SG Stock MarketDetailed Quotes

Seatrium Ltd (5E2)

Watchlist
  • 2.240
  • -0.050-2.18%
10min DelayMarket Closed Jan 16 17:07 CST
7.59BMarket Cap28.72P/E (TTM)

5E2 Seatrium Ltd

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-1.25%1.64B
-14.56%1.94B
-14.56%1.94B
-29.57%1.67B
8.72%2.27B
8.72%2.27B
65.81%2.36B
89.37%2.09B
89.37%2.09B
77.85%1.43B
-Cash and cash equivalents
-5.50%1.55B
-14.48%1.94B
-14.48%1.94B
-29.72%1.64B
8.58%2.27B
8.58%2.27B
64.66%2.33B
89.37%2.09B
89.37%2.09B
79.54%1.42B
-Short-term investments
248.28%97.15M
-76.66%705K
-76.66%705K
-19.04%27.89M
--3.02M
--3.02M
216.45%34.45M
----
----
-20.01%10.89M
-Accounts receivable
-26.50%1.73B
194.60%1.53B
194.60%1.53B
58.06%2.36B
49.89%518.1M
49.89%518.1M
247.58%1.49B
-5.08%345.66M
-5.08%345.66M
51.69%428.87M
-Gross accounts receivable
----
189.77%1.54B
189.77%1.54B
----
--532.64M
--532.64M
----
----
----
----
-Bad debt provision
----
-17.61%-17.1M
-17.61%-17.1M
----
---14.54M
---14.54M
----
----
----
----
-Other receivables
15.58%4.8B
27.92%3.81B
27.92%3.81B
72.50%4.15B
721.11%2.98B
721.11%2.98B
195.33%2.41B
-72.86%363.02M
-72.86%363.02M
-39.16%814.67M
Inventory
-19.22%176.07M
20.94%232.35M
20.94%232.35M
-52.71%217.97M
170.35%192.12M
170.35%192.12M
591.14%460.96M
6.12%71.06M
6.12%71.06M
-29.69%66.7M
Prepaid assets
----
181.50%490.74M
181.50%490.74M
----
19.56%174.33M
19.56%174.33M
----
202.50%145.82M
202.50%145.82M
----
Deferred assets-Current
-99.88%70K
-92.08%1.59M
-92.08%1.59M
68.26%57.93M
-57.94%20.04M
-57.94%20.04M
50.38%34.43M
-30.39%47.65M
-30.39%47.65M
-55.86%22.9M
Total current assets
-0.74%8.39B
28.78%8.14B
28.78%8.14B
24.19%8.46B
101.73%6.32B
101.73%6.32B
145.39%6.81B
3.53%3.13B
3.53%3.13B
7.18%2.77B
Non current assets
Net PPE
-4.18%4.39B
-5.24%4.46B
-5.24%4.46B
-22.18%4.59B
15.55%4.71B
15.55%4.71B
41.04%5.89B
-3.61%4.08B
-3.61%4.08B
-1.76%4.18B
-Gross PP&E
-4.18%4.39B
-8.34%7.11B
-8.34%7.11B
-22.18%4.59B
26.92%7.76B
26.92%7.76B
41.04%5.89B
-1.28%6.11B
-1.28%6.11B
-1.76%4.18B
-Accumulated depreciation
----
13.12%-2.65B
13.12%-2.65B
----
-49.69%-3.05B
-49.69%-3.05B
----
-3.75%-2.04B
-3.75%-2.04B
----
Total investment
-12.71%254.78M
-20.38%221.86M
-20.38%221.86M
-9.71%291.87M
1,280.84%278.64M
1,280.84%278.64M
1,227.74%323.27M
5.09%20.18M
5.09%20.18M
28.60%24.35M
-Long-term equity investment
-1.26%189.43M
6.48%191.96M
6.48%191.96M
-1.46%191.84M
927.92%180.27M
927.92%180.27M
1,055.62%194.68M
5.91%17.54M
5.91%17.54M
4.36%16.85M
-Including:Available-for-sale securities
-34.66%65.35M
18.03%29.9M
18.03%29.9M
-22.21%100.03M
858.82%25.33M
858.82%25.33M
1,614.32%128.59M
0.00%2.64M
0.00%2.64M
168.76%7.5M
Financial assets
----
-23.43%12.43M
-23.43%12.43M
----
-24.20%16.23M
-24.20%16.23M
----
3,283.10%21.42M
3,283.10%21.42M
----
Goodwill and other intangible assets
