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5TN Medi Lifestyle

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  • 0.004
  • 0.0000.00%
10min DelayTrading Apr 12 09:00 CST
2.39MMarket Cap-173P/E (TTM)

Medi Lifestyle Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-58.13%510.06K
-58.13%510.06K
-56.23%123K
-61.15%317K
-89.81%227K
145.79%1.22M
145.79%1.22M
-76.51%281K
-72.59%816K
-46.77%2.23M
-Cash and cash equivalents
-58.13%510.06K
-58.13%510.06K
-56.23%123K
-61.15%317K
-89.81%227K
145.79%1.22M
145.79%1.22M
-76.51%281K
-72.59%816K
-46.77%2.23M
-Accounts receivable
26.22%623.71K
26.22%623.71K
9,190.91%1.02M
--1.12M
--699K
--494.13K
--494.13K
--11K
----
----
-Gross accounts receivable
87.49%1.21M
87.49%1.21M
--1.24M
--1.27M
--848K
--642.81K
--642.81K
----
----
----
-Bad debt provision
-291.12%-581.52K
-291.12%-581.52K
---220K
---149K
---149K
---148.68K
---148.68K
----
----
----
-Other receivables
-98.80%3.24K
-98.80%3.24K
-70.41%245K
-64.04%278K
-87.87%270K
-86.78%270.92K
-86.78%270.92K
-43.05%828K
-64.86%773K
59.91%2.23M
Inventory
-21.80%36.59K
-21.80%36.59K
80.77%47K
37.93%40K
73.08%45K
72.09%46.79K
72.09%46.79K
-66.23%26K
-96.84%29K
-97.50%26K
Prepaid assets
-68.84%217.35K
-68.84%217.35K
--236K
--544K
--770K
--697.59K
--697.59K
----
----
----
Total current assets
-49.01%1.39M
-49.01%1.39M
45.99%1.67M
-81.94%2.3M
-55.11%2.01M
6.02%2.73M
6.02%2.73M
-83.97%1.15M
51.24%12.75M
-36.29%4.48M
Non current assets
Net PPE
-46.93%585.18K
-46.93%585.18K
-24.75%669K
-20.52%732K
-91.14%980K
-90.97%1.1M
-90.97%1.1M
-90.10%889K
-91.32%921K
-6.66%11.06M
-Gross PP&E
-47.10%2.18M
-47.10%2.18M
234.45%3.19M
236.57%3.16M
-71.85%3.11M
-77.99%4.12M
-77.99%4.12M
-89.37%955K
-91.16%938K
-6.66%11.06M
-Accumulated depreciation
47.16%-1.6M
47.16%-1.6M
-3,725.76%-2.53M
-14,164.71%-2.43M
---2.13M
53.65%-3.02M
53.65%-3.02M
---66K
---17K
----
Total investment
--0
--0
--0
--0
--0
--0
--0
----
--0
--0
-Long-term equity investment
--0
--0
--0
--0
--0
--0
--0
----
--0
--0
Goodwill and other intangible assets
0.00%200K
0.00%200K
-95.34%200K
-95.34%200K
-96.74%200K
-96.74%200K
-96.74%200K
-30.00%4.29M
-30.09%4.29M
-0.34%6.13M
-Goodwill
----
----
----
----
----
----
----
-30.00%4.29M
-30.00%4.29M
0.00%6.13M
-Other intangible assets
0.00%200K
0.00%200K
----
----
----
--200K
--200K
----
----
----
Total non current assets
-39.72%785.18K
-39.72%785.18K
-83.23%869K
-82.13%932K
-93.14%1.18M
-92.91%1.3M
-92.91%1.3M
-74.78%5.18M
-76.56%5.21M
-27.55%17.19M
Total assets
-46.01%2.18M
-46.01%2.18M
-59.83%2.54M
-82.00%3.23M
-85.28%3.19M
-80.76%4.03M
-80.76%4.03M
-77.15%6.33M
