SG Stock MarketDetailed Quotes

Singtel 10 (Z77)

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  • 4.620
  • -0.050-1.07%
10min DelayNot Open Apr 24 17:04 CST
75.44BMarket Cap12.49P/E (TTM)

Z77 Singtel 10

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2025
(FY)Mar 31, 2024
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(Q4)Mar 31, 2020
(Q3)Dec 31, 2019
(Q2)Sep 30, 2019
(Q1)Jun 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
1.30%3.69B
1.95%3.65B
-11.20%3.58B
-7.19%4.03B
-10.90%4.34B
8.27%4.87B
-5.28%1.58B
47.54%1.27B
4.80%1.1B
0.21%924.6M
Net profit before non-cash adjustment
377.87%4.59B
-63.01%961.2M
-0.87%2.6B
247.64%2.62B
-51.83%754M
-58.21%1.57B
-28.66%655.7M
-23.72%741.9M
-169.82%-554.4M
-31.88%722.2M
Total adjustment of non-cash items
-130.97%-805.2M
148.08%2.6B
-7.74%1.05B
-62.15%1.14B
2.05%3B
234.70%2.94B
43.47%353.5M
85.78%419.5M
502.11%1.71B
272.70%454.7M
-Depreciation and amortization
-1.37%2.41B
-5.05%2.44B
-5.45%2.57B
1.40%2.72B
4.05%2.68B
16.11%2.58B
17.89%661.6M
14.38%633M
15.80%641.4M
16.36%644.3M
-Share of associates
-88.73%-2.57B
25.47%-1.36B
-10.53%-1.83B
-172.42%-1.65B
-214.56%-606.7M
133.89%529.6M
76.56%-95.7M
57.17%-161.6M
352.40%950.3M
59.22%-163.4M
-Disposal profit
-6.77%-20.5M
-8.47%-19.2M
16.90%-17.7M
---21.3M
--0
--0
--0
--0
--0
--0
-Other non-cash items
-140.71%-625.7M
382.51%1.54B
263.58%318.5M
-90.52%87.6M
647.81%923.6M
-176.88%-168.6M
-327.41%-212.4M
-204.43%-51.9M
13.71%121.9M
15.48%-26.2M
Changes in working capital
-211.81%-94.7M
220.48%84.7M
-126.03%-70.3M
-53.73%270.1M
60.47%583.8M
387.82%363.8M
13.54%571.9M
130.95%105.2M
-98.70%-61M
2.77%-252.3M
-Change in receivables
-1,853.42%-512M
278.05%29.2M
-121.95%-16.4M
-86.11%74.7M
185.36%537.9M
143.67%188.5M
115.59%394.1M
31.48%-339.8M
42.86%-9.6M
241.40%143.8M
-Change in inventory
-101.39%-500K
135.64%36M
-10,200.00%-101M
-97.34%1M
-68.54%37.6M
455.65%119.5M
-68.99%19.1M
122.93%33.2M
9.06%60.2M
225.00%7M
-Change in payables
2,042.56%417.8M
-58.60%19.5M
-75.77%47.1M
2,242.17%194.4M
-85.13%8.3M
-83.53%55.8M
-38.80%158.7M
36.90%411.8M
-61.51%-111.6M
-164.85%-403.1M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
-1.79%1.39B
-8.61%1.41B
-4.68%1.55B
13.18%1.62B
-0.40%1.43B
-7.08%1.44B
12.35%46.4M
76.95%174.3M
-7.62%209.7M
-14.66%1.01B
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-38.21%-471.7M
1.56%-341.3M
1.39%-346.7M
-114.39%-351.6M
66.66%-164M
27.61%-491.9M
42.42%-60.8M
44.82%-85.8M
33.56%-162.7M
-5.24%-182.6M
Other operating cash inflow (outflow)
-500.00%-600K
50.00%-100K
33.33%-200K
-300K
0
-400.00%-500K
0
-100K
-100K
-200.00%-300K
Operating cash flow
-2.31%4.61B
-1.21%4.72B
-9.85%4.78B
-5.55%5.3B
-3.58%5.61B
8.38%5.82B
-2.38%1.57B
69.06%1.36B
11.17%1.15B
-9.36%1.75B
Investing cash flow
Net PPE purchase and sale
49.74%-1.07B
1.74%-2.12B
1.59%-2.16B
-0.56%-2.2B
-15.46%-2.18B
-21.42%-1.89B
-9.63%-506.6M
-17.34%-485.8M
-10.98%-370.9M
-52.06%-527.5M
Net intangibles purchase and sale
-749.58%-1.81B
-80.05%-213M
57.37%-118.3M
-29.67%-277.5M
38.86%-214M