-3.22%4.03B
-3.30%4.08B
-3.30%4.08B
-5.07%4.16B
2,312.86%4.22B
2,312.86%4.22B
2,244.75%4.38B
-11.95%174.71M
-11.95%174.71M
-10.88%186.97M
-Goodwill
----
-0.01%3.82B
-0.01%3.82B
----
31,721.84%3.82B
31,721.84%3.82B
----
0.00%12.01M
0.00%12.01M
----
-Other intangible assets
----
-35.33%254.31M
-35.33%254.31M
----
141.72%393.26M
141.72%393.26M
----
-12.72%162.69M
-12.72%162.69M
----
Deferred assets-Non current
----
----
----
----
----
----
----
----
----
-84.48%67.01M
Total non current assets
-5.71%9.09B
-5.68%9.34B
-5.68%9.34B
-21.08%9.64B
65.98%9.91B
65.98%9.91B
92.45%12.22B
-4.86%5.97B
-4.86%5.97B
1.71%6.35B
Total assets
-3.38%17.49B
7.74%17.48B
7.74%17.48B
-4.88%18.1B
78.28%16.23B
78.28%16.23B
108.55%19.03B
-2.13%9.1B
-2.13%9.1B
3.31%9.12B
Liabilities
Current liabilities
-Current debt and capital lease obligation
-38.90%449.88M
-61.84%300.84M
-61.84%300.84M
-70.53%736.35M
-53.50%788.42M
-53.50%788.42M
177.95%2.5B
101.44%1.7B
101.44%1.7B
-45.04%899.03M
-Including:Current debt
-41.13%406.65M
-65.36%257.48M
-65.36%257.48M
-71.73%690.72M
-55.46%743.38M
-55.46%743.38M
178.00%2.44B
103.41%1.67B
103.41%1.67B
-45.55%878.88M
-Including:Current capital Lease obligation
-5.26%43.24M
-3.73%43.36M
-3.73%43.36M
-17.97%45.64M
71.14%45.04M
71.14%45.04M
176.15%55.63M
24.76%26.32M
24.76%26.32M
-7.22%20.15M
Payables
21.64%5.82B
15.21%4.79B
15.21%4.79B
26.76%4.78B
294.12%4.16B
294.12%4.16B
181.22%3.77B
-26.26%1.05B
-26.26%1.05B
-6.60%1.34B
-accounts payable
21.21%5.73B
15.20%4.59B
15.20%4.59B
26.92%4.73B
291.28%3.98B
291.28%3.98B
180.74%3.72B
-27.62%1.02B
-27.62%1.02B
-7.00%1.33B
-Total tax payable
56.91%90.02M
90.58%67.99M
90.58%67.99M
14.60%57.37M
287.18%35.68M
287.18%35.68M
222.20%50.06M
46.65%9.21M
46.65%9.21M
45.83%15.54M
-Other payable
----
-4.46%130.13M
-4.46%130.13M
----
403.38%136.2M
403.38%136.2M
----
59.77%27.06M
59.77%27.06M
----
Current provisions
-28.36%595.4M
-13.24%745.22M
-13.24%745.22M
4.52%831.08M
860.72%858.95M
860.72%858.95M
922.56%795.12M
58.56%89.41M
58.56%89.41M
107.39%77.76M
Current liabilities
1.33%7.86B
21.07%7.59B
21.07%7.59B
-6.09%7.76B
82.45%6.27B
82.45%6.27B
230.84%8.26B
35.56%3.43B
35.56%3.43B
-23.96%2.5B
Non current liabilities
-Long term debt and capital lease obligation
-25.58%2.39B
2.03%2.82B
2.03%2.82B
81.45%3.21B
66.23%2.76B
66.23%2.76B
-29.21%1.77B
-33.86%1.66B
-33.86%1.66B
11.60%2.5B
-Including:Long term debt
-28.86%1.96B
4.39%2.37B
4.39%2.37B
115.81%2.75B
60.18%2.27B
60.18%2.27B
-43.28%1.28B
-37.06%1.42B
-37.06%1.42B
13.70%2.25B
-Including:Long term capital lease obligation
-5.95%432.24M
-8.97%444.88M
-8.97%444.88M
-7.13%459.61M
101.64%488.72M
101.64%488.72M
96.06%494.91M
-5.93%242.37M
-5.93%242.37M
-4.15%252.43M
-Derivative product liabilities
----
110,264.38%80.57M
110,264.38%80.57M
----
-98.39%73K
-98.39%73K
