SG Stock MarketDetailed Quotes

T6I ValueMax

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  • 0.435
  • +0.005+1.16%
10min DelayMarket Closed Nov 13 16:58 CST
377.62MMarket Cap5.80P/E (TTM)

ValueMax 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
132.20%45.34M
-0.71%-140.79M
-658.52%-139.8M
247.94%25.03M
44.62%-16.92M
-19.61M
13.75%-12.77M
2,350.92%14.72M
108.67%736K
-339.20%-30.55M
Net profit before non-cash adjustment
18.94%63.43M
7.51%53.33M
22.63%49.6M
29.34%40.45M
32.52%31.27M
--9.25M
19.57%7.71M
60.26%7.99M
-10.22%6.32M
7.38%23.6M
Total adjustment of non-cash items
83.13%37.09M
58.39%20.26M
31.63%12.79M
-18.06%9.72M
21.17%11.86M
--3.9M
43.33%2.95M
-29.22%2.18M
65.55%2.82M
73.08%9.79M
-Depreciation and amortization
2.90%7.27M
4.02%7.07M
13.21%6.8M
10.19%6M
179.19%5.45M
--1.46M
228.29%1.47M
121.60%1.08M
165.68%1.43M
20.28%1.95M
-Reversal of impairment losses recognized in profit and loss
--13K
--0
----
369.74%2.7M
43.75%575K
--575K
--0
--0
--0
2.56%400K
-Assets reserve and write-off
226.52%1.93M
-65.50%592K
409.19%1.72M
-339.22%-555K
-84.81%232K
---221K
114.71%219K
-87.47%162K
-23.40%72K
177.13%1.53M
-Share of associates
-25.41%-5.34M
-8.82%-4.26M
29.42%-3.91M
-42.20%-5.54M
-35.42%-3.9M
---893K
-51.59%-1.1M
-10.74%-866K
-27.21%-1.04M
-5.62%-2.88M
-Disposal profit
-8.11%-40K
28.85%-37K
0.00%-52K
-147.62%-52K
59.62%-21K
--27K
--0
7.69%-48K
--0
-966.67%-52K
-Net exchange gains and losses
-96.08%13K
848.57%332K
-95.77%35K
47.94%827K
-29.60%559K
--509K
-90.73%14K
54.17%74K
74.50%-38K
1,360.32%794K
-Other non-cash items
100.76%33.24M
101.78%16.56M
29.56%8.21M
-29.33%6.33M
11.43%8.96M
--2.44M
12.57%2.35M
-14.66%1.78M
34.59%2.39M
36.97%8.04M
Changes in working capital
74.26%-55.19M
-6.03%-214.37M
-704.47%-202.19M
58.15%-25.13M
6.08%-60.05M
---32.76M
-0.51%-23.44M
152.21%4.55M
51.21%-8.41M
-330.32%-63.94M
-Change in receivables
83.52%-31.79M
2.62%-192.94M
-732.88%-198.13M
53.67%-23.79M
19.59%-51.35M
---42.95M
9.00%-21.83M
337.09%12.95M
102.13%490K
-356.75%-63.85M
-Change in inventory
22.30%-15.91M
-371.49%-20.47M
-108.45%-4.34M
75.28%-2.08M
-31.99%-8.43M
--11.55M
-443.95%-7.64M
-193.66%-9.35M
-146.41%-2.99M
-288.09%-6.38M
-Change in prepaid assets
-51.16%-975K
-11.21%-645K
-90.16%-580K
-1,352.38%-305K
-103.19%-21K
---56K
3,850.00%79K
-51.56%31K
-111.66%-75K
1,507.32%659K
-Change in payables
-2,985.37%-7.59M
-171.10%-246K
135.31%346K
-267.81%-980K
-88.42%584K
---747K
558.08%4.73M
1,263.64%1.35M
-672.64%-4.74M
2,201.67%5.04M
-Changes in other current liabilities
1,677.94%1.07M
-113.00%-68K
-74.16%523K
341.53%2.02M
-240.37%-838K
---556K
-9.56%1.23M
-78.15%-424K
-47.63%-1.09M
-38.20%597K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-105.84%-34.07M
-93.98%-16.55M
4.48%-8.53M
