SG Stock MarketDetailed Quotes

5JK Hiap Hoe

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  • 0.535
  • 0.0000.00%
10min DelayMarket Closed Mar 14 16:01 CST
251.75MMarket Cap44.58P/E (TTM)

Hiap Hoe Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
(Q3)Sep 30, 2019
(Q2)Jun 30, 2019
(Q1)Mar 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
24.32%41.98M
-30.64%33.77M
63.78%48.69M
36.37%29.73M
-53.49%21.8M
-49.82%46.87M
-12.56%12.41M
-0.65%16.14M
-69.19%15.97M
-78.77%2.36M
Net profit before non-cash adjustment
182.91%17.2M
125.75%6.08M
-188.97%-23.61M
172.03%26.54M
-253.31%-36.84M
759.90%24.03M
210.77%16.23M
-57.63%1.01M
-86.87%1.05M
853.32%5.74M
Total adjustment of non-cash items
0.53%25.42M
-60.50%25.28M
2,261.72%64.01M
-95.79%2.71M
320.23%64.32M
-75.27%15.31M
-123.39%-6.27M
-3.41%10.55M
8.90%11.9M
-106.57%-871K
-Depreciation and amortization
-4.45%32.17M
-3.09%33.67M
-1.23%34.74M
2.23%35.17M
5.71%34.41M
17.30%32.55M
12.40%8.43M
16.26%8.22M
27.71%8.34M
13.69%7.56M
-Reversal of impairment losses recognized in profit and loss
24.88%4.04M
113.92%3.24M
108.45%1.51M
-462.32%-17.9M
-8.64%4.94M
41.62%5.41M
42.17%5.38M
50.00%15K
-88.89%1K
--0
-Assets reserve and write-off
----
----
----
----
----
13.04%-10K
--0
--0
----
----
-Disposal profit
-4.60%-49.17M
-675.60%-47.01M
139.36%8.17M
-214.55%-20.75M
182.49%18.11M
-225.89%-21.96M
-158.68%-7.73M
-178.96%-2.25M
-193.24%-3.36M
-684.52%-8.61M
-Net exchange gains and losses
222.98%5.72M
-8.49%1.77M
214.06%1.94M
18.68%-1.7M
25.55%-2.09M
-163.22%-2.8M
-640.50%-2.32M
-85.98%325K
291.75%2.58M
-211.81%-3.39M
-Other non-cash items
-2.85%32.66M
90.40%33.62M
123.95%17.66M
-11.89%7.88M
322.52%8.95M
-74.96%2.12M
-615.56%-10.04M
82.09%4.24M
104.04%4.35M
70.55%3.57M
Changes in working capital
-126.38%-635K
-70.95%2.41M
1,625.68%8.29M
108.45%480.15K
-175.44%-5.68M
-78.56%7.54M
21.96%2.46M
55.82%4.58M
-90.84%3.01M
8.14%-2.51M
-Change in receivables
80.39%276K
-83.99%153K
124.00%955.69K
-108.63%-3.98M
-13.67%-1.91M
-132.35%-1.68M
-265.88%-901.22K
1,035.42%898K
96.35%-16K
-126.78%-1.66M
-Change in inventory
209.21%1.39M
-589.53%-1.27M
-88.31%259.64K
-7.63%2.22M
-72.25%2.4M
-84.35%8.66M
-5.19%2.53M
-73.45%2.58M
-92.04%2.15M
-52.50%19K
-Change in prepaid assets
248.16%403K
4.86%-272K
5.92%-285.9K
-170.04%-303.89K
248.78%433.9K
-59.88%-291.64K
-41.64%234.36K
-310.96%-300K
68.92%-115K
21.28%-111K
-Change in payables
-149.30%-536K
-105.36%-215K
266.45%4.01M
138.31%1.09M
-97.34%-2.86M
92.04%-1.45M
48.50%-778.13K
110.36%777K
-94.91%325K
88.68%-1.77M
-Changes in other current assets
30.88%-47K
-252.59%-68K
-56.11%44.57K
-53.74%101.53K
-85.14%219.5K
-83.26%1.48M
-60.79%257.21K
-72.61%392K
-83.58%706K
-91.78%1.5M
-Changes in other current liabilities
-151.94%-2.12M
23.65%4.08M
144.56%3.3M
133.93%1.35M
-588.56%-3.98M
108.21%813.8K
251.85%1.12M
141.23%228K
98.92%-44K
89.31%-491K
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
-7.26%-3.72M
-9.60%-3.47M
-4,389.43%-3.17M
96.37%-70.56K
67.06%-1.94M
71.38%-5.9M
94.08%-101.56K
72.96%-1.58M
78.13%-2.78M
-324.19%-1.44M
Other operating cash inflow (outflow)
-561K
0
0
