SG Stock MarketDetailed Quotes

43A GS Hldg

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  • 0.049
  • +0.006+13.95%
10min DelayNot Open Nov 12 17:04 CST
41.96MMarket Cap-1088P/E (TTM)

GS Hldg Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
103.28%2K
167.27%74K
-2.99%616K
18.52%576K
513.73%211K
-207.02%-61K
-176.92%-110K
249.41%635K
148.12%486K
-106.36%-51K
Net profit before non-cash adjustment
13.84%-492K
80.09%-43K
-272.35%-23.97M
-173.39%-13.6M
-1,683.43%-9.58M
-48.31%-571K
59.93%-216K
38.33%-6.44M
56.10%-4.98M
17.51%-537K
Total adjustment of non-cash items
-28.59%482K
84.67%506K
279.40%24.08M
172.98%13.47M
1,595.71%9.89M
27.84%675K
-9.27%274K
-32.64%6.35M
-35.58%4.93M
-1.52%583K
-Depreciation and amortization
58.41%358K
82.97%333K
26.03%978K
673.68%294K
102.94%276K
0.44%226K
-51.72%182K
-21.70%776K
-86.03%38K
-44.49%136K
-Reversal of impairment losses recognized in profit and loss
----
----
434.22%22.37M
211.80%13.03M
----
----
----
-44.02%4.19M
-44.15%4.18M
---4K
-Disposal profit
0.00%120K
0.00%120K
-37.94%440K
-75.00%80K
-16.08%120K
16.50%120K
-16.08%120K
-19.43%709K
1,700.00%320K
-52.33%143K
-Net exchange gains and losses
-115.82%-47K
--0
-79.28%110K
-97.02%11K
-2.15%91K
275.95%297K
-550.00%-65K
524.80%531K
395.20%369K
--93K
-Other non-cash items
59.38%51K
43.24%53K
23.94%176K
92.86%54K
-75.35%53K
-70.09%32K
117.79%37K
-26.80%142K
-44.00%28K
357.45%215K
Changes in working capital
107.27%12K
-131.55%-389K
-30.17%507K
34.97%714K
-1.03%-98K
-91.86%-165K
-144.21%-168K
22.64%726K
-80.16%529K
-111.27%-97K
-Change in receivables
78.33%-91K
95.33%-5K
-131.13%-80K
214.55%670K
-356.32%-223K
-1,715.38%-420K
-55.07%-107K
-30.16%257K
-92.59%213K
-77.46%87K
-Change in inventory
520.00%31K
-250.00%-3K
-137.50%-19K
-345.45%-27K
103.70%1K
-37.50%5K
--2K
27.27%-8K
-21.43%11K
-107.69%-27K
-Change in payables
-71.20%72K
-336.65%-381K
27.04%606K
-148.98%-48K
386.00%243K
208.64%250K
-35.08%161K
151.05%477K
-56.25%98K
733.33%50K
-Changes in other current assets
----
--0
----
----
----
----
-211.44%-224K
----
----
----
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
0
57.14%33K
21.74%28K
0
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
103.28%2K
167.27%74K
-7.78%616K
12.06%576K
513.73%211K
-198.39%-61K
-176.92%-110K
265.35%668K
152.08%514K
-106.41%-51K
Investing cash flow
Net PPE purchase and sale
98.00%-6K
-134.29%-82K
-738.24%-651K
-878.95%-296K
---20K
-522.54%-300K
-400.00%-35K
214.61%102K
192.68%38K
--0
Net intangibles purchase and sale
----
----
--0
--0
----
----
----
0.00%-22K
150.00%1K
100.00%8K
Net investment property transactions
----
----
--0
--0
----
----
----
--460K
--0
--0
Investing cash flow
98.00%-6K
-134.29%-82K
-220.56%-651K
-858.97%-296K
-350.00%-20K
-160.00%-300K
-400.00%-35K
17.65%540K
-92.60%39K
118.18%8K
Financing cash flow
Net issuance payments of debt
-138.50%-221K
128.81%270K
133.46%263K