15.80%-8.93M
-24.33%-10.61M
-3M
-23.57%-2.64M
-9.91%-2.36M
-38.34%-2.61M
-34.72%-8.53M
Interest received (cash flow from operating activities)
-15.96%574K
30.59%683K
-30.91%523K
-6.08%757K
20.30%806K
203K
18.13%202K
36.81%223K
10.56%178K
6.18%670K
Tax refund paid
-11.98%-8.31M
-6.61%-7.42M
-82.32%-6.96M
-26.31%-3.82M
-35.21%-3.02M
-425K
-26.43%-971K
-24.08%-974K
-8.13%-652K
-24.03%-2.24M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
102.15%3.53M
-6.02%-164.08M
-1,287.14%-154.77M
143.83%13.04M
26.83%-29.74M
---22.83M
7.76%-16.18M
438.92%11.61M
78.30%-2.35M
-871.66%-40.65M
Investing cash flow
Net PPE purchase and sale
-1,009.77%-5.23M
80.08%-471K
-319.15%-2.36M
-62.07%-564K
59.86%-348K
---115K
45.00%-132K
89.83%-30K
47.41%-71K
16.63%-867K
Net intangibles purchase and sale
----
----
----
----
---450K
----
----
----
----
--0
Net business purchase and sale
---659K
--0
84.84%-259K
-21,450.00%-1.71M
--8K
----
----
----
----
--0
Dividends received (cash flow from investment activities)
14.09%818K
-30.99%717K
470.88%1.04M
-14.15%182K
-15.87%212K
--4K
--0
-17.46%208K
----
1.61%252K
Investing cash flow
-2,160.16%-5.07M
115.53%246K
24.21%-1.58M
-261.59%-2.09M
6.02%-578K
---553K
-172.93%-132K
513.95%178K
47.41%-71K
94.35%-615K
Financing cash flow
Net issuance payments of debt
-97.91%3.41M
21.64%163.32M
21,246.10%134.27M
-98.01%629K
-42.11%31.64M
--30.22M
4.21%18.85M
-228.91%-20.22M
-66.86%2.79M
393.91%54.66M
Net common stock issuance
--23.42M
--0
--41.9M
--0
----
----
----
----
----
----
Increase or decrease of lease financing
-6.98%-5.72M
-5.66%-5.34M
-25.06%-5.06M
-14.18%-4.04M
---3.54M
---933K
---1.02M
---622K
---963K
--0
Issuance fees
---187K
--0
---130K
--0
----
----
--0
--0
----
---311K
Cash dividends paid
-721.10%-14.63M
82.99%-1.78M
-772.83%-10.47M
-1.95%-1.2M
82.49%-1.18M
--0
---1.18M
----
----
-16.66%-6.72M
Cash dividends for minorities
-2.69%-610K
20.27%-594K
-52.35%-745K
3.55%-489K
2.87%-507K
--0
--0
2.87%-507K
----
-31.49%-522K
Net other fund-raising expenses
1,100.00%300K
--25K
----
----
----
----
----
----
----
----
Financing cash flow
-96.15%5.99M
-2.59%155.63M
3,230.83%159.77M
-119.32%-5.1M
-43.92%26.42M
--29.29M
-7.95%16.65M
-362.45%-21.35M
-78.30%1.83M
1,127.89%47.1M
Net cash flow
Beginning cash position
-56.64%6.28M
30.86%14.48M
111.91%11.07M
-42.79%5.22M
177.28%9.13M
---686K
-118.97%-1.03M
1,021.81%8.54M
177.28%9.13M
-35.09%3.29M
Current changes in cash
154.34%4.46M
-340.18%-8.2M
-41.56%3.42M
249.62%5.84M
-166.93%-3.91M
--5.91M
-53.20%344K
-304.95%-9.57M
76.65%-591K
427.87%5.84M
End cash Position
70.98%10.74M
-56.64%6.28M
30.86%14.48M
111.91%11.07M
-42.79%5.22M
--5.22M
-111.13%-686K
-118.97%-1.03M
1,021.81%8.54M
177.28%9.13M
Free cash flow
98.97%-1.69M
-4.72%-164.55M
