SG Stock MarketDetailed Quotes

H07 Stamford Land

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  • 0.385
  • +0.005+1.32%
10min DelayNot Open May 13 16:34 CST
574.71MMarket Cap3.38P/E (TTM)

Stamford Land Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Mar 31, 2023
(FY)Mar 31, 2022
(FY)Mar 31, 2021
(FY)Mar 31, 2020
(Q2)Sep 30, 2019
(Q1)Jun 30, 2019
(FY)Mar 31, 2019
(Q4)Mar 31, 2019
(Q3)Dec 31, 2018
(Q2)Sep 30, 2018
Operating cash flow (Indirect Method)
Cash from operating activities
-52.84%33.4M
53.93%70.82M
-4.47%46.01M
-65.08%48.16M
-58.85%10.8M
-92.90%5.62M
-33.41%137.91M
-93.11%9.8M
123.11%22.74M
-54.82%26.24M
Net profit before non-cash adjustment
246.39%173.41M
233.16%50.06M
-39.39%15.03M
-57.87%24.79M
-21.00%11.24M
-76.85%5.45M
-20.17%58.85M
-83.31%5.96M
29.66%15.14M
0.33%14.23M
Total adjustment of non-cash items
-1,265.48%-140.58M
-62.89%12.06M
37.86%32.51M
800.99%23.58M
144.82%2.05M
-69.52%1.55M
-89.00%2.62M
-90.70%1.02M
-88.39%1.08M
-308.00%-4.57M
-Depreciation and amortization
-15.02%10.94M
-0.43%12.87M
11.44%12.92M
16.72%11.6M
4.46%2.84M
6.13%2.88M
-9.01%9.93M
-25.19%1.86M
3.23%2.65M
-7.93%2.72M
-Disposal profit
-1,141.51%-159.67M
-187.99%-12.86M
-2.75%14.62M
227.19%15.03M
81.37%-49K
-560.42%-317K
-62.02%4.59M
-59.48%4.9M
104.03%6K
-276.51%-263K
-Net exchange gains and losses
4.84%2.19M
129.79%2.09M
50.47%-7.01M
-7.38%-14.15M
56.93%-3.17M
-195.38%-2.17M
-193.17%-13.18M
-37.81%-6.2M
-134.28%-1.89M
-183.95%-7.36M
-Remuneration paid in stock
----
----
----
----
----
----
----
----
--0
----
-Other non-cash items
-40.15%5.97M
-16.75%9.97M
7.84%11.97M
776.32%11.1M
630.33%2.43M
658.82%1.16M
-75.68%1.27M
-48.17%468K
-77.47%313K
-79.58%333K
Changes in working capital
-93.40%574K
671.11%8.7M
-625.24%-1.52M
-100.27%-210K
-115.04%-2.49M
-102.72%-1.38M
-30.25%76.44M
-97.05%2.82M
160.39%6.52M
-60.22%16.58M
-Change in receivables
-287.86%-2.28M
116.41%1.21M
-105.20%-7.38M
-573.60%-3.6M
-11,136.67%-6.62M
386.34%2.31M
-111.51%-534K
-156.22%-782K
198.20%993K
103.23%60K
-Change in inventory
179.77%10.62M
4,117.78%3.8M
-89.42%90K
-98.77%851K
-98.99%68K
-97.98%1.18M
-37.31%68.92M
-111.76%-10.69M
141.55%4.53M
-83.89%6.72M
-Change in payables
-258.74%-7.6M
304.22%4.79M
9.77%-2.35M
30.23%-2.6M
7,392.45%3.97M
33.22%-4.79M
58.89%-3.73M
620.40%2.6M
316.30%796K
-97.59%53K
-Changes in other current assets
84.61%-169K
-113.53%-1.1M
57.99%8.11M
-55.72%5.14M
-97.51%243K
24.21%-72K
191.06%11.6M
----
----
--9.76M
-Changes in other current liabilities
----
----
----
----
-2,100.00%-154K
----
86.27%190K
182.88%92K
36.99%200K
97.87%-7K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-881.14%-68.51M
-865.84%-6.98M
91.67%-723K
51.32%-8.68M
39.88%-16.83M
16.23%-506K
-2,173.14%-17.83M
154.06%2.09M
645.82%8.68M
-2,150.64%-28M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-155.00%-35.11M
40.97%63.84M
