SG Stock MarketDetailed Quotes

5CP Silverlake Axis

Watchlist
  • 0.370
  • 0.0000.00%
10min DelayMarket Closed Nov 18 17:04 CST
930.46MMarket Cap30.83P/E (TTM)

Silverlake Axis Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q2)Dec 31, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q2)Dec 31, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q2)Dec 31, 2021
(FY)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-35.10%492.38M
-35.10%492.38M
-28.47%524.65M
-6.32%758.69M
-6.32%758.69M
-12.88%733.47M
11.99%809.85M
--809.85M
9.23%841.93M
-12.55%723.16M
-Cash and cash equivalents
-2.06%484.53M
-2.06%484.53M
1.50%516.93M
-9.88%494.71M
-9.88%494.71M
1.55%509.31M
34.76%548.93M
--548.93M
7.34%501.54M
-16.38%407.34M
-Short-term investments
-97.03%7.84M
-97.03%7.84M
-96.56%7.72M
1.18%263.98M
1.18%263.98M
-34.15%224.16M
-17.39%260.91M
--260.91M
12.15%340.39M
-7.06%315.82M
-Accounts receivable
0.16%181.73M
0.16%181.73M
-15.52%134.85M
35.59%181.44M
35.59%181.44M
12.00%159.62M
-3.16%133.82M
--133.82M
24.21%142.52M
0.02%138.19M
-Gross accounts receivable
1.08%192.64M
1.08%192.64M
-14.00%143.92M
34.74%190.59M
34.74%190.59M
10.55%167.34M
-3.98%141.45M
--141.45M
--151.37M
-1.14%147.32M
-Bad debt provision
-19.38%-10.92M
-19.38%-10.92M
-17.48%-9.07M
-19.79%-9.15M
-19.79%-9.15M
12.82%-7.72M
16.33%-7.63M
---7.63M
---8.85M
15.81%-9.12M
-Other receivables
22.97%165.36M
22.97%165.36M
63.26%201.19M
86.48%134.47M
86.48%134.47M
133.27%123.24M
30.61%72.11M
--72.11M
-24.19%52.83M
2.16%55.21M
Inventory
121.97%886.01K
121.97%886.01K
110.11%1.02M
-7.61%399.16K
-7.61%399.16K
-14.52%483.48K
-30.55%432.01K
--432.01K
-43.22%565.59K
-42.55%622.07K
Prepaid assets
-0.50%35.89M
-0.50%35.89M
14.41%7.8M
127.84%36.07M
127.84%36.07M
0.45%6.81M
2.22%15.83M
--15.83M
220.96%6.78M
4.45%15.49M
Restricted cash
33.01%12.69M
33.01%12.69M
----
4.58%9.54M
4.58%9.54M
----
-6.70%9.12M
--9.12M
----
1.74%9.78M
Total current assets
-20.86%891.9M
-20.86%891.9M
-15.10%872.69M
7.64%1.13B
7.64%1.13B
-2.32%1.03B
10.33%1.05B
--1.05B
9.17%1.05B
-9.66%949.05M
Non current assets
Net PPE
-4.90%36.54M
-4.90%36.54M
7.19%36.24M
7.31%38.42M
7.31%38.42M
5.54%33.81M
-4.95%35.8M
--35.8M
-17.47%32.04M
-11.08%37.66M
-Gross PP&E
1.87%58.37M
1.87%58.37M
7.19%36.24M
10.55%57.3M
10.55%57.3M
5.54%33.81M
-40.71%51.83M
--51.83M
-17.47%32.04M
2.84%87.43M
-Accumulated depreciation
-15.64%-21.84M
-15.64%-21.84M
----
-17.78%-18.88M
-17.78%-18.88M
----
67.78%-16.03M
---16.03M
----
-16.66%-49.77M
Total investment
2,160.72%191.05M
2,160.72%191.05M
3,199.73%256M
8.85%8.45M
8.85%8.45M
720.96%7.76M
--7.76M
--7.76M
--945K
--0
-Long-term equity investment
124.94%12.71M
124.94%12.71M
123.46%13.43M
-7.65%5.65M
-7.65%5.65M
--6.01M
--6.12M
--6.12M
----
--0
-Including:Available-for-sale securities
6,269.19%178.34M
6,269.19%178.34M
13,761.14%242.57M
70.21%2.8M
70.21%2.8M
85.19%1.75M
--1.65M
