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YTLPF YTL POWER INTERNATIONAL BHD

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  • 0.800
  • 0.0000.00%
15min DelayTrading Oct 7 16:00 ET
6.57BMarket Cap9.88P/E (TTM)

YTL POWER INTERNATIONAL BHD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-10.12%773.09M
-39.95%510.64M
67.70%3.41B
-12.85%1.02B
34.24%681.47M
351.02%860.16M
407.25%850.3M
39.73%2.03B
203.26%1.17B
-48.02%507.64M
Deferred tax
0.57%165.61M
-14.93%154.14M
45.54%606.79M
-35.70%123.25M
34.00%137.7M
152.43%164.66M
216.37%181.19M
122.60%416.94M
338.41%191.68M
70.21%102.76M
Other non cash items
41.86%618.89M
-18.58%382.77M
11.46%1.71B
-8.35%378.4M
-0.56%421.06M
17.72%436.27M
45.27%470.11M
121.26%1.53B
5,315.14%412.88M
77.88%423.41M
Change In working capital
102.42%1.75M
48.11%-169.26M
-185.36%-565.55M
72.70%-98.39M
-135.85%-68.81M
61.89%-72.21M
-304.23%-326.15M
-112,507.39%-198.19M
46.55%-360.33M
-73.82%191.91M
-Change in receivables
129.16%52.29M
-104.86%-35.53M
85.08%-243.85M
89.99%-129.02M
-19.83%-667.06M
39.11%-179.36M
44.59%731.61M
-102.00%-1.63B
-490.94%-1.29B
-2,544.10%-556.66M
-Change in inventory
159.95%54.07M
30.25%-41.17M
-346.23%-224.66M
562.15%30.16M
-186.90%-105.61M
-997.60%-90.19M
-4,998.42%-59.03M
54.37%-50.35M
79.39%-6.53M
-134.53%-36.81M
-Change in other current assets
----
----
274.91%29.95M
----
----
----
----
-751.60%-17.12M
----
----
Cash from discontinued investing activities
Operating cash flow
-24.80%804.1M
-20.88%1.04B
32.53%4.54B
-5.19%1.24B
-17.13%921.39M
198.93%1.07B
102.12%1.31B
162.31%3.42B
980.71%1.31B
12.81%1.11B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported
----
---67.26M
----
----
----
----
--0
----
----
----
Net PPE purchase and sale
-109.80%-1.34B
-44.17%-1.37B
-52.87%-3.36B
-33.78%-790.47M
-33.99%-981.57M
-28.37%-639.69M
-151.41%-952.12M
-31.56%-2.2B
-152.02%-590.87M
-2.37%-732.55M
Net intangibles purchase and sale
96.54%-471K
80.49%-3M
34.65%-43.76M
41.45%-10.89M
61.19%-3.87M
12.90%-13.6M
32.40%-15.39M
2.67%-66.96M
44.51%-18.6M
11.29%-9.97M
Net business purchase and sale
-189.92%-28.99M
99.80%-20K
-1,153.95%-795.42M
-1,113.41%-766.44M
-299,266.67%-8.98M
-333,233.33%-10M
-3,617.47%-10M
-105.91%-63.43M
92.48%-63.16M
-100.00%3K
Net investment purchase and sale
795.51%237.68M
-232.63%-720.21M
278.91%780.1M
2,403.57%484.49M
48.62%-213.21M
---34.17M
--543.01M
-221.45%-436.03M
95.89%-21.03M
-192.61%-415M
Net other investing changes
141.88%20.52M
-5.26%5.83M
20.54%37.43M
68.98%11.19M
-6.22%11.6M
111.63%8.48M
-23.50%6.16M
-3.24%31.05M
-13.48%6.62M
5.48%12.37M
Cash from discontinued investing activities
Investing cash flow
-78.76%-1B
-544.29%-2.04B
-20.01%-3B
-74.98%-1.01B
2.38%-1.11B
-31.58%-561.42M
11.59%-317.19M
-643.00%-2.5B
61.67%-578.5M