-16.64M
0
0
0
58.82%-7K
0
0
Operating cash flow
24.43%37.7M
-33.44%30.3M
249.74%45.52M
-34.45%13.01M
-51.54%19.86M
-43.72%40.97M
-1.62%12.31M
39.93%14.55M
-66.28%13.18M
-91.43%925K
Investing cash flow
Net PPE purchase and sale
274.78%43.19M
-1,103.27%-24.71M
-76.93%-2.05M
8.65%-1.16M
49.85%-1.27M
79.18%-2.53M
88.21%-1.35M
-325.65%-813K
57.19%-122K
-12.39%-245K
Net business purchase and sale
----
----
----
----
----
---83.89M
--139
--0
--112K
---84M
Net investment property transactions
--0
1.93%20.06M
2,308.36%19.68M
---891.07K
--0
----
----
----
----
----
Net investment product transactions
-72.96%-32.29M
-68.23%-18.67M
45.90%-11.1M
-1,585.79%-20.51M
91.54%-1.22M
92.32%-14.38M
15.07%-1.75M
43.43%-14.58M
99.42%-843K
119.31%2.8M
Dividends received (cash flow from investment activities)
-6.44%7.17M
-5.30%7.66M
10.17%8.09M
16.77%7.34M
-37.52%6.29M
30.49%10.06M
11.50%3.67M
1.87%1.91M
104.70%3.18M
31.23%1.31M
Interest received (cash flow from investment activities)
50.74%6.55M
64.41%4.34M
13.12%2.64M
-22.09%2.34M
-15.28%3M
-18.37%3.54M
-47.92%713.68K
-40.60%774K
11.60%856K
33.52%1.2M
Net changes in other investments
----
----
-49.26%103K
-89.69%203K
--1.97M
----
----
----
----
----
Investing cash flow
317.54%24.61M
-165.17%-11.31M
236.90%17.36M
-244.65%-12.68M
110.06%8.77M
53.43%-87.2M
117.56%1.28M
45.31%-12.72M
102.22%3.18M
-481.72%-78.94M
Financing cash flow
Net issuance payments of debt
-45.95%5.45M
160.80%10.09M
-169.56%-16.59M
482.61%23.85M
-116.74%-6.23M
-69.43%37.24M
-549.43%-7.56M
-111.01%-1.68M
-114.44%-12.98M
234.10%59.47M
Increase or decrease of lease financing
-5.40%-3.71M
-1.05%-3.52M
-15.64%-3.48M
-10.29%-3.01M
4.05%-2.73M
-1,596.59%-2.85M
-2,555.05%-1.03M
-1,380.49%-607K
9.52%-38K
----
Cash dividends paid
-25.01%-3.53M
20.01%-2.82M
-50.00%-3.53M
50.00%-2.35M
33.33%-4.71M
0.00%-7.06M
0.00%634
0.00%-2.35M
0.00%-4.71M
----
Cash dividends for minorities
----
----
----
----
0.57%-31.34K
0.51%-31.52K
50.00%480
0.00%-32K
----
----
Interest paid (cash flow from financing activities)
-0.46%-30.73M
-74.15%-30.59M
-86.51%-17.56M
19.63%-9.42M
37.87%-11.72M
-35.71%-18.86M
-1.43%-4.45M
-34.71%-4.76M
-54.84%-5.08M
-69.51%-4.57M
Net other fund-raising expenses
-1,487.77%-18.04M
109.50%1.3M
-166.72%-13.68M
-24.90%-5.13M
-124.45%-4.11M
173.88%16.8M
93.88%-439.28K
-49.44%8.63M
113.85%3.33M
147.61%4.11M
Financing cash flow
-97.90%-50.56M
53.42%-25.55M
-1,494.36%-54.85M
113.32%3.93M
-216.94%-29.53M
-67.59%25.25M
-5.53%-13.48M
-103.04%-801K
-133.68%-19.48M
811.99%59.01M
Net cash flow
Beginning cash position
-35.52%12.18M
66.76%18.89M
57.63%11.33M
-8.38%7.18M
-73.59%7.84M
-57.78%29.7M
-80.84%7.37M
-73.35%6.89M
-85.39%10.52M
-57.78%29.7M
Current changes in cash
278.99%11.75M
-181.77%-6.57M
88.22%8.03M
572.34%4.27M
95.69%-903.14K
42.56%-20.98M
101.44%108.55K
-92.34%1.04M
93.27%-3.11M
-614.87%-19.01M
Effect of exchange rate changes
-225.87%-466K
69.48%-143K
-273.16%-468.5K
-151.01%-125.55K
127.99%246.15K
78.66%-879.53K
128.54%359.47K
39.21%-555K
-707.06%-516K
91.74%-168K
End cash Position
92.67%23.46M
-35.52%12.18M
66.76%18.89M
57.63%11.33M
-8.38%7.18M
-73.59%7.84M
