SG Stock MarketDetailed Quotes

S68 SGX

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  • 11.230
  • -0.130-1.14%
10min DelayMarket Closed Sep 13 17:11 CST
12.03BMarket Cap20.61P/E (TTM)

SGX Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(Q4)Jun 30, 2020
(Q3)Mar 31, 2020
(Q2)Dec 31, 2019
(Q1)Sep 30, 2019
(FY)Jun 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
33.45%728.09M
-20.07%545.61M
3.06%682.62M
-4.91%662.33M
40.11%696.56M
165.07M
74.37%258.05M
33.11%156.44M
18.88%116.99M
1.03%497.16M
Net profit before non-cash adjustment
4.95%723.48M
24.19%689.38M
2.66%555.12M
-5.67%540.76M
20.81%573.25M
--144.52M
38.66%168.12M
3.48%121.32M
26.76%139.29M
8.78%474.49M
Total adjustment of non-cash items
-78.34%3.89M
-83.90%17.93M
17.83%111.36M
-3.46%94.51M
61.71%97.9M
--30.1M
47.96%22.92M
62.28%22.55M
53.13%22.33M
-3.06%60.54M
-Depreciation and amortization
-2.51%95.85M
1.72%98.32M
2.26%96.66M
5.19%94.52M
43.75%89.86M
--22.7M
46.16%23.36M
45.58%22.06M
42.30%21.74M
2.75%62.51M
-Reversal of impairment losses recognized in profit and loss
75.78%20.44M
--11.63M
--0
-72.68%2.08M
1,771.25%7.62M
--6.36M
--874K
----
--0
-50.73%407K
-Share of associates
----
----
----
---16.66M
----
----
----
----
----
----
-Disposal profit
-66.29%-106.52M
-1,371.13%-64.05M
-45.62%-4.35M
24.57%-2.99M
-3,288.03%-3.96M
---202K
-4,056.00%-2.08M
-14.29%-120K
-3,388.24%-1.19M
-0.86%-117K
-Remuneration paid in stock
17.37%20.98M
19.32%17.87M
-16.23%14.98M
19.75%17.88M
42.43%14.93M
--3.4M
37.84%3.42M
86.24%3.33M
67.69%4.79M
-4.04%10.49M
-Other non-cash items
41.38%-26.87M
-1,225.09%-45.84M
1,345.87%4.07M
96.90%-327K
17.25%-10.55M
---2.16M
9.17%-2.65M
7.48%-2.72M
14.61%-3.01M
-27.21%-12.75M
Changes in working capital
100.45%721K
-1,101.83%-161.71M
-40.35%16.14M
6.50%27.06M
167.11%25.41M
---9.55M
495.45%67.02M
192.32%12.57M
-71.33%-44.63M
-477.87%-37.86M
-Change in receivables
91.54%-2.87M
89.11%-33.89M
-2,564.00%-311.33M
-91.05%12.64M
337.70%141.12M
--228.81M
-163.49%-506.92M
-57.98%104.53M
80.86%314.7M
-332.68%-59.37M
-Change in payables
57.54%-49.9M
-133.93%-117.53M
1,462.11%346.4M
118.80%22.18M
-1,204.96%-117.96M
---239.48M
215.37%573.51M
56.65%-106.52M
-70.04%-345.46M
-18.45%10.68M
-Changes in other current assets
620.06%53.49M
45.67%-10.29M
-144.23%-18.93M
-445.26%-7.75M
-79.27%2.25M
--1.12M
-98.04%426K
187.56%14.56M
-544.36%-13.86M
282.93%10.83M
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
-13.53%-112.29M
0.19%-98.91M
9.41%-99.09M
-51.12%-109.39M
9.17%-72.39M
-483K
10.42%-35.52M
8.12%-36.18M
14.47%-201K
-22.07%-79.69M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
37.86%615.8M
-23.45%446.7M
5.53%583.53M
-11.41%552.94M
49.51%624.17M
--164.59M
105.41%222.53M
53.88%120.26M
18.96%116.79M
-2.19%417.47M
Investing cash flow
Net PPE purchase and sale
-18.90%-64.57M
-314.72%-54.3M
71.08%-13.09M
-30.78%-45.28M
26.87%-34.63M
---12.45M
45.23%-6.64M
