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585 Asian Micro

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10min DelayTrading Dec 4 11:16 CST
6.86MMarket Cap0.00P/E (TTM)

Asian Micro Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(FY)Jun 30, 2019
(FY)Jun 30, 2018
(FY)Jun 30, 2017
(FY)Jun 30, 2016
(FY)Jun 30, 2015
Operating cash flow (Indirect Method)
Cash from operating activities
100.57%3.06K
-355.76%-534.83K
20.80%209.12K
345.70%173.11K
112.34%38.84K
-18.19%-314.77K
-738.39%-266.34K
-88.41%41.72K
-11.52%359.89K
248.52%406.74K
Net profit before non-cash adjustment
9.95%-728.35K
-400.65%-808.87K
73.32%-161.57K
-270.66%-605.66K
244.30%354.89K
61.66%-245.94K
-1,234.48%-641.5K
77.53%-48.07K
-160.67%-213.93K
185.78%352.64K
Total adjustment of non-cash items
-291.38%-50.7K
-76.90%26.49K
-78.20%114.69K
172.68%526K
-255.05%-723.74K
-171.59%-203.84K
202.76%284.74K
-238.86%-277.09K
248.16%199.55K
-291.48%-134.69K
-Depreciation and amortization
-59.64%26.33K
-35.04%65.24K
-3.43%100.43K
-3.16%104K
53.96%107.39K
-61.31%69.75K
-1.92%180.29K
-4.72%183.82K
51.92%192.92K
-10.34%126.99K
-Reversal of impairment losses recognized in profit and loss
102.72%2.84K
421.61%1.4K
36.68%-435
-115.44%-687
95.52%4.45K
111.18%2.28K
-439.07%-20.37K
-497.27%-3.78K
-66.43%951
-85.28%2.83K
-Assets reserve and write-off
--2.56K
--0
----
----
----
--4.26K
--0
113.01%24.43K
-138.71%-187.86K
713.29%485.33K
-Disposal profit
---78.95K
--0
-156.17%-9.65K
112.16%17.17K
-5,849.19%-141.2K
-96.99%2.46K
-80.40%81.61K
1,871.29%416.31K
89.01%-23.5K
-528.37%-213.77K
-Net exchange gains and losses
-141.53%-14.16K
-46.90%34.09K
-83.97%64.2K
278.03%400.58K
63.12%-225.01K
-314.05%-610.07K
80.93%-147.34K
-233.28%-772.74K
210.53%579.8K
-149.66%-524.55K
-Pension and employee benefit expenses
----
----
----
----
----
57.16%331.99K
--211.25K
--0
----
----
-Other non-cash items
114.39%10.69K
-86.24%-74.24K
-906.45%-39.86K
101.05%4.94K
-10,339.68%-469.37K
78.27%-4.5K
83.46%-20.69K
65.51%-125.13K
-3,050.55%-362.75K
-101.87%-11.51K
Changes in working capital
215.94%782.11K
-3.30%247.55K
1.28%255.99K
-38.00%252.77K
201.97%407.69K
49.32%135.01K
-75.35%90.42K
-1.98%366.88K
98.24%374.27K
9.98%188.79K
-Change in receivables
-233.58%-283.54K
71.80%212.26K
154.53%123.55K
-456.36%-226.58K
532.76%63.58K
91.95%-14.69K
-3,868.90%-182.49K
-128.57%-4.6K
-97.33%16.09K
262.22%601.68K
-Change in inventory
-613.67%-394.18K
-92.90%-55.23K
-191.12%-28.63K
1,011.50%31.42K
107.15%2.83K
-208.73%-39.51K
305.80%36.34K
-102.89%-17.66K
287.00%610.27K
-23.25%-326.34K
-Change in prepaid assets
-168.67%-5.04K
172.29%7.34K
134.09%2.7K
-51.60%-7.91K
-205.39%-5.22K
198.23%4.95K
-175.40%-5.04K
-22.85%6.68K
-75.13%8.66K
652.98%34.83K
-Change in payables
1,661.18%1.46M
-47.48%83.18K
-65.26%158.38K
31.55%455.83K
88.04%346.5K
-23.73%184.27K
-36.83%241.61K
246.67%382.45K
-114.83%-260.76K
-114.92%-121.38K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-87.02%-10.87K
-83.49%-5.81K
-20.88%-3.17K
