SG Stock MarketDetailed Quotes

5FW Acesian Partners

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  • 0.047
  • -0.001-2.08%
10min DelayTrading May 9 10:47 CST
22.26MMarket Cap2.94P/E (TTM)

Acesian Partners Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
4.02%19.24M
4.02%19.24M
76.03%18.56M
105.88%18.49M
105.88%18.49M
104.78%10.54M
101.22%8.98M
--8.98M
22.74%5.15M
5.98%4.46M
-Cash and cash equivalents
4.02%19.24M
4.02%19.24M
66.73%17.58M
105.88%18.49M
105.88%18.49M
104.78%10.54M
101.22%8.98M
--8.98M
22.74%5.15M
5.98%4.46M
-Short-term investments
----
----
--981K
----
----
----
----
----
----
----
-Accounts receivable
-5.51%2.71M
-5.51%2.71M
-57.10%2.34M
81.17%2.86M
81.17%2.86M
108.21%5.46M
-38.69%1.58M
--1.58M
-12.23%2.62M
27.04%2.58M
-Gross accounts receivable
-7.43%4.03M
-7.43%4.03M
----
36.34%4.35M
36.34%4.35M
----
-25.64%3.19M
--3.19M
----
17.67%4.29M
-Bad debt provision
11.14%-1.32M
11.14%-1.32M
----
7.64%-1.49M
7.64%-1.49M
----
6.01%-1.61M
---1.61M
----
-5.93%-1.71M
-Other receivables
42.11%1.16M
42.11%1.16M
-25.03%548K
22.61%814.54K
22.61%814.54K
570.64%731K
5.63%664.33K
--664.33K
142.22%109K
2.91%628.92K
Inventory
-11.73%3.75M
-11.73%3.75M
14.31%4.69M
12.08%4.25M
12.08%4.25M
10.72%4.1M
12.25%3.79M
--3.79M
-5.63%3.71M
-11.85%3.38M
Prepaid assets
105.59%458.09K
105.59%458.09K
7.63%127K
-60.19%222.81K
-60.19%222.81K
25.53%118K
140.27%559.73K
--559.73K
-26.56%94K
-70.70%232.96K
Restricted cash
-2.35%88.09K
-2.35%88.09K
-5.43%87K
-2.85%90.21K
-2.85%90.21K
0.00%92K
0.03%92.85K
--92.85K
1.10%92K
-46.18%92.82K
Total current assets
2.66%27.45M
2.66%27.45M
25.24%26.35M
70.58%26.74M
70.58%26.74M
78.79%21.04M
37.76%15.68M
--15.68M
3.51%11.77M
-2.38%11.38M
Non current assets
Net PPE
8.12%2.07M
8.12%2.07M
-37.08%1.45M
-22.60%1.91M
-22.60%1.91M
-0.69%2.31M
-6.55%2.47M
--2.47M
-6.88%2.33M
-0.00%2.64M
-Gross PP&E
9.96%6.59M
9.96%6.59M
----
-1.82%5.99M
-1.82%5.99M
----
3.92%6.1M
--6.1M
-6.88%2.33M
-10.65%5.87M
-Accumulated depreciation
-10.83%-4.52M
-10.83%-4.52M
----
-12.33%-4.08M
-12.33%-4.08M
----
-12.51%-3.63M
---3.63M
----
17.81%-3.23M
Total investment
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-Long-term equity investment
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Total non current assets
8.12%2.07M
8.12%2.07M
-37.08%1.45M
-22.60%1.91M
-22.60%1.91M
-0.69%2.31M
-6.55%2.47M
--2.47M
-6.88%2.33M
-0.00%2.64M
Total assets
3.02%29.52M
3.02%29.52M
19.07%27.81M
57.89%28.65M
57.89%28.65M
65.67%23.35M
29.41%18.15M
--18.15M
1.64%14.1M
-1.94%14.02M
Liabilities
Current liabilities
-Current debt and capital lease obligation
-42.09%219.1K
-42.09%219.1K
-58.92%191K
-20.51%378.33K
-20.51%378.33K
5.68%465K
-18.60%475.95K
--475.95K
-10.75%440K
20.90%584.67K
-Including:Current capital Lease obligation
-42.09%219.1K
-42.09%219.1K
-58.92%191K
-20.51%378.33K
-20.51%378.33K
5.68%465K
-18.60%475.95K
--475.95K
-10.75%440K
20.90%584.67K
Payables
-74.71%1.9M
-74.71%1.9M
-16.18%10.13M
2.72%7.5M
2.72%7.5M
82.59%12.09M
27.96%7.3M
--7.3M
-5.44%6.62M
0.12%5.71M
-accounts payable
-85.92%841.56K
-85.92%841.56K
-18.86%9.2M
-9.20%5.98M
-9.20%5.98M
72.29%11.34M
24.18%6.58M
--6.58M
-6.03%6.58M
6.29%5.3M
-Total tax payable
-32.02%979.14K
-32.02%979.14K
24.20%934K
383.45%1.44M
383.45%1.44M
1,734.15%752K
4,571.74%297.92K
--297.92K
--41K
56.11%6.38K
-Other payable
