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SGGKY SINGAPORE TECHNOLOGIES ENGINEERING UNSP ADR EACH REPR 10 ORD

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  • 34.550
  • 0.0000.00%
15min DelayTrading Dec 3 16:00 ET
10.78BMarket Cap22.73P/E (TTM)

SINGAPORE TECHNOLOGIES ENGINEERING UNSP ADR EACH REPR 10 ORD 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
11.05%429.94M
-41.28%353.34M
-41.28%353.34M
-27.41%387.15M
-26.25%601.77M
-26.25%601.77M
-8.64%533.34M
11.67%815.92M
11.67%815.92M
69.81%583.8M
-Cash and cash equivalents
11.05%429.94M
-41.28%353.34M
-41.28%353.34M
-27.41%387.15M
-26.25%601.77M
-26.25%601.77M
-8.64%533.34M
11.67%815.92M
11.67%815.92M
70.23%583.8M
-Accounts receivable
19.96%1.44B
37.22%1.58B
37.22%1.58B
1.44%1.2B
8.02%1.15B
8.02%1.15B
9.58%1.18B
1.80%1.07B
1.80%1.07B
14.12%1.08B
-Other receivables
9.89%3B
4.28%2.77B
4.28%2.77B
8.44%2.73B
21.51%2.66B
21.51%2.66B
58.46%2.52B
13.84%2.19B
13.84%2.19B
-7.66%1.59B
Inventory
18.18%2.04B
12.65%1.9B
12.65%1.9B
18.11%1.72B
33.55%1.68B
33.55%1.68B
23.74%1.46B
-0.63%1.26B
-0.63%1.26B
-20.16%1.18B
Total current assets
13.84%6.92B
8.20%6.63B
8.20%6.63B
6.61%6.08B
14.39%6.13B
14.39%6.13B
28.26%5.71B
7.32%5.36B
7.32%5.36B
-0.93%4.45B
Non current assets
Net PPE
-3.42%2.69B
2.60%2.73B
2.60%2.73B
8.81%2.79B
13.00%2.66B
13.00%2.66B
11.33%2.56B
2.47%2.35B
2.47%2.35B
0.43%2.3B
-Gross PPE
-3.42%2.69B
4.37%5.4B
4.37%5.4B
8.81%2.79B
5.74%5.18B
5.74%5.18B
11.33%2.56B
5.73%4.9B
5.73%4.9B
0.43%2.3B
-Accumulated depreciation
----
-6.24%-2.68B
-6.24%-2.68B
----
0.98%-2.52B
0.98%-2.52B
----
-8.94%-2.54B
-8.94%-2.54B
----
Goodwill and other intangible assets
-3.89%5.06B
-6.30%4.96B
-6.30%4.96B
-3.40%5.27B
165.53%5.29B
165.53%5.29B
179.53%5.45B
2.39%1.99B
2.39%1.99B
-4.14%1.95B
-Goodwill
----
-1.78%3.04B
-1.78%3.04B
----
288.03%3.09B
288.03%3.09B
----
1.31%796.68M
1.31%796.68M
----
-Other intangible assets
----
-12.64%1.92B
-12.64%1.92B
----
83.94%2.2B
83.94%2.2B
----
3.13%1.2B
3.13%1.2B
----
Financial assets
-26.72%18.23M
116.22%36.9M
116.22%36.9M
605.05%24.87M
304.65%17.06M
304.65%17.06M
-57.91%3.53M
-79.77%4.22M
-79.77%4.22M
-34.51%8.38M
Non current prepaid assets
62.47%136.97M
66.01%134.54M
66.01%134.54M
-4.62%84.3M
16.01%81.05M
16.01%81.05M
35.22%88.39M
19.94%69.86M
19.94%69.86M
423.88%65.37M
Defined pension benefit
----
----
----
----
----
----
-21.90%246K
-19.44%257K
-19.44%257K
--315K
Total non current assets
-0.63%8.96B
-0.99%8.75B
-0.99%8.75B
1.17%9.01B
71.29%8.84B
71.29%8.84B
78.23%8.91B
3.75%5.16B
3.75%5.16B
0.95%5B
Total assets
5.20%15.88B
2.77%15.38B
2.77%15.38B
3.29%15.1B
42.30%14.96B
42.30%14.96B
54.70%14.61B
5.54%10.52B
5.54%10.52B
0.05%9.45B
Liabilities
Current liabilities
Payables
12.27%3.12B
11.74%3.21B
11.74%3.21B
