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40E Spackman

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10min DelayNot Open Mar 19 13:25 CST
1.84MMarket Cap0.00P/E (TTM)

Spackman Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
33.79%-3.65M
-6.77%-5.52M
-659.48%-5.17M
-192.27%-1.58M
-1.93%-1.74M
231.41%923.38K
1.71M
-1.71M
-127.64%-702.66K
1,301.95%2.54M
Net profit before non-cash adjustment
105.49%477K
-30.79%-8.68M
-301.48%-6.64M
-146.26%-3.59M
21.88%-1.35M
113.45%3.29M
--7.75M
---1.73M
-693.61%-24.5M
-120.48%-3.09M
Total adjustment of non-cash items
-187.13%-4.48M
45.98%5.14M
152.69%3.52M
137.56%3.43M
-87.79%126K
-129.86%-6.68M
---9.14M
--1.03M
382.45%22.36M
20.27%4.64M
-Depreciation and amortization
-29.79%410K
-15.52%584K
-69.44%691.32K
-8.72%198.32K
-81.49%129K
1.50%2.26M
--217.27K
--697K
-15.08%2.23M
1.28%2.62M
-Reversal of impairment losses recognized in profit and loss
-326.33%-4.78M
-38.71%2.11M
3,578.78%3.45M
----
----
-99.49%93.67K
----
----
1,192.88%18.23M
4,499.76%1.41M
-Assets reserve and write-off
108.91%539K
1,811.96%258K
35.33%13.49K
-90.45%6.49K
90.91%-1K
-94.51%9.97K
--67.97K
---11K
22.67%181.63K
-74.01%148.06K
-Share of associates
-52.65%473K
338.19%999K
-138.50%-419.42K
-97.17%22.58K
-106.19%-13K
-19.84%1.09M
--797.51K
--210K
574.09%1.36M
16.05%201.63K
-Disposal profit
-195.86%-1.14M
610.03%1.19M
97.79%-232.34K
97.79%-232.34K
--0
-7,697.43%-10.53M
---10.52M
--0
40.19%138.55K
-68.55%98.83K
-Other non-cash items
1,050.00%19K
-110.34%-2K
-95.07%19.35K
-103.70%-7.65K
-91.91%11K
73.32%392.72K
--206.72K
--136K
48.87%226.59K
-12.62%152.2K
Changes in working capital
117.56%346K
3.73%-1.97M
-147.52%-2.05M
-146.00%-1.42M
48.86%-517K
200.65%4.31M
--3.1M
---1.01M
44.17%1.43M
137.28%993.59K
-Change in receivables
-11.82%440K
-35.34%499K
-57.15%771.76K
-87.05%182.76K
-105.79%-57K
7.06%1.8M
--1.41M
--984K
1,875.83%1.68M
-107.01%-94.73K
-Change in inventory
-415.82%-2.12M
56.67%-411K
-228.71%-948.61K
-7,370.65%-290.61K
-1,165.22%-245K
382.83%737K
--4K
--23K
-307.84%-260.58K
134.85%125.37K
-Change in payables
112.73%275K
0.68%-2.16M
-199.34%-2.17M
-108.27%-193.81K
57.28%-953K
1,844.94%2.19M
--2.34M
---2.23M
-89.21%112.56K
131.69%1.04M
-Changes in other current assets
1,616.67%1.75M
-66.59%102K
172.62%305.32K
-69.99%-1.12M
246.48%738K
-313.38%-420.44K
---660.44K
--213K
-26.86%-101.71K
78.03%-80.17K
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)
-58.14%18K
172.77%43K
-88.38%15.76K
-93.62%7.76K
-25.00%6K
1,287.60%135.69K
121.69K
8K
-91.51%9.78K
25.32%115.13K
Tax refund paid
0
-387.89%-1.71M
-1.65M
-48K
14.02%-350.54K
17.86%-407.72K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
33.60%-3.63M
-6.26%-5.47M
-690.93%-5.15M
-949.70%-1.57M
0.74%-1.74M
