SG Stock MarketDetailed Quotes

S7P Soilbuild Const

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  • 0.076
  • -0.002-2.56%
10min DelayMarket Closed Nov 22 16:46 CST
125.75MMarket Cap8.44P/E (TTM)

Soilbuild Const 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
(Q4)Dec 31, 2019
(Q3)Sep 30, 2019
(Q2)Jun 30, 2019
(Q1)Mar 31, 2019
(FY)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities
628.25%3.09M
95.98%-584K
-281.80%-14.52M
221.94%7.99M
-1,793.35%-6.55M
5.13M
-313.39%-4M
228.25%8.08M
-24.28%-15.76M
-101.09%-346K
Net profit before non-cash adjustment
123.08%7.32M
-1,106.78%-31.7M
90.84%-2.63M
-213.67%-28.67M
-178.49%-9.14M
---2.89M
-4,524.00%-4.42M
-278.67%-938K
-530.58%-887K
45.06%-3.28M
Total adjustment of non-cash items
8.15%16.4M
20.01%15.17M
-1.59%12.64M
14.99%12.84M
83.46%11.17M
--3.36M
95.44%2.4M
177.89%3.19M
89.55%2.21M
346.66%6.09M
-Depreciation and amortization
-9.20%10.02M
-6.05%11.03M
17.03%11.74M
22.94%10.03M
72.85%8.16M
--2.47M
96.80%2.15M
69.25%1.83M
74.57%1.71M
35.96%4.72M
-Reversal of impairment losses recognized in profit and loss
--148K
--0
-189.62%-1.25M
27,840.00%1.4M
-78.26%5K
---26K
---1K
--32K
----
--23K
-Assets reserve and write-off
2,086.15%1.42M
-95.85%65K
--1.57M
--0
----
----
----
----
----
----
-Share of associates
200.00%3K
--1K
--0
45.45%-6K
92.31%-11K
--2K
58.33%-10K
94.57%-5K
104.55%2K
75.93%-143K
-Disposal profit
1,634.15%711K
106.07%41K
-283.20%-676K
-11.30%369K
3,681.82%416K
--160K
12,850.00%255K
101.54%1K
--0
-92.95%11K
-Deferred income tax
-69.43%523K
369.45%1.71M
24.76%-635K
-216.09%-844K
-16.53%727K
--263K
-4,563.64%-491K
681.31%836K
-14.39%119K
153.73%871K
-Other non-cash items
54.49%3.58M
22.39%2.32M
0.05%1.89M
1.23%1.89M
209.60%1.87M
--494K
229.80%498K
327.59%496K
649.02%382K
2,416.67%604K
Changes in working capital
-229.37%-20.64M
165.01%15.95M
-203.02%-24.53M
377.55%23.81M
-172.21%-8.58M
--4.66M
-462.45%-1.98M
640.46%5.82M
-21.57%-17.08M
-108.70%-3.15M
-Change in receivables
87.15%-2.68M
-152.45%-20.82M
-124.06%-8.25M
223.48%34.28M
-86.41%-27.76M
---10.71M
64.18%-3.38M
-3,488.65%-6.64M
-465.83%-7.02M
-126.22%-14.89M
-Change in inventory
-213.18%-6.12M
444.86%5.4M
72.93%-1.57M
-216.80%-5.79M
---1.83M
---477K
---852K
---237K
---261K
--0
-Change in payables
-139.52%-13.79M
371.01%34.89M
-48.91%-12.87M
-138.47%-8.64M
1,388.30%22.47M
--16.84M
755.08%2M
439.57%12.6M
49.58%-8.97M
90.20%-1.74M
-Provision for loans, leases and other losses
-7.88%-986K
-76.45%-914K
-113.89%-518K
1,413.38%3.73M
-235.89%-284K
---386K
-102.94%-1K
456.36%306K
-138.37%-203K
176.56%209K
-Changes in other current assets
212.56%2.93M
-95.86%-2.6M
-651.45%-1.33M
120.42%241K
-108.89%-1.18M
---609K
-97.49%258K
85.27%-209K
-147.88%-620K
