SG Stock MarketDetailed Quotes

43F AcroMeta

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  • 0.029
  • 0.0000.00%
10min DelayMarket Closed Nov 19 16:58 CST
9.66MMarket Cap-935P/E (TTM)

AcroMeta Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Sep 30, 2023
(FY)Sep 30, 2022
(FY)Sep 30, 2021
(FY)Sep 30, 2020
(FY)Sep 30, 2019
(FY)Sep 30, 2018
(FY)Sep 30, 2017
(FY)Sep 30, 2016
(FY)Sep 30, 2015
(FY)Sep 30, 2014
Operating cash flow (Indirect Method)
Cash from operating activities
-51.14%1.7M
4.26%3.48M
308.07%3.34M
-310.04%-1.6M
109.80%763.78K
-264.75%-7.8M
314.39%4.73M
-202.53%-2.21M
-53.89%2.15M
23.93%4.67M
Net profit before non-cash adjustment
-2,545.79%-12.47M
200.51%509.76K
67.09%-507.18K
-5,655.03%-1.54M
100.80%27.74K
23.65%-3.46M
-729.02%-4.54M
-113.81%-547.26K
24.48%3.96M
9.33%3.18M
Total adjustment of non-cash items
861.44%14.62M
60.67%1.52M
-14.31%946.45K
47.73%1.1M
-49.74%747.63K
290.83%1.49M
284.81%380.6K
16.29%98.91K
114.75%85.05K
-160.88%-576.42K
-Depreciation and amortization
19.68%1.42M
49.67%1.19M
-1.78%792.78K
31.43%807.13K
5.54%614.11K
63.32%581.87K
199.16%356.28K
-22.19%119.09K
24.11%153.05K
-10.05%123.32K
-Reversal of impairment losses recognized in profit and loss
--12.38M
--0
----
--94.09K
--0
--802.01K
--0
----
----
----
-Assets reserve and write-off
--1M
--0
----
----
----
----
----
----
91.30%-61.64K
-192.00%-708.76K
-Share of associates
-3,515.26%-683.05K
500.00%20K
---5K
----
----
----
----
----
----
----
-Disposal profit
--15.81K
--0
-1,127.07%-107.71K
--10.49K
--0
246.00%17.54K
-272.33%-12.01K
248.25%6.97K
---4.7K
--0
-Other non-cash items
54.47%485.21K
17.92%314.11K
38.19%266.38K
44.37%192.77K
55.12%133.53K
136.94%86.08K
233.78%36.33K
-1,535.90%-27.16K
-118.41%-1.66K
-77.08%9.02K
Changes in working capital
-131.18%-451.99K
-49.99%1.45M
348.26%2.9M
-9,973.13%-1.17M
99.80%-11.59K
-165.47%-5.82M
605.34%8.89M
7.12%-1.76M
-191.80%-1.89M
2,382.56%2.06M
-Change in receivables
216.69%10.96M
-572.47%-9.4M
-159.64%-1.4M
173.22%2.34M
-221.28%-3.2M
-112.53%-995.88K
9,314.82%7.95M
102.28%84.39K
-195.61%-3.7M
172.74%3.87M
-Change in inventory
27.76%160.69K
114.23%125.77K
---883.69K
--0
----
----
----
----
----
----
-Change in payables
-151.05%-6.94M
89.93%13.6M
396.56%7.16M
-199.09%-2.41M
204.28%2.44M
-347.73%-2.34M
151.16%943.1K
-131.46%-1.84M
190.62%5.86M
-175.07%-6.46M
-Changes in other current assets
-60.96%-4.63M
-45.39%-2.88M
-80.64%-1.98M
-245.82%-1.1M
130.22%751.69K
---2.49M
----
----
-186.99%-4.05M
237.81%4.65M
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)
140.18%8.24K
-87.90%3.43K
-34.02%28.37K
14.47%42.99K
10.59%37.56K
23.59%33.96K
-6.20%27.48K
45.52%29.29K
18.18%20.13K
-9.27%17.03K
Tax refund paid
-18.36%-12.56K
24.57%-10.61K
-104.70%-14.07K
-238.95%-6.87K
84.21%-2.03K
88.07%-12.84K
83.48%-107.68K
-63.22%-651.72K
-129.72%-399.28K
36.49%-173.82K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
Operating cash flow
-51.17%1.7M
3.60%3.47M
313.77%3.35M
-296.18%-1.57M
110.28%799.31K
-267.14%-7.77M
264.39%4.65M
-259.53%-2.83M
-60.69%1.77M
28.46%4.51M
Investing cash flow
Net PPE purchase and sale
51.44%-782.39K
77.64%-1.61M
-52.39%-7.2M
-1,995.53%-4.73M
63.39%-225.6K
-167.37%-616.2K
23.22%-230.46K
-124.71%-300.17K
-56.68%-133.58K
-25.71%-85.26K
Net business purchase and sale
---55.61K
--0
97.27%-15K
---550K
--0
-96.80%10K
--312.46K
--0
----
----
Investing cash flow
47.99%-838K
77.68%-1.61M
-36.79%-7.22M