----
479.26%4.52M
479.26%4.52M
----
Long-term accounts payable and other payables
-95.57%1.39M
-6.32%1.29M
-6.32%1.29M
1,977.17%31.3M
207.37%1.38M
207.37%1.38M
-58.47%1.51M
-87.93%448K
-87.93%448K
-2.00%3.63M
Long term provisions
-6.86%588.49M
-13.96%588.28M
-13.96%588.28M
-1.39%631.84M
247.38%683.77M
247.38%683.77M
205.32%640.76M
-4.03%196.84M
-4.03%196.84M
-8.58%209.87M
Total non current liabilities
-22.44%3.08B
0.32%3.56B
0.32%3.56B
54.62%3.97B
88.67%3.55B
88.67%3.55B
-6.32%2.57B
-31.44%1.88B
-31.44%1.88B
9.35%2.74B
Total liabilities
-6.71%10.94B
13.57%11.14B
13.57%11.14B
8.30%11.72B
84.65%9.81B
84.65%9.81B
106.78%10.83B
0.73%5.31B
0.73%5.31B
-9.55%5.24B
Shareholders'equity
Share capital
0.00%8.75B
0.00%8.75B
0.00%8.75B
0.00%8.75B
114.86%8.75B
114.86%8.75B
114.86%8.75B
0.00%4.07B
0.00%4.07B
58.20%4.07B
-common stock
0.00%8.75B
0.00%8.75B
0.00%8.75B
0.00%8.75B
114.86%8.75B
114.86%8.75B
114.86%8.75B
0.00%4.07B
0.00%4.07B
58.20%4.07B
Other equity interest
----
51.99%-12.48M
51.99%-12.48M
----
---26M
---26M
----
----
----
----
Total stockholders'equity
2.97%6.55B
-0.89%6.34B
-0.89%6.34B
-22.18%6.36B
69.65%6.39B
69.65%6.39B
111.26%8.17B
-5.80%3.77B
-5.80%3.77B
28.19%3.87B
Noncontrolling interests
-83.73%2.84M
-84.31%3.29M
-84.31%3.29M
-45.38%17.43M
9.98%20.94M
9.98%20.94M
49.96%31.91M
-19.99%19.04M
-19.99%19.04M
-19.64%21.28M
Total equity
2.73%6.55B
-1.17%6.34B
-1.17%6.34B
-22.27%6.38B
69.35%6.42B
69.35%6.42B
110.93%8.2B
-5.88%3.79B
-5.88%3.79B
27.78%3.89B
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(Q2)Jun 30, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -1.25%1.64B-14.56%1.94B-14.56%1.94B-29.57%1.67B8.72%2.27B8.72%2.27B65.81%2.36B89.37%2.09B89.37%2.09B77.85%1.43B
-Cash and cash equivalents -5.50%1.55B-14.48%1.94B-14.48%1.94B-29.72%1.64B8.58%2.27B8.58%2.27B64.66%2.33B89.37%2.09B89.37%2.09B79.54%1.42B
-Short-term investments 248.28%97.15M-76.66%705K-76.66%705K-19.04%27.89M--3.02M--3.02M216.45%34.45M---------20.01%10.89M
-Accounts receivable -26.50%1.73B194.60%1.53B194.60%1.53B58.06%2.36B49.89%518.1M49.89%518.1M247.58%1.49B-5.08%345.66M-5.08%345.66M51.69%428.87M
-Gross accounts receivable ----189.77%1.54B189.77%1.54B------532.64M--532.64M----------------
-Bad debt provision -----17.61%-17.1M-17.61%-17.1M-------14.54M---14.54M----------------
-Other receivables 15.58%4.8B27.92%3.81B27.92%3.81B72.50%4.15B721.11%2.98B721.11%2.98B195.33%2.41B-72.86%363.02M-72.86%363.02M-39.16%814.67M
Inventory -19.22%176.07M20.94%232.35M20.94%232.35M-52.71%217.97M170.35%192.12M170.35%192.12M591.14%460.96M6.12%71.06M6.12%71.06M-29.69%66.7M
Prepaid assets ----181.50%490.74M181.50%490.74M----19.56%174.33M19.56%174.33M----202.50%145.82M202.50%145.82M----
Deferred assets-Current -99.88%70K-92.08%1.59M-92.08%1.59M68.26%57.93M-57.94%20.04M-57.94%20.04M50.38%34.43M-30.39%47.65M-30.39%47.65M-55.86%22.9M
