SG Stock MarketDetailed Quotes

5MD Soon Lian

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  • 0.190
  • 0.0000.00%
10min DelayMarket Closed Jun 19 09:45 CST
20.52MMarket Cap-4523P/E (TTM)

Soon Lian Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash from operating activities
307.01%18.06M
-281.41%-8.72M
65.85%4.81M
-52.29%2.9M
-64.99%6.08M
712.59%17.36M
-79.78%2.14M
723.55%10.56M
-202.29%-1.69M
162.19%1.66M
Net profit before non-cash adjustment
-151.03%-4.65M
29.50%9.11M
1,102.56%7.04M
-34.12%585K
658.49%888K
-108.59%-159K
181.68%1.85M
-18.96%-2.27M
-116.57%-1.9M
1,662.88%11.49M
Total adjustment of non-cash items
221.82%8.97M
-2.18%2.79M
-17.97%2.85M
204.38%3.47M
-24.09%1.14M
245.52%1.5M
-79.22%435K
-4.43%2.09M
126.45%2.19M
-670.25%-8.28M
-Depreciation and amortization
22.78%1.84M
12.98%1.5M
2.71%1.33M
13.66%1.29M
38.75%1.14M
-12.89%818K
-25.18%939K
3.72%1.26M
41.03%1.21M
25.99%858K
-Reversal of impairment losses recognized in profit and loss
-98.79%3K
3,187.50%247K
-100.46%-8K
357.27%1.75M
---681K
----
--400K
--0
----
----
-Assets reserve and write-off
276.78%6.1M
64.53%1.62M
--984K
----
----
----
----
----
----
----
-Disposal profit
126.67%4K
-66.67%-15K
96.74%-9K
-922.22%-276K
35.71%-27K
97.60%-42K
-3,030.36%-1.75M
12.50%-56K
99.36%-64K
-38,392.31%-10.01M
-Net exchange gains and losses
90.02%-122K
-643.11%-1.22M
19.68%225K
380.60%188K
4.29%-67K
-62.79%-70K
14.00%-43K
-192.59%-50K
14.89%54K
-76.14%47K
-Other non-cash items
73.37%1.15M
99.10%661K
-36.03%332K
-33.55%519K
-2.01%781K
-10.65%797K
-5.51%892K
-4.65%944K
20.29%990K
37.17%823K
Changes in working capital
166.61%13.74M
-306.21%-20.62M
-337.96%-5.08M
-128.64%-1.16M
-74.73%4.05M
10,846.98%16.01M
-101.39%-149K
642.17%10.74M
-27.09%-1.98M
67.32%-1.56M
-Change in receivables
81.24%-467K
37.56%-2.49M
-123.17%-3.99M
-250.80%-1.79M
-94.87%1.19M
3,746.37%23.12M
-210.65%-634K
-75.88%573K
181.37%2.38M
40.29%-2.92M
-Change in inventory
173.76%20.49M
-344.42%-27.77M
-1,304.05%-6.25M
-89.37%519K
181.61%4.88M
-166.34%-5.98M
-128.63%-2.25M
662.29%7.84M
48.69%-1.4M
43.76%-2.72M
-Change in prepaid assets
-82.35%126K
192.25%714K
---774K
----
----
----
----
----
----
----
-Change in payables
-171.08%-6.41M
51.90%9.02M
1,017.89%5.94M
126.76%531K
-75.27%-1.98M
-140.70%-1.13M
21.07%2.78M
176.34%2.3M
-329.17%-3.01M
-82.97%1.31M
-Changes in other current assets
--0
-8,700.00%-88K
99.76%-1K
-1,072.22%-422K
-500.00%-36K
118.00%9K
-338.10%-50K
-56.25%21K
-98.27%48K
200.58%2.77M
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
-80.80%-1.81M
-196.74%-1M
-155.30%-337K
-91.30%-132K
64.43%-69K
11.01%-194K
-603.23%-218K
81.55%-31K
-13.51%-168K
-300.00%-148K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
267.12%16.25M
-317.45%-9.72M
61.58%4.47M
-53.94%2.77M
-65.00%6.01M
794.84%17.16M
-81.79%1.92M
665.63%10.53M
-223.47%-1.86M
155.85%1.51M
Investing cash flow
Capital expenditures
----
----
----
----
----
-1,343.47%-9.07M
---628K
----
----
----
Net PPE purchase and sale
-10.28%-719K
-98.78%-652K
-163.81%-328K
159.70%514K
-848.70%-861K
-27.22%115K
187.29%158K
61.32%-181K
88.54%-468K
-450.40%-4.08M
Net business purchase and sale
----
----
----
----
----
----
----
