SG Stock MarketDetailed Quotes

O10 Far East Orchard

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  • 1.000
  • +0.005+0.50%
10min DelayTrading Aug 29 14:15 CST
487.76MMarket Cap6.37P/E (TTM)

Far East Orchard 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
(Q4)Dec 31, 2019
(Q3)Sep 30, 2019
(Q2)Jun 30, 2019
(Q1)Mar 31, 2019
(FY)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities
55.64%61.51M
109.99%39.52M
-12.79%18.82M
-38.36%21.58M
12,649.46%35.01M
15.48M
134.17%5.77M
115.75%8.17M
255.36%5.6M
-102.24%-279K
Net profit before non-cash adjustment
207.60%66.06M
28.03%21.48M
288.28%16.77M
-134.56%-8.91M
-22.93%25.78M
--21.44M
-408.72%-991K
185.16%1.69M
-56.93%3.64M
51.99%33.45M
Total adjustment of non-cash items
-122.08%-5.31M
25.81%24.04M
-60.15%19.11M
119.29%47.94M
587.58%21.86M
---5.85M
100.75%8.8M
141.81%10.14M
1,688.78%8.77M
-186.10%-4.48M
-Depreciation and amortization
-3.95%19.43M
-11.26%20.23M
-3.54%22.8M
-4.25%23.64M
84.75%24.69M
--6.43M
68.61%5.95M
85.28%6.04M
91.88%6.26M
-6.55%13.36M
-Reversal of impairment losses recognized in profit and loss
-7.67%7.69M
2,743.34%8.33M
-97.34%293K
28,900.00%11.02M
-95.79%38K
----
----
----
----
692.11%903K
-Share of associates
52.69%-11.22M
-285.99%-23.72M
133.08%12.75M
185.75%5.47M
50.69%-6.38M
---1.29M
39.90%-1.71M
-147.97%-2.45M
81.63%-941K
10.69%-12.94M
-Disposal profit
-480.29%-58.24M
77.16%-10.04M
-870.70%-43.93M
73.52%-4.53M
-4.45%-17.09M
---17.1M
--0
--3K
--0
-182.32%-16.37M
-Net exchange gains and losses
-133.10%-3.91M
203.00%11.81M
138.61%3.9M
-630.37%-10.09M
-78.60%1.9M
---987K
-41.98%1.06M
125.44%2.18M
-115.28%-354K
1,379.87%8.89M
-Deferred income tax
907.89%14.31M
-88.46%1.42M
121.69%12.3M
33.67%5.55M
87.70%4.15M
--1.68M
-70.99%443K
61.44%1.35M
291.85%683K
-40.18%2.21M
-Other non-cash items
66.40%26.62M
45.53%16M
-34.89%10.99M
15.98%16.88M
2,746.91%14.56M
--5.38M
834.66%3.05M
2,455.93%3.02M
701.54%3.12M
-108.11%-550K
Changes in working capital
112.65%758K
64.88%-5.99M
2.26%-17.06M
-38.19%-17.45M
56.81%-12.63M
---113K
8.97%-2.04M
-265.80%-3.67M
45.72%-6.81M
-98.12%-29.24M
-Change in receivables
127.37%1.46M
-287.35%-5.33M
-131.65%-1.38M
-12.78%4.35M
367.20%4.99M
--6.43M
36.13%-3.3M
-82.61%728K
166.47%1.12M
-81.65%1.07M
-Change in inventory
80.47%-33K
97.87%-169K
-146.57%-7.95M
60.45%-3.22M
23.85%-8.15M
---1.23M
1.20%-1.64M
29.72%-2.3M
1.23%-2.98M
-23.22%-10.7M
-Change in payables
-35.77%-668K
93.64%-492K
58.36%-7.74M
-96.28%-18.58M
48.73%-9.47M
---5.32M
-36.75%2.9M
-9.39%-2.1M
36.84%-4.95M
-63.90%-18.46M
-Provision for loans, leases and other losses
----
----
----
----
----
----
----
----
----
-83.39%-1.15M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
0.00%-135K
0.00%-135K
0.74%-135K
24.44%-136K
19.64%-180K
-45K
50.00%-45K
-46K
2.22%-44K
-65.93%-224K
Interest received (cash flow from operating activities)
Tax refund paid
52.83%-1M
-0.95%-2.12M
1.22%-2.1M
29.42%-2.13M
51.90%-3.01M
9K
-14.12%-1.36M
63.30%-1.57M
40.76%-93K
-83.31%-6.26M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
62.01%60.38M
124.70%37.27M
-14.15%16.59M
-39.29%19.32M
570.38%31.82M
--15.45M
268.83%4.37M
1,420.36%6.55M
243.51%5.46M
-175.99%-6.77M