Total current assets -0.74%8.39B28.78%8.14B28.78%8.14B24.19%8.46B101.73%6.32B101.73%6.32B145.39%6.81B3.53%3.13B3.53%3.13B7.18%2.77B
Non current assets
Net PPE -4.18%4.39B-5.24%4.46B-5.24%4.46B-22.18%4.59B15.55%4.71B15.55%4.71B41.04%5.89B-3.61%4.08B-3.61%4.08B-1.76%4.18B
-Gross PP&E -4.18%4.39B-8.34%7.11B-8.34%7.11B-22.18%4.59B26.92%7.76B26.92%7.76B41.04%5.89B-1.28%6.11B-1.28%6.11B-1.76%4.18B
-Accumulated depreciation ----13.12%-2.65B13.12%-2.65B-----49.69%-3.05B-49.69%-3.05B-----3.75%-2.04B-3.75%-2.04B----
Total investment -12.71%254.78M-20.38%221.86M-20.38%221.86M-9.71%291.87M1,280.84%278.64M1,280.84%278.64M1,227.74%323.27M5.09%20.18M5.09%20.18M28.60%24.35M
-Long-term equity investment -1.26%189.43M6.48%191.96M6.48%191.96M-1.46%191.84M927.92%180.27M927.92%180.27M1,055.62%194.68M5.91%17.54M5.91%17.54M4.36%16.85M
-Including:Available-for-sale securities -34.66%65.35M18.03%29.9M18.03%29.9M-22.21%100.03M858.82%25.33M858.82%25.33M1,614.32%128.59M0.00%2.64M0.00%2.64M168.76%7.5M
Financial assets -----23.43%12.43M-23.43%12.43M-----24.20%16.23M-24.20%16.23M----3,283.10%21.42M3,283.10%21.42M----
Goodwill and other intangible assets -3.22%4.03B-3.30%4.08B-3.30%4.08B-5.07%4.16B2,312.86%4.22B2,312.86%4.22B2,244.75%4.38B-11.95%174.71M-11.95%174.71M-10.88%186.97M
-Goodwill -----0.01%3.82B-0.01%3.82B----31,721.84%3.82B31,721.84%3.82B----0.00%12.01M0.00%12.01M----
-Other intangible assets -----35.33%254.31M-35.33%254.31M----141.72%393.26M141.72%393.26M-----12.72%162.69M-12.72%162.69M----
Deferred assets-Non current -------------------------------------84.48%67.01M
Total non current assets -5.71%9.09B-5.68%9.34B-5.68%9.34B-21.08%9.64B65.98%9.91B65.98%9.91B92.45%12.22B-4.86%5.97B-4.86%5.97B1.71%6.35B
Total assets -3.38%17.49B7.74%17.48B7.74%17.48B-4.88%18.1B78.28%16.23B78.28%16.23B108.55%19.03B-2.13%9.1B-2.13%9.1B3.31%9.12B
Liabilities
Current liabilities
-Current debt and capital lease obligation -38.90%449.88M-61.84%300.84M-61.84%300.84M-70.53%736.35M-53.50%788.42M-53.50%788.42M177.95%2.5B101.44%1.7B101.44%1.7B-45.04%899.03M
-Including:Current debt -41.13%406.65M-65.36%257.48M-65.36%257.48M-71.73%690.72M-55.46%743.38M-55.46%743.38M178.00%2.44B103.41%1.67B103.41%1.67B-45.55%878.88M
-Including:Current capital Lease obligation -5.26%43.24M-3.73%43.36M-3.73%43.36M-17.97%45.64M71.14%45.04M71.14%45.04M176.15%55.63M24.76%26.32M24.76%26.32M-7.22%20.15M
Payables 21.64%5.82B15.21%4.79B15.21%4.79B26.76%4.78B294.12%4.16B294.12%4.16B181.22%3.77B-26.26%1.05B-26.26%1.05B-6.60%1.34B
-accounts payable 21.21%5.73B15.20%4.59B15.20%4.59B26.92%4.73B291.28%3.98B291.28%3.98B180.74%3.72B-27.62%1.02B-27.62%1.02B-7.00%1.33B
-Total tax payable 56.91%90.02M90.58%67.99M90.58%67.99M14.60%57.37M287.18%35.68M287.18%35.68M222.20%50.06M46.65%9.21M46.65%9.21M45.83%15.54M