--1.65M
--945K
----
Financial assets
----
----
----
----
----
--1.18M
--1.14M
--1.14M
----
--0
Goodwill and other intangible assets
4.18%426.4M
4.18%426.4M
17.14%427.7M
19.63%409.3M
19.63%409.3M
12.51%365.11M
7.82%342.15M
--342.15M
5.67%324.52M
5.77%317.33M
-Goodwill
0.28%152.16M
0.28%152.16M
--151.94M
6.04%151.74M
6.04%151.74M
----
-1.15%143.1M
--143.1M
----
0.57%144.76M
-Other intangible assets
6.48%274.24M
6.48%274.24M
--275.76M
29.40%257.56M
29.40%257.56M
----
15.35%199.05M
--199.05M
----
10.56%172.57M
Total non current assets
38.13%699.13M
38.13%699.13M
68.69%771.49M
13.73%506.16M
13.73%506.16M
11.49%457.35M
7.19%445.04M
--445.04M
-0.92%410.21M
-0.59%415.2M
Total assets
-2.58%1.59B
-2.58%1.59B
10.70%1.64B
9.46%1.63B
9.46%1.63B
1.56%1.49B
9.37%1.49B
--1.49B
6.14%1.46B
-7.08%1.36B
Liabilities
Current liabilities
-Current debt and capital lease obligation
8.77%8.22M
8.77%8.22M
19.36%8.38M
-0.43%7.56M
-0.43%7.56M
-18.12%7.02M
-19.05%7.59M
--7.59M
0.46%8.58M
-2.88%9.38M
-Including:Current debt
----
----
----
----
----
----
-11.41%225.88K
--225.88K
----
6.78%254.96K
-Including:Current capital Lease obligation
8.77%8.22M
8.77%8.22M
----
2.62%7.56M
2.62%7.56M
----
-19.26%7.37M
--7.37M
----
-3.13%9.13M
Payables
-8.90%103.05M
-8.90%103.05M
-7.42%131.29M
-0.23%113.12M
-0.23%113.12M
52.59%141.81M
46.78%113.38M
--113.38M
-60.45%92.94M
-78.65%77.24M
-accounts payable
-48.22%12.43M
-48.22%12.43M
-12.06%110.08M
25.10%24.01M
25.10%24.01M
67.69%125.17M
16.85%19.2M
--19.2M
-65.41%74.64M
-31.26%16.43M
-Total tax payable
20.91%23.75M
20.91%23.75M
29.10%19.08M
47.08%19.64M
47.08%19.64M
-15.68%14.78M
-14.58%13.36M
--13.36M
10.51%17.53M
1.45%15.64M
-Other payable
-3.73%66.87M
-3.73%66.87M
14.35%2.13M
-14.07%69.46M
-14.07%69.46M
143.59%1.86M
78.90%80.83M
--80.83M
-76.92%763.35K
-85.99%45.18M
Current liabilities
6.30%269.32M
6.30%269.32M
-2.05%242.3M
-6.01%253.37M
-6.01%253.37M
-9.19%247.37M
16.75%269.58M
--269.58M
-16.17%272.4M
-54.17%230.9M
Non current liabilities
-Long term debt and capital lease obligation
-22.12%133.91M
-22.12%133.91M
-16.22%152.04M
-11.06%171.95M
-11.06%171.95M
1,352.64%181.48M
1,048.64%193.33M
--193.33M
-87.03%12.49M
-88.09%16.83M
-Including:Long term debt
-24.12%115.9M
-24.12%115.9M
----
-12.89%152.73M
-12.89%152.73M
----
72,106.92%175.34M
--175.34M
----
-99.80%242.83K
-Including:Long term capital lease obligation
-6.24%18.02M
-6.24%18.02M
----
6.85%19.22M
6.85%19.22M
----
8.43%17.99M
--17.99M
----
-12.79%16.59M
Total non current liabilities
-25.64%170.91M
-25.64%170.91M
-9.54%208.57M
-7.07%229.84M
-7.07%229.84M
195.34%230.56M
213.55%247.34M
--247.34M
-54.70%78.07M
-63.78%78.88M
Total liabilities
-8.90%440.22M
-8.90%440.22M
-5.66%450.86M
-6.52%483.21M
-6.52%483.21M
36.37%477.93M
66.86%516.92M
--516.92M
-29.52%350.47M
-57.07%309.79M
Shareholders'equity
Share capital
0.00%1.85B
0.00%1.85B
0.00%1.85B
