SG Stock MarketDetailed Quotes

Lum Chang (L19)

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  • 0.625
  • +0.050+8.70%
10min DelayTrading Jan 16 11:45 CST
234.14MMarket Cap14.88P/E (TTM)

L19 Lum Chang

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
936.09%79.73M
-134.98%-9.54M
-57.65%27.26M
339.37%64.36M
-226.65%-26.89M
-38.20%21.23M
-31.91%6.67M
149.28%6.14M
34.36M
-11.61M
Net profit before non-cash adjustment
102.32%18.74M
133.54%9.26M
-142.58%-27.61M
-241.27%-11.38M
231.93%8.06M
-122.19%-6.11M
40.14%4.35M
209.91%3.13M
--27.53M
--7.29M
Total adjustment of non-cash items
-3.51%10.17M
-23.73%10.54M
22.48%13.82M
10.22%11.28M
-59.24%10.23M
242.07%25.11M
105.03%104K
-196.05%-1.73M
---17.67M
---3.38M
-Depreciation and amortization
12.28%6.34M
-8.05%5.65M
-4.73%6.14M
17.42%6.44M
37.51%5.49M
28.66%3.99M
38.71%1.05M
10.34%843K
--3.1M
--800K
-Reversal of impairment losses recognized in profit and loss
143.28%29K
-106.18%-67K
1,291.03%1.09M
-90.66%78K
495.73%835K
-184.06%-211K
25.00%5K
0.00%7K
--251K
--235K
-Share of associates
-77.97%778K
42.42%3.53M
-18.66%2.48M
-52.57%3.05M
204.06%6.43M
62.29%-6.18M
27.39%-3.05M
-380.77%-4.52M
---16.38M
---6.54M
-Disposal profit
78.32%-712K
-93.29%-3.28M
-28.52%-1.7M
86.78%-1.32M
-155.04%-10M
237.72%18.17M
-98.63%-145K
106.25%5K
---13.19M
---352K
-Deferred income tax
20.63%3.92M
-22.89%3.25M
952.63%4.21M
-116.49%-494K
-5.70%3M
176.02%3.18M
103.21%506K
-58.53%265K
--1.15M
---500K
-Other non-cash items
-112.50%-183K
-8.44%1.46M
-54.64%1.6M
-21.40%3.53M
-27.23%4.49M
-16.68%6.16M
45.24%1.74M
18.87%1.68M
--7.4M
--2.98M
Changes in working capital
273.26%50.83M
-171.46%-29.34M
-36.32%41.05M
242.68%64.46M
-2,126.87%-45.18M
-90.90%2.23M
-74.67%2.22M
131.06%4.74M
--24.5M
---15.53M
-Change in receivables
260.11%75.63M
-847.12%-47.23M
73.04%-4.99M
72.68%-18.5M
-215.44%-67.72M
314.51%58.66M
-14.99%11.17M
199.10%6.93M
---27.35M
---26.45M
-Change in inventory
-974.89%-6.13M
-94.40%701K
-78.23%12.53M
120.60%57.55M
938.00%26.09M
-930.13%-3.11M
-363.46%-3.67M
-207.15%-2.19M
--375K
---1.04M
-Change in payables
-208.93%-41.13M
1,422.38%37.76M
-90.65%2.48M
18.42%26.54M
168.98%22.41M
-377.94%-32.48M
151.90%1.85M
99.13%-91K
--11.69M
---31.22M
-Changes in other current assets
209.24%22.46M
-166.25%-20.56M
2,868.24%31.03M
95.68%-1.12M
-24.55%-25.95M
-152.37%-20.84M
-35,605.00%-7.14M
-51.81%93K
--39.79M
--43.18M
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
-684.21%-2.38M
82.52%-304K
-107.77%-1.74M
86.35%-837K
-273.78%-6.13M
68.50%-1.64M
47.52%-1.3M
437.17%381K
-5.21M
29K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
886.04%77.35M
-138.56%-9.84M
-59.83%25.52M
292.39%63.52M
-268.54%-33.02M
-32.79%19.59M
-26.64%5.37M
151.87%6.52M
--29.15M
---11.58M
Investing cash flow
Net PPE purchase and sale
-157.78%-8.12M
-37.53%-3.15M
-16.02%-2.29M
73.43%-1.97M
-600.00%-7.43M
-102.34%-1.06M
102.16%36K
57.73%-372K
--45.36M
--48.46M
Net intangibles purchase and sale
-94.88%22K
--430K
--0
----
120.00%10K
43.82%-50K
-363.16%-50K
--0
---89K
--0
