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RCU Assurance HC

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  • 0.042
  • 0.0000.00%
10min DelayMarket Closed Nov 20 16:15 CST
11.06MMarket Cap-14.00P/E (TTM)

Assurance HC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
-71.82%3.17M
111.10%3.81M
111.10%3.81M
234.05%11.23M
-45.53%1.81M
-45.53%1.81M
-19.85%3.36M
-29.35%3.32M
-29.35%3.32M
-42.40%4.2M
-Cash and cash equivalents
-71.82%3.17M
111.10%3.81M
111.10%3.81M
234.05%11.23M
-45.53%1.81M
-45.53%1.81M
-19.85%3.36M
-29.35%3.32M
-29.35%3.32M
-42.40%4.2M
-Accounts receivable
31.14%758K
-43.37%977.02K
-43.37%977.02K
-73.09%578K
76.32%1.73M
76.32%1.73M
-36.51%2.15M
-48.54%978.44K
-48.54%978.44K
254.98%3.38M
-Gross accounts receivable
-20.53%902K
-51.43%1.08M
-51.43%1.08M
--1.14M
102.12%2.22M
102.12%2.22M
----
-43.82%1.1M
-43.82%1.1M
----
-Bad debt provision
74.15%-144K
79.56%-101K
79.56%-101K
---557K
-313.15%-494.21K
-313.15%-494.21K
----
-124.96%-119.62K
-124.96%-119.62K
----
-Other receivables
-98.43%19K
-92.20%74.02K
-92.20%74.02K
13,366.67%1.21M
144.89%948.42K
144.89%948.42K
-90.43%9K
-35.19%387.28K
-35.19%387.28K
-70.63%94K
Inventory
----
----
----
----
----
----
-90.45%30K
38.48%132.09K
38.48%132.09K
13.36%314K
Prepaid assets
-8.47%335K
-48.96%202.87K
-48.96%202.87K
--366K
-6.96%397.48K
-6.96%397.48K
----
130.46%427.22K
130.46%427.22K
----
Other current assets
----
---8
---8
----
----
----
----
----
----
----
Total current assets
-67.42%4.37M
5.21%5.16M
5.21%5.16M
141.75%13.42M
-6.65%4.91M
-6.65%4.91M
-30.51%5.55M
-29.70%5.26M
-29.70%5.26M
-9.60%7.99M
Non current assets
Net PPE
-95.94%37K
-96.08%55.19K
-96.08%55.19K
-74.36%912K
-59.83%1.41M
-59.83%1.41M
123.99%3.56M
90.57%3.51M
90.57%3.51M
177.14%1.59M
-Gross PP&E
-97.64%77K
-98.28%74.81K
-98.28%74.81K
--3.27M
-2.95%4.36M
-2.95%4.36M
----
93.16%4.49M
93.16%4.49M
----
-Accumulated depreciation
98.30%-40K
99.34%-19.62K
99.34%-19.62K
---2.36M
-199.31%-2.95M
-199.31%-2.95M
----
-102.97%-986.34K
-102.97%-986.34K
----
Total investment
--0
----
----
--0
----
----
--0
----
----
----
-Long-term equity investment
--0
----
----
--0
----
----
--0
----
----
----
Goodwill and other intangible assets
--4.37M
--4.37M
--4.37M
----
--0
--0
-45.96%2.09M
-45.20%2.16M
-45.20%2.16M
--3.88M
-Goodwill
--4.37M
--4.37M
--4.37M
----
--0
--0
-49.74%1.67M
-49.75%1.67M
-49.75%1.67M
--3.32M
-Other intangible assets
----
----
----
----
----
----
-23.48%427K
-21.05%492.65K
-21.05%492.65K
--558K
Total non current assets
383.44%4.41M
214.14%4.43M
214.14%4.43M
-83.86%912K
-77.57%1.41M
-77.57%1.41M
-7.25%5.65M
-2.24%6.28M
-2.24%6.28M
394.16%6.09M
Total assets
-38.73%8.78M
51.83%9.59M
51.83%9.59M
27.93%14.33M
-45.27%6.31M
-45.27%6.31M
-20.45%11.2M
-17.00%11.54M
-17.00%11.54M
39.85%14.08M
Liabilities
Current liabilities
