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5I1 KOP

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  • 0.045
  • -0.001-2.17%
10min DelayMarket Closed May 6 17:04 CST
49.86MMarket Cap-22.50P/E (TTM)

KOP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Dec 31, 2024
(Q2)Sep 30, 2024
(Q1)Jun 30, 2024
(FY)Mar 31, 2024
(Q4)Mar 31, 2024
(Q3)Dec 31, 2023
(Q2)Sep 30, 2023
(Q1)Jun 30, 2023
(FY)Mar 31, 2023
(Q4)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities
-157.33%-3.29M
8.18%29.71M
32.73%21.89M
83,720.55%61.04M
-38.70%11.36M
141.32%5.74M
1,093.20%27.46M
943.43%16.49M
98.13%-73K
928.95%18.53M
Net profit before non-cash adjustment
-378.19%-1.63M
2,613.18%3.5M
-38.35%2.32M
100.81%248K
-166.92%-4.24M
112.62%587K
102.96%129K
113.45%3.77M
-166.17%-30.7M
240.79%6.33M
Total adjustment of non-cash items
-1.52%1.55M
-195.51%-2.09M
-39.94%1.2M
-78.58%7.63M
255.22%1.88M
-56.27%1.57M
-58.30%2.18M
-92.86%2M
323.73%35.63M
-158.61%-1.21M
-Depreciation and amortization
8.14%890K
3.91%876K
-22.82%876K
44.64%4.07M
54.93%1.27M
-10.74%823K
54.96%843K
114.56%1.14M
24.27%2.82M
-2.61%821K
-Reversal of impairment losses recognized in profit and loss
--0
----
----
-99.34%1K
--1K
--0
----
----
1,787.50%151K
----
-Assets reserve and write-off
----
----
----
--96K
----
----
----
----
--0
----
-Share of associates
--0
--0
-50.00%1K
-78.13%7K
--0
-83.33%3K
100.00%2K
133.33%2K
-93.46%32K
115.20%19K
-Disposal profit
-1,000.00%-11K
950.00%34K
-60.00%-16K
-99.88%30K
100.89%45K
-100.00%-1K
-150.00%-4K
-233.33%-10K
626,700.00%25.06M
-506,400.00%-5.07M
-Net exchange gains and losses
378.32%684K
-596.53%-859K
112.62%41K
113.31%47K
-90.98%56K
115.51%143K
2,983.33%173K
-606.52%-325K
-320.63%-353K
767.74%621K
-Other non-cash items
-102.15%-13K
-284.36%-2.16M
-75.08%298K
-57.34%3.38M
-81.96%405K
-68.24%606K
-42.59%1.17M
-30.71%1.2M
33.64%7.92M
20.12%2.25M
Changes in working capital
-189.68%-3.21M
12.51%28.3M
71.25%18.36M
1,163.28%53.16M
2.33%13.72M
127.86%3.57M
790.15%25.15M
654.45%10.72M
-545.99%-5M
6,602.50%13.41M
-Change in receivables
109.48%718K
-85.20%2.32M
106.50%794K
162.74%10.66M
263.48%14.76M
-133.89%-7.57M
387.02%15.68M
-1,737.40%-12.22M
-3,915.13%-16.98M
-9,021.21%-9.03M
-Change in inventory
-99.93%8K
166.78%27.85M
-31.17%15.7M
227.53%43.85M
-102.64%-301K
545.56%10.91M
7,748.87%10.44M
14,064.60%22.81M
1,344.34%13.39M
1,943.91%11.41M
-Change in payables
-3,296.00%-4M
-65.48%-1.9M
781.55%1.82M
-86.47%-1.49M
-106.18%-669K
101.09%125K
-171.79%-1.15M
111.74%206K
-11.92%-798K
1,575.07%10.83M
-Changes in other current assets
-41.82%64K
-84.44%28K
178.08%57K
123.56%143K
-136.45%-74K
-42.71%110K
114.29%180K
93.28%-73K
-7.43%-607K
-57.26%203K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
90.40%-50K
103.14%29K
66.15%-220K
78.79%-2.71M
94.41%-610K
25.57%-521K
-19.20%-925K
-72.87%-650K
-657.09%-12.76M
-4,094.23%-10.91M
Interest received (cash flow from operating activities)
Tax refund paid
-43,500.00%-436K
99.62%-8K
99.91%-2K
-1K
-3,998.08%-2.13M
-2.12M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-171.67%-3.74M
9.29%29M
36.79%21.67M
489.87%58.33M
95.36%10.75M
135.75%5.21M
849.07%26.53M
777.17%15.84M
-165.41%-14.96M
320.44%5.5M
Investing cash flow
Net PPE purchase and sale
-374.23%-773K
63.87%-142K
64.22%-166K
