SG Stock MarketDetailed Quotes

5HG Edition

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  • 0.003
  • -0.001-25.00%
10min DelayMarket Closed May 9 09:00 CST
7.53MMarket Cap-3.00P/E (TTM)

Edition Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities
-28.26%-1.63M
31.69%-1.27M
-8.75%-1.87M
16.79%-1.72M
-2.08%-2.06M
55.75%-2.02M
-17.85%-4.56M
-7.11%-3.87M
-6.13%-3.62M
-598.20%-3.41M
Net profit before non-cash adjustment
41.09%-3.27M
-20.27%-5.55M
-41.34%-4.61M
1.36%-3.26M
45.25%-3.31M
-87.58%-6.04M
-44.44%-3.22M
51.47%-2.23M
-103.71%-4.6M
-14.28%-2.26M
Total adjustment of non-cash items
-50.88%1.71M
33.22%3.48M
144.43%2.61M
-25.76%1.07M
-56.23%1.44M
700.49%3.29M
1,241.67%411K
-106.22%-36K
20.69%579K
139.02%479.72K
-Depreciation and amortization
90.61%345K
182.81%181K
-73.11%64K
64.14%238K
-73.73%145K
41.54%552K
61.16%390K
9.01%242K
-27.03%222K
-13.16%304.25K
-Reversal of impairment losses recognized in profit and loss
-58.09%1.35M
28.56%3.21M
322.30%2.5M
--592K
--0
--3.16M
--0
----
--65K
--0
-Assets reserve and write-off
1,533.33%98K
-91.67%6K
-15.29%72K
-94.96%85K
3,416.67%1.69M
--48K
--0
----
----
-16.87%226.42K
-Share of associates
--39K
--0
----
1,690.91%197K
--11K
--0
----
----
----
57.88%-431.61K
-Disposal profit
---169K
--0
--0
--0
--0
--0
--0
--0
154.99%747K
-959.32%-1.36M
-Net exchange gains and losses
--0
60.00%-2K
---5K
--0
101.67%1K
-306.90%-60K
151.79%29K
81.08%-56K
-142.69%-296K
202.24%693.4K
-Remuneration paid in stock
----
----
----
----
----
----
2,490.00%259K
--10K
--0
----
-Deferred income tax
----
----
----
----
----
----
----
----
--11K
----
-Other non-cash items
-39.02%50K
555.56%82K
58.14%-18K
89.38%-43K
0.98%-405K
-53.18%-409K
-15.09%-267K
-36.47%-232K
-116.26%-170K
60.77%1.05M
Changes in working capital
-109.60%-76K
491.04%792K
-72.03%134K
348.19%479K
-126.33%-193K
141.81%733K
-9.15%-1.75M
-500.50%-1.61M
124.60%401K
-160.03%-1.63M
-Change in receivables
211.43%156K
-278.38%-140K
82.46%-37K
-144.42%-211K
154.01%475K
110.94%187K
-13.33%-1.71M
-2,493.65%-1.51M
116.37%63K
-121.53%-384.91K
-Change in inventory
-27.27%16K
132.35%22K
-1,033.33%-68K
77.78%-6K
-22.73%-27K
-175.00%-22K
-900.00%-8K
116.67%1K
75.06%-6K
---24.06K
-Change in payables
-127.25%-248K
279.17%910K
-65.71%240K
209.72%700K
-193.41%-638K
3,917.65%683K
123.61%17K
-119.73%-72K
129.89%365K
-231.58%-1.22M
-Changes in other current assets
----
----
75.00%-1K
-33.33%-4K
97.39%-3K
-116.98%-115K
-96.30%-53K
-28.57%-27K
---21K
----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-306.25%-65K
23.81%-16K
-75.00%-21K
-71.43%-12K
30.00%-7K
-900.00%-10K
-1K
Interest received (cash flow from operating activities)
1,000.00%11K
-90.91%1K
-60.71%11K
-92.71%28K
-9.00%384K
57.46%422K
15.52%268K
-29.48%232K
98.71%329K
6,161.60%165.57K
Tax refund paid
4K
0
84.45%-11K
-70.76K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-30.64%-1.68M
31.25%-1.29M
-10.36%-1.88M
-0.89%-1.7M
-4.79%-1.68M
62.59%-1.61M
-18.02%-4.3M
-10.40%-3.64M
0.43%-3.3M
-582.46%-3.31M
Investing cash flow
Net PPE purchase and sale
101.49%31K
43.21%-2.08M
7.33%-3.65M
-667.12%-3.94M
19.18%-514K
43.92%-636K
-4.71%-1.13M
46.12%-1.08M
-1,349.37%-2.01M
-452.08%-138.68K
Net intangibles purchase and sale
---8K
--0
----
----
----
87.50%-1K
---8K
--0
----
---89.15K
Net business purchase and sale
----
----
----
----
----
----
----
----
-89.38%550K
672.58%5.18M
Net investment product transactions
----
----
----
----