-2,239.33%-5.28M
62.79%-225.6K
-839.27%-606.2K
127.32%82K
-124.71%-300.17K
-56.68%-133.58K
-25.71%-85.26K
Financing cash flow
Net issuance payments of debt
-32.00%-1.63M
-162.12%-1.24M
-66.35%1.99M
1,521.38%5.92M
-201.85%-416.55K
239.73%408.97K
---292.69K
--0
----
----
Net common stock issuance
--2.64M
--0
--1.3M
----
----
--3.7M
--0
--5.53M
--0
----
Increase or decrease of lease financing
-175.03%-847.54K
50.30%-308.16K
-57.37%-620.08K
-347.98%-394.04K
-2.22%-87.96K
-59.10%-86.05K
-410.84%-54.08K
48.06%-10.59K
53.42%-20.38K
5.60%-43.76K
Cash dividends paid
----
----
----
----
----
----
----
-30.96%-2.16M
-10.00%-1.65M
0.00%-1.5M
Interest paid (cash flow from financing activities)
-70.37%-507.15K
-5.08%-297.69K
-20.16%-283.28K
-37.80%-235.76K
-42.52%-171.08K
-88.13%-120.04K
-834.78%-63.81K
63.04%-6.83K
29.10%-18.47K
55.17%-26.05K
Net other fund-raising expenses
-361.53%-181.95K
-95.06%69.57K
19,228.06%1.41M
-0.75%-7.36K
6.60%-7.31K
96.21%-7.82K
---206.23K
----
-0.84%-6.12K
-5.86%-6.07K
Financing cash flow
70.15%-529.42K
-146.72%-1.77M
-28.13%3.8M
873.70%5.28M
-117.55%-682.9K
730.83%3.89M
-121.64%-616.81K
268.16%2.85M
-7.56%-1.69M
2.13%-1.58M
Net cash flow
Beginning cash position
2.20%4.11M
-1.14%4.02M
-27.76%4.07M
-1.93%5.63M
-43.89%5.74M
67.33%10.23M
-4.37%6.11M
-0.85%6.39M
79.24%6.45M
104.02%3.6M
Current changes in cash
273.79%328.48K
226.03%87.88K
95.54%-69.73K
-1,330.65%-1.56M
97.57%-109.18K
-209.06%-4.49M
1,572.98%4.12M
-409.50%-279.5K
-101.92%-54.86K
55.42%2.85M
Effect of exchange rate changes
-1,147.77%-5.4K
-97.78%515
3,499.27%23.18K
60.23%-682
-728.50%-1.72K
---207
--0
----
----
----
End cash Position
7.86%4.43M
2.20%4.11M
-1.14%4.02M
-27.76%4.07M
-1.93%5.63M
-43.89%5.74M
67.33%10.23M
-4.37%6.11M
-0.85%6.39M
79.24%6.45M
Free cash flow
-54.54%846.36K
148.08%1.86M
38.49%-3.87M
-1,197.38%-6.3M
106.84%573.72K
-290.32%-8.39M
240.87%4.41M
-291.62%-3.13M
-63.10%1.63M
28.52%4.43M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Sep 30, 2023(FY)Sep 30, 2022(FY)Sep 30, 2021(FY)Sep 30, 2020(FY)Sep 30, 2019(FY)Sep 30, 2018(FY)Sep 30, 2017(FY)Sep 30, 2016(FY)Sep 30, 2015(FY)Sep 30, 2014
Operating cash flow (Indirect Method)
Cash from operating activities -51.14%1.7M4.26%3.48M308.07%3.34M-310.04%-1.6M109.80%763.78K-264.75%-7.8M314.39%4.73M-202.53%-2.21M-53.89%2.15M23.93%4.67M
Net profit before non-cash adjustment -2,545.79%-12.47M200.51%509.76K67.09%-507.18K-5,655.03%-1.54M100.80%27.74K23.65%-3.46M-729.02%-4.54M-113.81%-547.26K24.48%3.96M9.33%3.18M
Total adjustment of non-cash items 861.44%14.62M60.67%1.52M-14.31%946.45K47.73%1.1M-49.74%747.63K290.83%1.49M284.81%380.6K16.29%98.91K114.75%85.05K-160.88%-576.42K
-Depreciation and amortization 19.68%1.42M49.67%1.19M-1.78%792.78K31.43%807.13K5.54%614.11K63.32%581.87K199.16%356.28K-22.19%119.09K24.11%153.05K-10.05%123.32K
-Reversal of impairment losses recognized in profit and loss --12.38M--0------94.09K--0--802.01K--0------------
-Assets reserve and write-off --1M--0------------------------91.30%-61.64K-192.00%-708.76K
-Share of associates -3,515.26%-683.05K500.00%20K---5K----------------------------
-Disposal profit --15.81K--0-1,127.07%-107.71K--10.49K--0246.00%17.54K-272.33%-12.01K248.25%6.97K---4.7K--0
-Other non-cash items 54.47%485.21K17.92%314.11K38.19%266.38K44.37%192.77K55.12%133.53K136.94%86.08K233.78%36.33K-1,535.90%-27.16K-118.41%-1.66K-77.08%9.02K