79.52%-2.06M
86.26%-1.04M
56.06%-163K
80.86%-393K
-502.60%-464K
-1,539.22%-10.03M
-2,186.15%-7.53M
Net changes in other investments
----
----
----
----
----
----
----
----
--77.61M
--2.12M
Investing cash flow
-374.23%-773K
63.87%-142K
64.22%-166K
-103.04%-2.06M
80.87%-1.04M
-100.22%-163K
80.86%-393K
-502.60%-464K
11,141.83%67.58M
-1,598.61%-5.41M
Financing cash flow
Net issuance payments of debt
95.60%-836K
42.41%-19.98M
-1,338.81%-10.86M
-53.78%-66.67M
-3,001.90%-12.22M
62.95%-19M
-1,008.09%-34.69M
-120.37%-755K
-535.20%-43.35M
-79.99%421K
Increase or decrease of lease financing
21.05%-30K
21.62%-29K
23.26%-33K
-1.28%-158K
-5.26%-40K
7.32%-38K
5.13%-37K
-13.16%-43K
18.32%-156K
9.52%-38K
Net other fund-raising expenses
-200.00%-11K
1,100.00%30K
-50.00%5K
152.38%22K
-95.60%4K
-96.11%11K
99.04%-3K
109.71%10K
-146.15%-42K
-8.08%91K
Financing cash flow
95.39%-877K
42.48%-19.98M
-1,282.11%-10.89M
-53.40%-66.8M
-2,685.02%-12.25M
62.73%-19.03M
-1,101.41%-34.73M
-122.10%-788K
-541.62%-43.55M
-78.07%474K
Net cash flow
Beginning cash position
14.57%23.09M
-50.57%14.22M
-74.45%3.61M
176.59%14.14M
-54.63%6.14M
384.15%20.16M
359.03%28.76M
176.59%14.14M
240.87%5.11M
166.03%13.53M
Current changes in cash
61.48%-5.39M
203.39%8.88M
-27.27%10.61M
-216.10%-10.53M
-550.89%-2.54M
-247.48%-13.98M
-303.86%-8.59M
1,168.43%14.59M
151.02%9.07M
1,988.89%564K
Effect of exchange rate changes
132.35%11K
69.23%-4K
-124.14%-7K
94.74%-2K
-64.44%16K
69.09%-34K
-152.00%-13K
1,350.00%29K
-3,900.00%-38K
4,600.00%45K
End cash Position
188.55%17.72M
14.57%23.09M
-50.57%14.22M
-74.45%3.61M
-74.45%3.61M
-54.63%6.14M
384.15%20.16M
359.03%28.76M
176.59%14.14M
176.59%14.14M
Free cash flow
-192.68%-4.61M
10.79%28.84M
39.82%21.48M
324.69%56.19M
581.93%9.81M
133.26%4.97M
564.93%26.04M
735.14%15.36M
-300.16%-25.01M
4.59%-2.04M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(Q3)Dec 31, 2024(Q2)Sep 30, 2024(Q1)Jun 30, 2024(FY)Mar 31, 2024(Q4)Mar 31, 2024(Q3)Dec 31, 2023(Q2)Sep 30, 2023(Q1)Jun 30, 2023(FY)Mar 31, 2023(Q4)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities -157.33%-3.29M8.18%29.71M32.73%21.89M83,720.55%61.04M-38.70%11.36M141.32%5.74M1,093.20%27.46M943.43%16.49M98.13%-73K928.95%18.53M
Net profit before non-cash adjustment -378.19%-1.63M2,613.18%3.5M-38.35%2.32M100.81%248K-166.92%-4.24M112.62%587K102.96%129K113.45%3.77M-166.17%-30.7M240.79%6.33M
Total adjustment of non-cash items -1.52%1.55M-195.51%-2.09M-39.94%1.2M-78.58%7.63M255.22%1.88M-56.27%1.57M-58.30%2.18M-92.86%2M323.73%35.63M-158.61%-1.21M
-Depreciation and amortization 8.14%890K3.91%876K-22.82%876K44.64%4.07M54.93%1.27M-10.74%823K54.96%843K114.56%1.14M24.27%2.82M-2.61%821K
-Reversal of impairment losses recognized in profit and loss --0---------99.34%1K--1K--0--------1,787.50%151K----
-Assets reserve and write-off --------------96K------------------0----
-Share of associates --0--0-50.00%1K-78.13%7K--0-83.33%3K100.00%2K133.33%2K-93.46%32K115.20%19K
-Disposal profit -1,000.00%-11K950.00%34K-60.00%-16K-99.88%30K100.89%45K-100.00%-1K-150.00%-4K-233.33%-10K626,700.00%25.06M-506,400.00%-5.07M
-Net exchange gains and losses 378.32%684K-596.53%-859K112.62%41K113.31%47K-90.98%56K115.51%143K2,983.33%173K-606.52%-325K-320.63%-353K767.74%621K
