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AWV Captii

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  • 0.198
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10min DelayNot Open Dec 18 15:16 CST
6.33MMarket Cap-0.46P/E (TTM)

Captii Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities
163.00%860K
-109.39%-124K
-58.17%-397K
240.32%261K
30.79%-1.14M
-76.97%327K
105.29%1.32M
58.78%-251K
-105.06%-186K
-222.30%-1.64M
Net profit before non-cash adjustment
-1,213.98%-4.23M
-962.50%-2.35M
-408.06%-382K
-346.70%-11.29M
-159.41%-11.36M
-160.64%-322K
-60.06%272K
-80.66%124K
-124.39%-2.53M
-152.59%-4.38M
Total adjustment of non-cash items
2,343.46%4.67M
848.97%2.31M
-90.13%22K
101.58%11.72M
123.17%11.07M
-35.03%191K
-41.45%243K
50.68%223K
185.59%5.82M
162.11%4.96M
-Depreciation and amortization
-0.91%217K
-12.02%205K
-15.66%210K
-15.48%890K
-13.70%189K
-14.12%219K
-16.19%233K
-17.28%249K
-10.76%1.05M
5.80%219K
-Reversal of impairment losses recognized in profit and loss
----
----
----
49.20%4.2M
----
----
----
----
281,400.00%2.82M
----
-Disposal profit
148,933.33%4.47M
10,921.05%2.09M
---171K
226.57%6.77M
240.92%6.76M
-104.23%-3K
-87.82%19K
--0
211.45%2.07M
194.52%1.98M
-Other non-cash items
40.00%-15K
177.78%7K
34.62%-17K
-11.02%-141K
-39.66%-81K
21.88%-25K
52.63%-9K
-44.44%-26K
92.40%-127K
96.49%-58K
Changes in working capital
-7.42%424K
-110.43%-84K
93.81%-37K
95.02%-173K
62.22%-838K
-23.03%458K
277.70%805K
57.22%-598K
-3,316.67%-3.47M
-323.14%-2.22M
-Change in receivables
75.83%691K
-135.75%-360K
-272.44%-1.38M
1,352.17%2M
85.18%-198K
-49.81%393K
50.30%1.01M
3,719.05%802K
105.61%138K
-110.73%-1.34M
-Change in inventory
---4K
--0
---1K
300.00%2K
-83.33%1K
--0
--1K
--0
---1K
--6K
-Change in payables
205.45%290K
-303.58%-682K
51.11%-637K
61.92%-762K
-66.90%481K
-59.88%-275K
119.58%335K
17.06%-1.3M
-177.68%-2M
-45.78%1.45M
-Changes in other current assets
-265.47%-230K
201.19%679K
3,740.43%1.81M
-2.10%-1.41M
57.48%-926K
-16.77%139K
-237.78%-671K
-66.90%47K
-390.95%-1.38M
-257.64%-2.18M
-Changes in other current liabilities
-260.70%-323K
109.77%279K
224.31%179K
97.37%-6K
-20.25%-196K
213.56%201K
31.68%133K
-1,409.09%-144K
52.89%-228K
63.21%-163K
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
-13.16%-86K
23.81%-80K
52.11%-102K
42.54%-485K
46.15%-91K
77.71%-76K
1.87%-105K
6.17%-213K
-44.52%-844K
53.19%-169K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
208.37%774K
-116.79%-204K
-7.54%-499K
78.25%-224K
32.23%-1.23M
-76.74%251K
126.68%1.22M
44.50%-464K
-133.34%-1.03M
-284.59%-1.81M
Investing cash flow
Net PPE purchase and sale
-4.55%-46K
-56.25%-50K
-61.11%-58K
11.93%-192K
-128.57%-80K
34.33%-44K
59.49%-32K
2.70%-36K
-17.84%-218K
16.67%-35K
Net intangibles purchase and sale
-261.64%-264K
54.55%-40K
65.96%-32K
12.17%-296K
42.25%-41K
17.98%-73K
-1.15%-88K
-4.44%-94K
-80.21%-337K
-136.67%-71K
Net investment product transactions
-225.19%-169K
363.16%350K
----
-108.44%-203K
-121.93%-205K
1,138.46%135K
-259.46%-133K
----
1,682.24%2.41M
--935K
Interest received (cash flow from investment activities)
-30.00%21K
-38.71%19K
-21.21%26K
-1.17%169K
10.29%75K
-25.00%30K
3.33%31K
0.00%33K
6.88%171K
7.94%68K
Investing cash flow
-1,054.17%-458K
225.68%279K
34.02%-64K