----
---1.01M
----
Interest received (cash flow from investment activities)
116.67%13K
100.00%6K
-80.00%3K
275.00%15K
-63.64%4K
120.00%11K
150.00%5K
-60.00%2K
0.00%5K
150.00%5K
Investing cash flow
-9.29%-706K
-98.77%-646K
-161.44%-325K
161.73%529K
90.41%-857K
-1,822.37%-8.94M
-159.78%-465K
87.88%-179K
63.79%-1.48M
-451.22%-4.08M
Financing cash flow
Net issuance payments of debt
-209.30%-10.72M
564.39%9.81M
-502.29%-2.11M
109.13%525K
28.49%-5.75M
-205.68%-8.04M
180.54%7.61M
-151.17%-9.45M
-146.62%-3.76M
168.97%8.07M
Increase or decrease of lease financing
-40.75%-898K
-45.00%-638K
-6.02%-440K
-66.67%-415K
---249K
--0
----
----
----
----
Cash dividends paid
0.00%-324K
---324K
----
----
----
----
----
----
---1.08M
----
Interest paid (cash flow from financing activities)
-69.87%-1.06M
-105.94%-624K
38.04%-303K
36.66%-489K
4.46%-772K
9.92%-808K
5.18%-897K
4.92%-946K
-20.17%-995K
-37.54%-828K
Net other fund-raising expenses
----
----
----
----
----
----
-233.03%-5.06M
216.67%3.8M
--1.2M
----
Financing cash flow
-258.14%-13M
387.99%8.22M
-653.30%-2.86M
94.40%-379K
23.48%-6.77M
-633.78%-8.85M
125.14%1.66M
-42.23%-6.6M
-164.04%-4.64M
1,014.27%7.24M
Net cash flow
Beginning cash position
-29.42%5.15M
21.51%7.29M
94.52%6M
-34.45%3.09M
-11.74%4.71M
139.95%5.33M
244.82%2.22M
-123.83%-1.54M
263.69%6.44M
-70.50%1.77M
Current changes in cash
218.31%2.54M
-266.23%-2.15M
-55.74%1.29M
279.84%2.92M
-159.11%-1.62M
-120.12%-626K
-17.22%3.11M
147.12%3.76M
-270.79%-7.98M
210.35%4.67M
End cash Position
49.32%7.69M
-29.42%5.15M
21.51%7.29M
94.52%6M
-34.45%3.09M
-11.74%4.71M
139.95%5.33M
244.82%2.22M
-123.83%-1.54M
263.69%6.44M
Free cash flow
248.60%15.45M
-352.15%-10.4M
60.99%4.12M
-48.67%2.56M
-38.39%4.99M
527.75%8.1M
-87.47%1.29M
525.29%10.29M
88.92%-2.42M
-522.67%-21.84M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash from operating activities 307.01%18.06M-281.41%-8.72M65.85%4.81M-52.29%2.9M-64.99%6.08M712.59%17.36M-79.78%2.14M723.55%10.56M-202.29%-1.69M162.19%1.66M
Net profit before non-cash adjustment -151.03%-4.65M29.50%9.11M1,102.56%7.04M-34.12%585K658.49%888K-108.59%-159K181.68%1.85M-18.96%-2.27M-116.57%-1.9M1,662.88%11.49M
Total adjustment of non-cash items 221.82%8.97M-2.18%2.79M-17.97%2.85M204.38%3.47M-24.09%1.14M245.52%1.5M-79.22%435K-4.43%2.09M126.45%2.19M-670.25%-8.28M
-Depreciation and amortization 22.78%1.84M12.98%1.5M2.71%1.33M13.66%1.29M38.75%1.14M-12.89%818K-25.18%939K3.72%1.26M41.03%1.21M25.99%858K
-Reversal of impairment losses recognized in profit and loss -98.79%3K3,187.50%247K-100.46%-8K357.27%1.75M---681K------400K--0--------
-Assets reserve and write-off 276.78%6.1M64.53%1.62M--984K----------------------------
-Disposal profit 126.67%4K-66.67%-15K96.74%-9K-922.22%-276K35.71%-27K97.60%-42K-3,030.36%-1.75M12.50%-56K99.36%-64K-38,392.31%-10.01M
-Net exchange gains and losses 90.02%-122K-643.11%-1.22M19.68%225K380.60%188K4.29%-67K-62.79%-70K14.00%-43K-192.59%-50K14.89%54K-76.14%47K
-Other non-cash items 73.37%1.15M99.10%661K-36.03%332K-33.55%519K-2.01%781K-10.65%797K-5.51%892K-4.65%944K20.29%990K37.17%823K
Changes in working capital 166.61%13.74M-306.21%-20.62M-337.96%-5.08M-128.64%-1.16M-74.73%4.05M10,846.98%16.01M-101.39%-149K642.17%10.74M-27.09%-1.98M67.32%-1.56M