639.11%13.27M
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
0
-103.68%-387K
13.64%-190K
48.11%-220K
22.77%-424K
-229K
341.94%75K
-298.35%-240K
92.96%-30K
75.28%-549K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
417.71%3.09M
93.40%-971K
-289.39%-14.71M
211.37%7.77M
-679.33%-6.98M
--4.9M
-312.91%-3.93M
203.56%7.84M
-20.47%-15.79M
-103.04%-895K
Investing cash flow
Net PPE purchase and sale
-20.79%-7.28M
-67.32%-6.03M
78.68%-3.6M
-87.57%-16.89M
77.60%-9.01M
---1.81M
57.29%-3.12M
82.86%-2.48M
86.01%-1.59M
-2.96%-40.2M
Net intangibles purchase and sale
---29K
--0
59.26%-11K
93.08%-27K
---390K
---295K
--0
---95K
----
--0
Net business purchase and sale
----
----
--0
--15K
--0
----
----
----
----
--88K
Dividends received (cash flow from investment activities)
--0
50.00%3K
-87.50%2K
-23.81%16K
-96.26%21K
--3K
-50.00%12K
-98.55%6K
--0
-76.96%561K
Interest received (cash flow from investment activities)
200.00%9K
-40.00%3K
-78.26%5K
-34.29%23K
12.90%35K
--17K
-37.50%5K
0.00%7K
-33.33%6K
-34.04%31K
Net changes in other investments
--451K
----
--5.32M
----
161.42%4.68M
--0
--4.68M
----
----
---7.63M
Investing cash flow
-13.75%-6.85M
-451.90%-6.02M
110.15%1.71M
-262.20%-16.86M
90.12%-4.66M
---2.09M
121.68%1.58M
81.77%-2.57M
85.91%-1.58M
-27.71%-47.14M
Financing cash flow
Net issuance payments of debt
-361.48%-10.24M
-62.57%3.92M
14.57%10.46M
-14.95%9.13M
-70.00%10.74M
---5.45M
-69.83%1.95M
-115.40%-1.29M
31.77%15.52M
218.21%35.78M
Net common stock issuance
----
----
----
----
16,276.00%12.28M
--326K
--11.96M
--0
----
-38.52%75K
Net preferred stock issuance
--21.62M
--0
----
----
----
----
----
----
----
----
Increase or decrease of lease financing
0.58%-863K
-1.64%-868K
-164.40%-854K
-3.19%-323K
---313K
---146K
---53K
---114K
----
--0
Issuance fees
---542K
--0
----
----
---326K
----
----
----
----
--0
Interest paid (cash flow from financing activities)
-59.08%-3.47M
-17.33%-2.18M
0.75%-1.86M
-1.19%-1.87M
-208.85%-1.85M
---527K
-208.13%-493K
-360.55%-502K
-613.04%-328K
-794.03%-599K
Financing cash flow
650.87%6.51M
-88.81%867K
11.72%7.75M
-66.22%6.94M
-41.77%20.53M
---6.13M
111.59%13.36M
-122.87%-1.9M
29.49%15.19M
1,121.20%35.26M
Net cash flow
Beginning cash position
-34.71%11.09M
-22.12%16.99M
-9.67%21.82M
58.37%24.15M
-45.28%15.25M
--27.53M
34.91%16.31M
-16.59%12.89M
-45.28%15.25M
-15.11%27.87M
Current changes in cash
144.83%2.75M
-16.60%-6.13M
-143.08%-5.25M
-124.29%-2.16M
169.61%8.9M
---3.32M
1,148.98%11.02M
206.32%3.37M
82.75%-2.17M
-176.59%-12.78M
Effect of exchange rate changes
59.91%363K
-46.71%227K
343.43%426K
-3,600.00%-175K
-96.91%5K
---60K
187.14%201K
128.72%56K
-214.29%-192K
147.93%162K
End cash Position
28.03%14.2M
-34.71%11.09M
-22.12%16.99M
-9.67%21.82M
