(Q2)Jun 30, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q2)Jun 30, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q2)Jun 30, 2022 | (FY)Dec 31, 2021 | (Q4)Dec 31, 2021 | (Q2)Jun 30, 2021 | |
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Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | 21.56%525.87M | 55.31%507.95M | 55.31%507.95M | 6.91%432.59M | 48.86%327.05M | 48.86%327.05M | 45.88%404.62M | -57.92%219.71M | -57.92%219.71M | -16.67%277.36M |
-Cash and cash equivalents | 34.38%476.34M | 81.99%458.05M | 81.99%458.05M | 3.84%354.47M | 77.73%251.69M | 77.73%251.69M | 61.61%341.37M | -68.97%141.62M | -68.97%141.62M | -18.78%211.23M |
-Short-term investments | -36.59%49.53M | -33.80%49.89M | -33.80%49.89M | 23.52%78.12M | -3.49%75.36M | -3.49%75.36M | -4.37%63.24M | 18.61%78.09M | 18.61%78.09M | -9.15%66.13M |
-Accounts receivable | -6.47%100.05M | -71.56%3.8M | -71.56%3.8M | 1,507.60%106.97M | 148.60%13.35M | 148.60%13.35M | -35.51%6.65M | -63.17%5.37M | -63.17%5.37M | 87.67%10.32M |
-Gross accounts receivable | ---- | -58.78%6.74M | -58.78%6.74M | ---- | 91.19%16.36M | 91.19%16.36M | ---- | --8.56M | --8.56M | ---- |
-Bad debt provision | ---- | 2.19%-2.95M | 2.19%-2.95M | ---- | 5.46%-3.02M | 5.46%-3.02M | ---- | ---3.19M | ---3.19M | ---- |
-Other receivables | ---- | -15.40%78.07M | -15.40%78.07M | ---- | 14.26%92.28M | 14.26%92.28M | -5.12%88.19M | 6.85%80.77M | 6.85%80.77M | 20.98%92.94M |
Inventory | 11.88%177.23M | -2.09%169.92M | -2.09%169.92M | -37.74%158.42M | -32.22%173.54M | -32.22%173.54M | 20.23%254.46M | 29.42%256.02M | 29.42%256.02M | 48.42%211.64M |
Prepaid assets | 15.28%18.77M | -44.82%13.58M | -44.82%13.58M | 4.59%16.28M | 65.55%24.61M | 65.55%24.61M | 274.81%15.57M | 65.13%14.87M | 65.13%14.87M | -84.06%4.15M |
Total current assets | 14.04%831.58M | 18.63%782.23M | 18.63%782.23M | -6.65%729.19M | 12.92%659.38M | 12.92%659.38M | 23.27%781.15M | -29.27%583.93M | -29.27%583.93M | 6.85%633.67M |
Non current assets | ||||||||||
Net PPE | 86.56%118.38M | 18.85%67.31M | 18.85%67.31M | 17.95%63.46M | 0.58%56.64M | 0.58%56.64M | -4.51%53.8M | -3.03%56.31M | -3.03%56.31M | 13.14%56.34M |
-Gross PP&E | 52.43%173.74M | 13.29%119.5M | 13.29%119.5M | 12.04%113.98M | 3.06%105.48M | 3.06%105.48M | 1.82%101.73M | 3.15%102.34M | 3.15%102.34M | 100.65%99.92M |
-Accumulated depreciation | -9.57%-55.36M | -6.85%-52.19M | -6.85%-52.19M | -5.40%-50.53M | -6.10%-48.84M | -6.10%-48.84M | -10.00%-47.94M | -11.86%-46.03M | -11.86%-46.03M | ---43.58M |
Total investment | -17.54%992.51M | -19.26%1.04B | -19.26%1.04B | -31.57%1.2B | -7.96%1.29B | -7.96%1.29B | 32.67%1.76B | 20.46%1.4B | 20.46%1.4B | 21.85%1.33B |
-Long-term equity investment | -12.46%591.97M | -9.18%636.83M | -9.18%636.83M | -12.51%676.19M | -41.85%701.21M | -41.85%701.21M | -31.06%772.86M | 22.44%1.21B | 22.44%1.21B | 22.99%1.12B |