-41.44%17.96M
-29.55%21.67M
Liabilities
Current liabilities
-Current debt and capital lease obligation
-73.32%1.01M
-73.32%1.01M
-55.04%2.5M
-32.04%3.71M
-63.75%3.81M
-29.06%3.8M
-29.06%3.8M
4.18%5.56M
-31.60%5.46M
31.27%10.51M
-Including:Current debt
-70.49%719.42K
-70.49%719.42K
-58.90%2.21M
-50.18%2.63M
-50.61%2.52M
--2.44M
--2.44M
--5.38M
121.19%5.27M
105.24%5.09M
-Including:Current capital Lease obligation
-78.41%293.31K
-78.41%293.31K
64.37%286K
487.50%1.08M
-76.11%1.29M
-74.62%1.36M
-74.62%1.36M
-96.74%174K
-96.71%184K
-1.96%5.42M
Payables
35.66%5.15M
35.66%5.15M
38.44%4.7M
99.59%5.33M
-29.92%3.92M
-21.18%3.8M
-21.18%3.8M
-19.12%3.39M
-58.18%2.67M
5.01%5.6M
-accounts payable
-65.72%10.61K
-65.72%10.61K
--0
40.00%14K
0.00%9K
230.89%30.94K
230.89%30.94K
10.00%11K
-99.43%10K
-99.35%9K
-Total tax payable
-69.18%11.38K
-69.18%11.38K
--36K
--39K
--35K
1,253.04%36.94K
1,253.04%36.94K
----
--0
--0
-Other payable
37.54%5.13M
37.54%5.13M
37.83%4.66M
98.35%5.28M
-30.60%3.88M
-22.40%3.73M
-22.40%3.73M
-19.19%3.38M
-42.36%2.66M
42.58%5.59M
Current liabilities
-4.87%8.37M
-4.87%8.37M
7.72%9.64M
-32.04%11.29M
-40.28%9.62M
-20.57%8.8M
-20.57%8.8M
-41.50%8.95M
11.15%16.61M
19.32%16.11M
Non current liabilities
-Long term debt and capital lease obligation
117.00%2.52M
117.00%2.52M
-43.92%203K
54.75%619K
-3.16%890K
-48.63%1.16M
-48.63%1.16M
-89.88%362K
-91.90%400K
-85.23%919K
-Including:Long term debt
--2.38M
--2.38M
----
----
----
--0
--0
----
----
----
-Including:Long term capital lease obligation
-88.67%131.28K
-88.67%131.28K
-43.92%203K
54.75%619K
-3.16%890K
-48.63%1.16M
-48.63%1.16M
-89.88%362K
-91.90%400K
-85.23%919K
Total non current liabilities
117.00%2.52M
117.00%2.52M
-43.92%203K
54.75%619K
-3.16%890K
-48.63%1.16M
-48.63%1.16M
-89.88%362K
-91.90%400K
-85.23%919K
Total liabilities
9.32%10.89M
9.32%10.89M
5.71%9.84M
-30.00%11.9M
-38.27%10.51M
-25.32%9.96M
-25.32%9.96M
-50.67%9.31M
-14.44%17.01M
-13.68%17.03M
Shareholders'equity
Share capital
1.24%127.72M
1.24%127.72M
5.37%127.72M
4.07%126.15M
5.38%126.16M
5.38%126.16M
5.38%126.16M
1.74%121.21M
1.74%121.21M
0.49%119.72M
-common stock
1.24%127.72M
1.24%127.72M
5.37%127.72M
4.07%126.15M
5.38%126.16M
5.38%126.16M
5.38%126.16M
1.74%121.21M
1.74%121.21M
0.49%119.72M
Retained earnings
-3.16%-140.26M
-3.16%-140.26M
-11.59%-138.88M
-15.05%-138.53M
-19.16%-137.29M
-21.14%-135.96M
-21.14%-135.96M
-7.39%-124.45M
-5.77%-120.41M
-1.80%-115.21M
Total stockholders'equity
-46.92%-8.71M
-46.92%-8.71M
-144.71%-7.3M
-1,006.90%-8.67M
-257.48%-7.32M
-177.94%-5.93M
-177.94%-5.93M
-133.71%-2.98M
-91.17%956K
-58.01%4.65M