----
----
----
----
264.23%3.04M
19.15%834.91K
Advance cash and loans provided to other parties
--0
0.00%-450K
---450K
--0
----
----
----
----
----
----
Net changes in other investments
----
----
-82.88%207K
--1.21M
----
----
----
----
-45.75%-66K
93.87%-45.28K
Investing cash flow
100.91%23K
35.21%-2.53M
-42.54%-3.9M
-431.91%-2.73M
19.31%-514K
44.22%-637K
-5.45%-1.14M
-171.49%-1.08M
-73.60%1.52M
693.08%5.74M
Financing cash flow
Net issuance payments of debt
860.41%1.5M
-3.14%-197K
-121.25%-191K
438.32%899K
--167K
----
----
----
88.10%-49K
31.69%-411.8K
Net common stock issuance
----
----
----
----
----
----
----
----
----
221.46%22.04M
Increase or decrease of lease financing
----
----
92.48%-10K
8.90%-133K
-6.57%-146K
-3,325.00%-137K
---4K
--0
----
----
Issuance fees
----
----
----
----
----
----
----
----
----
65.51%-137.27K
Interest paid (cash flow from financing activities)
----
----
----
----
----
----
----
----
43.25%-159K
9.04%-280.19K
Net other fund-raising expenses
-92.42%250K
1,477.03%3.3M
121.88%209K
---955K
----
----
----
----
----
----
Financing cash flow
-43.59%1.75M
38,637.50%3.1M
104.23%8K
-1,000.00%-189K
115.33%21K
-3,325.00%-137K
---4K
--0
-100.98%-208K
282.34%21.22M
Net cash flow
Beginning cash position
-70.69%296K
-85.09%1.01M
-40.56%6.77M
-16.04%11.4M
-14.93%13.57M
-25.44%15.95M
-18.07%21.4M
-7.11%26.11M
337.47%28.11M
273.02%6.43M
Current changes in cash
112.17%87K
87.60%-715K
-24.71%-5.76M
-112.31%-4.62M
8.57%-2.18M
56.25%-2.38M
-15.22%-5.44M
-137.34%-4.72M
-108.42%-1.99M
477.26%23.64M
Effect of exchange rate changes
--0
0.00%1K
--1K
----
--0
--0
--0
150.00%4K
99.59%-8K
-1,151.24%-1.95M
End cash Position
29.39%383K
-70.69%296K
-85.09%1.01M
-40.56%6.77M
-16.04%11.4M
-14.93%13.57M
-25.44%15.95M
-18.07%21.4M
-7.15%26.11M
368.45%28.12M
Free cash flow
41.94%-1.95M
39.16%-3.36M
2.00%-5.53M
-151.99%-5.64M
0.22%-2.24M
58.73%-2.24M
-15.14%-5.44M
11.00%-4.72M
-49.77%-5.31M
-590.77%-3.54M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities -28.26%-1.63M31.69%-1.27M-8.75%-1.87M16.79%-1.72M-2.08%-2.06M55.75%-2.02M-17.85%-4.56M-7.11%-3.87M-6.13%-3.62M-598.20%-3.41M
Net profit before non-cash adjustment 41.09%-3.27M-20.27%-5.55M-41.34%-4.61M1.36%-3.26M45.25%-3.31M-87.58%-6.04M-44.44%-3.22M51.47%-2.23M-103.71%-4.6M-14.28%-2.26M
Total adjustment of non-cash items -50.88%1.71M33.22%3.48M144.43%2.61M-25.76%1.07M-56.23%1.44M700.49%3.29M1,241.67%411K-106.22%-36K20.69%579K139.02%479.72K
-Depreciation and amortization 90.61%345K182.81%181K-73.11%64K64.14%238K-73.73%145K41.54%552K61.16%390K9.01%242K-27.03%222K-13.16%304.25K
-Reversal of impairment losses recognized in profit and loss -58.09%1.35M28.56%3.21M322.30%2.5M--592K--0--3.16M--0------65K--0
-Assets reserve and write-off 1,533.33%98K-91.67%6K-15.29%72K-94.96%85K3,416.67%1.69M--48K--0---------16.87%226.42K
-Share of associates --39K--0----1,690.91%197K--11K--0------------57.88%-431.61K
-Disposal profit ---169K--0--0--0--0--0--0--0154.99%747K-959.32%-1.36M
-Net exchange gains and losses --060.00%-2K---5K--0101.67%1K-306.90%-60K151.79%29K81.08%-56K-142.69%-296K202.24%693.4K
-Remuneration paid in stock ------------------------2,490.00%259K--10K--0----
-Deferred income tax ----------------------------------11K----
-Other non-cash items -39.02%50K555.56%82K58.14%-18K89.38%-43K0.98%-405K-53.18%-409K-15.09%-267K-36.47%-232K-116.26%-170K60.77%1.05M