Changes in working capital -131.18%-451.99K-49.99%1.45M348.26%2.9M-9,973.13%-1.17M99.80%-11.59K-165.47%-5.82M605.34%8.89M7.12%-1.76M-191.80%-1.89M2,382.56%2.06M
-Change in receivables 216.69%10.96M-572.47%-9.4M-159.64%-1.4M173.22%2.34M-221.28%-3.2M-112.53%-995.88K9,314.82%7.95M102.28%84.39K-195.61%-3.7M172.74%3.87M
-Change in inventory 27.76%160.69K114.23%125.77K---883.69K--0------------------------
-Change in payables -151.05%-6.94M89.93%13.6M396.56%7.16M-199.09%-2.41M204.28%2.44M-347.73%-2.34M151.16%943.1K-131.46%-1.84M190.62%5.86M-175.07%-6.46M
-Changes in other current assets -60.96%-4.63M-45.39%-2.88M-80.64%-1.98M-245.82%-1.1M130.22%751.69K---2.49M---------186.99%-4.05M237.81%4.65M
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) 140.18%8.24K-87.90%3.43K-34.02%28.37K14.47%42.99K10.59%37.56K23.59%33.96K-6.20%27.48K45.52%29.29K18.18%20.13K-9.27%17.03K
Tax refund paid -18.36%-12.56K24.57%-10.61K-104.70%-14.07K-238.95%-6.87K84.21%-2.03K88.07%-12.84K83.48%-107.68K-63.22%-651.72K-129.72%-399.28K36.49%-173.82K
Other operating cash inflow (outflow) 000000000
Operating cash flow -51.17%1.7M3.60%3.47M313.77%3.35M-296.18%-1.57M110.28%799.31K-267.14%-7.77M264.39%4.65M-259.53%-2.83M-60.69%1.77M28.46%4.51M
Investing cash flow
Net PPE purchase and sale 51.44%-782.39K77.64%-1.61M-52.39%-7.2M-1,995.53%-4.73M63.39%-225.6K-167.37%-616.2K23.22%-230.46K-124.71%-300.17K-56.68%-133.58K-25.71%-85.26K
Net business purchase and sale ---55.61K--097.27%-15K---550K--0-96.80%10K--312.46K--0--------
Investing cash flow 47.99%-838K77.68%-1.61M-36.79%-7.22M-2,239.33%-5.28M62.79%-225.6K-839.27%-606.2K127.32%82K-124.71%-300.17K-56.68%-133.58K-25.71%-85.26K
Financing cash flow
Net issuance payments of debt -32.00%-1.63M-162.12%-1.24M-66.35%1.99M1,521.38%5.92M-201.85%-416.55K239.73%408.97K---292.69K--0--------
Net common stock issuance --2.64M--0--1.3M----------3.7M--0--5.53M--0----
Increase or decrease of lease financing -175.03%-847.54K50.30%-308.16K-57.37%-620.08K-347.98%-394.04K-2.22%-87.96K-59.10%-86.05K-410.84%-54.08K48.06%-10.59K53.42%-20.38K5.60%-43.76K
Cash dividends paid -----------------------------30.96%-2.16M-10.00%-1.65M0.00%-1.5M
Interest paid (cash flow from financing activities) -70.37%-507.15K-5.08%-297.69K-20.16%-283.28K-37.80%-235.76K-42.52%-171.08K-88.13%-120.04K-834.78%-63.81K63.04%-6.83K29.10%-18.47K55.17%-26.05K
Net other fund-raising expenses -361.53%-181.95K-95.06%69.57K19,228.06%1.41M-0.75%-7.36K6.60%-7.31K96.21%-7.82K---206.23K-----0.84%-6.12K-5.86%-6.07K
Financing cash flow 70.15%-529.42K-146.72%-1.77M-28.13%3.8M873.70%5.28M-117.55%-682.9K730.83%3.89M-121.64%-616.81K268.16%2.85M-7.56%-1.69M2.13%-1.58M
Net cash flow
Beginning cash position 2.20%4.11M-1.14%4.02M-27.76%4.07M-1.93%5.63M-43.89%5.74M67.33%10.23M-4.37%6.11M-0.85%6.39M79.24%6.45M104.02%3.6M
Current changes in cash 273.79%328.48K226.03%87.88K95.54%-69.73K-1,330.65%-1.56M97.57%-109.18K-209.06%-4.49M1,572.98%4.12M-409.50%-279.5K-101.92%-54.86K55.42%2.85M
Effect of exchange rate changes -1,147.77%-5.4K-97.78%5153,499.27%23.18K60.23%-682-728.50%-1.72K---207--0------------
End cash Position 7.86%4.43M2.20%4.11M-1.14%4.02M-27.76%4.07M-1.93%5.63M-43.89%5.74M67.33%10.23M-4.37%6.11M-0.85%6.39M79.24%6.45M
Free cash flow -54.54%846.36K148.08%1.86M38.49%-3.87M-1,197.38%-6.3M106.84%573.72K-290.32%-8.39M240.87%4.41M-291.62%-3.13M-63.10%1.63M28.52%4.43M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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