Net business purchase and sale
63.34%-272K
-455.02%-742K
-99.59%209K
17,022.26%50.94M
-100.32%-301K
949.92%95.18M
84.51%-1.53M
----
---11.2M
---6.48M
Net investment property transactions
----
--0
---701K
--0
-210.69%-44.07M
-0.35%-14.18M
-39.67%-1.37M
-156.18%-456K
---14.13M
---61.68M
Net investment product transactions
----
--0
199.95%4M
---4M
--0
-14.11%-5.4M
---2.41M
55.68%-2.07M
---4.73M
----
Advance cash and loans provided to other parties
----
----
----
-6,736.73%-3.35M
99.35%-49K
45.16%-7.5M
---4.41M
-234.07%-10.02M
---13.68M
----
Repayment of advance payments to other parties and cash income from loans
----
----
----
--49K
----
-44.72%6.73M
--6.75M
-44.72%6.73M
--12.18M
----
Dividends received (cash flow from investment activities)
-1.04%854K
-13.70%863K
13.64%1M
-68.46%880K
1,665.82%2.79M
-89.92%158K
--0
----
--1.57M
--0
Interest received (cash flow from investment activities)
41.98%1.97M
5.09%1.38M
615.76%1.32M
-31.34%184K
-78.46%268K
52.08%1.24M
71.19%303K
130.06%375K
--818K
--268K
Investing cash flow
-357.21%-5.55M
-134.30%-1.21M
-91.72%3.54M
187.60%42.72M
-164.93%-48.77M
366.86%75.12M
78.12%-2.69M
-265.53%-5.81M
--16.09M
---14.9M
Financing cash flow
Net issuance payments of debt
-841.58%-28.41M
186.17%3.83M
94.82%-4.45M
-246.83%-85.85M
221.23%58.47M
-411.67%-48.23M
-78.58%2.46M
-123.23%-2.88M
--15.47M
--10.64M
Net common stock issuance
75.98%-110K
-193.47%-458K
--490K
--0
----
-101.15%-1.23M
--0
--0
---609K
--0
Increase or decrease of lease financing
6.34%-1.89M
1.08%-2.02M
9.77%-2.04M
-63.72%-2.26M
-79.58%-1.38M
-885.90%-769K
-1,752.94%-315K
-10.53%-21K
---78K
---21K
Issuance fees
20.00%-20K
21.88%-25K
15.79%-32K
0.00%-38K
47.95%-38K
51.01%-73K
-116.67%-13K
-66.67%-5K
---149K
----
Cash dividends paid
-98.92%-11.24M
14.29%-5.65M
56.25%-6.59M
33.33%-15.07M
-230.04%-22.6M
0.44%-6.85M
0.52%-5.71M
----
---6.88M
--0
Cash dividends for minorities
23.37%-1.11M
---1.45M
--0
-8,092.04%-16.47M
89.87%-201K
-39.62%-1.98M
--0
--0
---1.42M
--6K
Interest paid (cash flow from financing activities)
31.45%-1.96M
8.79%-2.85M
27.80%-3.13M
24.14%-4.33M
23.48%-5.71M
5.88%-7.46M
-15.35%-1.38M
-2.37%-2.64M
---7.93M
---1.21M
Net other fund-raising expenses
109.28%1.86M
-59,029.41%-20.04M
103.10%34K
-198.30%-1.1M
109.81%1.12M
-271.30%-11.38M
-725.00%-33K
-8,711.11%-775K
---3.07M
--560K
Financing cash flow
-49.68%-42.85M
-82.20%-28.63M
87.44%-15.71M
-521.89%-125.11M
138.03%29.66M
-1,575.38%-77.97M
-230.59%-4.99M
-164.52%-6.32M
---4.65M
--9.83M
Net cash flow
Beginning cash position
-43.99%50.68M
15.00%90.48M
-20.91%78.68M
-33.87%99.48M
12.48%150.43M
42.82%133.75M
36.42%128.11M
42.82%133.75M
--93.64M
--150.4M
Current changes in cash
172.95%28.95M
-397.40%-39.68M
170.74%13.34M
63.82%-18.86M
-411.51%-52.14M
-58.76%16.74M
-101.93%-2.3M
-876.98%-5.6M
--40.59M
---16.65M
Effect of exchange rate changes
534.48%504K
92.46%-116K
20.80%-1.54M
-264.02%-1.94M
2,468.00%1.18M
89.65%-50K
434.69%1.07M
91.50%-39K
---483K
--0
End cash Position
58.11%80.13M
-43.99%50.68M
15.00%90.48M
-20.91%78.68M
-33.87%99.48M
