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10min DelayMarket Closed Jun 5 10:31 CST
12.96MMarket Cap-4.00P/E (TTM)

BLZ Advanced

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(FY)Dec 31, 2024
(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
Operating cash flow (Indirect Method)
Cash from operating activities
84.36%-915K
-309.45%-5.85M
-151.29%-1.43M
531.75%2.79M
-96.59%441K
295.63%12.95M
-114.28%-6.62M
-161.61%-735K
124.36%1.11M
-236.56%-3.36M
Net profit before non-cash adjustment
-23.61%-4.66M
12.82%-3.77M
29.65%-4.32M
-150.71%-6.15M
-174.07%-2.45M
122.50%3.31M
-2,215.97%-14.71M
-2,966.53%-13.79M
1,299.53%2.97M
-409.30%-1.06M
Total adjustment of non-cash items
111.46%1.66M
-47.28%785K
-71.96%1.49M
8.81%5.31M
326.29%4.88M
-113.82%-2.16M
467.92%15.61M
1,195.76%13.13M
-16.44%620K
239.18%987K
-Depreciation and amortization
5.16%530K
233.77%504K
-83.80%151K
-18.32%932K
-72.32%1.14M
29.91%4.12M
118.68%3.17M
409.22%1.82M
12.03%419K
30.66%473K
-Reversal of impairment losses recognized in profit and loss
--492K
--0
-11.83%1.95M
45.18%2.21M
1,552.38%1.53M
-100.94%-105K
34,856.25%11.19M
34,662.50%11.12M
--62K
----
-Assets reserve and write-off
--106K
--0
-126.85%-160K
-68.31%596K
93,950.00%1.88M
-99.26%2K
23.29%270K
34.19%208K
-80.25%32K
117.20%16K
-Share of associates
----
--0
190.63%87K
-179.34%-96K
59.21%121K
-94.77%76K
38.74%1.45M
54.50%652K
68.97%147K
-5.19%347K
-Disposal profit
--0
1,062.30%709K
-95.84%61K
7,240.00%1.47M
100.31%20K
-2,760.25%-6.49M
--244K
--244K
--0
--0
-Net exchange gains and losses
--684K
--0
----
251.92%79K
63.89%-52K
-202.86%-144K
329.51%140K
150.00%120K
-171.91%-64K
116.02%58K
-Pension and employee benefit expenses
290.00%39K
-76.19%10K
--42K
--0
----
----
----
----
----
----
-Other non-cash items
56.39%-191K
31.99%-438K
-645.76%-644K
-51.84%118K
-36.03%245K
144.80%383K
-1,525.00%-855K
-52,150.00%-1.05M
-20.00%24K
416.67%93K
Changes in working capital
172.69%2.08M
-304.06%-2.87M
-61.19%1.41M
282.00%3.62M
-116.86%-1.99M
256.77%11.8M
-15.18%-7.53M
75.75%-73K
54.85%-2.48M
-279.88%-3.28M
-Change in receivables
198.84%598K
42.55%-605K
82.11%-1.05M
-661.58%-5.89M
-112.40%-773K
155.78%6.23M
-143.15%-11.18M
-58.22%4.04M
31.41%-5.51M
-21.08%-5.04M
-Change in inventory
186.50%1.18M
-2,533.93%-1.36M
109.29%56K
89.83%-603K
-949.14%-5.93M
170.22%698K
13.19%-994K
97.54%-57K
-78.91%698K
166.18%456K
-Change in payables
121.07%307K
-164.53%-1.46M
197.50%2.26M
-7.33%759K
-80.93%819K
28.52%4.3M
372.37%3.34M
-130.05%-4.2M
368.32%5.28M
261.84%2.55M
-Changes in other current assets
--0
287.50%558K
-98.46%144K
140.26%9.35M
581.61%3.89M
-56.14%571K
199.31%1.3M
102.60%151K
-55.30%-2.95M
-120.96%-1.25M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