-3.00%-350M
-153.83%-208.9M
1.57%-37.6M
73.48%-43.5M
-8.50%-60M
Net business purchase and sale
-45.37%352.6M
-55.51%645.4M
-12.91%1.45B
736.29%1.67B
65.65%-261.8M
-12,801.67%-762.1M
-208.64%-17.6M
-194.74%-1.8M
---9.8M
-5,957.02%-732.9M
Net investment product transactions
-111.16%-181.1M
207.63%1.62B
-1,290.45%-1.51B
2,246.30%126.7M
-94.21%5.4M
122.12%93.3M
114.00%7.8M
124.76%86.3M
-445.69%-63.3M
1,141.67%62.5M
Advance cash and loans provided to other parties
----
----
----
--0
----
----
----
----
----
----
Repayment of advance payments to other parties and cash income from loans
488.98%69.5M
--11.8M
----
----
----
----
----
----
----
----
Interest received (cash flow from investment activities)
25.67%108.2M
108.98%86.1M
2,323.53%41.2M
-22.73%1.7M
-67.65%2.2M
-2.86%6.8M
-31.58%1.3M
22.22%2.2M
-26.32%1.4M
35.71%1.9M
Net changes in other investments
-44.51%120.2M
3,381.82%216.6M
-119.24%-6.6M
330.20%34.3M
17.22%-14.9M
20.70%-18M
29.73%-7.8M
----
12.07%-10.2M
----
Investing cash flow
-1,073.39%-2.41B
110.74%247.3M
-257.18%-2.3B
75.83%-644.4M
8.72%-2.67B
-25.44%-2.92B
-23.39%-731.8M
45.21%-436.7M
4.47%-496.3M
-199.83%-1.26B
Financing cash flow
Net issuance payments of debt
-101.50%-16.2M
619.99%1.08B
90.97%-207.6M
-81.99%-2.3B
-211.80%-1.26B
431.81%1.13B
1,172.29%890.6M
-1,068.06%-669.9M
-7.56%1.28B
85.03%-196.3M
Net common stock issuance
-47.71%-48.3M
10.41%-32.7M
-55.98%-36.5M
-49.04%-23.4M
31.74%-15.7M
10.16%-23M
-30.91%-7.2M
10.71%-5M
52.63%-3.6M
-14.49%-7.9M
Increase or decrease of lease financing
-6.47%-444.4M
3.76%-417.4M
-5.55%-433.7M
4.29%-410.9M
-6.29%-429.3M
-4,221.43%-403.9M
-5,805.26%-108.4M
-931.03%-96.4M
-2,086.36%-87.4M
-1,279.01%-111.7M
Cash dividends paid
-28.82%-2.81B
-10.94%-2.18B
-72.44%-1.96B
10.51%-1.14B
55.44%-1.27B
-0.00%-2.86B
-0.01%-1.11B
----
0.00%-1.75B
----
Cash dividends for minorities
0.00%-6.5M
5.80%-6.5M
1.43%-6.9M
-29.63%-7M
-3.85%-5.4M
3.70%-5.2M
--0
3.70%-5.2M
----
----
Interest paid (cash flow from financing activities)
-38.35%-576.5M
-6.96%-416.7M
0.84%-389.6M
-0.10%-392.9M
15.28%-392.5M
-20.31%-463.3M
-14.43%-111.8M
-14.01%-125.3M
-42.07%-115.5M
-15.07%-110.7M
Net other fund-raising expenses
-548.99%-128.5M
-120.33%-19.8M
-90.32%97.4M
431.59%1.01B
14.45%189.3M
3,343.14%165.4M
----
----
-92.66%1.3M
----
Financing cash flow
-102.12%-4.03B
32.25%-1.99B
9.96%-2.94B
-2.39%-3.27B
-29.85%-3.19B
19.60%-2.46B
60.59%-446.8M
-1,125.27%-901.8M
-56.73%-671.6M
69.95%-426.6M
Net cash flow
Beginning cash position
179.47%4.6B
-23.48%1.64B
190.17%2.15B
-25.19%740.5M
93.06%989.8M
-2.32%512.7M
-9.59%576.1M
-22.07%550.9M
-7.33%578.8M
-2.32%512.7M
Current changes in cash
-161.41%-1.83B
736.39%2.97B
-133.68%-467.1M
661.08%1.39B
-156.19%-247.2M
2,782.32%439.9M
418.64%388.1M
123.88%16.5M
-127.80%-22.8M
-26.59%67.9M
Effect of exchange rate changes
82.95%-3.7M
41.98%-21.7M
-276.42%-37.4M
1,109.52%21.2M
-105.65%-2.1M
785.71%37.2M
1,411.11%35.4M
1,550.00%8.7M
-1,800.00%-5.1M
-125.00%-1.8M
End cash Position
-39.81%2.77B
179.47%4.6B
-23.48%1.64B
190.17%2.15B
-25.19%740.5M