14.70%45.29M
-67.12%39.48M
-242.95%-6.04M
-93.49%5.11M
-42.26%120.09M
-91.41%11.89M
265.33%31.43M
-103.10%-1.76M
Investing cash flow
Net PPE purchase and sale
11,201.49%306.29M
62.23%-2.76M
-17.11%-7.3M
28.87%-6.24M
-93.59%-1.84M
23.08%-1.39M
-124.62%-8.77M
-1,245.57%-4.25M
-48.98%-1.76M
5.74%-952K
Net business purchase and sale
----
----
----
----
----
----
--1.14M
----
----
----
Net investment property transactions
----
----
107.75%34.6M
---446.43M
---446.43M
----
--0
----
----
--0
Net investment product transactions
221.53%11.39M
-735.25%-9.37M
-88.16%1.48M
--12.46M
--3.19M
----
--0
--0
--0
--0
Dividends received (cash flow from investment activities)
-95.24%1K
-67.69%21K
-79.37%65K
-45.50%315K
-23.28%89K
-27.95%165K
153.51%578K
39.76%116K
58.11%117K
11,500.00%116K
Interest received (cash flow from investment activities)
516.47%8.91M
553.85%1.45M
-84.84%221K
-40.32%1.46M
-356.05%-1.44M
-6.24%691K
-3.89%2.44M
-24.76%556K
76.05%588K
-29.93%562K
Net changes in other investments
4,068.38%15.44M
89.33%-389K
-6,387.93%-3.65M
-98.05%58K
1,837.50%278K
----
195.39%2.98M
137.98%1.43M
11,625.00%922K
-102.45%-16K
Investing cash flow
3,194.67%342.02M
-143.50%-11.05M
105.80%25.41M
-26,844.01%-438.38M
-153,748.62%-446.16M
-168.34%-534K
89.34%-1.63M
55.50%-1.01M
98.79%-131K
81.34%-290K
Financing cash flow
Net issuance payments of debt
-2,821.29%-251.2M
3.84%-8.6M
-102.54%-8.94M
454.12%351.62M
--354.62M
--0
29.13%-99.29M
--0
--0
--0
Net common stock issuance
--0
64,668.65%238.9M
98.32%-370K
-25.90%-22.09M
-153.77%-10.07M
---3.67M
---17.55M
---1.6M
---11.98M
---3.97M
Increase or decrease of lease financing
----
----
----
---4.46M
---1.12M
---1.1M
--0
----
----
--0
Cash dividends paid
-28.16%-5.01M
0.13%-3.91M
51.58%-3.92M
6.17%-8.09M
6.17%-8.09M
----
0.28%-8.62M
--0
----
0.28%-8.62M
Interest paid (cash flow from financing activities)
-98.68%-10.55M
-0.87%-5.31M
16.81%-5.26M
-61.39%-6.33M
-97.14%-1.65M
26.46%-820K
51.11%-3.92M
32.77%-1.16M
52.15%-813K
66.84%-838K
Net other fund-raising expenses
----
----
----
--706K
----
----
----
----
----
----
Financing cash flow
-220.66%-266.76M
1,295.64%221.09M
-105.94%-18.49M
340.67%311.37M
2,585.79%333.69M
94.43%-5.6M
17.47%-129.38M
96.03%-2.75M
29.72%-12.79M
81.35%-13.42M
Net cash flow
Beginning cash position
242.43%385.72M
103.65%112.64M
-62.21%55.31M
-5.29%146.37M
10.03%145.75M
-5.29%146.37M
34.95%154.53M
65.13%137.15M
14.09%118.57M
10.69%132.46M
Current changes in cash
-85.34%40.15M
424.64%273.87M
159.64%52.2M
-701.62%-87.53M
-665.83%-118.5M
95.40%-1.02M
-130.38%-10.92M
-87.84%8.13M
190.78%18.5M
7.30%-15.47M
Effect of exchange rate changes
-1,838.41%-15.39M
-115.48%-794K
245.52%5.13M
-228.10%-3.52M
-170.81%-1.12M
4,355.56%401K
-32.62%2.75M
-76.46%1.09M
113.51%67K
66.42%1.59M
End cash Position
6.42%410.48M
242.43%385.72M
103.65%112.64M
-62.21%55.31M
-77.97%26.12M
10.03%145.75M