40.90%-2.62K
37.86%-4.43K
28.02%-7.13K
-42.71%-9.91K
55.14%-6.95K
Interest received (cash flow from operating activities)
24.85%206
-77.43%165
167.77%731
-6.19%273
4.30%291
-28.64%279
-97.70%391
136.22%17.03K
969.58%7.21K
-38.33%674
Tax refund paid
-5.09%-2.17K
80.24%-2.06K
-37.01%-10.43K
-313.41%-7.62K
24.69%-1.84K
-235.53%-2.45K
83.41%-729
11.84%-4.39K
88.49%-4.98K
-43.31K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
100.20%1.1K
-384.67%-536.73K
17.87%188.55K
368.78%159.96K
110.68%34.12K
-17.87%-319.56K
-674.12%-271.11K
-86.59%47.22K
-1.39%352.2K
223.91%357.17K
Investing cash flow
Capital expenditures
----
----
---27.65K
----
----
----
----
----
----
----
Net PPE purchase and sale
-90.11%-6.85K
62.24%-3.6K
83.89%-9.54K
-392.09%-59.18K
448.89%20.26K
-249.19%-5.81K
99.89%-1.66K
-5,031.85%-1.57M
-114.66%-30.58K
579.33%208.55K
Net business purchase and sale
----
----
----
----
----
----
----
--130.44K
--0
----
Net investment property transactions
----
----
----
--159.41K
----
99.34%-3.38K
---511.44K
--0
----
----
Advance cash and loans provided to other parties
----
----
----
----
----
----
99.95%-16
---32.2K
--0
----
Net changes in other investments
123,603.05%202.55K
---164
----
----
----
----
----
----
----
----
Investing cash flow
5,297.85%195.7K
89.87%-3.77K
-137.10%-37.18K
394.72%100.23K
320.43%20.26K
98.21%-9.19K
65.11%-513.12K
-4,710.55%-1.47M
-114.66%-30.58K
579.33%208.55K
Financing cash flow
Net issuance payments of debt
----
----
----
----
-46.46%110K
88.23%205.45K
-86.91%109.15K
--833.77K
----
----
Increase or decrease of lease financing
-156.99%-40.47K
314.71%71.01K
-25.89%-33.07K
20.22%-26.27K
23.13%-32.93K
-4.42%-42.84K
22.80%-41.02K
4.58%-53.14K
58.72%-55.69K
-6.30%-134.91K
Issuance fees
-25.00%-25.5K
---20.4K
--0
---23.46K
----
24.68%-39.86K
---52.92K
--0
----
----
Interest paid (cash flow from financing activities)
-1.31%-11.46K
---11.31K
----
----
----
----
----
----
----
----
Net other fund-raising expenses
----
----
42.64%-152
-4.74%-265
0.00%-253
-7.20%-253
-100.74%-236
43.09%31.95K
-95.34%22.33K
262.61%478.93K
Financing cash flow
-297.02%-77.43K
218.28%39.3K
33.55%-33.22K
-165.09%-50K
-37.29%76.82K
718.42%122.5K
-98.16%14.97K
2,535.70%812.58K
-109.70%-33.36K
-49.78%344.02K
Net cash flow
Beginning cash position
-64.04%281.77K
15.94%783.65K
47.37%675.94K
39.14%458.66K
-38.31%329.65K
-58.50%534.38K
-32.37%1.29M
18.84%1.9M
134.02%1.6M
88.56%684.64K
Current changes in cash
123.82%119.37K
-524.24%-501.2K
-43.79%118.14K
60.21%210.19K
163.61%131.2K
73.19%-206.25K
-25.89%-769.26K
-311.98%-611.08K
-68.31%288.27K
157.57%909.73K
Effect of exchange rate changes
132.15%218
93.50%-678
-247.12%-10.43K
423.99%7.09K
-244.90%-2.19K
-90.56%1.51K
405.93%16K
-138.70%-5.23K
73.38%13.51K
124.63%7.79K
End cash Position
42.44%401.36K
-64.04%281.77K
15.94%783.65K
47.37%675.94K
39.14%458.66K
-38.31%329.65K
-58.50%534.38K
-32.37%1.29M
18.84%1.9M
134.02%1.6M
Free cash flow
98.66%-7.25K
-456.97%-540.33K