Investing cash flow
Net PPE purchase and sale
-291.36%-4.17M
89.36%-1.07M
-515.05%-10.01M
-90.41%-1.63M
81.51%-855K
---167K
33.24%-233K
58.80%-391K
97.50%-66K
-32.24%-4.62M
Net business purchase and sale
--0
---3.04M
--0
89.35%-23.4M
-521.11%-219.61M
---119.6M
--0
---1.36M
---98.65M
---35.36M
Net investment property transactions
-250.60%-22.18M
800.67%14.73M
97.07%-2.1M
-261.37%-71.73M
-16.33%-19.85M
---2.81M
22.36%-3.28M
-38.06%-7.96M
-16.61%-5.81M
54.24%-17.06M
Net investment product transactions
38.02%-846K
---1.37M
--0
----
----
----
----
----
----
----
Advance cash and loans provided to other parties
80.62%-3.16M
-1,676.58%-16.31M
-2,085.71%-918K
99.12%-42K
75.36%-4.76M
---4.76M
--0
--0
-82.06%2.4M
-1,325.29%-19.33M
Repayment of advance payments to other parties and cash income from loans
136.01%1.97M
--833K
----
546.17%15.51M
-86.87%2.4M
----
----
----
----
-54.01%18.28M
Dividends received (cash flow from investment activities)
189.24%16.13M
--5.58M
--0
-79.25%1.39M
-48.10%6.69M
--4.15M
-93.56%656K
671.60%1.88M
--0
-8.65%12.88M
Interest received (cash flow from investment activities)
448.39%6.97M
27.35%1.27M
-72.78%998K
4.71%3.67M
-3.39%3.5M
--188K
16.58%1.71M
-14.71%626K
78.47%978K
23.39%3.62M
Net changes in other investments
--350K
----
----
92.86%-78K
-105.36%-1.09M
--666K
43.56%-241K
-202.00%-3.92M
----
--20.38M
Investing cash flow
-884.42%-4.93M
105.23%629K
84.23%-12.04M
67.33%-76.31M
-1,001.51%-233.59M
---119.94M
94.96%-1.38M
47.32%-11.13M
-461.52%-101.14M
-244.73%-21.21M
Financing cash flow
Net issuance payments of debt
13.75%-15.46M
-319.36%-17.92M
-92.50%8.17M
-58.02%108.9M
203.15%259.4M
--130.1M
-77.07%9.49M
-61.05%10.85M
1,020.07%108.96M
434.26%85.57M
Increase or decrease of lease financing
5.35%-8.57M
25.78%-9.05M
-11.52%-12.2M
-0.85%-10.94M
---10.85M
---2.75M
---2.73M
---2.7M
---2.67M
--0
Cash dividends paid
-83.67%-5.57M
20.96%-3.03M
57.74%-3.84M
63.45%-9.07M
-204.68%-24.83M
--0
-204.68%-24.83M
----
----
62.29%-8.15M
Interest paid (cash flow from financing activities)
-61.49%-33.31M
-21.02%-20.63M
1.11%-17.04M
2.57%-17.24M
-198.95%-17.69M
---4.79M
-170.71%-4.17M
-226.23%-4.59M
-212.68%-4.14M
-11.77%-5.92M
Net other fund-raising expenses
-31.50%2.16M
23.47%3.16M
--2.56M
----
---544K
----
----
----
----
----
Financing cash flow
-27.94%-60.74M
-112.44%-47.48M
-131.19%-22.35M
-65.13%71.65M
187.40%205.5M
--122.02M
-170.14%-22.23M
-86.53%3.56M
1,115.60%102.15M
666.85%71.5M
Net cash flow
Beginning cash position
-8.32%207.67M
-8.35%226.51M
-3.99%247.15M
0.45%257.43M
16.71%256.29M
--219.01M
2.47%260.49M
6.08%265.31M
16.71%256.29M
4.93%219.59M
Current changes in cash
44.70%-5.3M
46.16%-9.58M
-221.42%-17.8M
292.90%14.66M
-91.43%3.73M
--17.53M
-455.88%-19.25M
-120.98%-1.01M
-80.15%6.47M
297.87%43.53M
Effect of exchange rate changes
98.90%-102K
-226.11%-9.26M
-145.10%-2.84M
343.16%6.29M
62.10%-2.59M
--378K
11.07%-1.72M
-428.47%-3.81M
223.93%2.56M
-1,005.02%-6.83M
Cash adjustments other than cash changes
----
----
----
-25.18%-31.24M
-18.01%-24.95M
---4.43M
5.88%-20.52M
5.89%-20.89M
---21.17M
---21.14M
End cash Position
-2.60%202.27M
-8.32%207.67M
-8.35%226.51M
6.31%247.15M
-1.13%232.48M