93.06%989.8M
94.97%999.6M
-9.59%576.1M
-22.07%550.9M
-7.33%578.8M
Free cash flow
-85.03%352.6M
-5.59%2.36B
-10.99%2.5B
-11.87%2.8B
-7.29%3.18B
3.66%3.43B
-19.68%833.5M
102.84%708.1M
41.81%726.2M
-17.57%1.16B
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Mar 31, 2025(FY)Mar 31, 2024(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(Q4)Mar 31, 2020(Q3)Dec 31, 2019(Q2)Sep 30, 2019(Q1)Jun 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities 1.30%3.69B1.95%3.65B-11.20%3.58B-7.19%4.03B-10.90%4.34B8.27%4.87B-5.28%1.58B47.54%1.27B4.80%1.1B0.21%924.6M
Net profit before non-cash adjustment 377.87%4.59B-63.01%961.2M-0.87%2.6B247.64%2.62B-51.83%754M-58.21%1.57B-28.66%655.7M-23.72%741.9M-169.82%-554.4M-31.88%722.2M
Total adjustment of non-cash items -130.97%-805.2M148.08%2.6B-7.74%1.05B-62.15%1.14B2.05%3B234.70%2.94B43.47%353.5M85.78%419.5M502.11%1.71B272.70%454.7M
-Depreciation and amortization -1.37%2.41B-5.05%2.44B-5.45%2.57B1.40%2.72B4.05%2.68B16.11%2.58B17.89%661.6M14.38%633M15.80%641.4M16.36%644.3M
-Share of associates -88.73%-2.57B25.47%-1.36B-10.53%-1.83B-172.42%-1.65B-214.56%-606.7M133.89%529.6M76.56%-95.7M57.17%-161.6M352.40%950.3M59.22%-163.4M
-Disposal profit -6.77%-20.5M-8.47%-19.2M16.90%-17.7M---21.3M--0--0--0--0--0--0
-Other non-cash items -140.71%-625.7M382.51%1.54B263.58%318.5M-90.52%87.6M647.81%923.6M-176.88%-168.6M-327.41%-212.4M-204.43%-51.9M13.71%121.9M15.48%-26.2M
Changes in working capital -211.81%-94.7M220.48%84.7M-126.03%-70.3M-53.73%270.1M60.47%583.8M387.82%363.8M13.54%571.9M130.95%105.2M-98.70%-61M2.77%-252.3M
-Change in receivables -1,853.42%-512M278.05%29.2M-121.95%-16.4M-86.11%74.7M185.36%537.9M143.67%188.5M115.59%394.1M31.48%-339.8M42.86%-9.6M241.40%143.8M
-Change in inventory -101.39%-500K135.64%36M-10,200.00%-101M-97.34%1M-68.54%37.6M455.65%119.5M-68.99%19.1M122.93%33.2M9.06%60.2M225.00%7M
-Change in payables 2,042.56%417.8M-58.60%19.5M-75.77%47.1M2,242.17%194.4M-85.13%8.3M-83.53%55.8M-38.80%158.7M36.90%411.8M-61.51%-111.6M-164.85%-403.1M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities) -1.79%1.39B-8.61%1.41B-4.68%1.55B13.18%1.62B-0.40%1.43B-7.08%1.44B12.35%46.4M76.95%174.3M-7.62%209.7M-14.66%1.01B
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -38.21%-471.7M1.56%-341.3M1.39%-346.7M-114.39%-351.6M66.66%-164M27.61%-491.9M42.42%-60.8M44.82%-85.8M33.56%-162.7M-5.24%-182.6M
Other operating cash inflow (outflow) -500.00%-600K50.00%-100K33.33%-200K-300K0-400.00%-500K0-100K-100K-200.00%-300K
Operating cash flow -2.31%4.61B-1.21%4.72B-9.85%4.78B-5.55%5.3B-3.58%5.61B8.38%5.82B-2.38%1.57B69.06%1.36B11.17%1.15B-9.36%1.75B
Investing cash flow
Net PPE purchase and sale 49.74%-1.07B1.74%-2.12B1.59%-2.16B-0.56%-2.2B-15.46%-2.18B-21.42%-1.89B-9.63%-506.6M-17.34%-485.8M-10.98%-370.9M-52.06%-527.5M
Net intangibles purchase and sale -749.58%-1.81B-80.05%-213M57.37%-118.3M-29.67%-277.5M38.86%-214M-3.00%-350M-153.83%-208.9M1.57%-37.6M73.48%-43.5M-8.50%-60M
