SG Stock MarketDetailed Quotes

Chuan Hup (C33)

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  • 0.245
  • +0.005+2.08%
10min DelayMarket Closed Apr 30 17:04 CST
215.23MMarket Cap24.50P/E (TTM)

C33 Chuan Hup

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2025
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(FY)Jun 30, 2021
(FY)Jun 30, 2020
(Q2)Dec 31, 2019
(Q1)Sep 30, 2019
(FY)Jun 30, 2019
(Q4)Jun 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
123.48%4.02M
-78.36%-17.13M
-381.67%-9.61M
-29.84%3.41M
2,881.60%4.86M
-98.56%163K
33.30%-2.05M
-144.82%-2.68M
-59.52%11.3M
-69.72%10.2M
Net profit before non-cash adjustment
172.79%6.43M
-62.49%2.36M
177.92%6.28M
-83.30%2.26M
180.59%13.53M
-133.78%-16.79M
529.57%3.92M
-176.41%-4.05M
122.11%49.7M
327.26%40.22M
Total adjustment of non-cash items
-21.15%-8.27M
29.48%-6.82M
-154.98%-9.67M
70.51%-3.79M
-168.10%-12.87M
140.82%18.9M
-182.29%-3.61M
1,428.46%3.76M
-1,208.72%-46.29M
-4,841.66%-49.47M
-Depreciation and amortization
-18.35%654K
262.44%801K
2.31%221K
-2.26%216K
12.76%221K
-93.83%196K
-96.22%36K
-96.38%34K
-8.92%3.18M
-62.99%342K
-Reversal of impairment losses recognized in profit and loss
--0
--635K
--0
----
----
8,826.26%8.84M
--5K
----
-91.04%99K
-87.70%99K
-Assets reserve and write-off
--0
-381.22%-509K
106.75%181K
-798.18%-2.68M
598.18%384K
--55K
----
----
--0
----
-Share of associates
0.49%-5.07M
11.68%-5.09M
-29.65%-5.76M
-103.53%-4.45M
-297.29%-2.18M
-94.59%1.11M
-36.72%686K
739.58%1.61M
40,852.00%20.48M
1,894.10%18.84M
-Disposal profit
-1,666.41%-2.01M
106.41%128K
-221.40%-2M
134.21%1.65M
-160.14%-4.81M
111.67%8M
-147.28%-1.08M
169.06%384K
-6,829.08%-68.5M
-9,154.15%-68.02M
-Net exchange gains and losses
-105.46%-489K
-259.73%-238K
-93.37%149K
139.94%2.25M
-299.19%-5.62M
799.04%2.82M
-700.88%-2.73M
13,242.11%2.5M
482.93%314K
98.52%-10K
-Other non-cash items
46.65%-1.36M
-3.41%-2.55M
-218.06%-2.47M
9.46%-775K
59.60%-856K
-14.48%-2.12M
-40.26%-533K
-146.62%-767K
-32.03%-1.85M
-167.54%-717K
Changes in working capital
146.28%5.86M
-103.88%-12.67M
-225.65%-6.21M
17.85%4.94M
316.13%4.2M
-124.61%-1.94M
63.93%-2.36M
-665.17%-2.39M
474.93%7.89M
-23.06%19.45M
-Change in receivables
-2,816.51%-6.36M
-129.30%-218K
-56.39%744K
2,724.62%1.71M
-101.75%-65K
-10.86%3.71M
-91.14%643K
-1.67%4.49M
-47.19%4.16M
-55.12%7.76M
-Change in inventory
136.32%6.68M
-144.08%-18.4M
-172.56%-7.54M
-18.73%10.39M
281.32%12.79M
-182.69%-7.05M
142.76%959K
-45.48%2.36M
-77.33%8.53M
-78.63%9.95M
-Change in payables
24.64%2.35M
463.77%1.88M
103.56%334K
9.50%-9.38M
-318.65%-10.36M
144.59%4.74M
71.67%-2.99M
32.44%-5.19M
67.95%-10.63M
159.99%3.65M
-Changes in other current assets
-21.69%3.19M
1,534.94%4.07M
-88.81%249K
21.18%2.23M
155.03%1.84M
-157.29%-3.34M
2.22%-969K
-412.94%-4.04M
153.16%5.83M
94.12%-1.91M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
-0.95%419K
11.61%423K
23.45%379K
-27.08%307K
-2.77%421K
-29.02%433K
-21.35%70K
-18.26%179K
88.85%610K
21.57%124K
Interest paid (cash flow from operating activities)
99.63%-1K
98.44%-1K
0
-47.28%-271K
-31.03%-76K
Interest received (cash flow from operating activities)