4.24%2.78B
8.64%2.87B
8.64%2.87B
53.83%2.67B
17.77%2.64B
17.77%2.64B
-2.01%1.73B
-accounts payable
12.31%3.08B
11.62%3.16B
11.62%3.16B
4.69%2.74B
8.19%2.83B
8.19%2.83B
53.52%2.62B
17.79%2.61B
17.79%2.61B
-0.39%1.71B
-Other payable
9.82%38.81M
19.77%50.17M
19.77%50.17M
-21.67%35.34M
50.78%41.89M
50.78%41.89M
73.77%45.12M
16.57%27.78M
16.57%27.78M
-52.58%25.97M
Current provisions
19.98%332.38M
13.07%337.66M
13.07%337.66M
-24.84%277.02M
-10.01%298.62M
-10.01%298.62M
21.31%368.56M
8.18%331.84M
8.18%331.84M
18.83%303.83M
Current debt and capital lease obligation
35.71%3.54B
-29.34%2.56B
-29.34%2.56B
-19.51%2.61B
547.98%3.63B
547.98%3.63B
569.91%3.24B
12.80%559.89M
12.80%559.89M
68.99%484.05M
-Current debt
----
-30.32%2.48B
-30.32%2.48B
----
620.37%3.55B
620.37%3.55B
----
14.91%493.47M
14.91%493.47M
----
-Current capital lease obligation
----
18.29%86.54M
18.29%86.54M
----
10.15%73.16M
10.15%73.16M
----
-0.69%66.42M
-0.69%66.42M
----
Current liabilities
11.54%8.22B
-8.53%7.32B
-8.53%7.32B
-1.99%7.37B
71.06%8.01B
71.06%8.01B
92.99%7.52B
9.11%4.68B
9.11%4.68B
1.27%3.9B
Non current liabilities
Long term provisions
3.16%40.26M
1.49%39.1M
1.49%39.1M
-1.52%39.02M
-2.71%38.52M
-2.71%38.52M
30.74%39.63M
32.87%39.6M
32.87%39.6M
50.58%30.31M
Long term debt and capital lease obligation
-27.12%2.59B
21.95%3.54B
21.95%3.54B
21.62%3.56B
86.88%2.91B
86.88%2.91B
88.66%2.93B
0.31%1.56B
0.31%1.56B
2.30%1.55B
-Long term debt
----
26.70%3.03B
26.70%3.03B
----
122.44%2.39B
122.44%2.39B
----
-1.36%1.07B
-1.36%1.07B
----
-Long term capital lease obligation
----
-0.11%515.12M
-0.11%515.12M
----
7.33%515.67M
7.33%515.67M
----
4.26%480.47M
4.26%480.47M
----
Derivative product liabilities
8.57%6.5M
-75.86%4.54M
-75.86%4.54M
-80.75%5.99M
1.06%18.82M
1.06%18.82M
93.69%31.11M
-0.35%18.62M
-0.35%18.62M
-52.86%16.06M
Total non current liabilities
-3.97%4.8B
23.18%5.3B
23.18%5.3B
10.66%5B
35.93%4.31B
35.93%4.31B
49.65%4.52B
2.18%3.17B
2.18%3.17B
-2.38%3.02B
Total liabilities
5.27%13.03B
2.56%12.63B
2.56%12.63B
2.76%12.37B
56.88%12.31B
56.88%12.31B
74.07%12.04B
6.20%7.85B
6.20%7.85B
-0.36%6.92B
Shareholders'equity
Share capital
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
-common stock
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
0.00%895.93M
Retained earnings
9.67%1.65B
6.12%1.56B
6.12%1.56B
7.68%1.5B
-4.88%1.47B
-4.88%1.47B
0.72%1.4B
10.40%1.55B
10.40%1.55B
3.86%1.39B
Less: Treasury stock
-19.86%14.8M
-18.51%29.64M
-18.51%29.64M
-23.34%18.47M
8.67%36.38M
8.67%36.38M
79.03%24.09M
40.99%33.48M
40.99%33.48M
18.08%13.46M
Total stockholders'equity
4.80%2.57B
2.56%2.46B
2.56%2.46B
4.67%2.45B
-0.61%2.4B
-0.61%2.4B
3.15%2.34B
5.24%2.41B
5.24%2.41B
1.69%2.27B
Noncontrolling interests
5.61%288.18M
14.96%293M