50.19%151.37K
216.08%100.78K
73.32%-86.82K
-19.28%-325.36K
82.08%-272.77K
-610.49%-1.52M
55.77%298.13K
150.18%191.39K
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(FY)Jun 30, 2019(FY)Jun 30, 2018(FY)Jun 30, 2017(FY)Jun 30, 2016(FY)Jun 30, 2015
Operating cash flow (Indirect Method)
Cash from operating activities 100.57%3.06K-355.76%-534.83K20.80%209.12K345.70%173.11K112.34%38.84K-18.19%-314.77K-738.39%-266.34K-88.41%41.72K-11.52%359.89K248.52%406.74K
Net profit before non-cash adjustment 9.95%-728.35K-400.65%-808.87K73.32%-161.57K-270.66%-605.66K244.30%354.89K61.66%-245.94K-1,234.48%-641.5K77.53%-48.07K-160.67%-213.93K185.78%352.64K
Total adjustment of non-cash items -291.38%-50.7K-76.90%26.49K-78.20%114.69K172.68%526K-255.05%-723.74K-171.59%-203.84K202.76%284.74K-238.86%-277.09K248.16%199.55K-291.48%-134.69K
-Depreciation and amortization -59.64%26.33K-35.04%65.24K-3.43%100.43K-3.16%104K53.96%107.39K-61.31%69.75K-1.92%180.29K-4.72%183.82K51.92%192.92K-10.34%126.99K
-Reversal of impairment losses recognized in profit and loss 102.72%2.84K421.61%1.4K36.68%-435-115.44%-68795.52%4.45K111.18%2.28K-439.07%-20.37K-497.27%-3.78K-66.43%951-85.28%2.83K
-Assets reserve and write-off --2.56K--0--------------4.26K--0113.01%24.43K-138.71%-187.86K713.29%485.33K
-Disposal profit ---78.95K--0-156.17%-9.65K112.16%17.17K-5,849.19%-141.2K-96.99%2.46K-80.40%81.61K1,871.29%416.31K89.01%-23.5K-528.37%-213.77K
-Net exchange gains and losses -141.53%-14.16K-46.90%34.09K-83.97%64.2K278.03%400.58K63.12%-225.01K-314.05%-610.07K80.93%-147.34K-233.28%-772.74K210.53%579.8K-149.66%-524.55K
-Pension and employee benefit expenses --------------------57.16%331.99K--211.25K--0--------
-Other non-cash items 114.39%10.69K-86.24%-74.24K-906.45%-39.86K101.05%4.94K-10,339.68%-469.37K78.27%-4.5K83.46%-20.69K65.51%-125.13K-3,050.55%-362.75K-101.87%-11.51K
Changes in working capital 215.94%782.11K-3.30%247.55K1.28%255.99K-38.00%252.77K201.97%407.69K49.32%135.01K-75.35%90.42K-1.98%366.88K98.24%374.27K9.98%188.79K
-Change in receivables -233.58%-283.54K71.80%212.26K154.53%123.55K-456.36%-226.58K532.76%63.58K91.95%-14.69K-3,868.90%-182.49K-128.57%-4.6K-97.33%16.09K262.22%601.68K
-Change in inventory -613.67%-394.18K-92.90%-55.23K-191.12%-28.63K1,011.50%31.42K107.15%2.83K-208.73%-39.51K305.80%36.34K-102.89%-17.66K287.00%610.27K-23.25%-326.34K
-Change in prepaid assets -168.67%-5.04K172.29%7.34K134.09%2.7K-51.60%-7.91K-205.39%-5.22K198.23%4.95K-175.40%-5.04K-22.85%6.68K-75.13%8.66K652.98%34.83K
-Change in payables 1,661.18%1.46M-47.48%83.18K-65.26%158.38K31.55%455.83K88.04%346.5K-23.73%184.27K-36.83%241.61K246.67%382.45K-114.83%-260.76K-114.92%-121.38K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -87.02%-10.87K-83.49%-5.81K-20.88%-3.17K40.90%-2.62K37.86%-4.43K28.02%-7.13K-42.71%-9.91K55.14%-6.95K
Interest received (cash flow from operating activities) 24.85%206-77.43%165167.77%731-6.19%2734.30%291-28.64%279-97.70%391136.22%17.03K969.58%7.21K-38.33%674