-125.83%-522K
-127.98%-251K
137.21%48K
-28.32%-222K
-106.80%-97K
655.22%2.02M
10,066.67%897K
Financing cash flow
Net issuance payments of debt
-1,525.00%-65K
0.70%-846K
----
--0
-4.89%856K
92.59%-4K
-939.02%-852K
----
213.27%640K
620.23%900K
Increase or decrease of lease financing
-21.35%-108K
15.05%-79K
15.15%-84K
12.89%-331K
33.33%-50K
19.82%-89K
13.89%-93K
-15.12%-99K
-14.46%-380K
2.60%-75K
Cash dividends paid
----
----
----
0.00%-399K
--0
0.00%-399K
----
----
0.00%-399K
--0
Cash dividends for minorities
--0
----
----
25.00%-288K
-33.33%2K
-90.79%-290K
----
----
-140.00%-384K
--3K
Interest paid (cash flow from financing activities)
-20.00%-6K
-18.18%-26K
-28.57%-9K
36.36%-28K
160.00%6K
37.50%-5K
-100.00%-22K
53.33%-7K
59.26%-44K
68.75%-10K
Net other fund-raising expenses
-50.00%-3K
-101.34%-2K
98.04%-3K
7.89%-35K
12.12%-29K
-100.00%-2K
7,350.00%149K
-5,000.00%-153K
-5.56%-38K
-6.45%-33K
Financing cash flow
76.93%-182K
-16.50%-953K
62.93%-96K
-78.68%-1.08M
0.00%785K
-8.83%-789K
-311.06%-818K
44.42%-259K
62.19%-605K
350.80%785K
Net cash flow
Beginning cash position
-24.83%6.99M
-21.78%7.83M
-20.03%8.66M
-4.42%10.83M
-18.19%8.85M
-16.25%9.3M
-11.79%10.01M
-4.42%10.83M
7.56%11.33M
1.15%10.82M
Current changes in cash
127.35%134K
-601.71%-878K
19.63%-659K
-573.32%-1.83M
-444.88%-692K
-317.78%-490K
6.71%175K
-761.29%-820K
-65.69%386K
-119.30%-127K
Effect of exchange rate changes
2,366.67%888K
104.41%39K
---172K
61.44%-342K
253.85%506K
106.96%36K
-117.73%-884K
--0
-169.60%-887K
894.44%143K
End cash Position
-9.43%8.01M
-24.83%6.99M
-21.78%7.83M
-20.03%8.66M
-20.03%8.66M
-18.19%8.85M
-16.25%9.3M
-11.79%10.01M
-4.42%10.83M
-4.42%10.83M
Free cash flow
246.27%464K
-126.85%-294K
0.84%-589K
55.08%-712K
29.66%-1.35M
-85.48%134K
195.95%1.1M
38.32%-594K
-158.34%-1.59M
-310.90%-1.92M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating cash flow (Indirect Method)
Cash from operating activities 163.00%860K-109.39%-124K-58.17%-397K240.32%261K30.79%-1.14M-76.97%327K105.29%1.32M58.78%-251K-105.06%-186K-222.30%-1.64M
Net profit before non-cash adjustment -1,213.98%-4.23M-962.50%-2.35M-408.06%-382K-346.70%-11.29M-159.41%-11.36M-160.64%-322K-60.06%272K-80.66%124K-124.39%-2.53M-152.59%-4.38M
Total adjustment of non-cash items 2,343.46%4.67M848.97%2.31M-90.13%22K101.58%11.72M123.17%11.07M-35.03%191K-41.45%243K50.68%223K185.59%5.82M162.11%4.96M
-Depreciation and amortization -0.91%217K-12.02%205K-15.66%210K-15.48%890K-13.70%189K-14.12%219K-16.19%233K-17.28%249K-10.76%1.05M5.80%219K
-Reversal of impairment losses recognized in profit and loss ------------49.20%4.2M----------------281,400.00%2.82M----
-Disposal profit 148,933.33%4.47M10,921.05%2.09M---171K226.57%6.77M240.92%6.76M-104.23%-3K-87.82%19K--0211.45%2.07M194.52%1.98M
-Other non-cash items 40.00%-15K177.78%7K34.62%-17K-11.02%-141K-39.66%-81K21.88%-25K52.63%-9K-44.44%-26K92.40%-127K96.49%-58K
Changes in working capital -7.42%424K-110.43%-84K93.81%-37K95.02%-173K62.22%-838K-23.03%458K277.70%805K57.22%-598K-3,316.67%-3.47M-323.14%-2.22M
-Change in receivables 75.83%691K-135.75%-360K-272.44%-1.38M1,352.17%2M85.18%-198K-49.81%393K50.30%1.01M3,719.05%802K105.61%138K-110.73%-1.34M
-Change in inventory ---4K--0---1K300.00%2K-83.33%1K--0--1K--0---1K--6K