14.96%293M
17.19%272.87M
-0.23%254.86M
-0.23%254.86M
-10.93%232.84M
-9.47%255.45M
-9.47%255.45M
-2.81%261.43M
Total equity
4.88%2.85B
3.75%2.75B
3.75%2.75B
5.80%2.72B
-0.58%2.65B
-0.58%2.65B
1.70%2.57B
3.63%2.67B
3.63%2.67B
1.20%2.53B
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 11.05%429.94M-41.28%353.34M-41.28%353.34M-27.41%387.15M-26.25%601.77M-26.25%601.77M-8.64%533.34M11.67%815.92M11.67%815.92M69.81%583.8M
-Cash and cash equivalents 11.05%429.94M-41.28%353.34M-41.28%353.34M-27.41%387.15M-26.25%601.77M-26.25%601.77M-8.64%533.34M11.67%815.92M11.67%815.92M70.23%583.8M
-Accounts receivable 19.96%1.44B37.22%1.58B37.22%1.58B1.44%1.2B8.02%1.15B8.02%1.15B9.58%1.18B1.80%1.07B1.80%1.07B14.12%1.08B
-Other receivables 9.89%3B4.28%2.77B4.28%2.77B8.44%2.73B21.51%2.66B21.51%2.66B58.46%2.52B13.84%2.19B13.84%2.19B-7.66%1.59B
Inventory 18.18%2.04B12.65%1.9B12.65%1.9B18.11%1.72B33.55%1.68B33.55%1.68B23.74%1.46B-0.63%1.26B-0.63%1.26B-20.16%1.18B
Total current assets 13.84%6.92B8.20%6.63B8.20%6.63B6.61%6.08B14.39%6.13B14.39%6.13B28.26%5.71B7.32%5.36B7.32%5.36B-0.93%4.45B
Non current assets
Net PPE -3.42%2.69B2.60%2.73B2.60%2.73B8.81%2.79B13.00%2.66B13.00%2.66B11.33%2.56B2.47%2.35B2.47%2.35B0.43%2.3B
-Gross PPE -3.42%2.69B4.37%5.4B4.37%5.4B8.81%2.79B5.74%5.18B5.74%5.18B11.33%2.56B5.73%4.9B5.73%4.9B0.43%2.3B
-Accumulated depreciation -----6.24%-2.68B-6.24%-2.68B----0.98%-2.52B0.98%-2.52B-----8.94%-2.54B-8.94%-2.54B----
Goodwill and other intangible assets -3.89%5.06B-6.30%4.96B-6.30%4.96B-3.40%5.27B165.53%5.29B165.53%5.29B179.53%5.45B2.39%1.99B2.39%1.99B-4.14%1.95B
-Goodwill -----1.78%3.04B-1.78%3.04B----288.03%3.09B288.03%3.09B----1.31%796.68M1.31%796.68M----
-Other intangible assets -----12.64%1.92B-12.64%1.92B----83.94%2.2B83.94%2.2B----3.13%1.2B3.13%1.2B----
Financial assets -26.72%18.23M116.22%36.9M116.22%36.9M605.05%24.87M304.65%17.06M304.65%17.06M-57.91%3.53M-79.77%4.22M-79.77%4.22M-34.51%8.38M
Non current prepaid assets 62.47%136.97M66.01%134.54M66.01%134.54M-4.62%84.3M16.01%81.05M16.01%81.05M35.22%88.39M19.94%69.86M19.94%69.86M423.88%65.37M
Defined pension benefit -------------------------21.90%246K-19.44%257K-19.44%257K--315K
Total non current assets -0.63%8.96B-0.99%8.75B-0.99%8.75B1.17%9.01B71.29%8.84B71.29%8.84B78.23%8.91B3.75%5.16B3.75%5.16B0.95%5B
Total assets 5.20%15.88B2.77%15.38B2.77%15.38B3.29%15.1B42.30%14.96B42.30%14.96B54.70%14.61B5.54%10.52B5.54%10.52B0.05%9.45B
Liabilities
Current liabilities
Payables 12.27%3.12B11.74%3.21B11.74%3.21B4.24%2.78B8.64%2.87B8.64%2.87B53.83%2.67B17.77%2.64B17.77%2.64B-2.01%1.73B
-accounts payable 12.31%3.08B11.62%3.16B11.62%3.16B4.69%2.74B8.19%2.83B8.19%2.83B53.52%2.62B17.79%2.61B17.79%2.61B-0.39%1.71B