-1,359.77%-157.13M
140.84%12.47M
26.44%-30.54M
---23.39M
8.26%-16.31M
411.24%11.58M
77.92%-2.42M
-1,081.98%-41.52M
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 132.20%45.34M-0.71%-140.79M-658.52%-139.8M247.94%25.03M44.62%-16.92M-19.61M13.75%-12.77M2,350.92%14.72M108.67%736K-339.20%-30.55M
Net profit before non-cash adjustment 18.94%63.43M7.51%53.33M22.63%49.6M29.34%40.45M32.52%31.27M--9.25M19.57%7.71M60.26%7.99M-10.22%6.32M7.38%23.6M
Total adjustment of non-cash items 83.13%37.09M58.39%20.26M31.63%12.79M-18.06%9.72M21.17%11.86M--3.9M43.33%2.95M-29.22%2.18M65.55%2.82M73.08%9.79M
-Depreciation and amortization 2.90%7.27M4.02%7.07M13.21%6.8M10.19%6M179.19%5.45M--1.46M228.29%1.47M121.60%1.08M165.68%1.43M20.28%1.95M
-Reversal of impairment losses recognized in profit and loss --13K--0----369.74%2.7M43.75%575K--575K--0--0--02.56%400K
-Assets reserve and write-off 226.52%1.93M-65.50%592K409.19%1.72M-339.22%-555K-84.81%232K---221K114.71%219K-87.47%162K-23.40%72K177.13%1.53M
-Share of associates -25.41%-5.34M-8.82%-4.26M29.42%-3.91M-42.20%-5.54M-35.42%-3.9M---893K-51.59%-1.1M-10.74%-866K-27.21%-1.04M-5.62%-2.88M
-Disposal profit -8.11%-40K28.85%-37K0.00%-52K-147.62%-52K59.62%-21K--27K--07.69%-48K--0-966.67%-52K
-Net exchange gains and losses -96.08%13K848.57%332K-95.77%35K47.94%827K-29.60%559K--509K-90.73%14K54.17%74K74.50%-38K1,360.32%794K
-Other non-cash items 100.76%33.24M101.78%16.56M29.56%8.21M-29.33%6.33M11.43%8.96M--2.44M12.57%2.35M-14.66%1.78M34.59%2.39M36.97%8.04M
Changes in working capital 74.26%-55.19M-6.03%-214.37M-704.47%-202.19M58.15%-25.13M6.08%-60.05M---32.76M-0.51%-23.44M152.21%4.55M51.21%-8.41M-330.32%-63.94M
-Change in receivables 83.52%-31.79M2.62%-192.94M-732.88%-198.13M53.67%-23.79M19.59%-51.35M---42.95M9.00%-21.83M337.09%12.95M102.13%490K-356.75%-63.85M
-Change in inventory 22.30%-15.91M-371.49%-20.47M-108.45%-4.34M75.28%-2.08M-31.99%-8.43M--11.55M-443.95%-7.64M-193.66%-9.35M-146.41%-2.99M-288.09%-6.38M
-Change in prepaid assets -51.16%-975K-11.21%-645K-90.16%-580K-1,352.38%-305K-103.19%-21K---56K3,850.00%79K-51.56%31K-111.66%-75K1,507.32%659K
-Change in payables -2,985.37%-7.59M-171.10%-246K135.31%346K-267.81%-980K-88.42%584K---747K558.08%4.73M1,263.64%1.35M-672.64%-4.74M2,201.67%5.04M
-Changes in other current liabilities 1,677.94%1.07M-113.00%-68K-74.16%523K341.53%2.02M-240.37%-838K---556K-9.56%1.23M-78.15%-424K-47.63%-1.09M-38.20%597K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -105.84%-34.07M-93.98%-16.55M4.48%-8.53M15.80%-8.93M-24.33%-10.61M-3M-23.57%-2.64M-9.91%-2.36M-38.34%-2.61M-34.72%-8.53M
Interest received (cash flow from operating activities) -15.96%574K30.59%683K-30.91%523K-6.08%757K20.30%806K203K18.13%202K36.81%223K10.56%178K6.18%670K