0.00%1.85B
0.00%1.85B
0.00%1.85B
865.87%1.85B
--1.85B
865.87%1.85B
0.00%191.04M
-common stock
0.00%1.85B
0.00%1.85B
0.00%1.85B
0.00%1.85B
0.00%1.85B
0.00%1.85B
865.87%1.85B
--1.85B
865.87%1.85B
0.00%191.04M
Paid-in capital
0.00%-1.94B
0.00%-1.94B
0.00%-1.94B
0.00%-1.94B
0.00%-1.94B
0.00%-1.94B
-570.83%-1.94B
---1.94B
-705.44%-1.94B
-21.02%-289.78M
Retained earnings
3.58%1.48B
3.58%1.48B
7.77%1.47B
8.46%1.43B
8.46%1.43B
11.04%1.36B
12.30%1.32B
--1.32B
12.31%1.23B
29.40%1.18B
Other equity interest
----
----
--2.96M
----
----
----
----
----
--5.18M
----
Total stockholders'equity
-0.09%1.14B
-0.09%1.14B
18.62%1.18B
18.10%1.14B
18.10%1.14B
-10.63%993.82M
-8.76%962.06M
--962.06M
26.28%1.11B
41.23%1.05B
Noncontrolling interests
13.23%15.63M
13.23%15.63M
7.18%14.48M
5.24%13.8M
5.24%13.8M
23,640.37%13.51M
25,035.17%13.12M
--13.12M
-1.28%56.92K
-13.70%52.19K
Total equity
0.07%1.15B
0.07%1.15B
18.46%1.19B
17.93%1.15B
17.93%1.15B
-9.42%1.01B
-7.52%975.18M
--975.18M
26.28%1.11B
41.22%1.05B
Currency Unit
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q2)Dec 31, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q2)Dec 31, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022(Q2)Dec 31, 2021(FY)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -35.10%492.38M-35.10%492.38M-28.47%524.65M-6.32%758.69M-6.32%758.69M-12.88%733.47M11.99%809.85M--809.85M9.23%841.93M-12.55%723.16M
-Cash and cash equivalents -2.06%484.53M-2.06%484.53M1.50%516.93M-9.88%494.71M-9.88%494.71M1.55%509.31M34.76%548.93M--548.93M7.34%501.54M-16.38%407.34M
-Short-term investments -97.03%7.84M-97.03%7.84M-96.56%7.72M1.18%263.98M1.18%263.98M-34.15%224.16M-17.39%260.91M--260.91M12.15%340.39M-7.06%315.82M
-Accounts receivable 0.16%181.73M0.16%181.73M-15.52%134.85M35.59%181.44M35.59%181.44M12.00%159.62M-3.16%133.82M--133.82M24.21%142.52M0.02%138.19M
-Gross accounts receivable 1.08%192.64M1.08%192.64M-14.00%143.92M34.74%190.59M34.74%190.59M10.55%167.34M-3.98%141.45M--141.45M--151.37M-1.14%147.32M
-Bad debt provision -19.38%-10.92M-19.38%-10.92M-17.48%-9.07M-19.79%-9.15M-19.79%-9.15M12.82%-7.72M16.33%-7.63M---7.63M---8.85M15.81%-9.12M
-Other receivables 22.97%165.36M22.97%165.36M63.26%201.19M86.48%134.47M86.48%134.47M133.27%123.24M30.61%72.11M--72.11M-24.19%52.83M2.16%55.21M
Inventory 121.97%886.01K121.97%886.01K110.11%1.02M-7.61%399.16K-7.61%399.16K-14.52%483.48K-30.55%432.01K--432.01K-43.22%565.59K-42.55%622.07K
Prepaid assets -0.50%35.89M-0.50%35.89M14.41%7.8M127.84%36.07M127.84%36.07M0.45%6.81M2.22%15.83M--15.83M220.96%6.78M4.45%15.49M
Restricted cash 33.01%12.69M33.01%12.69M----4.58%9.54M4.58%9.54M-----6.70%9.12M--9.12M----1.74%9.78M
Total current assets -20.86%891.9M-20.86%891.9M-15.10%872.69M7.64%1.13B7.64%1.13B-2.32%1.03B10.33%1.05B--1.05B9.17%1.05B-9.66%949.05M
Non current assets
Net PPE -4.90%36.54M-4.90%36.54M7.19%36.24M7.31%38.42M7.31%38.42M5.54%33.81M-4.95%35.8M--35.8M-17.47%32.04M-11.08%37.66M