37.40%-8.6M
29.03%-6.94M
39.65%-47.35M
Net business purchase and sale
73.91%-4.72M
89.99%-18.08M
-4.28%-180.64M
36.29%-173.21M
-279.22%-271.87M
--0
-823.69%-271.87M
----
--0
-4,682.72%-71.69M
Net investment product transactions
-284.02%-104.05M
116.01%56.54M
-3,899.59%-353.06M
139.62%9.29M
56.96%-23.45M
---68K
-287.44%-22.39M
61.25%-205K
97.59%-793K
-113.54%-54.49M
Advance cash and loans provided to other parties
----
----
---9.04M
--0
----
----
----
----
----
----
Repayment of advance payments to other parties and cash income from loans
----
--9.04M
----
----
----
----
----
----
----
----
Dividends received (cash flow from investment activities)
-15.85%1.44M
-37.29%1.71M
-36.14%2.73M
67.19%4.27M
2,355.77%2.55M
--60K
100.00%14K
22,045.45%2.44M
15.79%44K
-97.90%104K
Interest received (cash flow from investment activities)
107.00%34M
386.18%16.42M
-51.55%3.38M
-47.74%6.97M
1.22%13.34M
--4.33M
-16.61%2.04M
20.17%4.81M
27.03%2.16M
19.52%13.18M
Net changes in other investments
----
--1.02M
----
----
----
----
----
----
----
----
Investing cash flow
-1,217.12%-137.9M
102.25%12.34M
-177.69%-549.72M
36.97%-197.96M
-95.99%-314.05M
---8.13M
-565.98%-298.84M
84.79%-1.56M
93.35%-5.53M
-79.04%-160.24M
Financing cash flow
Net issuance payments of debt
-21.61%-50.15M
-114.38%-41.24M
65.60%286.74M
-40.18%173.15M
--289.43M
--0
--289.43M
----
----
--0
Net common stock issuance
21.35%-14.64M
32.85%-18.61M
-74.01%-27.72M
6.31%-15.93M
-78.93%-17M
---8.82M
-222.79%-8.19M
----
--0
-15.99%-9.5M
Increase or decrease of lease financing
-5.60%-25.8M
-5.56%-24.43M
-2.81%-23.14M
-7.91%-22.51M
---20.86M
---5.4M
---4.9M
---5.29M
---5.27M
--0
Cash dividends paid
-6.04%-364.93M
-0.56%-344.15M
0.08%-342.23M
-6.63%-342.49M
19.98%-321.19M
---80.24M
-0.05%-80.31M
33.32%-160.64M
----
-33.86%-401.4M
Interest paid (cash flow from financing activities)
6.33%-4.17M
-90.26%-4.45M
-9.65%-2.34M
-1,788.50%-2.13M
---113K
---113K
----
----
----
--0
Financing cash flow
-6.19%-459.69M
-298.24%-432.89M
48.22%-108.7M
-201.01%-209.92M
83.03%-69.74M
---94.57M
336.76%196.04M
32.16%-165.93M
-73.12%-5.27M
-33.39%-410.9M
Net cash flow
Beginning cash position
3.34%777.3M
-9.75%752.15M
21.41%833.37M
54.08%686.43M
-18.94%445.51M
--625.11M
31.15%504.55M
-1.80%551.47M
-18.94%445.51M
5.63%549.6M
Current changes in cash
-30.38%18.21M
134.93%26.16M
-151.63%-74.89M
-39.66%145.05M
256.42%240.38M
--61.89M
719.20%119.73M
73.27%-47.23M
783.58%105.99M
-625.16%-153.68M
Effect of exchange rate changes
120.40%205K
84.10%-1.01M
-436.04%-6.32M
249.63%1.88M
232.51%538K
---569K
849.43%826K
291.02%319K
-58.33%-38K
-3,790.91%-406K
Cash adjustments other than cash changes
----
----
----
----
----
----
----
----
----
--50M
End cash Position
2.37%795.72M
3.34%777.3M
-9.75%752.15M
21.41%833.37M
54.08%686.43M
--686.43M
71.05%625.11M
31.15%504.55M
-1.80%551.47M
-18.94%445.51M
Free cash flow
40.48%551.23M
-27.25%392.39M