83.49%2.58M
-10.85%1.41M
109.57%1.58M
-15.51%752K
-59.21%890K
2.25%2.18M
-31.34%425K
158.72%890K
29.41%2.13M
82.34%609K
Tax refund paid
-131.25%-666K
-24.68%-288K
-68.61%-231K
42.19%-137K
56.43%-237K
89.75%-544K
85.82%-312K
96.78%-42K
13.91%-5.31M
33.85%-299K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
140.75%6.35M
-97.83%-15.59M
-281.93%-7.88M
-27.00%4.33M
165.74%5.93M
-73.63%2.23M
59.67%-1.87M
-131.94%-1.65M
-64.04%8.47M
-68.59%10.56M
Investing cash flow
Net PPE purchase and sale
-2,172.22%-818K
-125.00%-36K
75.38%-16K
-282.35%-65K
96.79%-17K
98.48%-529K
76.44%-217K
97.59%-16K
-606.84%-34.71M
-3,052.29%-32.31M
Net business purchase and sale
---583K
--0
---3.25M
--0
----
----
--0
--0
1,468.34%92.27M
1,477.19%92.86M
Net investment product transactions
101.82%35K
-4,960.53%-1.92M
-105.88%-38K
-56.14%646K
124.89%1.47M
-95.89%655K
--0
718.75%655K
1,512.03%15.94M
346.31%1.09M
Advance cash and loans provided to other parties
23.98%-15.96M
17.79%-21M
7.91%-25.54M
17.98%-27.74M
-168.61%-33.82M
---12.59M
---5.61M
---2.12M
--0
----
Repayment of advance payments to other parties and cash income from loans
56.11%17.97M
12.13%11.51M
-37.33%10.26M
171.71%16.38M
96.83%6.03M
--3.06M
----
----
----
----
Dividends received (cash flow from investment activities)
799.45%4.89M
-59.73%544K
-39.63%1.35M
-13.86%2.24M
39.75%2.6M
-53.31%1.86M
--0
-32.03%1.13M
5.90%3.98M
-50.62%909K
Investing cash flow
150.70%5.53M
36.73%-10.91M
-101.81%-17.24M
64.01%-8.54M
-214.69%-23.73M
-109.73%-7.54M
-325.89%-5.83M
-172.97%-351K
469.00%77.49M
1,200.67%62.55M
Financing cash flow
Net issuance payments of debt
-125.17%-3.3M
177.82%13.13M
--4.73M
--0
----
99.33%-49K
56.34%-31K
73.91%-18K
-8,277.01%-7.29M
474.32%277K
Net common stock issuance
69.84%-336K
-232.54%-1.11M
---335K
--0
----
---413K
----
----
--0
----
Increase or decrease of lease financing
-24.58%-745K
---598K
--0
----
----
----
----
----
----
----
Cash dividends paid
-2.17%-6.91M
-4.53%-6.76M
52.43%-6.47M
-101.24%-13.6M
-0.61%-6.76M
90.14%-6.72M
1.06%-6.72M
----
-232.03%-68.14M
---61.35M
Cash dividends for minorities
----
----
----
----
----
----
--0
----
-40.40%-1.68M
--0
Interest paid (cash flow from financing activities)
-52.83%-836K
-197.28%-547K
---184K
--0
----
----
----
----
----
----
Net other fund-raising expenses
----
--242K
----
----
----
----
----
----
----
----
Financing cash flow
-378.98%-12.13M
292.13%4.35M
83.36%-2.26M
-101.24%-13.6M
5.86%-6.76M
90.69%-7.18M
20.94%-6.75M
73.91%-18K
-253.65%-77.1M
-82,427.03%-61.07M
Net cash flow
Beginning cash position
-51.88%20.54M
-38.93%42.68M
-22.43%69.9M
-17.60%90.11M
-12.26%109.36M
6.57%124.64M
-1.61%119.75M
6.57%124.64M
13.95%116.96M
24.62%112.55M
Current changes in cash
98.88%-247K
19.11%-22.15M
-53.75%-27.38M
27.48%-17.81M
-96.65%-24.56M
-241.04%-12.49M
-36.46%-14.44M
-136.20%-2.02M
-42.37%8.85M
-56.78%12.04M
Effect of exchange rate changes
16,400.00%330K
-98.80%2K
106.95%167K
-145.24%-2.4M
289.91%5.31M
-138.77%-2.8M
488.10%2.84M
-247.34%-2.88M
-12.16%-1.17M
104.02%49K
End cash Position
0.40%20.62M
-51.88%20.54M
-38.93%42.68M
-22.43%69.9M