37.59%-651.18K
--184.82K
---1.75M
-146.39%-1.04M
465.16%2.25M
Investing cash flow
Net PPE purchase and sale
91.67%-4K
78.71%-48K
98.58%-225.49K
-100.22%-8.49K
99.51%-95K
-36,155.93%-15.89M
--3.81M
---19.45M
106.88%44.06K
70.75%-640.16K
Net intangibles purchase and sale
471.43%26K
88.53%-7K
-89.16%-61.04K
-1,878.58%-13.04K
-108.70%-48K
-1.54%-32.27K
--733
---23K
87.37%-31.78K
-483.68%-251.63K
Net business purchase and sale
----
----
-84.90%1.06M
----
----
--7.03M
----
----
----
-95.76%20.11K
Net investment product transactions
214.55%126K
-112.92%-110K
-20.93%851.52K
31.05%1.09M
163.64%7K
125.19%1.08M
--829.87K
---11K
690.15%478.22K
-623.51%-81.03K
Advance cash and loans provided to other parties
82.43%-165K
41.66%-939K
-11.16%-1.61M
-399.64%-1.23M
239.27%571K
45.82%-1.45M
---245.88K
---410K
14.36%-2.67M
-244.39%-3.12M
Repayment of advance payments to other parties and cash income from loans
229.55%1.39M
-30.09%423K
-78.02%605.03K
-50.79%566.03K
-99.14%7K
168.52%2.75M
--1.15M
--811K
-65.07%1.03M
318.45%2.93M
Net changes in other investments
----
----
----
----
----
----
----
---8K
--9.61K
----
Investing cash flow
302.20%1.38M
-209.49%-681K
109.55%622K
-89.32%1.32M
103.05%583K
-467.47%-6.51M
--12.39M
---19.1M
-0.72%-1.15M
41.96%-1.14M
Financing cash flow
Net issuance payments of debt
87.52%1.89M
525.51%1.01M
-101.95%-237.36K
83.17%-400.36K
-102.00%-283K
2,425.21%12.15M
---2.38M
--14.12M
-75.42%481.01K
216.24%1.96M
Net common stock issuance
----
----
---234.87K
--132
----
--0
--0
----
1,482.16%3.6M
-267.04%-260.12K
Increase or decrease of lease financing
41.99%-163K
20.01%-281K
69.37%-351.3K
104.46%21.7K
53.22%-109K
26.54%-1.15M
---487.01K
---233K
-2.91%-1.56M
-139.51%-1.52M
Interest paid (cash flow from financing activities)
1.77%-111K
-35.00%-113K
83.34%-83.7K
90.82%-30.7K
65.63%-22K
-51.70%-502.31K
---334.31K
---64K
-13.28%-331.12K
-12.74%-292.29K
Net other fund-raising expenses
156.94%370K
-48.98%144K
-91.64%282.22K
122.98%242.22K
-103.50%-154K
1,429.60%3.38M
---1.05M
--4.4M
-49.29%220.79K
206.87%435.42K
Financing cash flow
161.84%1.99M
221.60%760K
-104.50%-625.01K
96.07%-167.01K
-104.41%-803K
477.03%13.87M
---4.25M
--18.22M
644.91%2.4M
142.91%322.79K
Net cash flow
Beginning cash position
-87.08%802K
-45.27%6.21M
161.22%11.34M
135.22%6.53M
56.57%8.41M
3.10%4.34M
--2.77M
--5.37M
53.50%4.21M
-56.00%2.74M
Current changes in cash
95.05%-267K
-4.67%-5.39M
-176.77%-5.15M
-104.97%-413.41K
25.58%-1.96M
3,040.38%6.71M
--8.32M
---2.63M
-85.08%213.76K
143.03%1.43M
Effect of exchange rate changes
-3,269.23%-438K
-172.13%-13K
-93.76%18.02K
-60.62%98.02K
113.89%77K
447.21%288.93K
--248.93K
--36K
-336.52%-83.21K
121.75%35.18K
End cash Position
-87.91%97K
-87.08%802K
-45.27%6.21M
-45.27%6.21M
135.22%6.53M