58.37%24.15M
--24.15M
111.06%27.53M
34.91%16.31M
-16.59%12.89M
-45.28%15.25M
Free cash flow
25.22%-5.33M
62.70%-7.12M
-104.56%-19.09M
43.94%-9.33M
60.05%-16.65M
--2.73M
-28.43%-7.1M
142.91%5.25M
28.35%-17.53M
-296.17%-41.68M
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(Q4)Dec 31, 2019(Q3)Sep 30, 2019(Q2)Jun 30, 2019(Q1)Mar 31, 2019(FY)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities 628.25%3.09M95.98%-584K-281.80%-14.52M221.94%7.99M-1,793.35%-6.55M5.13M-313.39%-4M228.25%8.08M-24.28%-15.76M-101.09%-346K
Net profit before non-cash adjustment 123.08%7.32M-1,106.78%-31.7M90.84%-2.63M-213.67%-28.67M-178.49%-9.14M---2.89M-4,524.00%-4.42M-278.67%-938K-530.58%-887K45.06%-3.28M
Total adjustment of non-cash items 8.15%16.4M20.01%15.17M-1.59%12.64M14.99%12.84M83.46%11.17M--3.36M95.44%2.4M177.89%3.19M89.55%2.21M346.66%6.09M
-Depreciation and amortization -9.20%10.02M-6.05%11.03M17.03%11.74M22.94%10.03M72.85%8.16M--2.47M96.80%2.15M69.25%1.83M74.57%1.71M35.96%4.72M
-Reversal of impairment losses recognized in profit and loss --148K--0-189.62%-1.25M27,840.00%1.4M-78.26%5K---26K---1K--32K------23K
-Assets reserve and write-off 2,086.15%1.42M-95.85%65K--1.57M--0------------------------
-Share of associates 200.00%3K--1K--045.45%-6K92.31%-11K--2K58.33%-10K94.57%-5K104.55%2K75.93%-143K
-Disposal profit 1,634.15%711K106.07%41K-283.20%-676K-11.30%369K3,681.82%416K--160K12,850.00%255K101.54%1K--0-92.95%11K
-Deferred income tax -69.43%523K369.45%1.71M24.76%-635K-216.09%-844K-16.53%727K--263K-4,563.64%-491K681.31%836K-14.39%119K153.73%871K
-Other non-cash items 54.49%3.58M22.39%2.32M0.05%1.89M1.23%1.89M209.60%1.87M--494K229.80%498K327.59%496K649.02%382K2,416.67%604K
Changes in working capital -229.37%-20.64M165.01%15.95M-203.02%-24.53M377.55%23.81M-172.21%-8.58M--4.66M-462.45%-1.98M640.46%5.82M-21.57%-17.08M-108.70%-3.15M
-Change in receivables 87.15%-2.68M-152.45%-20.82M-124.06%-8.25M223.48%34.28M-86.41%-27.76M---10.71M64.18%-3.38M-3,488.65%-6.64M-465.83%-7.02M-126.22%-14.89M
-Change in inventory -213.18%-6.12M444.86%5.4M72.93%-1.57M-216.80%-5.79M---1.83M---477K---852K---237K---261K--0
-Change in payables -139.52%-13.79M371.01%34.89M-48.91%-12.87M-138.47%-8.64M1,388.30%22.47M--16.84M755.08%2M439.57%12.6M49.58%-8.97M90.20%-1.74M
-Provision for loans, leases and other losses -7.88%-986K-76.45%-914K-113.89%-518K1,413.38%3.73M-235.89%-284K---386K-102.94%-1K456.36%306K-138.37%-203K176.56%209K
-Changes in other current assets 212.56%2.93M-95.86%-2.6M-651.45%-1.33M120.42%241K-108.89%-1.18M---609K-97.49%258K85.27%-209K-147.88%-620K639.11%13.27M