-Current debt and capital lease obligation
-94.37%141K
-79.26%143.62K
-79.26%143.62K
227.88%2.51M
-46.44%692.6K
-46.44%692.6K
119.54%764K
318.05%1.29M
318.05%1.29M
56.05%348K
-Including:Current debt
-95.53%112K
-77.65%111.95K
-77.65%111.95K
227.88%2.51M
-54.88%500.91K
-54.88%500.91K
119.54%764K
3,463.28%1.11M
3,463.28%1.11M
1,060.00%348K
-Including:Current capital Lease obligation
--29K
-83.48%31.67K
-83.48%31.67K
--0
4.74%191.68K
4.74%191.68K
----
-34.21%183K
-34.21%183K
----
Payables
-39.39%654K
-53.28%651.11K
-53.28%651.11K
-53.03%1.08M
9.75%1.39M
9.75%1.39M
9.96%2.3M
-31.12%1.27M
-31.12%1.27M
111.44%2.09M
-accounts payable
-16.18%632K
-26.10%568.13K
-26.10%568.13K
-67.17%754K
17.47%768.77K
17.47%768.77K
9.96%2.3M
-46.54%654.45K
-46.54%654.45K
385.81%2.09M
-Total tax payable
-73.68%10K
-67.60%30.12K
-67.60%30.12K
--38K
1,098.97%92.96K
1,098.97%92.96K
----
-88.27%7.75K
-88.27%7.75K
----
-Dividends payable
----
--0
--0
--0
-6.20%510K
-6.20%510K
----
0.00%543.73K
0.00%543.73K
----
-Other payable
-95.82%12K
142.42%52.86K
142.42%52.86K
--287K
-65.83%21.8K
-65.83%21.8K
----
585.44%63.81K
585.44%63.81K
----
Other current liabilities
----
--8
--8
--4.81M
----
----
----
----
----
----
Current liabilities
-91.91%872K
-72.03%1.11M
-72.03%1.11M
206.72%10.78M
12.99%3.99M
12.99%3.99M
-20.56%3.51M
-17.52%3.53M
-17.52%3.53M
259.22%4.42M
Non current liabilities
-Long term debt and capital lease obligation
-85.34%111K
-82.74%174.81K
-82.74%174.81K
-45.42%757K
-45.08%1.01M
-45.08%1.01M
-31.47%1.39M
53.99%1.84M
53.99%1.84M
204.36%2.02M
-Including:Long term debt
-85.34%111K
-84.20%159.98K
-84.20%159.98K
-45.42%757K
-31.88%1.01M
-31.88%1.01M
-15.17%1.39M
129.32%1.49M
129.32%1.49M
--1.64M
-Including:Long term capital lease obligation
--0
--14.83K
--14.83K
----
--0
--0
----
-34.95%357.26K
-34.95%357.26K
--389K
Long term provisions
--4K
--4K
--4K
----
----
----
----
----
----
----
Total non current liabilities
-84.81%115K
-82.34%178.81K
-82.34%178.81K
-48.15%757K
-47.47%1.01M
-47.47%1.01M
-31.10%1.46M
47.88%1.93M
47.88%1.93M
218.65%2.12M
Total liabilities
-91.44%987K
-74.12%1.29M
-74.12%1.29M
131.89%11.53M
-8.37%5M
-8.37%5M
-23.97%4.97M
-2.24%5.46M
-2.24%5.46M
244.99%6.54M
Shareholders'equity
Share capital
30.65%28.58M
52.74%28.58M
52.74%28.58M
16.90%21.88M
0.00%18.71M
0.00%18.71M
0.00%18.71M
0.00%18.71M
0.00%18.71M
0.00%18.71M
-common stock
30.65%28.58M
52.74%28.58M
52.74%28.58M
16.90%21.88M
0.00%18.71M
0.00%18.71M
0.00%18.71M
0.00%18.71M
0.00%18.71M
0.00%18.71M
Retained earnings
-6.55%-21.02M
-17.29%-20.57M
-17.29%-20.57M
-55.37%-19.73M
-33.22%-17.53M
-33.22%-17.53M
-7.57%-12.7M
-17.21%-13.16M
-17.21%-13.16M
-5.71%-11.8M
Total stockholders'equity
175.29%7.7M
519.44%8.15M
519.44%8.15M
-54.55%2.8M
-76.86%1.32M
-76.86%1.32M
-12.68%6.15M
-25.36%5.69M
-25.36%5.69M
-8.30%7.05M