-73.59%7.84M
-80.84%7.37M
-73.35%6.89M
-85.39%10.52M
Free cash flow
-47.43%2.94M
-87.05%5.59M
269.63%43.17M
-36.35%11.68M
-52.08%18.35M
-36.79%38.29M
912.34%10.91M
34.59%13.74M
-66.30%13.06M
-94.51%578K
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(Q4)Dec 31, 2019(Q3)Sep 30, 2019(Q2)Jun 30, 2019(Q1)Mar 31, 2019
Operating cash flow (Indirect Method)
Cash from operating activities 24.32%41.98M-30.64%33.77M63.78%48.69M36.37%29.73M-53.49%21.8M-49.82%46.87M-12.56%12.41M-0.65%16.14M-69.19%15.97M-78.77%2.36M
Net profit before non-cash adjustment 182.91%17.2M125.75%6.08M-188.97%-23.61M172.03%26.54M-253.31%-36.84M759.90%24.03M210.77%16.23M-57.63%1.01M-86.87%1.05M853.32%5.74M
Total adjustment of non-cash items 0.53%25.42M-60.50%25.28M2,261.72%64.01M-95.79%2.71M320.23%64.32M-75.27%15.31M-123.39%-6.27M-3.41%10.55M8.90%11.9M-106.57%-871K
-Depreciation and amortization -4.45%32.17M-3.09%33.67M-1.23%34.74M2.23%35.17M5.71%34.41M17.30%32.55M12.40%8.43M16.26%8.22M27.71%8.34M13.69%7.56M
-Reversal of impairment losses recognized in profit and loss 24.88%4.04M113.92%3.24M108.45%1.51M-462.32%-17.9M-8.64%4.94M41.62%5.41M42.17%5.38M50.00%15K-88.89%1K--0
-Assets reserve and write-off --------------------13.04%-10K--0--0--------
-Disposal profit -4.60%-49.17M-675.60%-47.01M139.36%8.17M-214.55%-20.75M182.49%18.11M-225.89%-21.96M-158.68%-7.73M-178.96%-2.25M-193.24%-3.36M-684.52%-8.61M
-Net exchange gains and losses 222.98%5.72M-8.49%1.77M214.06%1.94M18.68%-1.7M25.55%-2.09M-163.22%-2.8M-640.50%-2.32M-85.98%325K291.75%2.58M-211.81%-3.39M
-Other non-cash items -2.85%32.66M90.40%33.62M123.95%17.66M-11.89%7.88M322.52%8.95M-74.96%2.12M-615.56%-10.04M82.09%4.24M104.04%4.35M70.55%3.57M
Changes in working capital -126.38%-635K-70.95%2.41M1,625.68%8.29M108.45%480.15K-175.44%-5.68M-78.56%7.54M21.96%2.46M55.82%4.58M-90.84%3.01M8.14%-2.51M
-Change in receivables 80.39%276K-83.99%153K124.00%955.69K-108.63%-3.98M-13.67%-1.91M-132.35%-1.68M-265.88%-901.22K1,035.42%898K96.35%-16K-126.78%-1.66M
-Change in inventory 209.21%1.39M-589.53%-1.27M-88.31%259.64K-7.63%2.22M-72.25%2.4M-84.35%8.66M-5.19%2.53M-73.45%2.58M-92.04%2.15M-52.50%19K
-Change in prepaid assets 248.16%403K4.86%-272K5.92%-285.9K-170.04%-303.89K248.78%433.9K-59.88%-291.64K-41.64%234.36K-310.96%-300K68.92%-115K21.28%-111K
-Change in payables -149.30%-536K-105.36%-215K266.45%4.01M138.31%1.09M-97.34%-2.86M92.04%-1.45M48.50%-778.13K110.36%777K-94.91%325K88.68%-1.77M
-Changes in other current assets 30.88%-47K-252.59%-68K-56.11%44.57K-53.74%101.53K-85.14%219.5K-83.26%1.48M-60.79%257.21K-72.61%392K-83.58%706K-91.78%1.5M
-Changes in other current liabilities -151.94%-2.12M23.65%4.08M144.56%3.3M133.93%1.35M-588.56%-3.98M108.21%813.8K251.85%1.12M141.23%228K98.92%-44K89.31%-491K
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 -7.26%-3.72M-9.60%-3.47M-4,389.43%-3.17M96.37%-70.56K67.06%-1.94M71.38%-5.9M94.08%-101.56K72.96%-1.58M78.13%-2.78M-324.19%-1.44M
Other operating cash inflow (outflow) -561K00-16.64M00058.82%-7K00
Operating cash flow 24.43%37.7M-33.44%30.3M249.74%45.52M-34.45%13.01M-51.54%19.86M-43.72%40.97M-1.62%12.31M39.93%14.55M-66.28%13.18M-91.43%925K