-11.47%77.24K
-11.47%77.24K
----
-79.50%87.25K
-79.50%87.25K
----
5.77%425.66K
--425.66K
----
-43.45%402.42K
Current liabilities
-52.12%6.1M
-52.12%6.1M
-17.60%10.38M
29.57%12.74M
29.57%12.74M
72.94%12.6M
34.23%9.83M
--9.83M
-4.45%7.29M
-1.11%7.32M
Non current liabilities
-Long term debt and capital lease obligation
342.10%811.39K
342.10%811.39K
-75.29%84K
-64.84%183.53K
-64.84%183.53K
-16.87%340K
-12.60%522.02K
--522.02K
-12.61%409K
-13.13%597.26K
-Including:Long term capital lease obligation
342.10%811.39K
342.10%811.39K
-75.29%84K
-64.84%183.53K
-64.84%183.53K
-16.87%340K
-12.60%522.02K
--522.02K
-12.61%409K
-13.13%597.26K
Total non current liabilities
342.10%811.39K
342.10%811.39K
-75.29%84K
-64.84%183.53K
-64.84%183.53K
-16.87%340K
-12.60%522.02K
--522.02K
-12.61%409K
-13.13%597.26K
Total liabilities
-46.52%6.91M
-46.52%6.91M
-19.11%10.47M
24.81%12.92M
24.81%12.92M
68.17%12.94M
30.70%10.35M
--10.35M
-4.92%7.69M
-2.13%7.92M
Shareholders'equity
Share capital
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
--20.32M
0.00%20.32M
0.00%20.32M
-common stock
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
--20.32M
0.00%20.32M
0.00%20.32M
Retained earnings
247.42%4.44M
247.42%4.44M
89.91%-843K
72.41%-3.01M
72.41%-3.01M
32.48%-8.35M
14.63%-10.92M
---10.92M
6.04%-12.37M
0.18%-12.8M
Other equity interest
--50.07K
--50.07K
----
----
----
----
----
----
----
----
Total stockholders'equity
43.15%22.36M
43.15%22.36M
66.56%17.22M
102.20%15.62M
102.20%15.62M
63.41%10.34M
28.47%7.73M
--7.73M
11.41%6.33M
-1.40%6.01M
Noncontrolling interests
128.30%242.43K
128.30%242.43K
58.67%119K
59.67%106.19K
59.67%106.19K
0.00%75K
-23.50%66.51K
--66.51K
-23.47%75K
-18.42%86.94K
Total equity
43.73%22.61M
43.73%22.61M
66.51%17.34M
101.83%15.73M
101.83%15.73M
62.67%10.41M
27.73%7.79M
--7.79M
10.82%6.4M
-1.70%6.1M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(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(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments 4.02%19.24M4.02%19.24M76.03%18.56M105.88%18.49M105.88%18.49M104.78%10.54M101.22%8.98M--8.98M22.74%5.15M5.98%4.46M
-Cash and cash equivalents 4.02%19.24M4.02%19.24M66.73%17.58M105.88%18.49M105.88%18.49M104.78%10.54M101.22%8.98M--8.98M22.74%5.15M5.98%4.46M
-Short-term investments ----------981K----------------------------
-Accounts receivable -5.51%2.71M-5.51%2.71M-57.10%2.34M81.17%2.86M81.17%2.86M108.21%5.46M-38.69%1.58M--1.58M-12.23%2.62M27.04%2.58M
-Gross accounts receivable -7.43%4.03M-7.43%4.03M----36.34%4.35M36.34%4.35M-----25.64%3.19M--3.19M----17.67%4.29M
-Bad debt provision 11.14%-1.32M11.14%-1.32M----7.64%-1.49M7.64%-1.49M----6.01%-1.61M---1.61M-----5.93%-1.71M
-Other receivables 42.11%1.16M42.11%1.16M-25.03%548K22.61%814.54K22.61%814.54K570.64%731K5.63%664.33K--664.33K142.22%109K2.91%628.92K
Inventory -11.73%3.75M-11.73%3.75M14.31%4.69M12.08%4.25M12.08%4.25M10.72%4.1M12.25%3.79M--3.79M-5.63%3.71M-11.85%3.38M
Prepaid assets 105.59%458.09K105.59%458.09K7.63%127K-60.19%222.81K-60.19%222.81K25.53%118K140.27%559.73K--559.73K-26.56%94K-70.70%232.96K
Restricted cash -2.35%88.09K-2.35%88.09K-5.43%87K-2.85%90.21K-2.85%90.21K0.00%92K0.03%92.85K--92.85K1.10%92K-46.18%92.82K
Total current assets 2.66%27.45M2.66%27.45M25.24%26.35M70.58%26.74M70.58%26.74M78.79%21.04M37.76%15.68M--15.68M3.51%11.77M-2.38%11.38M
