690K
-69.28%-992K
--0
--0
-264.71%-992K
----
---586K
Interest paid (cash flow from financing activities)
-35.21%-29.61M
-61.69%-21.9M
-48.75%-13.54M
43.35%-9.11M
-59.68%-16.07M
---4.18M
59.83%-1.63M
-676.95%-5.09M
-28.71%-5.17M
-56.22%-10.07M
Net other fund-raising expenses
-192.15%-78.01M
123.20%84.66M
-2,024.95%-364.88M
-15.13%-17.17M
48.99%-14.92M
---7.42M
----
0.00%-7.5M
----
-87.18%-29.24M
Financing cash flow
-73.53%33.56M
149.57%126.78M
-83.08%-255.77M
-116.18%-139.7M
25.17%-64.62M
--119.35M
-287.62%-80.31M
-268.52%-91.97M
-4,871.43%-11.69M
57.26%-86.36M
Net cash flow
Beginning cash position
76.76%495.7M
-44.05%280.44M
1.67%501.21M
25.69%493M
24.89%392.22M
--259.15M
14.10%325.43M
9.13%412.07M
24.89%392.22M
-14.34%314.05M
Current changes in cash
-108.81%-18.96M
198.05%215.26M
-2,772.48%-219.54M
-91.85%8.22M
28.92%100.78M
--233.85M
-209.27%-66.28M
6.19%-86.64M
-68.75%19.85M
248.71%78.17M
Cash adjustments other than cash changes
----
----
---1.23M
----
----
----
----
----
----
----
End cash Position
-3.82%476.74M
76.76%495.7M
-44.05%280.44M
1.67%501.21M
25.69%493M
--493M
-25.08%259.15M
14.10%325.43M
9.13%412.07M
24.89%392.22M
Free cash flow
-56.23%38.18M
33.64%87.23M
-66.28%65.27M
24.06%193.57M
29.11%156.04M
--111.64M
-84.40%12.61M
106.86%4.74M
-56.44%27.05M
-11.20%120.86M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Mar 31, 2024(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(Q4)Mar 31, 2020(Q3)Dec 31, 2019(Q2)Sep 19, 2019(Q1)Jun 19, 2019(FY)Mar 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities -16.24%124.34M30.71%148.44M-54.74%113.56M14.35%250.89M19.56%219.42M128.66M-67.29%33.66M157.30%24.94M-55.70%32.17M-20.02%183.51M
Net profit before non-cash adjustment 110.21%81.48M-55.83%38.76M86.65%87.74M-46.75%47.01M228.75%88.28M--6.6M-53.74%29.58M20.09%27.23M47.42%24.88M-78.46%26.85M
Total adjustment of non-cash items -34.05%77.75M44.90%117.89M-13.94%81.36M-11.09%94.54M-33.54%106.33M--27.71M360.26%25.95M-12.93%26.27M-25.29%26.41M123.62%159.99M
-Depreciation and amortization -1.84%81.05M10.95%82.57M8.29%74.42M1.10%68.73M17.34%67.98M--16.91M15.56%16.87M18.59%17M19.95%17.2M-2.19%57.93M
-Reversal of impairment losses recognized in profit and loss -208.15%-849K-95.21%785K282.86%16.4M-12.48%4.28M-95.23%4.89M--4.23M-91.93%116K81.00%505K------102.62M
-Assets reserve and write-off ---------121.04%-101K-49.10%480K-90.46%943K-------------86.87%39K78.82%9.89M
-Share of associates 6,808.70%1.54M99.53%-23K-390.09%-4.85M-967.54%-989K-98.39%114K--224K-170.59%-46K-108.78%-319K-92.67%255K127.85%7.06M
-Disposal profit -2,681.94%-40.02M106.23%1.55M-465.84%-24.87M347.24%6.8M103.41%1.52M--1.51M-99.61%30K-98.75%35K-100.86%-51K-78.57%-44.64M
-Remuneration paid in stock 1,780.00%7.39M90.30%-440K-253.62%-4.54M5.28%2.95M32.45%2.8M--850K40.97%726K19.02%682K16.17%546K55.78%2.12M
-Deferred income tax -37.03%18.42M49.05%29.25M48.00%19.62M-53.30%13.26M2.26%28.39M--3.17M-10.86%8.37M-9.67%8.36M-26.91%8.5M-9.45%27.76M
-Non-controlling interests --------------------------0------------
-Other non-cash items 143.31%10.21M-20.27%4.2M642.22%5.27M-212.22%-971K88.67%-311K---117K86.25%-122K100.99%7K90.10%-79K17.56%-2.75M
Changes in working capital -325.02%-34.88M85.22%-8.21M-150.79%-55.54M340.84%109.35M845.54%24.8M--94.35M-144.68%-21.86M70.36%-28.56M-193.75%-19.12M-110.01%-3.33M
-Change in receivables -118.92%-3.94M199.12%20.83M-123.92%-21.02M313.29%87.87M-873.65%-41.2M--44.66M-165.86%-78.19M541.18%18.05M-460.34%-25.73M106.75%5.33M
-Change in inventory 6,440.00%654K-52.38%10K109.25%21K-162.88%-227K35.21%361K--129K65.85%204K-243.10%-199K305.36%227K-92.35%267K
-Change in payables -4.78%-30.8M15.62%-29.4M-302.29%-34.84M-75.94%17.22M878.61%71.59M--51M-25.22%56.76M51.36%-44M-40.81%7.83M-108.39%-9.19M