Net business purchase and sale -45.37%352.6M-55.51%645.4M-12.91%1.45B736.29%1.67B65.65%-261.8M-12,801.67%-762.1M-208.64%-17.6M-194.74%-1.8M---9.8M-5,957.02%-732.9M
Net investment product transactions -111.16%-181.1M207.63%1.62B-1,290.45%-1.51B2,246.30%126.7M-94.21%5.4M122.12%93.3M114.00%7.8M124.76%86.3M-445.69%-63.3M1,141.67%62.5M
Advance cash and loans provided to other parties --------------0------------------------
Repayment of advance payments to other parties and cash income from loans 488.98%69.5M--11.8M--------------------------------
Interest received (cash flow from investment activities) 25.67%108.2M108.98%86.1M2,323.53%41.2M-22.73%1.7M-67.65%2.2M-2.86%6.8M-31.58%1.3M22.22%2.2M-26.32%1.4M35.71%1.9M
Net changes in other investments -44.51%120.2M3,381.82%216.6M-119.24%-6.6M330.20%34.3M17.22%-14.9M20.70%-18M29.73%-7.8M----12.07%-10.2M----
Investing cash flow -1,073.39%-2.41B110.74%247.3M-257.18%-2.3B75.83%-644.4M8.72%-2.67B-25.44%-2.92B-23.39%-731.8M45.21%-436.7M4.47%-496.3M-199.83%-1.26B
Financing cash flow
Net issuance payments of debt -101.50%-16.2M619.99%1.08B90.97%-207.6M-81.99%-2.3B-211.80%-1.26B431.81%1.13B1,172.29%890.6M-1,068.06%-669.9M-7.56%1.28B85.03%-196.3M
Net common stock issuance -47.71%-48.3M10.41%-32.7M-55.98%-36.5M-49.04%-23.4M31.74%-15.7M10.16%-23M-30.91%-7.2M10.71%-5M52.63%-3.6M-14.49%-7.9M
Increase or decrease of lease financing -6.47%-444.4M3.76%-417.4M-5.55%-433.7M4.29%-410.9M-6.29%-429.3M-4,221.43%-403.9M-5,805.26%-108.4M-931.03%-96.4M-2,086.36%-87.4M-1,279.01%-111.7M
Cash dividends paid -28.82%-2.81B-10.94%-2.18B-72.44%-1.96B10.51%-1.14B55.44%-1.27B-0.00%-2.86B-0.01%-1.11B----0.00%-1.75B----
Cash dividends for minorities 0.00%-6.5M5.80%-6.5M1.43%-6.9M-29.63%-7M-3.85%-5.4M3.70%-5.2M--03.70%-5.2M--------
Interest paid (cash flow from financing activities) -38.35%-576.5M-6.96%-416.7M0.84%-389.6M-0.10%-392.9M15.28%-392.5M-20.31%-463.3M-14.43%-111.8M-14.01%-125.3M-42.07%-115.5M-15.07%-110.7M
Net other fund-raising expenses -548.99%-128.5M-120.33%-19.8M-90.32%97.4M431.59%1.01B14.45%189.3M3,343.14%165.4M---------92.66%1.3M----
Financing cash flow -102.12%-4.03B32.25%-1.99B9.96%-2.94B-2.39%-3.27B-29.85%-3.19B19.60%-2.46B60.59%-446.8M-1,125.27%-901.8M-56.73%-671.6M69.95%-426.6M
Net cash flow
Beginning cash position 179.47%4.6B-23.48%1.64B190.17%2.15B-25.19%740.5M93.06%989.8M-2.32%512.7M-9.59%576.1M-22.07%550.9M-7.33%578.8M-2.32%512.7M
Current changes in cash -161.41%-1.83B736.39%2.97B-133.68%-467.1M661.08%1.39B-156.19%-247.2M2,782.32%439.9M418.64%388.1M123.88%16.5M-127.80%-22.8M-26.59%67.9M
Effect of exchange rate changes 82.95%-3.7M41.98%-21.7M-276.42%-37.4M1,109.52%21.2M-105.65%-2.1M785.71%37.2M1,411.11%35.4M1,550.00%8.7M-1,800.00%-5.1M-125.00%-1.8M
End cash Position -39.81%2.77B179.47%4.6B-23.48%1.64B190.17%2.15B-25.19%740.5M93.06%989.8M94.97%999.6M-9.59%576.1M-22.07%550.9M-7.33%578.8M
Free cash flow -85.03%352.6M-5.59%2.36B-10.99%2.5B-11.87%2.8B-7.29%3.18B3.66%3.43B-19.68%833.5M102.84%708.1M41.81%726.2M-17.57%1.16B
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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