-Other non-cash items -102.15%-13K-284.36%-2.16M-75.08%298K-57.34%3.38M-81.96%405K-68.24%606K-42.59%1.17M-30.71%1.2M33.64%7.92M20.12%2.25M
Changes in working capital -189.68%-3.21M12.51%28.3M71.25%18.36M1,163.28%53.16M2.33%13.72M127.86%3.57M790.15%25.15M654.45%10.72M-545.99%-5M6,602.50%13.41M
-Change in receivables 109.48%718K-85.20%2.32M106.50%794K162.74%10.66M263.48%14.76M-133.89%-7.57M387.02%15.68M-1,737.40%-12.22M-3,915.13%-16.98M-9,021.21%-9.03M
-Change in inventory -99.93%8K166.78%27.85M-31.17%15.7M227.53%43.85M-102.64%-301K545.56%10.91M7,748.87%10.44M14,064.60%22.81M1,344.34%13.39M1,943.91%11.41M
-Change in payables -3,296.00%-4M-65.48%-1.9M781.55%1.82M-86.47%-1.49M-106.18%-669K101.09%125K-171.79%-1.15M111.74%206K-11.92%-798K1,575.07%10.83M
-Changes in other current assets -41.82%64K-84.44%28K178.08%57K123.56%143K-136.45%-74K-42.71%110K114.29%180K93.28%-73K-7.43%-607K-57.26%203K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 90.40%-50K103.14%29K66.15%-220K78.79%-2.71M94.41%-610K25.57%-521K-19.20%-925K-72.87%-650K-657.09%-12.76M-4,094.23%-10.91M
Interest received (cash flow from operating activities)
Tax refund paid -43,500.00%-436K99.62%-8K99.91%-2K-1K-3,998.08%-2.13M-2.12M
Other operating cash inflow (outflow) 0000000000
Operating cash flow -171.67%-3.74M9.29%29M36.79%21.67M489.87%58.33M95.36%10.75M135.75%5.21M849.07%26.53M777.17%15.84M-165.41%-14.96M320.44%5.5M
Investing cash flow
Net PPE purchase and sale -374.23%-773K63.87%-142K64.22%-166K79.52%-2.06M86.26%-1.04M56.06%-163K80.86%-393K-502.60%-464K-1,539.22%-10.03M-2,186.15%-7.53M
Net changes in other investments ----------------------------------77.61M--2.12M
Investing cash flow -374.23%-773K63.87%-142K64.22%-166K-103.04%-2.06M80.87%-1.04M-100.22%-163K80.86%-393K-502.60%-464K11,141.83%67.58M-1,598.61%-5.41M
Financing cash flow
Net issuance payments of debt 95.60%-836K42.41%-19.98M-1,338.81%-10.86M-53.78%-66.67M-3,001.90%-12.22M62.95%-19M-1,008.09%-34.69M-120.37%-755K-535.20%-43.35M-79.99%421K
Increase or decrease of lease financing 21.05%-30K21.62%-29K23.26%-33K-1.28%-158K-5.26%-40K7.32%-38K5.13%-37K-13.16%-43K18.32%-156K9.52%-38K
Net other fund-raising expenses -200.00%-11K1,100.00%30K-50.00%5K152.38%22K-95.60%4K-96.11%11K99.04%-3K109.71%10K-146.15%-42K-8.08%91K
Financing cash flow 95.39%-877K42.48%-19.98M-1,282.11%-10.89M-53.40%-66.8M-2,685.02%-12.25M62.73%-19.03M-1,101.41%-34.73M-122.10%-788K-541.62%-43.55M-78.07%474K
Net cash flow
Beginning cash position 14.57%23.09M-50.57%14.22M-74.45%3.61M176.59%14.14M-54.63%6.14M384.15%20.16M359.03%28.76M176.59%14.14M240.87%5.11M166.03%13.53M
Current changes in cash 61.48%-5.39M203.39%8.88M-27.27%10.61M-216.10%-10.53M-550.89%-2.54M-247.48%-13.98M-303.86%-8.59M1,168.43%14.59M151.02%9.07M1,988.89%564K
Effect of exchange rate changes 132.35%11K69.23%-4K-124.14%-7K94.74%-2K-64.44%16K69.09%-34K-152.00%-13K1,350.00%29K-3,900.00%-38K4,600.00%45K
End cash Position 188.55%17.72M14.57%23.09M-50.57%14.22M-74.45%3.61M-74.45%3.61M-54.63%6.14M384.15%20.16M359.03%28.76M176.59%14.14M176.59%14.14M
Free cash flow -192.68%-4.61M10.79%28.84M39.82%21.48M324.69%56.19M581.93%9.81M133.26%4.97M564.93%26.04M735.14%15.36M-300.16%-25.01M4.59%-2.04M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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