Non current assets
Net PPE 8.12%2.07M8.12%2.07M-37.08%1.45M-22.60%1.91M-22.60%1.91M-0.69%2.31M-6.55%2.47M--2.47M-6.88%2.33M-0.00%2.64M
-Gross PP&E 9.96%6.59M9.96%6.59M-----1.82%5.99M-1.82%5.99M----3.92%6.1M--6.1M-6.88%2.33M-10.65%5.87M
-Accumulated depreciation -10.83%-4.52M-10.83%-4.52M-----12.33%-4.08M-12.33%-4.08M-----12.51%-3.63M---3.63M----17.81%-3.23M
Total investment --0--0--0--0--0--0--0--0--0--0
-Long-term equity investment --0--0--0--0--0--0--0--0--0--0
Total non current assets 8.12%2.07M8.12%2.07M-37.08%1.45M-22.60%1.91M-22.60%1.91M-0.69%2.31M-6.55%2.47M--2.47M-6.88%2.33M-0.00%2.64M
Total assets 3.02%29.52M3.02%29.52M19.07%27.81M57.89%28.65M57.89%28.65M65.67%23.35M29.41%18.15M--18.15M1.64%14.1M-1.94%14.02M
Liabilities
Current liabilities
-Current debt and capital lease obligation -42.09%219.1K-42.09%219.1K-58.92%191K-20.51%378.33K-20.51%378.33K5.68%465K-18.60%475.95K--475.95K-10.75%440K20.90%584.67K
-Including:Current capital Lease obligation -42.09%219.1K-42.09%219.1K-58.92%191K-20.51%378.33K-20.51%378.33K5.68%465K-18.60%475.95K--475.95K-10.75%440K20.90%584.67K
Payables -74.71%1.9M-74.71%1.9M-16.18%10.13M2.72%7.5M2.72%7.5M82.59%12.09M27.96%7.3M--7.3M-5.44%6.62M0.12%5.71M
-accounts payable -85.92%841.56K-85.92%841.56K-18.86%9.2M-9.20%5.98M-9.20%5.98M72.29%11.34M24.18%6.58M--6.58M-6.03%6.58M6.29%5.3M
-Total tax payable -32.02%979.14K-32.02%979.14K24.20%934K383.45%1.44M383.45%1.44M1,734.15%752K4,571.74%297.92K--297.92K--41K56.11%6.38K
-Other payable -11.47%77.24K-11.47%77.24K-----79.50%87.25K-79.50%87.25K----5.77%425.66K--425.66K-----43.45%402.42K
Current liabilities -52.12%6.1M-52.12%6.1M-17.60%10.38M29.57%12.74M29.57%12.74M72.94%12.6M34.23%9.83M--9.83M-4.45%7.29M-1.11%7.32M
Non current liabilities
-Long term debt and capital lease obligation 342.10%811.39K342.10%811.39K-75.29%84K-64.84%183.53K-64.84%183.53K-16.87%340K-12.60%522.02K--522.02K-12.61%409K-13.13%597.26K
-Including:Long term capital lease obligation 342.10%811.39K342.10%811.39K-75.29%84K-64.84%183.53K-64.84%183.53K-16.87%340K-12.60%522.02K--522.02K-12.61%409K-13.13%597.26K
Total non current liabilities 342.10%811.39K342.10%811.39K-75.29%84K-64.84%183.53K-64.84%183.53K-16.87%340K-12.60%522.02K--522.02K-12.61%409K-13.13%597.26K
Total liabilities -46.52%6.91M-46.52%6.91M-19.11%10.47M24.81%12.92M24.81%12.92M68.17%12.94M30.70%10.35M--10.35M-4.92%7.69M-2.13%7.92M
Shareholders'equity
Share capital 0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M--20.32M0.00%20.32M0.00%20.32M
-common stock 0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M--20.32M0.00%20.32M0.00%20.32M
Retained earnings 247.42%4.44M247.42%4.44M89.91%-843K72.41%-3.01M72.41%-3.01M32.48%-8.35M14.63%-10.92M---10.92M6.04%-12.37M0.18%-12.8M
Other equity interest --50.07K--50.07K--------------------------------
Total stockholders'equity 43.15%22.36M43.15%22.36M66.56%17.22M102.20%15.62M102.20%15.62M63.41%10.34M28.47%7.73M--7.73M11.41%6.33M-1.40%6.01M
Noncontrolling interests 128.30%242.43K128.30%242.43K58.67%119K59.67%106.19K59.67%106.19K0.00%75K-23.50%66.51K--66.51K-23.47%75K-18.42%86.94K
Total equity 43.73%22.61M43.73%22.61M66.51%17.34M101.83%15.73M101.83%15.73M62.67%10.41M27.73%7.79M--7.79M10.82%6.4M-1.70%6.1M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

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