12.48%150.43M
37.24%126.87M
36.42%128.11M
--133.75M
--133.75M
Free cash flow
572.64%68.24M
-163.28%-14.44M
-62.63%22.82M
246.34%61.05M
-329.74%-41.72M
-28.62%18.16M
-6.81%5.27M
144.25%6.15M
--25.44M
---11.75M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(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 936.09%79.73M-134.98%-9.54M-57.65%27.26M339.37%64.36M-226.65%-26.89M-38.20%21.23M-31.91%6.67M149.28%6.14M34.36M-11.61M
Net profit before non-cash adjustment 102.32%18.74M133.54%9.26M-142.58%-27.61M-241.27%-11.38M231.93%8.06M-122.19%-6.11M40.14%4.35M209.91%3.13M--27.53M--7.29M
Total adjustment of non-cash items -3.51%10.17M-23.73%10.54M22.48%13.82M10.22%11.28M-59.24%10.23M242.07%25.11M105.03%104K-196.05%-1.73M---17.67M---3.38M
-Depreciation and amortization 12.28%6.34M-8.05%5.65M-4.73%6.14M17.42%6.44M37.51%5.49M28.66%3.99M38.71%1.05M10.34%843K--3.1M--800K
-Reversal of impairment losses recognized in profit and loss 143.28%29K-106.18%-67K1,291.03%1.09M-90.66%78K495.73%835K-184.06%-211K25.00%5K0.00%7K--251K--235K
-Share of associates -77.97%778K42.42%3.53M-18.66%2.48M-52.57%3.05M204.06%6.43M62.29%-6.18M27.39%-3.05M-380.77%-4.52M---16.38M---6.54M
-Disposal profit 78.32%-712K-93.29%-3.28M-28.52%-1.7M86.78%-1.32M-155.04%-10M237.72%18.17M-98.63%-145K106.25%5K---13.19M---352K
-Deferred income tax 20.63%3.92M-22.89%3.25M952.63%4.21M-116.49%-494K-5.70%3M176.02%3.18M103.21%506K-58.53%265K--1.15M---500K
-Other non-cash items -112.50%-183K-8.44%1.46M-54.64%1.6M-21.40%3.53M-27.23%4.49M-16.68%6.16M45.24%1.74M18.87%1.68M--7.4M--2.98M
Changes in working capital 273.26%50.83M-171.46%-29.34M-36.32%41.05M242.68%64.46M-2,126.87%-45.18M-90.90%2.23M-74.67%2.22M131.06%4.74M--24.5M---15.53M
-Change in receivables 260.11%75.63M-847.12%-47.23M73.04%-4.99M72.68%-18.5M-215.44%-67.72M314.51%58.66M-14.99%11.17M199.10%6.93M---27.35M---26.45M
-Change in inventory -974.89%-6.13M-94.40%701K-78.23%12.53M120.60%57.55M938.00%26.09M-930.13%-3.11M-363.46%-3.67M-207.15%-2.19M--375K---1.04M
-Change in payables -208.93%-41.13M1,422.38%37.76M-90.65%2.48M18.42%26.54M168.98%22.41M-377.94%-32.48M151.90%1.85M99.13%-91K--11.69M---31.22M
-Changes in other current assets 209.24%22.46M-166.25%-20.56M2,868.24%31.03M95.68%-1.12M-24.55%-25.95M-152.37%-20.84M-35,605.00%-7.14M-51.81%93K--39.79M--43.18M
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 -684.21%-2.38M82.52%-304K-107.77%-1.74M86.35%-837K-273.78%-6.13M68.50%-1.64M47.52%-1.3M437.17%381K-5.21M29K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 886.04%77.35M-138.56%-9.84M-59.83%25.52M292.39%63.52M-268.54%-33.02M-32.79%19.59M-26.64%5.37M151.87%6.52M--29.15M---11.58M
Investing cash flow
Net PPE purchase and sale -157.78%-8.12M-37.53%-3.15M-16.02%-2.29M73.43%-1.97M-600.00%-7.43M-102.34%-1.06M102.16%36K57.73%-372K--45.36M--48.46M
Net intangibles purchase and sale -94.88%22K--430K--0----120.00%10K43.82%-50K-363.16%-50K--0---89K--0
Net business purchase and sale 63.34%-272K-455.02%-742K-99.59%209K17,022.26%50.94M-100.32%-301K949.92%95.18M84.51%-1.53M-------11.2M---6.48M