Noncontrolling interests
----
----
--0
--0
--0
----
----
--0
----
--0
Total equity
-46.92%-8.71M
-46.92%-8.71M
-144.71%-7.3M
-1,006.90%-8.67M
-257.48%-7.32M
-177.94%-5.93M
-177.94%-5.93M
-133.82%-2.98M
-91.14%956K
-57.90%4.65M
Currency Unit
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -58.13%510.06K-58.13%510.06K-56.23%123K-61.15%317K-89.81%227K145.79%1.22M145.79%1.22M-76.51%281K-72.59%816K-46.77%2.23M
-Cash and cash equivalents -58.13%510.06K-58.13%510.06K-56.23%123K-61.15%317K-89.81%227K145.79%1.22M145.79%1.22M-76.51%281K-72.59%816K-46.77%2.23M
-Accounts receivable 26.22%623.71K26.22%623.71K9,190.91%1.02M--1.12M--699K--494.13K--494.13K--11K--------
-Gross accounts receivable 87.49%1.21M87.49%1.21M--1.24M--1.27M--848K--642.81K--642.81K------------
-Bad debt provision -291.12%-581.52K-291.12%-581.52K---220K---149K---149K---148.68K---148.68K------------
-Other receivables -98.80%3.24K-98.80%3.24K-70.41%245K-64.04%278K-87.87%270K-86.78%270.92K-86.78%270.92K-43.05%828K-64.86%773K59.91%2.23M
Inventory -21.80%36.59K-21.80%36.59K80.77%47K37.93%40K73.08%45K72.09%46.79K72.09%46.79K-66.23%26K-96.84%29K-97.50%26K
Prepaid assets -68.84%217.35K-68.84%217.35K--236K--544K--770K--697.59K--697.59K------------
Total current assets -49.01%1.39M-49.01%1.39M45.99%1.67M-81.94%2.3M-55.11%2.01M6.02%2.73M6.02%2.73M-83.97%1.15M51.24%12.75M-36.29%4.48M
Non current assets
Net PPE -46.93%585.18K-46.93%585.18K-24.75%669K-20.52%732K-91.14%980K-90.97%1.1M-90.97%1.1M-90.10%889K-91.32%921K-6.66%11.06M
-Gross PP&E -47.10%2.18M-47.10%2.18M234.45%3.19M236.57%3.16M-71.85%3.11M-77.99%4.12M-77.99%4.12M-89.37%955K-91.16%938K-6.66%11.06M
-Accumulated depreciation 47.16%-1.6M47.16%-1.6M-3,725.76%-2.53M-14,164.71%-2.43M---2.13M53.65%-3.02M53.65%-3.02M---66K---17K----
Total investment --0--0--0--0--0--0--0------0--0
-Long-term equity investment --0--0--0--0--0--0--0------0--0
Goodwill and other intangible assets 0.00%200K0.00%200K-95.34%200K-95.34%200K-96.74%200K-96.74%200K-96.74%200K-30.00%4.29M-30.09%4.29M-0.34%6.13M
-Goodwill -----------------------------30.00%4.29M-30.00%4.29M0.00%6.13M
-Other intangible assets 0.00%200K0.00%200K--------------200K--200K------------
Total non current assets -39.72%785.18K-39.72%785.18K-83.23%869K-82.13%932K-93.14%1.18M-92.91%1.3M-92.91%1.3M-74.78%5.18M-76.56%5.21M-27.55%17.19M
Total assets -46.01%2.18M-46.01%2.18M-59.83%2.54M-82.00%3.23M-85.28%3.19M-80.76%4.03M-80.76%4.03M-77.15%6.33M-41.44%17.96M-29.55%21.67M
Liabilities
Current liabilities
-Current debt and capital lease obligation -73.32%1.01M-73.32%1.01M-55.04%2.5M-32.04%3.71M-63.75%3.81M-29.06%3.8M-29.06%3.8M4.18%5.56M-31.60%5.46M31.27%10.51M