0.00%-300K
26.83%-300K
-62.06%-410K
-75.36%-121K
-43.48%-99K
-56.34%-111K
Interest received (cash flow from operating activities)
-35.01%583K
15.15%897K
577.39%779K
53.33%115K
38.89%75K
-58.14%54K
-35.50%129K
-76.09%22K
145.45%81K
-63.79%21K
Tax refund paid
0
-39.29%-273K
-1,681.82%-196K
96.99%-11K
-133.97%-365K
82.65%-156K
-65.87%-899K
139.22%20K
7.58%-122K
58.33%-85K
Other operating cash inflow (outflow)
0
0
0
0
-77.78%-16K
70.97%-9K
90.31%-31K
97.07%-8K
95.12%-2K
-1,500.00%-16K
Operating cash flow
93.65%-332K
-517.85%-5.23M
-129.27%-846K
1,851.52%2.89M
-101.32%-165K
260.13%12.54M
-95.55%-7.83M
-192.15%-822K
120.29%964K
-258.37%-3.55M
Investing cash flow
Net PPE purchase and sale
83.24%-120K
83.40%-716K
-136.95%-4.31M
348.68%11.67M
-1,513.06%-4.69M
17.80%-291K
-1.14%-354K
116.67%24K
-22.50%-147K
-219.61%-163K
Net intangibles purchase and sale
----
----
----
----
----
97.71%-4K
---175K
---108K
--0
---57K
Net business purchase and sale
--0
-100.83%-106K
502.74%12.78M
42.41%-3.17M
-97.56%-5.51M
43.68%-2.79M
-214.98%-4.95M
---1.95M
--0
-281.19%-3M
Advance cash and loans provided to other parties
----
----
----
---2.55M
--0
----
----
----
--0
-73.73%-820K
Investing cash flow
85.40%-120K
-109.71%-822K
42.29%8.47M
158.31%5.95M
-230.87%-10.2M
43.73%-3.08M
-288.42%-5.48M
-68.89%-1.22M
-22.50%-147K
-208.40%-4.04M
Financing cash flow
Net issuance payments of debt
-231.72%-2.93M
435.10%2.23M
107.92%416K
-264.98%-5.25M
-134.25%-1.44M
464.04%4.2M
23.63%-1.15M
-11.04%-342K
20.61%-235K
4.73%-282K
Increase or decrease of lease financing
65.28%-25K
1.37%-72K
7.59%-73K
79.95%-79K
27.04%-394K
-7.78%-540K
---501K
---159K
---113K
---116K
Interest paid (cash flow from financing activities)
42.86%-28K
37.18%-49K
73.47%-78K
---294K
----
----
----
----
----
----
Net other fund-raising expenses
----
200.00%171K
-133.20%-171K
1,875.86%515K
-119.86%-29K
229.20%146K
64.01%-113K
2,215.38%275K
-4,500.00%-322K
82.61%-52K
Financing cash flow
-231.15%-2.99M
2,321.28%2.28M
101.84%94K
-174.44%-5.11M
-148.91%-1.86M
315.33%3.81M
73.95%-1.77M
29.60%-226K
-121.12%-670K
24.37%-450K
Net cash flow
Beginning cash position
-12.01%27.09M
33.45%30.78M
17.97%23.07M
-37.06%19.55M
77.54%31.07M
-46.71%17.5M
-19.86%32.83M
-40.15%19.8M
-48.94%19.73M
-25.71%28.05M
Current changes in cash
8.91%-3.44M
-148.91%-3.77M
106.81%7.71M
130.50%3.73M
-192.23%-12.23M
187.94%13.26M
-91.31%-15.08M
-1,419.46%-2.26M
102.84%147K
-2,492.56%-8.04M
Effect of exchange rate changes
-323.68%-170K
3,700.00%76K
100.93%2K
-130.04%-216K
134.20%719K
219.46%307K
-1.98%-257K
60.19%-41K
79.74%-79K
-151.09%-280K
End cash Position
-13.32%23.48M
-12.01%27.09M
33.45%30.78M
17.97%23.07M
-37.06%19.55M
77.54%31.07M
-46.71%17.5M
-46.71%17.5M