-5.29%146.37M
-5.29%146.37M
65.13%137.15M
14.09%118.57M
Free cash flow
-168.64%-41.93M
60.81%61.08M
14.25%37.98M
-70.13%33.25M
-190.52%-7.88M
-95.15%3.72M
-45.45%111.32M
-94.47%7.64M
299.73%29.67M
-104.86%-2.71M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Mar 31, 2023(FY)Mar 31, 2022(FY)Mar 31, 2021(FY)Mar 31, 2020(Q2)Sep 30, 2019(Q1)Jun 30, 2019(FY)Mar 31, 2019(Q4)Mar 31, 2019(Q3)Dec 31, 2018(Q2)Sep 30, 2018
Operating cash flow (Indirect Method)
Cash from operating activities -52.84%33.4M53.93%70.82M-4.47%46.01M-65.08%48.16M-58.85%10.8M-92.90%5.62M-33.41%137.91M-93.11%9.8M123.11%22.74M-54.82%26.24M
Net profit before non-cash adjustment 246.39%173.41M233.16%50.06M-39.39%15.03M-57.87%24.79M-21.00%11.24M-76.85%5.45M-20.17%58.85M-83.31%5.96M29.66%15.14M0.33%14.23M
Total adjustment of non-cash items -1,265.48%-140.58M-62.89%12.06M37.86%32.51M800.99%23.58M144.82%2.05M-69.52%1.55M-89.00%2.62M-90.70%1.02M-88.39%1.08M-308.00%-4.57M
-Depreciation and amortization -15.02%10.94M-0.43%12.87M11.44%12.92M16.72%11.6M4.46%2.84M6.13%2.88M-9.01%9.93M-25.19%1.86M3.23%2.65M-7.93%2.72M
-Disposal profit -1,141.51%-159.67M-187.99%-12.86M-2.75%14.62M227.19%15.03M81.37%-49K-560.42%-317K-62.02%4.59M-59.48%4.9M104.03%6K-276.51%-263K
-Net exchange gains and losses 4.84%2.19M129.79%2.09M50.47%-7.01M-7.38%-14.15M56.93%-3.17M-195.38%-2.17M-193.17%-13.18M-37.81%-6.2M-134.28%-1.89M-183.95%-7.36M
-Remuneration paid in stock ----------------------------------0----
-Other non-cash items -40.15%5.97M-16.75%9.97M7.84%11.97M776.32%11.1M630.33%2.43M658.82%1.16M-75.68%1.27M-48.17%468K-77.47%313K-79.58%333K
Changes in working capital -93.40%574K671.11%8.7M-625.24%-1.52M-100.27%-210K-115.04%-2.49M-102.72%-1.38M-30.25%76.44M-97.05%2.82M160.39%6.52M-60.22%16.58M
-Change in receivables -287.86%-2.28M116.41%1.21M-105.20%-7.38M-573.60%-3.6M-11,136.67%-6.62M386.34%2.31M-111.51%-534K-156.22%-782K198.20%993K103.23%60K
-Change in inventory 179.77%10.62M4,117.78%3.8M-89.42%90K-98.77%851K-98.99%68K-97.98%1.18M-37.31%68.92M-111.76%-10.69M141.55%4.53M-83.89%6.72M
-Change in payables -258.74%-7.6M304.22%4.79M9.77%-2.35M30.23%-2.6M7,392.45%3.97M33.22%-4.79M58.89%-3.73M620.40%2.6M316.30%796K-97.59%53K
-Changes in other current assets 84.61%-169K-113.53%-1.1M57.99%8.11M-55.72%5.14M-97.51%243K24.21%-72K191.06%11.6M----------9.76M
-Changes in other current liabilities -----------------2,100.00%-154K----86.27%190K182.88%92K36.99%200K97.87%-7K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -881.14%-68.51M-865.84%-6.98M91.67%-723K51.32%-8.68M39.88%-16.83M16.23%-506K-2,173.14%-17.83M154.06%2.09M645.82%8.68M-2,150.64%-28M
Other operating cash inflow (outflow) 0000000000
Operating cash flow -155.00%-35.11M40.97%63.84M14.70%45.29M-67.12%39.48M-242.95%-6.04M-93.49%5.11M-42.26%120.09M-91.41%11.89M265.33%31.43M-103.10%-1.76M
Investing cash flow