--232.48M
-7.15%219.01M
3.27%239.6M
-2.38%244.15M
7.09%235.14M
Free cash flow
55.36%56.21M
450.52%36.18M
-62.83%6.57M
-42.90%17.68M
371.74%30.96M
--15.27M
397.47%4.13M
526.16%6.16M
183.72%5.39M
-319.81%-11.39M
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(Q4)Dec 31, 2019(Q3)Sep 30, 2019(Q2)Jun 30, 2019(Q1)Mar 31, 2019(FY)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities 55.64%61.51M109.99%39.52M-12.79%18.82M-38.36%21.58M12,649.46%35.01M15.48M134.17%5.77M115.75%8.17M255.36%5.6M-102.24%-279K
Net profit before non-cash adjustment 207.60%66.06M28.03%21.48M288.28%16.77M-134.56%-8.91M-22.93%25.78M--21.44M-408.72%-991K185.16%1.69M-56.93%3.64M51.99%33.45M
Total adjustment of non-cash items -122.08%-5.31M25.81%24.04M-60.15%19.11M119.29%47.94M587.58%21.86M---5.85M100.75%8.8M141.81%10.14M1,688.78%8.77M-186.10%-4.48M
-Depreciation and amortization -3.95%19.43M-11.26%20.23M-3.54%22.8M-4.25%23.64M84.75%24.69M--6.43M68.61%5.95M85.28%6.04M91.88%6.26M-6.55%13.36M
-Reversal of impairment losses recognized in profit and loss -7.67%7.69M2,743.34%8.33M-97.34%293K28,900.00%11.02M-95.79%38K----------------692.11%903K
-Share of associates 52.69%-11.22M-285.99%-23.72M133.08%12.75M185.75%5.47M50.69%-6.38M---1.29M39.90%-1.71M-147.97%-2.45M81.63%-941K10.69%-12.94M
-Disposal profit -480.29%-58.24M77.16%-10.04M-870.70%-43.93M73.52%-4.53M-4.45%-17.09M---17.1M--0--3K--0-182.32%-16.37M
-Net exchange gains and losses -133.10%-3.91M203.00%11.81M138.61%3.9M-630.37%-10.09M-78.60%1.9M---987K-41.98%1.06M125.44%2.18M-115.28%-354K1,379.87%8.89M
-Deferred income tax 907.89%14.31M-88.46%1.42M121.69%12.3M33.67%5.55M87.70%4.15M--1.68M-70.99%443K61.44%1.35M291.85%683K-40.18%2.21M
-Other non-cash items 66.40%26.62M45.53%16M-34.89%10.99M15.98%16.88M2,746.91%14.56M--5.38M834.66%3.05M2,455.93%3.02M701.54%3.12M-108.11%-550K
Changes in working capital 112.65%758K64.88%-5.99M2.26%-17.06M-38.19%-17.45M56.81%-12.63M---113K8.97%-2.04M-265.80%-3.67M45.72%-6.81M-98.12%-29.24M
-Change in receivables 127.37%1.46M-287.35%-5.33M-131.65%-1.38M-12.78%4.35M367.20%4.99M--6.43M36.13%-3.3M-82.61%728K166.47%1.12M-81.65%1.07M
-Change in inventory 80.47%-33K97.87%-169K-146.57%-7.95M60.45%-3.22M23.85%-8.15M---1.23M1.20%-1.64M29.72%-2.3M1.23%-2.98M-23.22%-10.7M
-Change in payables -35.77%-668K93.64%-492K58.36%-7.74M-96.28%-18.58M48.73%-9.47M---5.32M-36.75%2.9M-9.39%-2.1M36.84%-4.95M-63.90%-18.46M
-Provision for loans, leases and other losses -------------------------------------83.39%-1.15M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 0.00%-135K0.00%-135K0.74%-135K24.44%-136K19.64%-180K-45K50.00%-45K-46K2.22%-44K-65.93%-224K
Interest received (cash flow from operating activities)
Tax refund paid 52.83%-1M-0.95%-2.12M1.22%-2.1M29.42%-2.13M51.90%-3.01M9K-14.12%-1.36M63.30%-1.57M40.76%-93K-83.31%-6.26M
Other operating cash inflow (outflow) 0000000000
Operating cash flow 62.01%60.38M124.70%37.27M-14.15%16.59M-39.29%19.32M570.38%31.82M--15.45M268.83%4.37M1,420.36%6.55M243.51%5.46M-175.99%-6.77M
Investing cash flow
Net PPE purchase and sale -291.36%-4.17M89.36%-1.07M-515.05%-10.01M-90.41%-1.63M81.51%-855K---167K33.24%-233K58.80%-391K97.50%-66K-32.24%-4.62M