6.25%539.38M
-13.89%507.66M
59.28%589.55M
--152.14M
124.38%215.89M
73.36%111.65M
24.26%109.85M
6.28%370.12M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(Q4)Jun 30, 2020(Q3)Mar 31, 2020(Q2)Dec 31, 2019(Q1)Sep 30, 2019(FY)Jun 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities 33.45%728.09M-20.07%545.61M3.06%682.62M-4.91%662.33M40.11%696.56M165.07M74.37%258.05M33.11%156.44M18.88%116.99M1.03%497.16M
Net profit before non-cash adjustment 4.95%723.48M24.19%689.38M2.66%555.12M-5.67%540.76M20.81%573.25M--144.52M38.66%168.12M3.48%121.32M26.76%139.29M8.78%474.49M
Total adjustment of non-cash items -78.34%3.89M-83.90%17.93M17.83%111.36M-3.46%94.51M61.71%97.9M--30.1M47.96%22.92M62.28%22.55M53.13%22.33M-3.06%60.54M
-Depreciation and amortization -2.51%95.85M1.72%98.32M2.26%96.66M5.19%94.52M43.75%89.86M--22.7M46.16%23.36M45.58%22.06M42.30%21.74M2.75%62.51M
-Reversal of impairment losses recognized in profit and loss 75.78%20.44M--11.63M--0-72.68%2.08M1,771.25%7.62M--6.36M--874K------0-50.73%407K
-Share of associates ---------------16.66M------------------------
-Disposal profit -66.29%-106.52M-1,371.13%-64.05M-45.62%-4.35M24.57%-2.99M-3,288.03%-3.96M---202K-4,056.00%-2.08M-14.29%-120K-3,388.24%-1.19M-0.86%-117K
-Remuneration paid in stock 17.37%20.98M19.32%17.87M-16.23%14.98M19.75%17.88M42.43%14.93M--3.4M37.84%3.42M86.24%3.33M67.69%4.79M-4.04%10.49M
-Other non-cash items 41.38%-26.87M-1,225.09%-45.84M1,345.87%4.07M96.90%-327K17.25%-10.55M---2.16M9.17%-2.65M7.48%-2.72M14.61%-3.01M-27.21%-12.75M
Changes in working capital 100.45%721K-1,101.83%-161.71M-40.35%16.14M6.50%27.06M167.11%25.41M---9.55M495.45%67.02M192.32%12.57M-71.33%-44.63M-477.87%-37.86M
-Change in receivables 91.54%-2.87M89.11%-33.89M-2,564.00%-311.33M-91.05%12.64M337.70%141.12M--228.81M-163.49%-506.92M-57.98%104.53M80.86%314.7M-332.68%-59.37M
-Change in payables 57.54%-49.9M-133.93%-117.53M1,462.11%346.4M118.80%22.18M-1,204.96%-117.96M---239.48M215.37%573.51M56.65%-106.52M-70.04%-345.46M-18.45%10.68M
-Changes in other current assets 620.06%53.49M45.67%-10.29M-144.23%-18.93M-445.26%-7.75M-79.27%2.25M--1.12M-98.04%426K187.56%14.56M-544.36%-13.86M282.93%10.83M
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 -13.53%-112.29M0.19%-98.91M9.41%-99.09M-51.12%-109.39M9.17%-72.39M-483K10.42%-35.52M8.12%-36.18M14.47%-201K-22.07%-79.69M
Other operating cash inflow (outflow) 0000000000
Operating cash flow 37.86%615.8M-23.45%446.7M5.53%583.53M-11.41%552.94M49.51%624.17M--164.59M105.41%222.53M53.88%120.26M18.96%116.79M-2.19%417.47M
Investing cash flow
Net PPE purchase and sale -18.90%-64.57M-314.72%-54.3M71.08%-13.09M-30.78%-45.28M26.87%-34.63M---12.45M45.23%-6.64M37.40%-8.6M29.03%-6.94M39.65%-47.35M
Net business purchase and sale 73.91%-4.72M89.99%-18.08M-4.28%-180.64M36.29%-173.21M-279.22%-271.87M--0-823.69%-271.87M------0-4,682.72%-71.69M