Tax refund paid -11.98%-8.31M-6.61%-7.42M-82.32%-6.96M-26.31%-3.82M-35.21%-3.02M-425K-26.43%-971K-24.08%-974K-8.13%-652K-24.03%-2.24M
Other operating cash inflow (outflow) 0000000000
Operating cash flow 102.15%3.53M-6.02%-164.08M-1,287.14%-154.77M143.83%13.04M26.83%-29.74M---22.83M7.76%-16.18M438.92%11.61M78.30%-2.35M-871.66%-40.65M
Investing cash flow
Net PPE purchase and sale -1,009.77%-5.23M80.08%-471K-319.15%-2.36M-62.07%-564K59.86%-348K---115K45.00%-132K89.83%-30K47.41%-71K16.63%-867K
Net intangibles purchase and sale -------------------450K------------------0
Net business purchase and sale ---659K--084.84%-259K-21,450.00%-1.71M--8K------------------0
Dividends received (cash flow from investment activities) 14.09%818K-30.99%717K470.88%1.04M-14.15%182K-15.87%212K--4K--0-17.46%208K----1.61%252K
Investing cash flow -2,160.16%-5.07M115.53%246K24.21%-1.58M-261.59%-2.09M6.02%-578K---553K-172.93%-132K513.95%178K47.41%-71K94.35%-615K
Financing cash flow
Net issuance payments of debt -97.91%3.41M21.64%163.32M21,246.10%134.27M-98.01%629K-42.11%31.64M--30.22M4.21%18.85M-228.91%-20.22M-66.86%2.79M393.91%54.66M
Net common stock issuance --23.42M--0--41.9M--0------------------------
Increase or decrease of lease financing -6.98%-5.72M-5.66%-5.34M-25.06%-5.06M-14.18%-4.04M---3.54M---933K---1.02M---622K---963K--0
Issuance fees ---187K--0---130K--0----------0--0-------311K
Cash dividends paid -721.10%-14.63M82.99%-1.78M-772.83%-10.47M-1.95%-1.2M82.49%-1.18M--0---1.18M---------16.66%-6.72M
Cash dividends for minorities -2.69%-610K20.27%-594K-52.35%-745K3.55%-489K2.87%-507K--0--02.87%-507K-----31.49%-522K
Net other fund-raising expenses 1,100.00%300K--25K--------------------------------
Financing cash flow -96.15%5.99M-2.59%155.63M3,230.83%159.77M-119.32%-5.1M-43.92%26.42M--29.29M-7.95%16.65M-362.45%-21.35M-78.30%1.83M1,127.89%47.1M
Net cash flow
Beginning cash position -56.64%6.28M30.86%14.48M111.91%11.07M-42.79%5.22M177.28%9.13M---686K-118.97%-1.03M1,021.81%8.54M177.28%9.13M-35.09%3.29M
Current changes in cash 154.34%4.46M-340.18%-8.2M-41.56%3.42M249.62%5.84M-166.93%-3.91M--5.91M-53.20%344K-304.95%-9.57M76.65%-591K427.87%5.84M
End cash Position 70.98%10.74M-56.64%6.28M30.86%14.48M111.91%11.07M-42.79%5.22M--5.22M-111.13%-686K-118.97%-1.03M1,021.81%8.54M177.28%9.13M
Free cash flow 98.97%-1.69M-4.72%-164.55M-1,359.77%-157.13M140.84%12.47M26.44%-30.54M---23.39M8.26%-16.31M411.24%11.58M77.92%-2.42M-1,081.98%-41.52M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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Price Target

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Symbol
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% Chg

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