-171.64%-1.13B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
20.18%1.3B
210.51%1.46B
-166.64%-811.48M
103.97%40.39M
-130.07%-612.51M
612.25%1.08B
-422.34%-1.32B
160.29%1.22B
-344.35%-1.02B
590.03%2.04B
Net common stock issuance
--1.72M
--8.17M
5,328,400.00%53.28M
--52.21M
--1.07M
--0
--0
0.00%-1K
--0
--0
Cash dividends paid
----
----
-30.68%-529.4M
-21.36%-245.83M
--0
----
----
-11.11%-405.11M
-25.00%-202.55M
--0
Net other financing activities
--1K
--18.77M
----
----
----
----
----
-594.30%-6.94M
----
----
Cash from discontinued financing activities
Financing cash flow
19.85%874.97M
199.51%1.4B
-445.09%-1.6B
81.73%-244.44M
-134.28%-673.57M
247.66%730.05M
-526.70%-1.41B
117.12%463.2M
-958.61%-1.34B
502.60%1.96B
Net cash flow
Beginning cash position
2.89%8.38B
0.01%8.73B
28.64%8.73B
-1.61%8.74B
40.14%9.53B
11.16%8.14B
28.64%8.73B
-20.81%6.78B
8.05%8.89B
9.98%6.8B
Current changes in cash
-45.43%675.5M
194.17%395M
-104.12%-57.27M
97.31%-16.35M
-144.24%-859.32M
319.71%1.24B
-167.76%-419.45M
180.04%1.39B
59.52%-608.06M
-6.64%1.94B
Effect of exchange rate changes
29.86%202.12M
-347.15%-747.22M
-89.41%58.55M
-99.37%2.85M
-51.87%67.16M
258.17%155.65M
-108.06%-167.11M
1,314.74%552.74M
610.41%450.06M
422.70%139.55M
End cash Position
-2.94%9.25B
2.89%8.38B
0.01%8.73B
0.01%8.73B
-1.61%8.74B
40.14%9.53B
11.16%8.14B
28.64%8.73B
28.64%8.73B
8.05%8.89B
Free cash flow
-216.40%-480.68M
-224.84%-419.98M
1.34%1.12B
-34.16%447.43M
-120.98%-73.86M
350.13%412.95M
39.22%336.41M
312.16%1.11B
262.10%679.52M
76.32%352.07M
Currency Unit
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
(Q2)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -10.12%773.09M-39.95%510.64M67.70%3.41B-12.85%1.02B34.24%681.47M351.02%860.16M407.25%850.3M39.73%2.03B203.26%1.17B-48.02%507.64M
Deferred tax 0.57%165.61M-14.93%154.14M45.54%606.79M-35.70%123.25M34.00%137.7M152.43%164.66M216.37%181.19M122.60%416.94M338.41%191.68M70.21%102.76M
Other non cash items 41.86%618.89M-18.58%382.77M11.46%1.71B-8.35%378.4M-0.56%421.06M17.72%436.27M45.27%470.11M121.26%1.53B5,315.14%412.88M77.88%423.41M
Change In working capital 102.42%1.75M48.11%-169.26M-185.36%-565.55M72.70%-98.39M-135.85%-68.81M61.89%-72.21M-304.23%-326.15M-112,507.39%-198.19M46.55%-360.33M-73.82%191.91M
-Change in receivables 129.16%52.29M-104.86%-35.53M85.08%-243.85M89.99%-129.02M-19.83%-667.06M39.11%-179.36M44.59%731.61M-102.00%-1.63B-490.94%-1.29B-2,544.10%-556.66M
-Change in inventory 159.95%54.07M30.25%-41.17M-346.23%-224.66M562.15%30.16M-186.90%-105.61M-997.60%-90.19M-4,998.42%-59.03M54.37%-50.35M79.39%-6.53M-134.53%-36.81M
-Change in other current assets --------274.91%29.95M-----------------751.60%-17.12M--------
Cash from discontinued investing activities