Net investment product transactions -284.02%-104.05M116.01%56.54M-3,899.59%-353.06M139.62%9.29M56.96%-23.45M---68K-287.44%-22.39M61.25%-205K97.59%-793K-113.54%-54.49M
Advance cash and loans provided to other parties -----------9.04M--0------------------------
Repayment of advance payments to other parties and cash income from loans ------9.04M--------------------------------
Dividends received (cash flow from investment activities) -15.85%1.44M-37.29%1.71M-36.14%2.73M67.19%4.27M2,355.77%2.55M--60K100.00%14K22,045.45%2.44M15.79%44K-97.90%104K
Interest received (cash flow from investment activities) 107.00%34M386.18%16.42M-51.55%3.38M-47.74%6.97M1.22%13.34M--4.33M-16.61%2.04M20.17%4.81M27.03%2.16M19.52%13.18M
Net changes in other investments ------1.02M--------------------------------
Investing cash flow -1,217.12%-137.9M102.25%12.34M-177.69%-549.72M36.97%-197.96M-95.99%-314.05M---8.13M-565.98%-298.84M84.79%-1.56M93.35%-5.53M-79.04%-160.24M
Financing cash flow
Net issuance payments of debt -21.61%-50.15M-114.38%-41.24M65.60%286.74M-40.18%173.15M--289.43M--0--289.43M----------0
Net common stock issuance 21.35%-14.64M32.85%-18.61M-74.01%-27.72M6.31%-15.93M-78.93%-17M---8.82M-222.79%-8.19M------0-15.99%-9.5M
Increase or decrease of lease financing -5.60%-25.8M-5.56%-24.43M-2.81%-23.14M-7.91%-22.51M---20.86M---5.4M---4.9M---5.29M---5.27M--0
Cash dividends paid -6.04%-364.93M-0.56%-344.15M0.08%-342.23M-6.63%-342.49M19.98%-321.19M---80.24M-0.05%-80.31M33.32%-160.64M-----33.86%-401.4M
Interest paid (cash flow from financing activities) 6.33%-4.17M-90.26%-4.45M-9.65%-2.34M-1,788.50%-2.13M---113K---113K--------------0
Financing cash flow -6.19%-459.69M-298.24%-432.89M48.22%-108.7M-201.01%-209.92M83.03%-69.74M---94.57M336.76%196.04M32.16%-165.93M-73.12%-5.27M-33.39%-410.9M
Net cash flow
Beginning cash position 3.34%777.3M-9.75%752.15M21.41%833.37M54.08%686.43M-18.94%445.51M--625.11M31.15%504.55M-1.80%551.47M-18.94%445.51M5.63%549.6M
Current changes in cash -30.38%18.21M134.93%26.16M-151.63%-74.89M-39.66%145.05M256.42%240.38M--61.89M719.20%119.73M73.27%-47.23M783.58%105.99M-625.16%-153.68M
Effect of exchange rate changes 120.40%205K84.10%-1.01M-436.04%-6.32M249.63%1.88M232.51%538K---569K849.43%826K291.02%319K-58.33%-38K-3,790.91%-406K
Cash adjustments other than cash changes --------------------------------------50M
End cash Position 2.37%795.72M3.34%777.3M-9.75%752.15M21.41%833.37M54.08%686.43M--686.43M71.05%625.11M31.15%504.55M-1.80%551.47M-18.94%445.51M
Free cash flow 40.48%551.23M-27.25%392.39M6.25%539.38M-13.89%507.66M59.28%589.55M--152.14M124.38%215.89M73.36%111.65M24.26%109.85M6.28%370.12M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Price Target

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Heat List
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Symbol
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% Chg

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