Investing cash flow
Net PPE purchase and sale 274.78%43.19M-1,103.27%-24.71M-76.93%-2.05M8.65%-1.16M49.85%-1.27M79.18%-2.53M88.21%-1.35M-325.65%-813K57.19%-122K-12.39%-245K
Net business purchase and sale -----------------------83.89M--139--0--112K---84M
Net investment property transactions --01.93%20.06M2,308.36%19.68M---891.07K--0--------------------
Net investment product transactions -72.96%-32.29M-68.23%-18.67M45.90%-11.1M-1,585.79%-20.51M91.54%-1.22M92.32%-14.38M15.07%-1.75M43.43%-14.58M99.42%-843K119.31%2.8M
Dividends received (cash flow from investment activities) -6.44%7.17M-5.30%7.66M10.17%8.09M16.77%7.34M-37.52%6.29M30.49%10.06M11.50%3.67M1.87%1.91M104.70%3.18M31.23%1.31M
Interest received (cash flow from investment activities) 50.74%6.55M64.41%4.34M13.12%2.64M-22.09%2.34M-15.28%3M-18.37%3.54M-47.92%713.68K-40.60%774K11.60%856K33.52%1.2M
Net changes in other investments ---------49.26%103K-89.69%203K--1.97M--------------------
Investing cash flow 317.54%24.61M-165.17%-11.31M236.90%17.36M-244.65%-12.68M110.06%8.77M53.43%-87.2M117.56%1.28M45.31%-12.72M102.22%3.18M-481.72%-78.94M
Financing cash flow
Net issuance payments of debt -45.95%5.45M160.80%10.09M-169.56%-16.59M482.61%23.85M-116.74%-6.23M-69.43%37.24M-549.43%-7.56M-111.01%-1.68M-114.44%-12.98M234.10%59.47M
Increase or decrease of lease financing -5.40%-3.71M-1.05%-3.52M-15.64%-3.48M-10.29%-3.01M4.05%-2.73M-1,596.59%-2.85M-2,555.05%-1.03M-1,380.49%-607K9.52%-38K----
Cash dividends paid -25.01%-3.53M20.01%-2.82M-50.00%-3.53M50.00%-2.35M33.33%-4.71M0.00%-7.06M0.00%6340.00%-2.35M0.00%-4.71M----
Cash dividends for minorities ----------------0.57%-31.34K0.51%-31.52K50.00%4800.00%-32K--------
Interest paid (cash flow from financing activities) -0.46%-30.73M-74.15%-30.59M-86.51%-17.56M19.63%-9.42M37.87%-11.72M-35.71%-18.86M-1.43%-4.45M-34.71%-4.76M-54.84%-5.08M-69.51%-4.57M
Net other fund-raising expenses -1,487.77%-18.04M109.50%1.3M-166.72%-13.68M-24.90%-5.13M-124.45%-4.11M173.88%16.8M93.88%-439.28K-49.44%8.63M113.85%3.33M147.61%4.11M
Financing cash flow -97.90%-50.56M53.42%-25.55M-1,494.36%-54.85M113.32%3.93M-216.94%-29.53M-67.59%25.25M-5.53%-13.48M-103.04%-801K-133.68%-19.48M811.99%59.01M
Net cash flow
Beginning cash position -35.52%12.18M66.76%18.89M57.63%11.33M-8.38%7.18M-73.59%7.84M-57.78%29.7M-80.84%7.37M-73.35%6.89M-85.39%10.52M-57.78%29.7M
Current changes in cash 278.99%11.75M-181.77%-6.57M88.22%8.03M572.34%4.27M95.69%-903.14K42.56%-20.98M101.44%108.55K-92.34%1.04M93.27%-3.11M-614.87%-19.01M
Effect of exchange rate changes -225.87%-466K69.48%-143K-273.16%-468.5K-151.01%-125.55K127.99%246.15K78.66%-879.53K128.54%359.47K39.21%-555K-707.06%-516K91.74%-168K
End cash Position 92.67%23.46M-35.52%12.18M66.76%18.89M57.63%11.33M-8.38%7.18M-73.59%7.84M-73.59%7.84M-80.84%7.37M-73.35%6.89M-85.39%10.52M
Free cash flow -47.43%2.94M-87.05%5.59M269.63%43.17M-36.35%11.68M-52.08%18.35M-36.79%38.29M912.34%10.91M34.59%13.74M-66.30%13.06M-94.51%578K
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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