161.22%11.34M
--11.34M
--2.77M
3.10%4.34M
53.50%4.21M
Free cash flow
33.70%-3.67M
-1.68%-5.53M
73.13%-5.44M
-574.15%-1.59M
91.14%-1.88M
-1,695.70%-20.23M
--335.74K
---21.23M
-183.24%-1.13M
145.47%1.35M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities 33.79%-3.65M-6.77%-5.52M-659.48%-5.17M-192.27%-1.58M-1.93%-1.74M231.41%923.38K1.71M-1.71M-127.64%-702.66K1,301.95%2.54M
Net profit before non-cash adjustment 105.49%477K-30.79%-8.68M-301.48%-6.64M-146.26%-3.59M21.88%-1.35M113.45%3.29M--7.75M---1.73M-693.61%-24.5M-120.48%-3.09M
Total adjustment of non-cash items -187.13%-4.48M45.98%5.14M152.69%3.52M137.56%3.43M-87.79%126K-129.86%-6.68M---9.14M--1.03M382.45%22.36M20.27%4.64M
-Depreciation and amortization -29.79%410K-15.52%584K-69.44%691.32K-8.72%198.32K-81.49%129K1.50%2.26M--217.27K--697K-15.08%2.23M1.28%2.62M
-Reversal of impairment losses recognized in profit and loss -326.33%-4.78M-38.71%2.11M3,578.78%3.45M---------99.49%93.67K--------1,192.88%18.23M4,499.76%1.41M
-Assets reserve and write-off 108.91%539K1,811.96%258K35.33%13.49K-90.45%6.49K90.91%-1K-94.51%9.97K--67.97K---11K22.67%181.63K-74.01%148.06K
-Share of associates -52.65%473K338.19%999K-138.50%-419.42K-97.17%22.58K-106.19%-13K-19.84%1.09M--797.51K--210K574.09%1.36M16.05%201.63K
-Disposal profit -195.86%-1.14M610.03%1.19M97.79%-232.34K97.79%-232.34K--0-7,697.43%-10.53M---10.52M--040.19%138.55K-68.55%98.83K
-Other non-cash items 1,050.00%19K-110.34%-2K-95.07%19.35K-103.70%-7.65K-91.91%11K73.32%392.72K--206.72K--136K48.87%226.59K-12.62%152.2K
Changes in working capital 117.56%346K3.73%-1.97M-147.52%-2.05M-146.00%-1.42M48.86%-517K200.65%4.31M--3.1M---1.01M44.17%1.43M137.28%993.59K
-Change in receivables -11.82%440K-35.34%499K-57.15%771.76K-87.05%182.76K-105.79%-57K7.06%1.8M--1.41M--984K1,875.83%1.68M-107.01%-94.73K
-Change in inventory -415.82%-2.12M56.67%-411K-228.71%-948.61K-7,370.65%-290.61K-1,165.22%-245K382.83%737K--4K--23K-307.84%-260.58K134.85%125.37K
-Change in payables 112.73%275K0.68%-2.16M-199.34%-2.17M-108.27%-193.81K57.28%-953K1,844.94%2.19M--2.34M---2.23M-89.21%112.56K131.69%1.04M
-Changes in other current assets 1,616.67%1.75M-66.59%102K172.62%305.32K-69.99%-1.12M246.48%738K-313.38%-420.44K---660.44K--213K-26.86%-101.71K78.03%-80.17K
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) -58.14%18K172.77%43K-88.38%15.76K-93.62%7.76K-25.00%6K1,287.60%135.69K121.69K8K-91.51%9.78K25.32%115.13K
Tax refund paid 0-387.89%-1.71M-1.65M-48K14.02%-350.54K17.86%-407.72K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 33.60%-3.63M-6.26%-5.47M-690.93%-5.15M-949.70%-1.57M0.74%-1.74M37.59%-651.18K--184.82K---1.75M-146.39%-1.04M465.16%2.25M
Investing cash flow