-Other payable 9.82%38.81M19.77%50.17M19.77%50.17M-21.67%35.34M50.78%41.89M50.78%41.89M73.77%45.12M16.57%27.78M16.57%27.78M-52.58%25.97M
Current provisions 19.98%332.38M13.07%337.66M13.07%337.66M-24.84%277.02M-10.01%298.62M-10.01%298.62M21.31%368.56M8.18%331.84M8.18%331.84M18.83%303.83M
Current debt and capital lease obligation 35.71%3.54B-29.34%2.56B-29.34%2.56B-19.51%2.61B547.98%3.63B547.98%3.63B569.91%3.24B12.80%559.89M12.80%559.89M68.99%484.05M
-Current debt -----30.32%2.48B-30.32%2.48B----620.37%3.55B620.37%3.55B----14.91%493.47M14.91%493.47M----
-Current capital lease obligation ----18.29%86.54M18.29%86.54M----10.15%73.16M10.15%73.16M-----0.69%66.42M-0.69%66.42M----
Current liabilities 11.54%8.22B-8.53%7.32B-8.53%7.32B-1.99%7.37B71.06%8.01B71.06%8.01B92.99%7.52B9.11%4.68B9.11%4.68B1.27%3.9B
Non current liabilities
Long term provisions 3.16%40.26M1.49%39.1M1.49%39.1M-1.52%39.02M-2.71%38.52M-2.71%38.52M30.74%39.63M32.87%39.6M32.87%39.6M50.58%30.31M
Long term debt and capital lease obligation -27.12%2.59B21.95%3.54B21.95%3.54B21.62%3.56B86.88%2.91B86.88%2.91B88.66%2.93B0.31%1.56B0.31%1.56B2.30%1.55B
-Long term debt ----26.70%3.03B26.70%3.03B----122.44%2.39B122.44%2.39B-----1.36%1.07B-1.36%1.07B----
-Long term capital lease obligation -----0.11%515.12M-0.11%515.12M----7.33%515.67M7.33%515.67M----4.26%480.47M4.26%480.47M----
Derivative product liabilities 8.57%6.5M-75.86%4.54M-75.86%4.54M-80.75%5.99M1.06%18.82M1.06%18.82M93.69%31.11M-0.35%18.62M-0.35%18.62M-52.86%16.06M
Total non current liabilities -3.97%4.8B23.18%5.3B23.18%5.3B10.66%5B35.93%4.31B35.93%4.31B49.65%4.52B2.18%3.17B2.18%3.17B-2.38%3.02B
Total liabilities 5.27%13.03B2.56%12.63B2.56%12.63B2.76%12.37B56.88%12.31B56.88%12.31B74.07%12.04B6.20%7.85B6.20%7.85B-0.36%6.92B
Shareholders'equity
Share capital 0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M
-common stock 0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M0.00%895.93M
Retained earnings 9.67%1.65B6.12%1.56B6.12%1.56B7.68%1.5B-4.88%1.47B-4.88%1.47B0.72%1.4B10.40%1.55B10.40%1.55B3.86%1.39B
Less: Treasury stock -19.86%14.8M-18.51%29.64M-18.51%29.64M-23.34%18.47M8.67%36.38M8.67%36.38M79.03%24.09M40.99%33.48M40.99%33.48M18.08%13.46M
Total stockholders'equity 4.80%2.57B2.56%2.46B2.56%2.46B4.67%2.45B-0.61%2.4B-0.61%2.4B3.15%2.34B5.24%2.41B5.24%2.41B1.69%2.27B
Noncontrolling interests 5.61%288.18M14.96%293M14.96%293M17.19%272.87M-0.23%254.86M-0.23%254.86M-10.93%232.84M-9.47%255.45M-9.47%255.45M-2.81%261.43M
Total equity 4.88%2.85B3.75%2.75B3.75%2.75B5.80%2.72B-0.58%2.65B-0.58%2.65B1.70%2.57B3.63%2.67B3.63%2.67B1.20%2.53B
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Heat List
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Symbol
Latest Price
% Chg

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