-Including:Available-for-sale securities | -24.06%400.54M | -36.62%374.62M | -36.62%374.62M | -46.51%527.45M | 263.23%591.04M | 263.23%591.04M | 381.58%986.16M | 26.95%162.72M | 26.95%162.72M | 15.99%204.78M |
-Including:Held to maturity investments | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -32.62%35.33M | -32.62%35.33M | ---- |
Financial assets | -62.74%6.75M | -48.10%6.85M | -48.10%6.85M | 304.71%18.12M | 1,375.20%13.2M | 1,375.20%13.2M | --4.48M | -40.09%895K | -40.09%895K | --0 |
Goodwill and other intangible assets | -0.31%56.83M | -5.56%56.21M | -5.56%56.21M | 216.25%57.01M | 221.18%59.52M | 221.18%59.52M | -1.44%18.03M | -0.37%18.53M | -0.37%18.53M | -21.29%18.29M |
-Goodwill | 0.62%15.83M | -4.90%15.52M | -4.90%15.52M | -7.00%15.74M | -6.01%16.32M | -6.01%16.32M | -2.16%16.92M | -0.86%17.37M | -0.86%17.37M | -0.78%17.29M |
-Other intangible assets | -0.66%41M | -5.81%40.68M | -5.81%40.68M | 3,631.83%41.27M | 3,607.64%43.19M | 3,607.64%43.19M | 10.93%1.11M | 7.47%1.17M | 7.47%1.17M | -82.83%997K |
Other non current assets | ---- | ---- | ---- | ---- | ---- | ---- | --22.21M | ---- | ---- | ---- |
Total non current assets | -5.61%2.68B | -6.50%2.66B | -6.50%2.66B | -9.71%2.84B | 9.15%2.84B | 9.15%2.84B | 29.89%3.15B | 15.20%2.6B | 15.20%2.6B | 12.51%2.42B |
Total assets | -1.59%3.51B | -1.77%3.44B | -1.77%3.44B | -9.10%3.57B | 9.84%3.5B | 9.84%3.5B | 28.52%3.93B | 3.30%3.19B | 3.30%3.19B | 11.29%3.06B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
-Current debt and capital lease obligation | 23.69%227.59M | -12.68%295.06M | -12.68%295.06M | -67.57%184M | -37.81%337.9M | -37.81%337.9M | 3.18%567.35M | -6.03%543.35M | -6.03%543.35M | 88.60%549.88M |
-Including:Current debt | 24.12%224.98M | -13.12%292.49M | -13.12%292.49M | -67.92%181.27M | -37.74%336.67M | -37.74%336.67M | 3.22%565.01M | -6.00%540.75M | -6.00%540.75M | 90.60%547.39M |
-Including:Current capital Lease obligation | -4.46%2.61M | 109.98%2.57M | 109.98%2.57M | 17.24%2.73M | -53.02%1.22M | -53.02%1.22M | -6.42%2.33M | -11.82%2.6M | -11.82%2.6M | -43.00%2.49M |
Payables | 49.96%115.76M | 1.99%36.67M | 1.99%36.67M | -21.00%77.19M | -15.67%35.95M | -15.67%35.95M | 105.04%97.72M | 29.62%42.64M | 29.62%42.64M | -29.29%47.66M |
-accounts payable | 57.16%110.29M | -16.83%20.8M | -16.83%20.8M | -11.83%70.18M | 2.01%25.01M | 2.01%25.01M | 95.92%79.6M | 152.28%24.51M | 152.28%24.51M | -33.18%40.63M |
-Total tax payable | -22.11%5.47M | 93.62%7.5M | 93.62%7.5M | -61.27%7.02M | -72.81%3.87M | -72.81%3.87M | 157.77%18.12M | 5.55%14.24M | 5.55%14.24M | 6.48%7.03M |
-Other payable | ---- | 18.39%8.38M | 18.39%8.38M | ---- | 82.04%7.08M | 82.04%7.08M | ---- | -59.89%3.89M | -59.89%3.89M | ---- |
Current provisions | -92.95%304K | -28.41%252K | -28.41%252K | --4.31M | --352K | --352K | ---- | ---- | ---- | -11.47%4.45M |
Current liabilities | 28.39%346.88M | -17.87%396.86M | -17.87%396.86M | -59.39%270.17M | -23.36%483.21M | -23.36%483.21M | 9.35%665.29M | -6.48%630.51M | -6.48%630.51M | 66.26%608.4M |