-Change in payables 205.45%290K-303.58%-682K51.11%-637K61.92%-762K-66.90%481K-59.88%-275K119.58%335K17.06%-1.3M-177.68%-2M-45.78%1.45M
-Changes in other current assets -265.47%-230K201.19%679K3,740.43%1.81M-2.10%-1.41M57.48%-926K-16.77%139K-237.78%-671K-66.90%47K-390.95%-1.38M-257.64%-2.18M
-Changes in other current liabilities -260.70%-323K109.77%279K224.31%179K97.37%-6K-20.25%-196K213.56%201K31.68%133K-1,409.09%-144K52.89%-228K63.21%-163K
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 -13.16%-86K23.81%-80K52.11%-102K42.54%-485K46.15%-91K77.71%-76K1.87%-105K6.17%-213K-44.52%-844K53.19%-169K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 208.37%774K-116.79%-204K-7.54%-499K78.25%-224K32.23%-1.23M-76.74%251K126.68%1.22M44.50%-464K-133.34%-1.03M-284.59%-1.81M
Investing cash flow
Net PPE purchase and sale -4.55%-46K-56.25%-50K-61.11%-58K11.93%-192K-128.57%-80K34.33%-44K59.49%-32K2.70%-36K-17.84%-218K16.67%-35K
Net intangibles purchase and sale -261.64%-264K54.55%-40K65.96%-32K12.17%-296K42.25%-41K17.98%-73K-1.15%-88K-4.44%-94K-80.21%-337K-136.67%-71K
Net investment product transactions -225.19%-169K363.16%350K-----108.44%-203K-121.93%-205K1,138.46%135K-259.46%-133K----1,682.24%2.41M--935K
Interest received (cash flow from investment activities) -30.00%21K-38.71%19K-21.21%26K-1.17%169K10.29%75K-25.00%30K3.33%31K0.00%33K6.88%171K7.94%68K
Investing cash flow -1,054.17%-458K225.68%279K34.02%-64K-125.83%-522K-127.98%-251K137.21%48K-28.32%-222K-106.80%-97K655.22%2.02M10,066.67%897K
Financing cash flow
Net issuance payments of debt -1,525.00%-65K0.70%-846K------0-4.89%856K92.59%-4K-939.02%-852K----213.27%640K620.23%900K
Increase or decrease of lease financing -21.35%-108K15.05%-79K15.15%-84K12.89%-331K33.33%-50K19.82%-89K13.89%-93K-15.12%-99K-14.46%-380K2.60%-75K
Cash dividends paid ------------0.00%-399K--00.00%-399K--------0.00%-399K--0
Cash dividends for minorities --0--------25.00%-288K-33.33%2K-90.79%-290K---------140.00%-384K--3K
Interest paid (cash flow from financing activities) -20.00%-6K-18.18%-26K-28.57%-9K36.36%-28K160.00%6K37.50%-5K-100.00%-22K53.33%-7K59.26%-44K68.75%-10K
Net other fund-raising expenses -50.00%-3K-101.34%-2K98.04%-3K7.89%-35K12.12%-29K-100.00%-2K7,350.00%149K-5,000.00%-153K-5.56%-38K-6.45%-33K
Financing cash flow 76.93%-182K-16.50%-953K62.93%-96K-78.68%-1.08M0.00%785K-8.83%-789K-311.06%-818K44.42%-259K62.19%-605K350.80%785K
Net cash flow
Beginning cash position -24.83%6.99M-21.78%7.83M-20.03%8.66M-4.42%10.83M-18.19%8.85M-16.25%9.3M-11.79%10.01M-4.42%10.83M7.56%11.33M1.15%10.82M
Current changes in cash 127.35%134K-601.71%-878K19.63%-659K-573.32%-1.83M-444.88%-692K-317.78%-490K6.71%175K-761.29%-820K-65.69%386K-119.30%-127K
Effect of exchange rate changes 2,366.67%888K104.41%39K---172K61.44%-342K253.85%506K106.96%36K-117.73%-884K--0-169.60%-887K894.44%143K
End cash Position -9.43%8.01M-24.83%6.99M-21.78%7.83M-20.03%8.66M-20.03%8.66M-18.19%8.85M-16.25%9.3M-11.79%10.01M-4.42%10.83M-4.42%10.83M
Free cash flow 246.27%464K-126.85%-294K0.84%-589K55.08%-712K29.66%-1.35M-85.48%134K195.95%1.1M38.32%-594K-158.34%-1.59M-310.90%-1.92M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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