Tax refund paid -5.09%-2.17K80.24%-2.06K-37.01%-10.43K-313.41%-7.62K24.69%-1.84K-235.53%-2.45K83.41%-72911.84%-4.39K88.49%-4.98K-43.31K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 100.20%1.1K-384.67%-536.73K17.87%188.55K368.78%159.96K110.68%34.12K-17.87%-319.56K-674.12%-271.11K-86.59%47.22K-1.39%352.2K223.91%357.17K
Investing cash flow
Capital expenditures -----------27.65K----------------------------
Net PPE purchase and sale -90.11%-6.85K62.24%-3.6K83.89%-9.54K-392.09%-59.18K448.89%20.26K-249.19%-5.81K99.89%-1.66K-5,031.85%-1.57M-114.66%-30.58K579.33%208.55K
Net business purchase and sale ------------------------------130.44K--0----
Net investment property transactions --------------159.41K----99.34%-3.38K---511.44K--0--------
Advance cash and loans provided to other parties ------------------------99.95%-16---32.2K--0----
Net changes in other investments 123,603.05%202.55K---164--------------------------------
Investing cash flow 5,297.85%195.7K89.87%-3.77K-137.10%-37.18K394.72%100.23K320.43%20.26K98.21%-9.19K65.11%-513.12K-4,710.55%-1.47M-114.66%-30.58K579.33%208.55K
Financing cash flow
Net issuance payments of debt -----------------46.46%110K88.23%205.45K-86.91%109.15K--833.77K--------
Increase or decrease of lease financing -156.99%-40.47K314.71%71.01K-25.89%-33.07K20.22%-26.27K23.13%-32.93K-4.42%-42.84K22.80%-41.02K4.58%-53.14K58.72%-55.69K-6.30%-134.91K
Issuance fees -25.00%-25.5K---20.4K--0---23.46K----24.68%-39.86K---52.92K--0--------
Interest paid (cash flow from financing activities) -1.31%-11.46K---11.31K--------------------------------
Net other fund-raising expenses --------42.64%-152-4.74%-2650.00%-253-7.20%-253-100.74%-23643.09%31.95K-95.34%22.33K262.61%478.93K
Financing cash flow -297.02%-77.43K218.28%39.3K33.55%-33.22K-165.09%-50K-37.29%76.82K718.42%122.5K-98.16%14.97K2,535.70%812.58K-109.70%-33.36K-49.78%344.02K
Net cash flow
Beginning cash position -64.04%281.77K15.94%783.65K47.37%675.94K39.14%458.66K-38.31%329.65K-58.50%534.38K-32.37%1.29M18.84%1.9M134.02%1.6M88.56%684.64K
Current changes in cash 123.82%119.37K-524.24%-501.2K-43.79%118.14K60.21%210.19K163.61%131.2K73.19%-206.25K-25.89%-769.26K-311.98%-611.08K-68.31%288.27K157.57%909.73K
Effect of exchange rate changes 132.15%21893.50%-678-247.12%-10.43K423.99%7.09K-244.90%-2.19K-90.56%1.51K405.93%16K-138.70%-5.23K73.38%13.51K124.63%7.79K
End cash Position 42.44%401.36K-64.04%281.77K15.94%783.65K47.37%675.94K39.14%458.66K-38.31%329.65K-58.50%534.38K-32.37%1.29M18.84%1.9M134.02%1.6M
Free cash flow 98.66%-7.25K-456.97%-540.33K50.19%151.37K216.08%100.78K73.32%-86.82K-19.28%-325.36K82.08%-272.77K-610.49%-1.52M55.77%298.13K150.18%191.39K
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Price Target

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Heat List
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Overall
Symbol
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% Chg

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