-17.60%90.11M
-12.26%109.36M
-2.04%108.14M
-1.61%119.75M
6.57%124.64M
6.57%124.64M
Free cash flow
134.29%5.36M
-97.86%-15.63M
-285.09%-7.9M
-27.87%4.27M
248.00%5.92M
106.43%1.7M
62.65%-2.08M
-137.44%-1.67M
-242.21%-26.45M
-167.11%-21.87M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Jun 30, 2025(FY)Jun 30, 2024(FY)Jun 30, 2023(FY)Jun 30, 2022(FY)Jun 30, 2021(FY)Jun 30, 2020(Q2)Dec 31, 2019(Q1)Sep 30, 2019(FY)Jun 30, 2019(Q4)Jun 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities 123.48%4.02M-78.36%-17.13M-381.67%-9.61M-29.84%3.41M2,881.60%4.86M-98.56%163K33.30%-2.05M-144.82%-2.68M-59.52%11.3M-69.72%10.2M
Net profit before non-cash adjustment 172.79%6.43M-62.49%2.36M177.92%6.28M-83.30%2.26M180.59%13.53M-133.78%-16.79M529.57%3.92M-176.41%-4.05M122.11%49.7M327.26%40.22M
Total adjustment of non-cash items -21.15%-8.27M29.48%-6.82M-154.98%-9.67M70.51%-3.79M-168.10%-12.87M140.82%18.9M-182.29%-3.61M1,428.46%3.76M-1,208.72%-46.29M-4,841.66%-49.47M
-Depreciation and amortization -18.35%654K262.44%801K2.31%221K-2.26%216K12.76%221K-93.83%196K-96.22%36K-96.38%34K-8.92%3.18M-62.99%342K
-Reversal of impairment losses recognized in profit and loss --0--635K--0--------8,826.26%8.84M--5K-----91.04%99K-87.70%99K
-Assets reserve and write-off --0-381.22%-509K106.75%181K-798.18%-2.68M598.18%384K--55K----------0----
-Share of associates 0.49%-5.07M11.68%-5.09M-29.65%-5.76M-103.53%-4.45M-297.29%-2.18M-94.59%1.11M-36.72%686K739.58%1.61M40,852.00%20.48M1,894.10%18.84M
-Disposal profit -1,666.41%-2.01M106.41%128K-221.40%-2M134.21%1.65M-160.14%-4.81M111.67%8M-147.28%-1.08M169.06%384K-6,829.08%-68.5M-9,154.15%-68.02M
-Net exchange gains and losses -105.46%-489K-259.73%-238K-93.37%149K139.94%2.25M-299.19%-5.62M799.04%2.82M-700.88%-2.73M13,242.11%2.5M482.93%314K98.52%-10K
-Other non-cash items 46.65%-1.36M-3.41%-2.55M-218.06%-2.47M9.46%-775K59.60%-856K-14.48%-2.12M-40.26%-533K-146.62%-767K-32.03%-1.85M-167.54%-717K
Changes in working capital 146.28%5.86M-103.88%-12.67M-225.65%-6.21M17.85%4.94M316.13%4.2M-124.61%-1.94M63.93%-2.36M-665.17%-2.39M474.93%7.89M-23.06%19.45M
-Change in receivables -2,816.51%-6.36M-129.30%-218K-56.39%744K2,724.62%1.71M-101.75%-65K-10.86%3.71M-91.14%643K-1.67%4.49M-47.19%4.16M-55.12%7.76M
-Change in inventory 136.32%6.68M-144.08%-18.4M-172.56%-7.54M-18.73%10.39M281.32%12.79M-182.69%-7.05M142.76%959K-45.48%2.36M-77.33%8.53M-78.63%9.95M
-Change in payables 24.64%2.35M463.77%1.88M103.56%334K9.50%-9.38M-318.65%-10.36M144.59%4.74M71.67%-2.99M32.44%-5.19M67.95%-10.63M159.99%3.65M
-Changes in other current assets -21.69%3.19M1,534.94%4.07M-88.81%249K21.18%2.23M155.03%1.84M-157.29%-3.34M2.22%-969K-412.94%-4.04M153.16%5.83M94.12%-1.91M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities) -0.95%419K11.61%423K23.45%379K-27.08%307K-2.77%421K-29.02%433K-21.35%70K-18.26%179K88.85%610K21.57%124K
Interest paid (cash flow from operating activities) 99.63%-1K98.44%-1K0-47.28%-271K-31.03%-76K
Interest received (cash flow from operating activities) 83.49%2.58M-10.85%1.41M109.57%1.58M-15.51%752K-59.21%890K2.25%2.18M-31.34%425K158.72%890K29.41%2.13M82.34%609K