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 0-103.68%-387K13.64%-190K48.11%-220K22.77%-424K-229K341.94%75K-298.35%-240K92.96%-30K75.28%-549K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 417.71%3.09M93.40%-971K-289.39%-14.71M211.37%7.77M-679.33%-6.98M--4.9M-312.91%-3.93M203.56%7.84M-20.47%-15.79M-103.04%-895K
Investing cash flow
Net PPE purchase and sale -20.79%-7.28M-67.32%-6.03M78.68%-3.6M-87.57%-16.89M77.60%-9.01M---1.81M57.29%-3.12M82.86%-2.48M86.01%-1.59M-2.96%-40.2M
Net intangibles purchase and sale ---29K--059.26%-11K93.08%-27K---390K---295K--0---95K------0
Net business purchase and sale ----------0--15K--0------------------88K
Dividends received (cash flow from investment activities) --050.00%3K-87.50%2K-23.81%16K-96.26%21K--3K-50.00%12K-98.55%6K--0-76.96%561K
Interest received (cash flow from investment activities) 200.00%9K-40.00%3K-78.26%5K-34.29%23K12.90%35K--17K-37.50%5K0.00%7K-33.33%6K-34.04%31K
Net changes in other investments --451K------5.32M----161.42%4.68M--0--4.68M-----------7.63M
Investing cash flow -13.75%-6.85M-451.90%-6.02M110.15%1.71M-262.20%-16.86M90.12%-4.66M---2.09M121.68%1.58M81.77%-2.57M85.91%-1.58M-27.71%-47.14M
Financing cash flow
Net issuance payments of debt -361.48%-10.24M-62.57%3.92M14.57%10.46M-14.95%9.13M-70.00%10.74M---5.45M-69.83%1.95M-115.40%-1.29M31.77%15.52M218.21%35.78M
Net common stock issuance ----------------16,276.00%12.28M--326K--11.96M--0-----38.52%75K
Net preferred stock issuance --21.62M--0--------------------------------
Increase or decrease of lease financing 0.58%-863K-1.64%-868K-164.40%-854K-3.19%-323K---313K---146K---53K---114K------0
Issuance fees ---542K--0-----------326K------------------0
Interest paid (cash flow from financing activities) -59.08%-3.47M-17.33%-2.18M0.75%-1.86M-1.19%-1.87M-208.85%-1.85M---527K-208.13%-493K-360.55%-502K-613.04%-328K-794.03%-599K
Financing cash flow 650.87%6.51M-88.81%867K11.72%7.75M-66.22%6.94M-41.77%20.53M---6.13M111.59%13.36M-122.87%-1.9M29.49%15.19M1,121.20%35.26M
Net cash flow
Beginning cash position -34.71%11.09M-22.12%16.99M-9.67%21.82M58.37%24.15M-45.28%15.25M--27.53M34.91%16.31M-16.59%12.89M-45.28%15.25M-15.11%27.87M
Current changes in cash 144.83%2.75M-16.60%-6.13M-143.08%-5.25M-124.29%-2.16M169.61%8.9M---3.32M1,148.98%11.02M206.32%3.37M82.75%-2.17M-176.59%-12.78M
Effect of exchange rate changes 59.91%363K-46.71%227K343.43%426K-3,600.00%-175K-96.91%5K---60K187.14%201K128.72%56K-214.29%-192K147.93%162K
End cash Position 28.03%14.2M-34.71%11.09M-22.12%16.99M-9.67%21.82M58.37%24.15M--24.15M111.06%27.53M34.91%16.31M-16.59%12.89M-45.28%15.25M
Free cash flow 25.22%-5.33M62.70%-7.12M-104.56%-19.09M43.94%-9.33M60.05%-16.65M--2.73M-28.43%-7.1M142.91%5.25M28.35%-17.53M-296.17%-41.68M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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