Net PPE purchase and sale 91.67%-4K78.71%-48K98.58%-225.49K-100.22%-8.49K99.51%-95K-36,155.93%-15.89M--3.81M---19.45M106.88%44.06K70.75%-640.16K
Net intangibles purchase and sale 471.43%26K88.53%-7K-89.16%-61.04K-1,878.58%-13.04K-108.70%-48K-1.54%-32.27K--733---23K87.37%-31.78K-483.68%-251.63K
Net business purchase and sale ---------84.90%1.06M----------7.03M-------------95.76%20.11K
Net investment product transactions 214.55%126K-112.92%-110K-20.93%851.52K31.05%1.09M163.64%7K125.19%1.08M--829.87K---11K690.15%478.22K-623.51%-81.03K
Advance cash and loans provided to other parties 82.43%-165K41.66%-939K-11.16%-1.61M-399.64%-1.23M239.27%571K45.82%-1.45M---245.88K---410K14.36%-2.67M-244.39%-3.12M
Repayment of advance payments to other parties and cash income from loans 229.55%1.39M-30.09%423K-78.02%605.03K-50.79%566.03K-99.14%7K168.52%2.75M--1.15M--811K-65.07%1.03M318.45%2.93M
Net changes in other investments -------------------------------8K--9.61K----
Investing cash flow 302.20%1.38M-209.49%-681K109.55%622K-89.32%1.32M103.05%583K-467.47%-6.51M--12.39M---19.1M-0.72%-1.15M41.96%-1.14M
Financing cash flow
Net issuance payments of debt 87.52%1.89M525.51%1.01M-101.95%-237.36K83.17%-400.36K-102.00%-283K2,425.21%12.15M---2.38M--14.12M-75.42%481.01K216.24%1.96M
Net common stock issuance -----------234.87K--132------0--0----1,482.16%3.6M-267.04%-260.12K
Increase or decrease of lease financing 41.99%-163K20.01%-281K69.37%-351.3K104.46%21.7K53.22%-109K26.54%-1.15M---487.01K---233K-2.91%-1.56M-139.51%-1.52M
Interest paid (cash flow from financing activities) 1.77%-111K-35.00%-113K83.34%-83.7K90.82%-30.7K65.63%-22K-51.70%-502.31K---334.31K---64K-13.28%-331.12K-12.74%-292.29K
Net other fund-raising expenses 156.94%370K-48.98%144K-91.64%282.22K122.98%242.22K-103.50%-154K1,429.60%3.38M---1.05M--4.4M-49.29%220.79K206.87%435.42K
Financing cash flow 161.84%1.99M221.60%760K-104.50%-625.01K96.07%-167.01K-104.41%-803K477.03%13.87M---4.25M--18.22M644.91%2.4M142.91%322.79K
Net cash flow
Beginning cash position -87.08%802K-45.27%6.21M161.22%11.34M135.22%6.53M56.57%8.41M3.10%4.34M--2.77M--5.37M53.50%4.21M-56.00%2.74M
Current changes in cash 95.05%-267K-4.67%-5.39M-176.77%-5.15M-104.97%-413.41K25.58%-1.96M3,040.38%6.71M--8.32M---2.63M-85.08%213.76K143.03%1.43M
Effect of exchange rate changes -3,269.23%-438K-172.13%-13K-93.76%18.02K-60.62%98.02K113.89%77K447.21%288.93K--248.93K--36K-336.52%-83.21K121.75%35.18K
End cash Position -87.91%97K-87.08%802K-45.27%6.21M-45.27%6.21M135.22%6.53M161.22%11.34M--11.34M--2.77M3.10%4.34M53.50%4.21M
Free cash flow 33.70%-3.67M-1.68%-5.53M73.13%-5.44M-574.15%-1.59M91.14%-1.88M-1,695.70%-20.23M--335.74K---21.23M-183.24%-1.13M145.47%1.35M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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