-Change in receivables 81.24%-467K37.56%-2.49M-123.17%-3.99M-250.80%-1.79M-94.87%1.19M3,746.37%23.12M-210.65%-634K-75.88%573K181.37%2.38M40.29%-2.92M
-Change in inventory 173.76%20.49M-344.42%-27.77M-1,304.05%-6.25M-89.37%519K181.61%4.88M-166.34%-5.98M-128.63%-2.25M662.29%7.84M48.69%-1.4M43.76%-2.72M
-Change in prepaid assets -82.35%126K192.25%714K---774K----------------------------
-Change in payables -171.08%-6.41M51.90%9.02M1,017.89%5.94M126.76%531K-75.27%-1.98M-140.70%-1.13M21.07%2.78M176.34%2.3M-329.17%-3.01M-82.97%1.31M
-Changes in other current assets --0-8,700.00%-88K99.76%-1K-1,072.22%-422K-500.00%-36K118.00%9K-338.10%-50K-56.25%21K-98.27%48K200.58%2.77M
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 -80.80%-1.81M-196.74%-1M-155.30%-337K-91.30%-132K64.43%-69K11.01%-194K-603.23%-218K81.55%-31K-13.51%-168K-300.00%-148K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 267.12%16.25M-317.45%-9.72M61.58%4.47M-53.94%2.77M-65.00%6.01M794.84%17.16M-81.79%1.92M665.63%10.53M-223.47%-1.86M155.85%1.51M
Investing cash flow
Capital expenditures ---------------------1,343.47%-9.07M---628K------------
Net PPE purchase and sale -10.28%-719K-98.78%-652K-163.81%-328K159.70%514K-848.70%-861K-27.22%115K187.29%158K61.32%-181K88.54%-468K-450.40%-4.08M
Net business purchase and sale -----------------------------------1.01M----
Interest received (cash flow from investment activities) 116.67%13K100.00%6K-80.00%3K275.00%15K-63.64%4K120.00%11K150.00%5K-60.00%2K0.00%5K150.00%5K
Investing cash flow -9.29%-706K-98.77%-646K-161.44%-325K161.73%529K90.41%-857K-1,822.37%-8.94M-159.78%-465K87.88%-179K63.79%-1.48M-451.22%-4.08M
Financing cash flow
Net issuance payments of debt -209.30%-10.72M564.39%9.81M-502.29%-2.11M109.13%525K28.49%-5.75M-205.68%-8.04M180.54%7.61M-151.17%-9.45M-146.62%-3.76M168.97%8.07M
Increase or decrease of lease financing -40.75%-898K-45.00%-638K-6.02%-440K-66.67%-415K---249K--0----------------
Cash dividends paid 0.00%-324K---324K---------------------------1.08M----
Interest paid (cash flow from financing activities) -69.87%-1.06M-105.94%-624K38.04%-303K36.66%-489K4.46%-772K9.92%-808K5.18%-897K4.92%-946K-20.17%-995K-37.54%-828K
Net other fund-raising expenses -------------------------233.03%-5.06M216.67%3.8M--1.2M----
Financing cash flow -258.14%-13M387.99%8.22M-653.30%-2.86M94.40%-379K23.48%-6.77M-633.78%-8.85M125.14%1.66M-42.23%-6.6M-164.04%-4.64M1,014.27%7.24M
Net cash flow
Beginning cash position -29.42%5.15M21.51%7.29M94.52%6M-34.45%3.09M-11.74%4.71M139.95%5.33M244.82%2.22M-123.83%-1.54M263.69%6.44M-70.50%1.77M
Current changes in cash 218.31%2.54M-266.23%-2.15M-55.74%1.29M279.84%2.92M-159.11%-1.62M-120.12%-626K-17.22%3.11M147.12%3.76M-270.79%-7.98M210.35%4.67M
End cash Position 49.32%7.69M-29.42%5.15M21.51%7.29M94.52%6M-34.45%3.09M-11.74%4.71M139.95%5.33M244.82%2.22M-123.83%-1.54M263.69%6.44M
Free cash flow 248.60%15.45M-352.15%-10.4M60.99%4.12M-48.67%2.56M-38.39%4.99M527.75%8.1M-87.47%1.29M525.29%10.29M88.92%-2.42M-522.67%-21.84M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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