Tax refund paid -131.25%-666K-24.68%-288K-68.61%-231K42.19%-137K56.43%-237K89.75%-544K85.82%-312K96.78%-42K13.91%-5.31M33.85%-299K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 140.75%6.35M-97.83%-15.59M-281.93%-7.88M-27.00%4.33M165.74%5.93M-73.63%2.23M59.67%-1.87M-131.94%-1.65M-64.04%8.47M-68.59%10.56M
Investing cash flow
Net PPE purchase and sale -2,172.22%-818K-125.00%-36K75.38%-16K-282.35%-65K96.79%-17K98.48%-529K76.44%-217K97.59%-16K-606.84%-34.71M-3,052.29%-32.31M
Net business purchase and sale ---583K--0---3.25M--0----------0--01,468.34%92.27M1,477.19%92.86M
Net investment product transactions 101.82%35K-4,960.53%-1.92M-105.88%-38K-56.14%646K124.89%1.47M-95.89%655K--0718.75%655K1,512.03%15.94M346.31%1.09M
Advance cash and loans provided to other parties 23.98%-15.96M17.79%-21M7.91%-25.54M17.98%-27.74M-168.61%-33.82M---12.59M---5.61M---2.12M--0----
Repayment of advance payments to other parties and cash income from loans 56.11%17.97M12.13%11.51M-37.33%10.26M171.71%16.38M96.83%6.03M--3.06M----------------
Dividends received (cash flow from investment activities) 799.45%4.89M-59.73%544K-39.63%1.35M-13.86%2.24M39.75%2.6M-53.31%1.86M--0-32.03%1.13M5.90%3.98M-50.62%909K
Investing cash flow 150.70%5.53M36.73%-10.91M-101.81%-17.24M64.01%-8.54M-214.69%-23.73M-109.73%-7.54M-325.89%-5.83M-172.97%-351K469.00%77.49M1,200.67%62.55M
Financing cash flow
Net issuance payments of debt -125.17%-3.3M177.82%13.13M--4.73M--0----99.33%-49K56.34%-31K73.91%-18K-8,277.01%-7.29M474.32%277K
Net common stock issuance 69.84%-336K-232.54%-1.11M---335K--0-------413K----------0----
Increase or decrease of lease financing -24.58%-745K---598K--0----------------------------
Cash dividends paid -2.17%-6.91M-4.53%-6.76M52.43%-6.47M-101.24%-13.6M-0.61%-6.76M90.14%-6.72M1.06%-6.72M-----232.03%-68.14M---61.35M
Cash dividends for minorities --------------------------0-----40.40%-1.68M--0
Interest paid (cash flow from financing activities) -52.83%-836K-197.28%-547K---184K--0------------------------
Net other fund-raising expenses ------242K--------------------------------
Financing cash flow -378.98%-12.13M292.13%4.35M83.36%-2.26M-101.24%-13.6M5.86%-6.76M90.69%-7.18M20.94%-6.75M73.91%-18K-253.65%-77.1M-82,427.03%-61.07M
Net cash flow
Beginning cash position -51.88%20.54M-38.93%42.68M-22.43%69.9M-17.60%90.11M-12.26%109.36M6.57%124.64M-1.61%119.75M6.57%124.64M13.95%116.96M24.62%112.55M
Current changes in cash 98.88%-247K19.11%-22.15M-53.75%-27.38M27.48%-17.81M-96.65%-24.56M-241.04%-12.49M-36.46%-14.44M-136.20%-2.02M-42.37%8.85M-56.78%12.04M
Effect of exchange rate changes 16,400.00%330K-98.80%2K106.95%167K-145.24%-2.4M289.91%5.31M-138.77%-2.8M488.10%2.84M-247.34%-2.88M-12.16%-1.17M104.02%49K
End cash Position 0.40%20.62M-51.88%20.54M-38.93%42.68M-22.43%69.9M-17.60%90.11M-12.26%109.36M-2.04%108.14M-1.61%119.75M6.57%124.64M6.57%124.64M
Free cash flow 134.29%5.36M-97.86%-15.63M-285.09%-7.9M-27.87%4.27M248.00%5.92M106.43%1.7M62.65%-2.08M-137.44%-1.67M-242.21%-26.45M-167.11%-21.87M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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