-Gross PP&E 1.87%58.37M1.87%58.37M7.19%36.24M10.55%57.3M10.55%57.3M5.54%33.81M-40.71%51.83M--51.83M-17.47%32.04M2.84%87.43M
-Accumulated depreciation -15.64%-21.84M-15.64%-21.84M-----17.78%-18.88M-17.78%-18.88M----67.78%-16.03M---16.03M-----16.66%-49.77M
Total investment 2,160.72%191.05M2,160.72%191.05M3,199.73%256M8.85%8.45M8.85%8.45M720.96%7.76M--7.76M--7.76M--945K--0
-Long-term equity investment 124.94%12.71M124.94%12.71M123.46%13.43M-7.65%5.65M-7.65%5.65M--6.01M--6.12M--6.12M------0
-Including:Available-for-sale securities 6,269.19%178.34M6,269.19%178.34M13,761.14%242.57M70.21%2.8M70.21%2.8M85.19%1.75M--1.65M--1.65M--945K----
Financial assets ----------------------1.18M--1.14M--1.14M------0
Goodwill and other intangible assets 4.18%426.4M4.18%426.4M17.14%427.7M19.63%409.3M19.63%409.3M12.51%365.11M7.82%342.15M--342.15M5.67%324.52M5.77%317.33M
-Goodwill 0.28%152.16M0.28%152.16M--151.94M6.04%151.74M6.04%151.74M-----1.15%143.1M--143.1M----0.57%144.76M
-Other intangible assets 6.48%274.24M6.48%274.24M--275.76M29.40%257.56M29.40%257.56M----15.35%199.05M--199.05M----10.56%172.57M
Total non current assets 38.13%699.13M38.13%699.13M68.69%771.49M13.73%506.16M13.73%506.16M11.49%457.35M7.19%445.04M--445.04M-0.92%410.21M-0.59%415.2M
Total assets -2.58%1.59B-2.58%1.59B10.70%1.64B9.46%1.63B9.46%1.63B1.56%1.49B9.37%1.49B--1.49B6.14%1.46B-7.08%1.36B
Liabilities
Current liabilities
-Current debt and capital lease obligation 8.77%8.22M8.77%8.22M19.36%8.38M-0.43%7.56M-0.43%7.56M-18.12%7.02M-19.05%7.59M--7.59M0.46%8.58M-2.88%9.38M
-Including:Current debt -------------------------11.41%225.88K--225.88K----6.78%254.96K
-Including:Current capital Lease obligation 8.77%8.22M8.77%8.22M----2.62%7.56M2.62%7.56M-----19.26%7.37M--7.37M-----3.13%9.13M
Payables -8.90%103.05M-8.90%103.05M-7.42%131.29M-0.23%113.12M-0.23%113.12M52.59%141.81M46.78%113.38M--113.38M-60.45%92.94M-78.65%77.24M
-accounts payable -48.22%12.43M-48.22%12.43M-12.06%110.08M25.10%24.01M25.10%24.01M67.69%125.17M16.85%19.2M--19.2M-65.41%74.64M-31.26%16.43M
-Total tax payable 20.91%23.75M20.91%23.75M29.10%19.08M47.08%19.64M47.08%19.64M-15.68%14.78M-14.58%13.36M--13.36M10.51%17.53M1.45%15.64M
-Other payable -3.73%66.87M-3.73%66.87M14.35%2.13M-14.07%69.46M-14.07%69.46M143.59%1.86M78.90%80.83M--80.83M-76.92%763.35K-85.99%45.18M
Current liabilities 6.30%269.32M6.30%269.32M-2.05%242.3M-6.01%253.37M-6.01%253.37M-9.19%247.37M16.75%269.58M--269.58M-16.17%272.4M-54.17%230.9M
Non current liabilities
-Long term debt and capital lease obligation -22.12%133.91M-22.12%133.91M-16.22%152.04M-11.06%171.95M-11.06%171.95M1,352.64%181.48M1,048.64%193.33M--193.33M-87.03%12.49M-88.09%16.83M
-Including:Long term debt -24.12%115.9M-24.12%115.9M-----12.89%152.73M-12.89%152.73M----72,106.92%175.34M--175.34M-----99.80%242.83K