-Including:Current debt -70.49%719.42K-70.49%719.42K-58.90%2.21M-50.18%2.63M-50.61%2.52M--2.44M--2.44M--5.38M121.19%5.27M105.24%5.09M
-Including:Current capital Lease obligation -78.41%293.31K-78.41%293.31K64.37%286K487.50%1.08M-76.11%1.29M-74.62%1.36M-74.62%1.36M-96.74%174K-96.71%184K-1.96%5.42M
Payables 35.66%5.15M35.66%5.15M38.44%4.7M99.59%5.33M-29.92%3.92M-21.18%3.8M-21.18%3.8M-19.12%3.39M-58.18%2.67M5.01%5.6M
-accounts payable -65.72%10.61K-65.72%10.61K--040.00%14K0.00%9K230.89%30.94K230.89%30.94K10.00%11K-99.43%10K-99.35%9K
-Total tax payable -69.18%11.38K-69.18%11.38K--36K--39K--35K1,253.04%36.94K1,253.04%36.94K------0--0
-Other payable 37.54%5.13M37.54%5.13M37.83%4.66M98.35%5.28M-30.60%3.88M-22.40%3.73M-22.40%3.73M-19.19%3.38M-42.36%2.66M42.58%5.59M
Current liabilities -4.87%8.37M-4.87%8.37M7.72%9.64M-32.04%11.29M-40.28%9.62M-20.57%8.8M-20.57%8.8M-41.50%8.95M11.15%16.61M19.32%16.11M
Non current liabilities
-Long term debt and capital lease obligation 117.00%2.52M117.00%2.52M-43.92%203K54.75%619K-3.16%890K-48.63%1.16M-48.63%1.16M-89.88%362K-91.90%400K-85.23%919K
-Including:Long term debt --2.38M--2.38M--------------0--0------------
-Including:Long term capital lease obligation -88.67%131.28K-88.67%131.28K-43.92%203K54.75%619K-3.16%890K-48.63%1.16M-48.63%1.16M-89.88%362K-91.90%400K-85.23%919K
Total non current liabilities 117.00%2.52M117.00%2.52M-43.92%203K54.75%619K-3.16%890K-48.63%1.16M-48.63%1.16M-89.88%362K-91.90%400K-85.23%919K
Total liabilities 9.32%10.89M9.32%10.89M5.71%9.84M-30.00%11.9M-38.27%10.51M-25.32%9.96M-25.32%9.96M-50.67%9.31M-14.44%17.01M-13.68%17.03M
Shareholders'equity
Share capital 1.24%127.72M1.24%127.72M5.37%127.72M4.07%126.15M5.38%126.16M5.38%126.16M5.38%126.16M1.74%121.21M1.74%121.21M0.49%119.72M
-common stock 1.24%127.72M1.24%127.72M5.37%127.72M4.07%126.15M5.38%126.16M5.38%126.16M5.38%126.16M1.74%121.21M1.74%121.21M0.49%119.72M
Retained earnings -3.16%-140.26M-3.16%-140.26M-11.59%-138.88M-15.05%-138.53M-19.16%-137.29M-21.14%-135.96M-21.14%-135.96M-7.39%-124.45M-5.77%-120.41M-1.80%-115.21M
Total stockholders'equity -46.92%-8.71M-46.92%-8.71M-144.71%-7.3M-1,006.90%-8.67M-257.48%-7.32M-177.94%-5.93M-177.94%-5.93M-133.71%-2.98M-91.17%956K-58.01%4.65M
Noncontrolling interests ----------0--0--0----------0------0
Total equity -46.92%-8.71M-46.92%-8.71M-144.71%-7.3M-1,006.90%-8.67M-257.48%-7.32M-177.94%-5.93M-177.94%-5.93M-133.82%-2.98M-91.14%956K-57.90%4.65M
Currency Unit MYRMYRMYRMYRMYRMYRMYRMYRMYRMYR

Analysis

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