-225.00%-215K
-20.90%-214K
212.55%574K
143.54%118K
-316.53%-786K
158.90%172K
-120.34%-177K
Net common stock issuance
--488K
----
----
----
----
--0
----
----
----
----
Increase or decrease of lease financing
-209.09%-306K
1.77%-277K
-20.39%-1.11M
-75.99%-491K
-100.00%-238K
45.90%-99K
17.30%-282K
-12.99%-922K
-24.00%-279K
36.70%-119K
Interest paid (cash flow from financing activities)
0.00%-32K
21.62%-29K
-23.94%-176K
-92.86%-54K
-39.47%-53K
15.79%-32K
2.63%-37K
26.80%-142K
44.00%-28K
19.15%-38K
Net other fund-raising expenses
----
----
--450K
----
----
----
----
----
----
----
Financing cash flow
-116.03%-71K
82.09%-36K
69.03%-573K
-129.63%-310K
-51.20%-505K
160.60%443K
69.08%-201K
-595.98%-1.85M
76.15%-135K
-152.68%-334K
Net cash flow
Beginning cash position
-88.29%546K
-88.18%593K
-16.90%5.02M
-17.19%4.3M
-13.76%4.61M
-15.57%4.66M
-16.90%5.02M
7.67%6.04M
-21.12%5.19M
-5.73%5.35M
Current changes in cash
-191.46%-75K
87.28%-44K
5.30%-608K
-107.18%-30K
16.71%-314K
148.52%82K
32.68%-346K
-250.00%-642K
140.74%418K
-127.20%-377K
Effect of exchange rate changes
102.27%3K
50.00%-3K
87.83%-46K
115.88%94K
-100.92%-2K
-2,540.00%-132K
-400.00%-6K
-19,000.00%-378K
-222.82%-592K
145.11%217K
Cash adjustments other than cash changes
----
----
---3.77M
----
----
----
----
----
----
----
End cash Position
-89.73%474K
-88.29%546K
-88.18%593K
-88.18%593K
-17.19%4.3M
-13.76%4.61M
-15.57%4.66M
-16.90%5.02M
-16.90%5.02M
-21.12%5.19M
Free cash flow
98.89%-4K
94.48%-8K
-105.56%-35K
-44.44%280K
544.19%191K
-1,228.13%-361K
-206.62%-145K
222.14%629K
148.93%504K
-105.72%-43K
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating cash flow (Indirect Method)
Cash from operating activities 103.28%2K167.27%74K-2.99%616K18.52%576K513.73%211K-207.02%-61K-176.92%-110K249.41%635K148.12%486K-106.36%-51K
Net profit before non-cash adjustment 13.84%-492K80.09%-43K-272.35%-23.97M-173.39%-13.6M-1,683.43%-9.58M-48.31%-571K59.93%-216K38.33%-6.44M56.10%-4.98M17.51%-537K
Total adjustment of non-cash items -28.59%482K84.67%506K279.40%24.08M172.98%13.47M1,595.71%9.89M27.84%675K-9.27%274K-32.64%6.35M-35.58%4.93M-1.52%583K
-Depreciation and amortization 58.41%358K82.97%333K26.03%978K673.68%294K102.94%276K0.44%226K-51.72%182K-21.70%776K-86.03%38K-44.49%136K
-Reversal of impairment losses recognized in profit and loss --------434.22%22.37M211.80%13.03M-------------44.02%4.19M-44.15%4.18M---4K
-Disposal profit 0.00%120K0.00%120K-37.94%440K-75.00%80K-16.08%120K16.50%120K-16.08%120K-19.43%709K1,700.00%320K-52.33%143K
-Net exchange gains and losses -115.82%-47K--0-79.28%110K-97.02%11K-2.15%91K275.95%297K-550.00%-65K524.80%531K395.20%369K--93K
-Other non-cash items 59.38%51K43.24%53K23.94%176K92.86%54K-75.35%53K-70.09%32K117.79%37K-26.80%142K-44.00%28K357.45%215K
Changes in working capital 107.27%12K-131.55%-389K-30.17%507K34.97%714K-1.03%-98K-91.86%-165K-144.21%-168K22.64%726K-80.16%529K-111.27%-97K