Net PPE purchase and sale 11,201.49%306.29M62.23%-2.76M-17.11%-7.3M28.87%-6.24M-93.59%-1.84M23.08%-1.39M-124.62%-8.77M-1,245.57%-4.25M-48.98%-1.76M5.74%-952K
Net business purchase and sale --------------------------1.14M------------
Net investment property transactions --------107.75%34.6M---446.43M---446.43M------0----------0
Net investment product transactions 221.53%11.39M-735.25%-9.37M-88.16%1.48M--12.46M--3.19M------0--0--0--0
Dividends received (cash flow from investment activities) -95.24%1K-67.69%21K-79.37%65K-45.50%315K-23.28%89K-27.95%165K153.51%578K39.76%116K58.11%117K11,500.00%116K
Interest received (cash flow from investment activities) 516.47%8.91M553.85%1.45M-84.84%221K-40.32%1.46M-356.05%-1.44M-6.24%691K-3.89%2.44M-24.76%556K76.05%588K-29.93%562K
Net changes in other investments 4,068.38%15.44M89.33%-389K-6,387.93%-3.65M-98.05%58K1,837.50%278K----195.39%2.98M137.98%1.43M11,625.00%922K-102.45%-16K
Investing cash flow 3,194.67%342.02M-143.50%-11.05M105.80%25.41M-26,844.01%-438.38M-153,748.62%-446.16M-168.34%-534K89.34%-1.63M55.50%-1.01M98.79%-131K81.34%-290K
Financing cash flow
Net issuance payments of debt -2,821.29%-251.2M3.84%-8.6M-102.54%-8.94M454.12%351.62M--354.62M--029.13%-99.29M--0--0--0
Net common stock issuance --064,668.65%238.9M98.32%-370K-25.90%-22.09M-153.77%-10.07M---3.67M---17.55M---1.6M---11.98M---3.97M
Increase or decrease of lease financing ---------------4.46M---1.12M---1.1M--0----------0
Cash dividends paid -28.16%-5.01M0.13%-3.91M51.58%-3.92M6.17%-8.09M6.17%-8.09M----0.28%-8.62M--0----0.28%-8.62M
Interest paid (cash flow from financing activities) -98.68%-10.55M-0.87%-5.31M16.81%-5.26M-61.39%-6.33M-97.14%-1.65M26.46%-820K51.11%-3.92M32.77%-1.16M52.15%-813K66.84%-838K
Net other fund-raising expenses --------------706K------------------------
Financing cash flow -220.66%-266.76M1,295.64%221.09M-105.94%-18.49M340.67%311.37M2,585.79%333.69M94.43%-5.6M17.47%-129.38M96.03%-2.75M29.72%-12.79M81.35%-13.42M
Net cash flow
Beginning cash position 242.43%385.72M103.65%112.64M-62.21%55.31M-5.29%146.37M10.03%145.75M-5.29%146.37M34.95%154.53M65.13%137.15M14.09%118.57M10.69%132.46M
Current changes in cash -85.34%40.15M424.64%273.87M159.64%52.2M-701.62%-87.53M-665.83%-118.5M95.40%-1.02M-130.38%-10.92M-87.84%8.13M190.78%18.5M7.30%-15.47M
Effect of exchange rate changes -1,838.41%-15.39M-115.48%-794K245.52%5.13M-228.10%-3.52M-170.81%-1.12M4,355.56%401K-32.62%2.75M-76.46%1.09M113.51%67K66.42%1.59M
End cash Position 6.42%410.48M242.43%385.72M103.65%112.64M-62.21%55.31M-77.97%26.12M10.03%145.75M-5.29%146.37M-5.29%146.37M65.13%137.15M14.09%118.57M
Free cash flow -168.64%-41.93M60.81%61.08M14.25%37.98M-70.13%33.25M-190.52%-7.88M-95.15%3.72M-45.45%111.32M-94.47%7.64M299.73%29.67M-104.86%-2.71M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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