-40.15%19.8M
-48.94%19.73M
Free cash flow
92.39%-452K
-15.20%-5.94M
-485.29%-5.16M
126.45%1.34M
-141.50%-5.06M
243.88%12.2M
-94.74%-8.48M
-237.17%-1.03M
116.78%817K
-272.10%-3.77M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2025(FY)Dec 31, 2024(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
Operating cash flow (Indirect Method)
Cash from operating activities 84.36%-915K-309.45%-5.85M-151.29%-1.43M531.75%2.79M-96.59%441K295.63%12.95M-114.28%-6.62M-161.61%-735K124.36%1.11M-236.56%-3.36M
Net profit before non-cash adjustment -23.61%-4.66M12.82%-3.77M29.65%-4.32M-150.71%-6.15M-174.07%-2.45M122.50%3.31M-2,215.97%-14.71M-2,966.53%-13.79M1,299.53%2.97M-409.30%-1.06M
Total adjustment of non-cash items 111.46%1.66M-47.28%785K-71.96%1.49M8.81%5.31M326.29%4.88M-113.82%-2.16M467.92%15.61M1,195.76%13.13M-16.44%620K239.18%987K
-Depreciation and amortization 5.16%530K233.77%504K-83.80%151K-18.32%932K-72.32%1.14M29.91%4.12M118.68%3.17M409.22%1.82M12.03%419K30.66%473K
-Reversal of impairment losses recognized in profit and loss --492K--0-11.83%1.95M45.18%2.21M1,552.38%1.53M-100.94%-105K34,856.25%11.19M34,662.50%11.12M--62K----
-Assets reserve and write-off --106K--0-126.85%-160K-68.31%596K93,950.00%1.88M-99.26%2K23.29%270K34.19%208K-80.25%32K117.20%16K
-Share of associates ------0190.63%87K-179.34%-96K59.21%121K-94.77%76K38.74%1.45M54.50%652K68.97%147K-5.19%347K
-Disposal profit --01,062.30%709K-95.84%61K7,240.00%1.47M100.31%20K-2,760.25%-6.49M--244K--244K--0--0
-Net exchange gains and losses --684K--0----251.92%79K63.89%-52K-202.86%-144K329.51%140K150.00%120K-171.91%-64K116.02%58K
-Pension and employee benefit expenses 290.00%39K-76.19%10K--42K--0------------------------
-Other non-cash items 56.39%-191K31.99%-438K-645.76%-644K-51.84%118K-36.03%245K144.80%383K-1,525.00%-855K-52,150.00%-1.05M-20.00%24K416.67%93K
Changes in working capital 172.69%2.08M-304.06%-2.87M-61.19%1.41M282.00%3.62M-116.86%-1.99M256.77%11.8M-15.18%-7.53M75.75%-73K54.85%-2.48M-279.88%-3.28M
-Change in receivables 198.84%598K42.55%-605K82.11%-1.05M-661.58%-5.89M-112.40%-773K155.78%6.23M-143.15%-11.18M-58.22%4.04M31.41%-5.51M-21.08%-5.04M
-Change in inventory 186.50%1.18M-2,533.93%-1.36M109.29%56K89.83%-603K-949.14%-5.93M170.22%698K13.19%-994K97.54%-57K-78.91%698K166.18%456K
-Change in payables 121.07%307K-164.53%-1.46M197.50%2.26M-7.33%759K-80.93%819K28.52%4.3M372.37%3.34M-130.05%-4.2M368.32%5.28M261.84%2.55M
-Changes in other current assets --0287.50%558K-98.46%144K140.26%9.35M581.61%3.89M-56.14%571K199.31%1.3M102.60%151K-55.30%-2.95M-120.96%-1.25M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 0.00%-300K26.83%-300K-62.06%-410K-75.36%-121K-43.48%-99K-56.34%-111K