Non current liabilities | ||||||||||
-Long term debt and capital lease obligation | 5.22%1.5B | 26.41%1.33B | 26.41%1.33B | 100.93%1.43B | 107.93%1.06B | 107.93%1.06B | 16.36%710.32M | -17.89%507.55M | -17.89%507.55M | -16.17%610.45M |
-Including:Long term debt | 5.43%1.5B | 26.09%1.33B | 26.09%1.33B | 100.42%1.42B | 108.62%1.05B | 108.62%1.05B | 16.83%709.01M | -17.61%505.25M | -17.61%505.25M | -15.96%606.85M |
-Including:Long term capital lease obligation | -41.74%3.66M | 297.06%5M | 297.06%5M | 378.73%6.28M | -45.26%1.26M | -45.26%1.26M | -63.59%1.31M | -52.48%2.3M | -52.48%2.3M | -41.39%3.6M |
-Derivative product liabilities | -43.60%18.68M | 5,992.29%22.91M | 5,992.29%22.91M | 143,886.96%33.12M | -42.24%376K | -42.24%376K | -99.28%23K | -77.43%651K | -77.43%651K | 64.03%3.19M |
Long-term accounts payable and other payables | --3.23M | -53.38%200K | -53.38%200K | ---- | -37.46%429K | -37.46%429K | ---- | -94.72%686K | -94.72%686K | ---- |
Long term provisions | 43.44%20.5M | 8.12%15.89M | 8.12%15.89M | -15.04%14.29M | 11.59%14.7M | 11.59%14.7M | 31.24%16.82M | 10.26%13.17M | 10.26%13.17M | 39.95%12.82M |
Other non current liabilities | ---- | 7.65%3.11M | 7.65%3.11M | -53.62%2.84M | -47.31%2.89M | -47.31%2.89M | 37.32%6.12M | 47.62%5.48M | 47.62%5.48M | -50.75%4.46M |
Total non current liabilities | 3.78%1.61B | 26.35%1.45B | 26.35%1.45B | 87.39%1.55B | 83.73%1.14B | 83.73%1.14B | 20.61%825.38M | -9.09%622.55M | -9.09%622.55M | -11.44%684.36M |
Total liabilities | 7.44%1.95B | 13.22%1.84B | 13.22%1.84B | 21.88%1.82B | 29.85%1.63B | 29.85%1.63B | 15.31%1.49B | -7.80%1.25B | -7.80%1.25B | 13.53%1.29B |
Shareholders'equity | ||||||||||
Share capital | 0.55%690.07M | -0.00%686.31M | -0.00%686.31M | 6.04%686.31M | 20.62%686.32M | 20.62%686.32M | 13.75%647.23M | 0.00%568.97M | 0.00%568.97M | 0.00%568.97M |
-common stock | 0.55%690.07M | -0.00%686.31M | -0.00%686.31M | 6.04%686.31M | 20.62%686.32M | 20.62%686.32M | 13.75%647.23M | 0.00%568.97M | 0.00%568.97M | 0.00%568.97M |
Retained earnings | -6.19%1.28B | -5.87%1.31B | -5.87%1.31B | -22.12%1.37B | 20.06%1.4B | 20.06%1.4B | 66.12%1.76B | 21.01%1.16B | 21.01%1.16B | 15.56%1.06B |
Other equity interest | -85.88%318K | 86.42%2.9M | 86.42%2.9M | 93.30%2.25M | --1.55M | --1.55M | --1.17M | ---- | ---- | ---- |
Total stockholders'equity | -12.17%1.42B | -15.97%1.46B | -15.97%1.46B | -28.75%1.61B | -1.92%1.74B | -1.92%1.74B | 38.03%2.26B | 15.17%1.77B | 15.17%1.77B | 13.35%1.64B |
Noncontrolling interests | 3.03%143.87M | 0.27%137.43M | 0.27%137.43M | -18.95%139.64M | -16.16%137.06M | -16.16%137.06M | 40.57%172.28M | -13.48%163.47M | -13.48%163.47M | -23.42%122.56M |
Total equity | -10.96%1.56B | -14.78%1.6B | -14.78%1.6B | -28.05%1.75B | -3.12%1.87B | -3.12%1.87B | 38.20%2.44B | 12.04%1.93B | 12.04%1.93B | 9.69%1.76B |
Currency Unit | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD | SGD |
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