Noncontrolling interests
--93K
--141.95K
--141.95K
----
--0
--0
-84.93%74K
-43.67%393.85K
-43.67%393.85K
1.03%491K
Total equity
178.62%7.79M
530.23%8.29M
530.23%8.29M
-55.09%2.8M
-78.36%1.32M
-78.36%1.32M
-17.39%6.23M
-26.90%6.08M
-26.90%6.08M
-7.75%7.54M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments -71.82%3.17M111.10%3.81M111.10%3.81M234.05%11.23M-45.53%1.81M-45.53%1.81M-19.85%3.36M-29.35%3.32M-29.35%3.32M-42.40%4.2M
-Cash and cash equivalents -71.82%3.17M111.10%3.81M111.10%3.81M234.05%11.23M-45.53%1.81M-45.53%1.81M-19.85%3.36M-29.35%3.32M-29.35%3.32M-42.40%4.2M
-Accounts receivable 31.14%758K-43.37%977.02K-43.37%977.02K-73.09%578K76.32%1.73M76.32%1.73M-36.51%2.15M-48.54%978.44K-48.54%978.44K254.98%3.38M
-Gross accounts receivable -20.53%902K-51.43%1.08M-51.43%1.08M--1.14M102.12%2.22M102.12%2.22M-----43.82%1.1M-43.82%1.1M----
-Bad debt provision 74.15%-144K79.56%-101K79.56%-101K---557K-313.15%-494.21K-313.15%-494.21K-----124.96%-119.62K-124.96%-119.62K----
-Other receivables -98.43%19K-92.20%74.02K-92.20%74.02K13,366.67%1.21M144.89%948.42K144.89%948.42K-90.43%9K-35.19%387.28K-35.19%387.28K-70.63%94K
Inventory -------------------------90.45%30K38.48%132.09K38.48%132.09K13.36%314K
Prepaid assets -8.47%335K-48.96%202.87K-48.96%202.87K--366K-6.96%397.48K-6.96%397.48K----130.46%427.22K130.46%427.22K----
Other current assets -------8---8----------------------------
Total current assets -67.42%4.37M5.21%5.16M5.21%5.16M141.75%13.42M-6.65%4.91M-6.65%4.91M-30.51%5.55M-29.70%5.26M-29.70%5.26M-9.60%7.99M
Non current assets
Net PPE -95.94%37K-96.08%55.19K-96.08%55.19K-74.36%912K-59.83%1.41M-59.83%1.41M123.99%3.56M90.57%3.51M90.57%3.51M177.14%1.59M
-Gross PP&E -97.64%77K-98.28%74.81K-98.28%74.81K--3.27M-2.95%4.36M-2.95%4.36M----93.16%4.49M93.16%4.49M----
-Accumulated depreciation 98.30%-40K99.34%-19.62K99.34%-19.62K---2.36M-199.31%-2.95M-199.31%-2.95M-----102.97%-986.34K-102.97%-986.34K----
Total investment --0----------0----------0------------
-Long-term equity investment --0----------0----------0------------
Goodwill and other intangible assets --4.37M--4.37M--4.37M------0--0-45.96%2.09M-45.20%2.16M-45.20%2.16M--3.88M
-Goodwill --4.37M--4.37M--4.37M------0--0-49.74%1.67M-49.75%1.67M-49.75%1.67M--3.32M
-Other intangible assets -------------------------23.48%427K-21.05%492.65K-21.05%492.65K--558K
Total non current assets 383.44%4.41M214.14%4.43M214.14%4.43M-83.86%912K-77.57%1.41M-77.57%1.41M-7.25%5.65M-2.24%6.28M-2.24%6.28M394.16%6.09M
Total assets -38.73%8.78M51.83%9.59M51.83%9.59M27.93%14.33M-45.27%6.31M-45.27%6.31M-20.45%11.2M-17.00%11.54M-17.00%11.54M39.85%14.08M
Liabilities
Current liabilities
-Current debt and capital lease obligation -94.37%141K-79.26%143.62K-79.26%143.62K227.88%2.51M-46.44%692.6K-46.44%692.6K119.54%764K318.05%1.29M318.05%1.29M56.05%348K