-Changes in other current assets -327.87%-793K17.17%348K-93.38%297K175.42%4.48M-2,261.82%-5.95M---1.45M-127.58%-641K-37.75%-2.41M-5,912.50%-1.44M129.79%275K
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 5.59%-30.95M-36.40%-32.79M32.22%-24.04M2.19%-35.46M-15.71%-36.26M-282K-13.81%-17.53M-9.25%-17.41M23.42%-1.04M-0.44%-31.33M
Other operating cash inflow (outflow) 0000000000
Operating cash flow -19.25%93.39M29.19%115.66M-58.44%89.53M17.62%215.43M20.36%183.16M--128.38M-81.57%16.13M112.67%7.53M-56.32%31.13M-23.24%152.18M
Investing cash flow
Net PPE purchase and sale -68.82%-46.78M-16.37%-27.71M-10.94%-23.81M20.41%-21.46M13.01%-26.97M---16.66M47.05%-3.52M71.24%-2.76M55.85%-4.02M41.36%-31M
Net business purchase and sale -631.12%-123.49M57.42%-16.89M33.22%-39.67M-1,465.40%-59.41M-110.64%-3.8M--139K--0---3.93M----939.91%35.67M
Net investment product transactions --023.08%8M-31.58%6.5M31.20%9.5M422.44%7.24M--1M--0--3M2,957.55%3.24M-41.67%1.39M
Advance cash and loans provided to other parties ------------90.67%-108K-65.19%-1.16M---118K--0---560K---480K---701K
Repayment of advance payments to other parties and cash income from loans ----34,937.50%2.8M-97.91%8K--383K------------------------
Dividends received (cash flow from investment activities) --293K--0315.81%1.79M-20.81%430K-58.71%543K----------------41.40%1.32M
Interest received (cash flow from investment activities) 73.42%11.47M251.62%6.61M-40.23%1.88M-50.60%3.15M12.26%6.37M--1.23M16.75%1.42M23.61%2.05M61.19%1.68M12.55%5.68M
Net changes in other investments --12.6M------------------------------------
Investing cash flow -436.78%-145.91M49.00%-27.18M21.05%-53.3M-280.10%-67.52M-243.84%-17.76M---13.87M65.73%-2.1M72.25%-2.21M105.22%416K125.33%12.35M
Financing cash flow
Net issuance payments of debt 49.85%193.01M-29.05%128.8M533.25%181.55M-157.33%-41.9M53.82%73.09M--148.53M-23,360.23%-60.76M-132.49%-14.86M-95.46%182K139.96%47.52M
Net common stock issuance --------------------------0--0--05.44%-14.86M
Increase or decrease of lease financing -55.04%-33.34M32.47%-21.5M2.29%-31.84M-20.72%-32.59M---27M---6.33M---6.67M---7.29M---6.7M--0
Cash dividends paid 60.81%-13.05M-34.56%-33.3M35.30%-24.75M51.43%-38.24M0.48%-78.74M---11.25M0.31%-11.25M0.60%-56.24M-----74.37%-79.12M
Cash dividends for minorities 45.48%-5.44M-332.35%-9.98M-234.64%-2.31M30.44%-690K-69.28%-992K--0--0-264.71%-992K-------586K
Interest paid (cash flow from financing activities) -35.21%-29.61M-61.69%-21.9M-48.75%-13.54M43.35%-9.11M-59.68%-16.07M---4.18M59.83%-1.63M-676.95%-5.09M-28.71%-5.17M-56.22%-10.07M
Net other fund-raising expenses -192.15%-78.01M123.20%84.66M-2,024.95%-364.88M-15.13%-17.17M48.99%-14.92M---7.42M----0.00%-7.5M-----87.18%-29.24M
Financing cash flow -73.53%33.56M149.57%126.78M-83.08%-255.77M-116.18%-139.7M25.17%-64.62M--119.35M-287.62%-80.31M-268.52%-91.97M-4,871.43%-11.69M57.26%-86.36M
Net cash flow
Beginning cash position 76.76%495.7M-44.05%280.44M1.67%501.21M25.69%493M24.89%392.22M--259.15M14.10%325.43M9.13%412.07M24.89%392.22M-14.34%314.05M
Current changes in cash -108.81%-18.96M198.05%215.26M-2,772.48%-219.54M-91.85%8.22M28.92%100.78M--233.85M-209.27%-66.28M6.19%-86.64M-68.75%19.85M248.71%78.17M
Cash adjustments other than cash changes -----------1.23M----------------------------
End cash Position -3.82%476.74M76.76%495.7M-44.05%280.44M1.67%501.21M25.69%493M--493M-25.08%259.15M14.10%325.43M9.13%412.07M24.89%392.22M
Free cash flow -56.23%38.18M33.64%87.23M-66.28%65.27M24.06%193.57M29.11%156.04M--111.64M-84.40%12.61M106.86%4.74M-56.44%27.05M-11.20%120.86M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Price Target

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Heat List
SG
Overall
Symbol
Latest Price
% Chg

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