Net investment property transactions ------0---701K--0-210.69%-44.07M-0.35%-14.18M-39.67%-1.37M-156.18%-456K---14.13M---61.68M
Net investment product transactions ------0199.95%4M---4M--0-14.11%-5.4M---2.41M55.68%-2.07M---4.73M----
Advance cash and loans provided to other parties -------------6,736.73%-3.35M99.35%-49K45.16%-7.5M---4.41M-234.07%-10.02M---13.68M----
Repayment of advance payments to other parties and cash income from loans --------------49K-----44.72%6.73M--6.75M-44.72%6.73M--12.18M----
Dividends received (cash flow from investment activities) -1.04%854K-13.70%863K13.64%1M-68.46%880K1,665.82%2.79M-89.92%158K--0------1.57M--0
Interest received (cash flow from investment activities) 41.98%1.97M5.09%1.38M615.76%1.32M-31.34%184K-78.46%268K52.08%1.24M71.19%303K130.06%375K--818K--268K
Investing cash flow -357.21%-5.55M-134.30%-1.21M-91.72%3.54M187.60%42.72M-164.93%-48.77M366.86%75.12M78.12%-2.69M-265.53%-5.81M--16.09M---14.9M
Financing cash flow
Net issuance payments of debt -841.58%-28.41M186.17%3.83M94.82%-4.45M-246.83%-85.85M221.23%58.47M-411.67%-48.23M-78.58%2.46M-123.23%-2.88M--15.47M--10.64M
Net common stock issuance 75.98%-110K-193.47%-458K--490K--0-----101.15%-1.23M--0--0---609K--0
Increase or decrease of lease financing 6.34%-1.89M1.08%-2.02M9.77%-2.04M-63.72%-2.26M-79.58%-1.38M-885.90%-769K-1,752.94%-315K-10.53%-21K---78K---21K
Issuance fees 20.00%-20K21.88%-25K15.79%-32K0.00%-38K47.95%-38K51.01%-73K-116.67%-13K-66.67%-5K---149K----
Cash dividends paid -98.92%-11.24M14.29%-5.65M56.25%-6.59M33.33%-15.07M-230.04%-22.6M0.44%-6.85M0.52%-5.71M-------6.88M--0
Cash dividends for minorities 23.37%-1.11M---1.45M--0-8,092.04%-16.47M89.87%-201K-39.62%-1.98M--0--0---1.42M--6K
Interest paid (cash flow from financing activities) 31.45%-1.96M8.79%-2.85M27.80%-3.13M24.14%-4.33M23.48%-5.71M5.88%-7.46M-15.35%-1.38M-2.37%-2.64M---7.93M---1.21M
Net other fund-raising expenses 109.28%1.86M-59,029.41%-20.04M103.10%34K-198.30%-1.1M109.81%1.12M-271.30%-11.38M-725.00%-33K-8,711.11%-775K---3.07M--560K
Financing cash flow -49.68%-42.85M-82.20%-28.63M87.44%-15.71M-521.89%-125.11M138.03%29.66M-1,575.38%-77.97M-230.59%-4.99M-164.52%-6.32M---4.65M--9.83M
Net cash flow
Beginning cash position -43.99%50.68M15.00%90.48M-20.91%78.68M-33.87%99.48M12.48%150.43M42.82%133.75M36.42%128.11M42.82%133.75M--93.64M--150.4M
Current changes in cash 172.95%28.95M-397.40%-39.68M170.74%13.34M63.82%-18.86M-411.51%-52.14M-58.76%16.74M-101.93%-2.3M-876.98%-5.6M--40.59M---16.65M
Effect of exchange rate changes 534.48%504K92.46%-116K20.80%-1.54M-264.02%-1.94M2,468.00%1.18M89.65%-50K434.69%1.07M91.50%-39K---483K--0
End cash Position 58.11%80.13M-43.99%50.68M15.00%90.48M-20.91%78.68M-33.87%99.48M12.48%150.43M37.24%126.87M36.42%128.11M--133.75M--133.75M
Free cash flow 572.64%68.24M-163.28%-14.44M-62.63%22.82M246.34%61.05M-329.74%-41.72M-28.62%18.16M-6.81%5.27M144.25%6.15M--25.44M---11.75M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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