Interest received (cash flow from operating activities) -35.01%583K15.15%897K577.39%779K53.33%115K38.89%75K-58.14%54K-35.50%129K-76.09%22K145.45%81K-63.79%21K
Tax refund paid 0-39.29%-273K-1,681.82%-196K96.99%-11K-133.97%-365K82.65%-156K-65.87%-899K139.22%20K7.58%-122K58.33%-85K
Other operating cash inflow (outflow) 0000-77.78%-16K70.97%-9K90.31%-31K97.07%-8K95.12%-2K-1,500.00%-16K
Operating cash flow 93.65%-332K-517.85%-5.23M-129.27%-846K1,851.52%2.89M-101.32%-165K260.13%12.54M-95.55%-7.83M-192.15%-822K120.29%964K-258.37%-3.55M
Investing cash flow
Net PPE purchase and sale 83.24%-120K83.40%-716K-136.95%-4.31M348.68%11.67M-1,513.06%-4.69M17.80%-291K-1.14%-354K116.67%24K-22.50%-147K-219.61%-163K
Net intangibles purchase and sale --------------------97.71%-4K---175K---108K--0---57K
Net business purchase and sale --0-100.83%-106K502.74%12.78M42.41%-3.17M-97.56%-5.51M43.68%-2.79M-214.98%-4.95M---1.95M--0-281.19%-3M
Advance cash and loans provided to other parties ---------------2.55M--0--------------0-73.73%-820K
Investing cash flow 85.40%-120K-109.71%-822K42.29%8.47M158.31%5.95M-230.87%-10.2M43.73%-3.08M-288.42%-5.48M-68.89%-1.22M-22.50%-147K-208.40%-4.04M
Financing cash flow
Net issuance payments of debt -231.72%-2.93M435.10%2.23M107.92%416K-264.98%-5.25M-134.25%-1.44M464.04%4.2M23.63%-1.15M-11.04%-342K20.61%-235K4.73%-282K
Increase or decrease of lease financing 65.28%-25K1.37%-72K7.59%-73K79.95%-79K27.04%-394K-7.78%-540K---501K---159K---113K---116K
Interest paid (cash flow from financing activities) 42.86%-28K37.18%-49K73.47%-78K---294K------------------------
Net other fund-raising expenses ----200.00%171K-133.20%-171K1,875.86%515K-119.86%-29K229.20%146K64.01%-113K2,215.38%275K-4,500.00%-322K82.61%-52K
Financing cash flow -231.15%-2.99M2,321.28%2.28M101.84%94K-174.44%-5.11M-148.91%-1.86M315.33%3.81M73.95%-1.77M29.60%-226K-121.12%-670K24.37%-450K
Net cash flow
Beginning cash position -12.01%27.09M33.45%30.78M17.97%23.07M-37.06%19.55M77.54%31.07M-46.71%17.5M-19.86%32.83M-40.15%19.8M-48.94%19.73M-25.71%28.05M
Current changes in cash 8.91%-3.44M-148.91%-3.77M106.81%7.71M130.50%3.73M-192.23%-12.23M187.94%13.26M-91.31%-15.08M-1,419.46%-2.26M102.84%147K-2,492.56%-8.04M
Effect of exchange rate changes -323.68%-170K3,700.00%76K100.93%2K-130.04%-216K134.20%719K219.46%307K-1.98%-257K60.19%-41K79.74%-79K-151.09%-280K
End cash Position -13.32%23.48M-12.01%27.09M33.45%30.78M17.97%23.07M-37.06%19.55M77.54%31.07M-46.71%17.5M-46.71%17.5M-40.15%19.8M-48.94%19.73M
Free cash flow 92.39%-452K-15.20%-5.94M-485.29%-5.16M126.45%1.34M-141.50%-5.06M243.88%12.2M-94.74%-8.48M-237.17%-1.03M116.78%817K-272.10%-3.77M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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