-Including:Long term capital lease obligation -6.24%18.02M-6.24%18.02M----6.85%19.22M6.85%19.22M----8.43%17.99M--17.99M-----12.79%16.59M
Total non current liabilities -25.64%170.91M-25.64%170.91M-9.54%208.57M-7.07%229.84M-7.07%229.84M195.34%230.56M213.55%247.34M--247.34M-54.70%78.07M-63.78%78.88M
Total liabilities -8.90%440.22M-8.90%440.22M-5.66%450.86M-6.52%483.21M-6.52%483.21M36.37%477.93M66.86%516.92M--516.92M-29.52%350.47M-57.07%309.79M
Shareholders'equity
Share capital 0.00%1.85B0.00%1.85B0.00%1.85B0.00%1.85B0.00%1.85B0.00%1.85B865.87%1.85B--1.85B865.87%1.85B0.00%191.04M
-common stock 0.00%1.85B0.00%1.85B0.00%1.85B0.00%1.85B0.00%1.85B0.00%1.85B865.87%1.85B--1.85B865.87%1.85B0.00%191.04M
Paid-in capital 0.00%-1.94B0.00%-1.94B0.00%-1.94B0.00%-1.94B0.00%-1.94B0.00%-1.94B-570.83%-1.94B---1.94B-705.44%-1.94B-21.02%-289.78M
Retained earnings 3.58%1.48B3.58%1.48B7.77%1.47B8.46%1.43B8.46%1.43B11.04%1.36B12.30%1.32B--1.32B12.31%1.23B29.40%1.18B
Other equity interest ----------2.96M----------------------5.18M----
Total stockholders'equity -0.09%1.14B-0.09%1.14B18.62%1.18B18.10%1.14B18.10%1.14B-10.63%993.82M-8.76%962.06M--962.06M26.28%1.11B41.23%1.05B
Noncontrolling interests 13.23%15.63M13.23%15.63M7.18%14.48M5.24%13.8M5.24%13.8M23,640.37%13.51M25,035.17%13.12M--13.12M-1.28%56.92K-13.70%52.19K
Total equity 0.07%1.15B0.07%1.15B18.46%1.19B17.93%1.15B17.93%1.15B-9.42%1.01B-7.52%975.18M--975.18M26.28%1.11B41.22%1.05B
Currency Unit MYRMYRMYRMYRMYRMYRMYRMYRMYRMYR
Trending SG Stocks
SG High Dividend SG High Dividend

Singapore's high dividend stocks offer a compelling investment opportunity for those seeking to generate regular income while participating in the potential growth of some of the region's most stable companies. By understanding the benefits and challenges associated with these stocks and conducting thorough research before investing, individuals can effectively incorporate high dividend stocks into their investment strategy. Always consider consulting with financial advisors to tailor investments to your personal financial goals and risk tolerance. With the right approach, high dividend stocks can be a valuable addition to a well-rounded investment portfolio. Singapore's high dividend stocks offer a compelling investment opportunity for those seeking to generate regular income while participating in the potential growth of some of the region's most stable companies. By understanding the benefits and challenges associated with these stocks and conducting thorough research before investing, individuals can effectively incorporate high dividend stocks into their investment strategy. Always consider consulting with financial advisors to tailor investments to your personal financial goals and risk tolerance. With the right approach, high dividend stocks can be a valuable addition to a well-rounded investment portfolio.