-Including:Current debt -95.53%112K-77.65%111.95K-77.65%111.95K227.88%2.51M-54.88%500.91K-54.88%500.91K119.54%764K3,463.28%1.11M3,463.28%1.11M1,060.00%348K
-Including:Current capital Lease obligation --29K-83.48%31.67K-83.48%31.67K--04.74%191.68K4.74%191.68K-----34.21%183K-34.21%183K----
Payables -39.39%654K-53.28%651.11K-53.28%651.11K-53.03%1.08M9.75%1.39M9.75%1.39M9.96%2.3M-31.12%1.27M-31.12%1.27M111.44%2.09M
-accounts payable -16.18%632K-26.10%568.13K-26.10%568.13K-67.17%754K17.47%768.77K17.47%768.77K9.96%2.3M-46.54%654.45K-46.54%654.45K385.81%2.09M
-Total tax payable -73.68%10K-67.60%30.12K-67.60%30.12K--38K1,098.97%92.96K1,098.97%92.96K-----88.27%7.75K-88.27%7.75K----
-Dividends payable ------0--0--0-6.20%510K-6.20%510K----0.00%543.73K0.00%543.73K----
-Other payable -95.82%12K142.42%52.86K142.42%52.86K--287K-65.83%21.8K-65.83%21.8K----585.44%63.81K585.44%63.81K----
Other current liabilities ------8--8--4.81M------------------------
Current liabilities -91.91%872K-72.03%1.11M-72.03%1.11M206.72%10.78M12.99%3.99M12.99%3.99M-20.56%3.51M-17.52%3.53M-17.52%3.53M259.22%4.42M
Non current liabilities
-Long term debt and capital lease obligation -85.34%111K-82.74%174.81K-82.74%174.81K-45.42%757K-45.08%1.01M-45.08%1.01M-31.47%1.39M53.99%1.84M53.99%1.84M204.36%2.02M
-Including:Long term debt -85.34%111K-84.20%159.98K-84.20%159.98K-45.42%757K-31.88%1.01M-31.88%1.01M-15.17%1.39M129.32%1.49M129.32%1.49M--1.64M
-Including:Long term capital lease obligation --0--14.83K--14.83K------0--0-----34.95%357.26K-34.95%357.26K--389K
Long term provisions --4K--4K--4K----------------------------
Total non current liabilities -84.81%115K-82.34%178.81K-82.34%178.81K-48.15%757K-47.47%1.01M-47.47%1.01M-31.10%1.46M47.88%1.93M47.88%1.93M218.65%2.12M
Total liabilities -91.44%987K-74.12%1.29M-74.12%1.29M131.89%11.53M-8.37%5M-8.37%5M-23.97%4.97M-2.24%5.46M-2.24%5.46M244.99%6.54M
Shareholders'equity
Share capital 30.65%28.58M52.74%28.58M52.74%28.58M16.90%21.88M0.00%18.71M0.00%18.71M0.00%18.71M0.00%18.71M0.00%18.71M0.00%18.71M
-common stock 30.65%28.58M52.74%28.58M52.74%28.58M16.90%21.88M0.00%18.71M0.00%18.71M0.00%18.71M0.00%18.71M0.00%18.71M0.00%18.71M
Retained earnings -6.55%-21.02M-17.29%-20.57M-17.29%-20.57M-55.37%-19.73M-33.22%-17.53M-33.22%-17.53M-7.57%-12.7M-17.21%-13.16M-17.21%-13.16M-5.71%-11.8M
Total stockholders'equity 175.29%7.7M519.44%8.15M519.44%8.15M-54.55%2.8M-76.86%1.32M-76.86%1.32M-12.68%6.15M-25.36%5.69M-25.36%5.69M-8.30%7.05M
Noncontrolling interests --93K--141.95K--141.95K------0--0-84.93%74K-43.67%393.85K-43.67%393.85K1.03%491K
Total equity 178.62%7.79M530.23%8.29M530.23%8.29M-55.09%2.8M-78.36%1.32M-78.36%1.32M-17.39%6.23M-26.90%6.08M-26.90%6.08M-7.75%7.54M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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