Operating cash flow -24.80%804.1M-20.88%1.04B32.53%4.54B-5.19%1.24B-17.13%921.39M198.93%1.07B102.12%1.31B162.31%3.42B980.71%1.31B12.81%1.11B
Investing cash flow
Cash flow from continuing investing activities
Capital expenditure reported -------67.26M------------------0------------
Net PPE purchase and sale -109.80%-1.34B-44.17%-1.37B-52.87%-3.36B-33.78%-790.47M-33.99%-981.57M-28.37%-639.69M-151.41%-952.12M-31.56%-2.2B-152.02%-590.87M-2.37%-732.55M
Net intangibles purchase and sale 96.54%-471K80.49%-3M34.65%-43.76M41.45%-10.89M61.19%-3.87M12.90%-13.6M32.40%-15.39M2.67%-66.96M44.51%-18.6M11.29%-9.97M
Net business purchase and sale -189.92%-28.99M99.80%-20K-1,153.95%-795.42M-1,113.41%-766.44M-299,266.67%-8.98M-333,233.33%-10M-3,617.47%-10M-105.91%-63.43M92.48%-63.16M-100.00%3K
Net investment purchase and sale 795.51%237.68M-232.63%-720.21M278.91%780.1M2,403.57%484.49M48.62%-213.21M---34.17M--543.01M-221.45%-436.03M95.89%-21.03M-192.61%-415M
Net other investing changes 141.88%20.52M-5.26%5.83M20.54%37.43M68.98%11.19M-6.22%11.6M111.63%8.48M-23.50%6.16M-3.24%31.05M-13.48%6.62M5.48%12.37M
Cash from discontinued investing activities
Investing cash flow -78.76%-1B-544.29%-2.04B-20.01%-3B-74.98%-1.01B2.38%-1.11B-31.58%-561.42M11.59%-317.19M-643.00%-2.5B61.67%-578.5M-171.64%-1.13B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt 20.18%1.3B210.51%1.46B-166.64%-811.48M103.97%40.39M-130.07%-612.51M612.25%1.08B-422.34%-1.32B160.29%1.22B-344.35%-1.02B590.03%2.04B
Net common stock issuance --1.72M--8.17M5,328,400.00%53.28M--52.21M--1.07M--0--00.00%-1K--0--0
Cash dividends paid ---------30.68%-529.4M-21.36%-245.83M--0---------11.11%-405.11M-25.00%-202.55M--0
Net other financing activities --1K--18.77M---------------------594.30%-6.94M--------
Cash from discontinued financing activities
Financing cash flow 19.85%874.97M199.51%1.4B-445.09%-1.6B81.73%-244.44M-134.28%-673.57M247.66%730.05M-526.70%-1.41B117.12%463.2M-958.61%-1.34B502.60%1.96B
Net cash flow
Beginning cash position 2.89%8.38B0.01%8.73B28.64%8.73B-1.61%8.74B40.14%9.53B11.16%8.14B28.64%8.73B-20.81%6.78B8.05%8.89B9.98%6.8B
Current changes in cash -45.43%675.5M194.17%395M-104.12%-57.27M97.31%-16.35M-144.24%-859.32M319.71%1.24B-167.76%-419.45M180.04%1.39B59.52%-608.06M-6.64%1.94B
Effect of exchange rate changes 29.86%202.12M-347.15%-747.22M-89.41%58.55M-99.37%2.85M-51.87%67.16M258.17%155.65M-108.06%-167.11M1,314.74%552.74M610.41%450.06M422.70%139.55M
End cash Position -2.94%9.25B2.89%8.38B0.01%8.73B0.01%8.73B-1.61%8.74B40.14%9.53B11.16%8.14B28.64%8.73B28.64%8.73B8.05%8.89B
Free cash flow -216.40%-480.68M-224.84%-419.98M1.34%1.12B-34.16%447.43M-120.98%-73.86M350.13%412.95M39.22%336.41M312.16%1.11B262.10%679.52M76.32%352.07M
Currency Unit MYRMYRMYRMYRMYRMYRMYRMYRMYRMYR
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