Net business purchase and sale --0---3.04M--089.35%-23.4M-521.11%-219.61M---119.6M--0---1.36M---98.65M---35.36M
Net investment property transactions -250.60%-22.18M800.67%14.73M97.07%-2.1M-261.37%-71.73M-16.33%-19.85M---2.81M22.36%-3.28M-38.06%-7.96M-16.61%-5.81M54.24%-17.06M
Net investment product transactions 38.02%-846K---1.37M--0----------------------------
Advance cash and loans provided to other parties 80.62%-3.16M-1,676.58%-16.31M-2,085.71%-918K99.12%-42K75.36%-4.76M---4.76M--0--0-82.06%2.4M-1,325.29%-19.33M
Repayment of advance payments to other parties and cash income from loans 136.01%1.97M--833K----546.17%15.51M-86.87%2.4M-----------------54.01%18.28M
Dividends received (cash flow from investment activities) 189.24%16.13M--5.58M--0-79.25%1.39M-48.10%6.69M--4.15M-93.56%656K671.60%1.88M--0-8.65%12.88M
Interest received (cash flow from investment activities) 448.39%6.97M27.35%1.27M-72.78%998K4.71%3.67M-3.39%3.5M--188K16.58%1.71M-14.71%626K78.47%978K23.39%3.62M
Net changes in other investments --350K--------92.86%-78K-105.36%-1.09M--666K43.56%-241K-202.00%-3.92M------20.38M
Investing cash flow -884.42%-4.93M105.23%629K84.23%-12.04M67.33%-76.31M-1,001.51%-233.59M---119.94M94.96%-1.38M47.32%-11.13M-461.52%-101.14M-244.73%-21.21M
Financing cash flow
Net issuance payments of debt 13.75%-15.46M-319.36%-17.92M-92.50%8.17M-58.02%108.9M203.15%259.4M--130.1M-77.07%9.49M-61.05%10.85M1,020.07%108.96M434.26%85.57M
Increase or decrease of lease financing 5.35%-8.57M25.78%-9.05M-11.52%-12.2M-0.85%-10.94M---10.85M---2.75M---2.73M---2.7M---2.67M--0
Cash dividends paid -83.67%-5.57M20.96%-3.03M57.74%-3.84M63.45%-9.07M-204.68%-24.83M--0-204.68%-24.83M--------62.29%-8.15M
Interest paid (cash flow from financing activities) -61.49%-33.31M-21.02%-20.63M1.11%-17.04M2.57%-17.24M-198.95%-17.69M---4.79M-170.71%-4.17M-226.23%-4.59M-212.68%-4.14M-11.77%-5.92M
Net other fund-raising expenses -31.50%2.16M23.47%3.16M--2.56M-------544K--------------------
Financing cash flow -27.94%-60.74M-112.44%-47.48M-131.19%-22.35M-65.13%71.65M187.40%205.5M--122.02M-170.14%-22.23M-86.53%3.56M1,115.60%102.15M666.85%71.5M
Net cash flow
Beginning cash position -8.32%207.67M-8.35%226.51M-3.99%247.15M0.45%257.43M16.71%256.29M--219.01M2.47%260.49M6.08%265.31M16.71%256.29M4.93%219.59M
Current changes in cash 44.70%-5.3M46.16%-9.58M-221.42%-17.8M292.90%14.66M-91.43%3.73M--17.53M-455.88%-19.25M-120.98%-1.01M-80.15%6.47M297.87%43.53M
Effect of exchange rate changes 98.90%-102K-226.11%-9.26M-145.10%-2.84M343.16%6.29M62.10%-2.59M--378K11.07%-1.72M-428.47%-3.81M223.93%2.56M-1,005.02%-6.83M
Cash adjustments other than cash changes -------------25.18%-31.24M-18.01%-24.95M---4.43M5.88%-20.52M5.89%-20.89M---21.17M---21.14M
End cash Position -2.60%202.27M-8.32%207.67M-8.35%226.51M6.31%247.15M-1.13%232.48M--232.48M-7.15%219.01M3.27%239.6M-2.38%244.15M7.09%235.14M
Free cash flow 55.36%56.21M450.52%36.18M-62.83%6.57M-42.90%17.68M371.74%30.96M--15.27M397.47%4.13M526.16%6.16M183.72%5.39M-319.81%-11.39M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Heat List
SG
Overall
Symbol
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% Chg