-Change in receivables 78.33%-91K95.33%-5K-131.13%-80K214.55%670K-356.32%-223K-1,715.38%-420K-55.07%-107K-30.16%257K-92.59%213K-77.46%87K
-Change in inventory 520.00%31K-250.00%-3K-137.50%-19K-345.45%-27K103.70%1K-37.50%5K--2K27.27%-8K-21.43%11K-107.69%-27K
-Change in payables -71.20%72K-336.65%-381K27.04%606K-148.98%-48K386.00%243K208.64%250K-35.08%161K151.05%477K-56.25%98K733.33%50K
-Changes in other current assets ------0-----------------211.44%-224K------------
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 0057.14%33K21.74%28K0
Other operating cash inflow (outflow) 0000000000
Operating cash flow 103.28%2K167.27%74K-7.78%616K12.06%576K513.73%211K-198.39%-61K-176.92%-110K265.35%668K152.08%514K-106.41%-51K
Investing cash flow
Net PPE purchase and sale 98.00%-6K-134.29%-82K-738.24%-651K-878.95%-296K---20K-522.54%-300K-400.00%-35K214.61%102K192.68%38K--0
Net intangibles purchase and sale ----------0--0------------0.00%-22K150.00%1K100.00%8K
Net investment property transactions ----------0--0--------------460K--0--0
Investing cash flow 98.00%-6K-134.29%-82K-220.56%-651K-858.97%-296K-350.00%-20K-160.00%-300K-400.00%-35K17.65%540K-92.60%39K118.18%8K
Financing cash flow
Net issuance payments of debt -138.50%-221K128.81%270K133.46%263K-225.00%-215K-20.90%-214K212.55%574K143.54%118K-316.53%-786K158.90%172K-120.34%-177K
Net common stock issuance --488K------------------0----------------
Increase or decrease of lease financing -209.09%-306K1.77%-277K-20.39%-1.11M-75.99%-491K-100.00%-238K45.90%-99K17.30%-282K-12.99%-922K-24.00%-279K36.70%-119K
Interest paid (cash flow from financing activities) 0.00%-32K21.62%-29K-23.94%-176K-92.86%-54K-39.47%-53K15.79%-32K2.63%-37K26.80%-142K44.00%-28K19.15%-38K
Net other fund-raising expenses ----------450K----------------------------
Financing cash flow -116.03%-71K82.09%-36K69.03%-573K-129.63%-310K-51.20%-505K160.60%443K69.08%-201K-595.98%-1.85M76.15%-135K-152.68%-334K
Net cash flow
Beginning cash position -88.29%546K-88.18%593K-16.90%5.02M-17.19%4.3M-13.76%4.61M-15.57%4.66M-16.90%5.02M7.67%6.04M-21.12%5.19M-5.73%5.35M
Current changes in cash -191.46%-75K87.28%-44K5.30%-608K-107.18%-30K16.71%-314K148.52%82K32.68%-346K-250.00%-642K140.74%418K-127.20%-377K
Effect of exchange rate changes 102.27%3K50.00%-3K87.83%-46K115.88%94K-100.92%-2K-2,540.00%-132K-400.00%-6K-19,000.00%-378K-222.82%-592K145.11%217K
Cash adjustments other than cash changes -----------3.77M----------------------------
End cash Position -89.73%474K-88.29%546K-88.18%593K-88.18%593K-17.19%4.3M-13.76%4.61M-15.57%4.66M-16.90%5.02M-16.90%5.02M-21.12%5.19M
Free cash flow 98.89%-4K94.48%-8K-105.56%-35K-44.44%280K544.19%191K-1,228.13%-361K-206.62%-145K222.14%629K148.93%504K-105.72%-43K
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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