Changes in working capital -109.60%-76K491.04%792K-72.03%134K348.19%479K-126.33%-193K141.81%733K-9.15%-1.75M-500.50%-1.61M124.60%401K-160.03%-1.63M
-Change in receivables 211.43%156K-278.38%-140K82.46%-37K-144.42%-211K154.01%475K110.94%187K-13.33%-1.71M-2,493.65%-1.51M116.37%63K-121.53%-384.91K
-Change in inventory -27.27%16K132.35%22K-1,033.33%-68K77.78%-6K-22.73%-27K-175.00%-22K-900.00%-8K116.67%1K75.06%-6K---24.06K
-Change in payables -127.25%-248K279.17%910K-65.71%240K209.72%700K-193.41%-638K3,917.65%683K123.61%17K-119.73%-72K129.89%365K-231.58%-1.22M
-Changes in other current assets --------75.00%-1K-33.33%-4K97.39%-3K-116.98%-115K-96.30%-53K-28.57%-27K---21K----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -306.25%-65K23.81%-16K-75.00%-21K-71.43%-12K30.00%-7K-900.00%-10K-1K
Interest received (cash flow from operating activities) 1,000.00%11K-90.91%1K-60.71%11K-92.71%28K-9.00%384K57.46%422K15.52%268K-29.48%232K98.71%329K6,161.60%165.57K
Tax refund paid 4K084.45%-11K-70.76K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -30.64%-1.68M31.25%-1.29M-10.36%-1.88M-0.89%-1.7M-4.79%-1.68M62.59%-1.61M-18.02%-4.3M-10.40%-3.64M0.43%-3.3M-582.46%-3.31M
Investing cash flow
Net PPE purchase and sale 101.49%31K43.21%-2.08M7.33%-3.65M-667.12%-3.94M19.18%-514K43.92%-636K-4.71%-1.13M46.12%-1.08M-1,349.37%-2.01M-452.08%-138.68K
Net intangibles purchase and sale ---8K--0------------87.50%-1K---8K--0-------89.15K
Net business purchase and sale ---------------------------------89.38%550K672.58%5.18M
Net investment product transactions --------------------------------264.23%3.04M19.15%834.91K
Advance cash and loans provided to other parties --00.00%-450K---450K--0------------------------
Net changes in other investments ---------82.88%207K--1.21M-----------------45.75%-66K93.87%-45.28K
Investing cash flow 100.91%23K35.21%-2.53M-42.54%-3.9M-431.91%-2.73M19.31%-514K44.22%-637K-5.45%-1.14M-171.49%-1.08M-73.60%1.52M693.08%5.74M
Financing cash flow
Net issuance payments of debt 860.41%1.5M-3.14%-197K-121.25%-191K438.32%899K--167K------------88.10%-49K31.69%-411.8K
Net common stock issuance ------------------------------------221.46%22.04M
Increase or decrease of lease financing --------92.48%-10K8.90%-133K-6.57%-146K-3,325.00%-137K---4K--0--------
Issuance fees ------------------------------------65.51%-137.27K
Interest paid (cash flow from financing activities) --------------------------------43.25%-159K9.04%-280.19K
Net other fund-raising expenses -92.42%250K1,477.03%3.3M121.88%209K---955K------------------------
Financing cash flow -43.59%1.75M38,637.50%3.1M104.23%8K-1,000.00%-189K115.33%21K-3,325.00%-137K---4K--0-100.98%-208K282.34%21.22M
Net cash flow
Beginning cash position -70.69%296K-85.09%1.01M-40.56%6.77M-16.04%11.4M-14.93%13.57M-25.44%15.95M-18.07%21.4M-7.11%26.11M337.47%28.11M273.02%6.43M
Current changes in cash 112.17%87K87.60%-715K-24.71%-5.76M-112.31%-4.62M8.57%-2.18M56.25%-2.38M-15.22%-5.44M-137.34%-4.72M-108.42%-1.99M477.26%23.64M
Effect of exchange rate changes --00.00%1K--1K------0--0--0150.00%4K99.59%-8K-1,151.24%-1.95M
End cash Position 29.39%383K-70.69%296K-85.09%1.01M-40.56%6.77M-16.04%11.4M-14.93%13.57M-25.44%15.95M-18.07%21.4M-7.15%26.11M368.45%28.12M
Free cash flow 41.94%-1.95M39.16%-3.36M2.00%-5.53M-151.99%-5.64M0.22%-2.24M58.73%-2.24M-15.14%-5.44M11.00%-4.72M-49.77%-5.31M-590.77%-3.54M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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