-Other payable -----4.46%130.13M-4.46%130.13M----403.38%136.2M403.38%136.2M----59.77%27.06M59.77%27.06M----
Current provisions -28.36%595.4M-13.24%745.22M-13.24%745.22M4.52%831.08M860.72%858.95M860.72%858.95M922.56%795.12M58.56%89.41M58.56%89.41M107.39%77.76M
Current liabilities 1.33%7.86B21.07%7.59B21.07%7.59B-6.09%7.76B82.45%6.27B82.45%6.27B230.84%8.26B35.56%3.43B35.56%3.43B-23.96%2.5B
Non current liabilities
-Long term debt and capital lease obligation -25.58%2.39B2.03%2.82B2.03%2.82B81.45%3.21B66.23%2.76B66.23%2.76B-29.21%1.77B-33.86%1.66B-33.86%1.66B11.60%2.5B
-Including:Long term debt -28.86%1.96B4.39%2.37B4.39%2.37B115.81%2.75B60.18%2.27B60.18%2.27B-43.28%1.28B-37.06%1.42B-37.06%1.42B13.70%2.25B
-Including:Long term capital lease obligation -5.95%432.24M-8.97%444.88M-8.97%444.88M-7.13%459.61M101.64%488.72M101.64%488.72M96.06%494.91M-5.93%242.37M-5.93%242.37M-4.15%252.43M
-Derivative product liabilities ----110,264.38%80.57M110,264.38%80.57M-----98.39%73K-98.39%73K----479.26%4.52M479.26%4.52M----
Long-term accounts payable and other payables -95.57%1.39M-6.32%1.29M-6.32%1.29M1,977.17%31.3M207.37%1.38M207.37%1.38M-58.47%1.51M-87.93%448K-87.93%448K-2.00%3.63M
Long term provisions -6.86%588.49M-13.96%588.28M-13.96%588.28M-1.39%631.84M247.38%683.77M247.38%683.77M205.32%640.76M-4.03%196.84M-4.03%196.84M-8.58%209.87M
Total non current liabilities -22.44%3.08B0.32%3.56B0.32%3.56B54.62%3.97B88.67%3.55B88.67%3.55B-6.32%2.57B-31.44%1.88B-31.44%1.88B9.35%2.74B
Total liabilities -6.71%10.94B13.57%11.14B13.57%11.14B8.30%11.72B84.65%9.81B84.65%9.81B106.78%10.83B0.73%5.31B0.73%5.31B-9.55%5.24B
Shareholders'equity
Share capital 0.00%8.75B0.00%8.75B0.00%8.75B0.00%8.75B114.86%8.75B114.86%8.75B114.86%8.75B0.00%4.07B0.00%4.07B58.20%4.07B
-common stock 0.00%8.75B0.00%8.75B0.00%8.75B0.00%8.75B114.86%8.75B114.86%8.75B114.86%8.75B0.00%4.07B0.00%4.07B58.20%4.07B
Other equity interest ----51.99%-12.48M51.99%-12.48M-------26M---26M----------------
Total stockholders'equity 2.97%6.55B-0.89%6.34B-0.89%6.34B-22.18%6.36B69.65%6.39B69.65%6.39B111.26%8.17B-5.80%3.77B-5.80%3.77B28.19%3.87B
Noncontrolling interests -83.73%2.84M-84.31%3.29M-84.31%3.29M-45.38%17.43M9.98%20.94M9.98%20.94M49.96%31.91M-19.99%19.04M-19.99%19.04M-19.64%21.28M
Total equity 2.73%6.55B-1.17%6.34B-1.17%6.34B-22.27%6.38B69.35%6.42B69.35%6.42B110.93%8.2B-5.88%3.79B-5.88%3.79B27.78%3.89B
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
Market Insights
HK Tech and Internet Stocks
View More
Nancy Pelosi Portfolio
Will the 'tariff stick' strike again? Will the market remain 'reactive'?
China and the United States have successively adjusted multiple tariff and non-tariff measures, beginning to implement the consensus outcome Show More