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Raffles Edu (NR7)

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  • 0.150
  • +0.009+6.38%
10min DelayMarket Closed Jan 16 17:15 CST
222.34MMarket Cap25.00P/E (TTM)

NR7 Raffles Edu

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2025
(FY)Jun 30, 2024
(FY)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(Q3)Mar 31, 2022
(Q2)Dec 31, 2021
(Q1)Sep 30, 2021
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
Operating cash flow (Indirect Method)
Cash from operating activities
-28.57%25.49M
32.26%35.69M
-44.50%26.98M
88.42%48.62M
48,620.83%11.69M
85.57%-732K
3,787.50%4.35M
8.34%33.3M
4.10%25.8M
24K
Net profit before non-cash adjustment
138.73%8.74M
-1,112.36%-22.56M
-108.31%-1.86M
-25.07%22.39M
74.65%-1.65M
136.83%1.48M
-28.63%30M
-359.48%-7.44M
505.41%29.88M
---6.52M
Total adjustment of non-cash items
-68.64%17.64M
117.37%56.25M
281.20%25.88M
-132.30%-14.28M
-254.88%-11.75M
-52.43%5.97M
32.68%-22.22M
103.91%13.72M
-121.49%-6.15M
--7.59M
-Depreciation and amortization
1.14%18.22M
-10.12%18.02M
0.47%20.04M
9.56%19.95M
21.94%5.55M
-0.73%4.77M
0.31%4.85M
18.94%4.79M
14.29%18.21M
--4.55M
-Reversal of impairment losses recognized in profit and loss
470.64%1.34M
-72.80%235K
491.78%864K
105.66%146K
82.85%-208K
-95.31%9K
-18.12%122K
113.07%223K
-198.10%-2.58M
---1.21M
-Assets reserve and write-off
444.32%958K
155.07%176K
331.25%69K
900.00%16K
-142.86%-3K
--17K
83.33%-1K
200.00%3K
-107.14%-2K
--7K
-Share of associates
-57.31%362K
47.99%848K
113.29%573K
8.02%-4.31M
80.33%-156K
-447.39%-3.04M
75.02%-960K
-131.41%-158K
-396.71%-4.69M
---793K
-Disposal profit
-47.33%7.64M
82.33%14.51M
116.99%7.96M
-11.31%-46.84M
-114.15%-9.65M
--0
1.03%-37.19M
--0
-721.53%-42.08M
---4.51M
-Net exchange gains and losses
-693.70%-27.31M
120.84%4.6M
-825.32%-22.07M
-120.24%-2.39M
-466.49%-11.32M
-99.16%31K
919.02%6M
-34.10%2.9M
1,286.12%11.78M
--3.09M
-Remuneration paid in stock
----
----
----
----
----
----
----
----
-79.17%10K
--0
-Other non-cash items
-8.05%16.43M
-3.10%17.87M
-3.66%18.44M
45.04%19.14M
-37.31%4.05M
-5.12%4.18M
74.38%4.95M
1,270.33%5.96M
4.18%13.2M
--6.46M
Changes in working capital
-144.35%-887K
-32.57%2M
-92.68%2.97M
1,855.26%40.51M
2,501.34%25.09M
39.85%-8.18M
61.58%-3.42M
5.44%27.02M
-41.55%2.07M
---1.05M
-Change in receivables
-11.17%-637K
-110.43%-573K
8.30%5.49M
322.26%5.07M
95.67%10.04M
1,359.19%4.68M
85.13%-69K
-31.80%-9.58M
10.86%-2.28M
--5.13M
-Change in inventory
-175.00%-3K
33.33%4K
-83.33%3K
20.00%18K
250.00%6K
40.00%7K
-94.74%1K
180.00%4K
-66.67%15K
---4K
-Change in payables
-274.95%-5.11M
107.38%2.92M
-93.59%1.41M
429.51%21.98M
811.42%13.49M
305.50%3.54M
-73.46%550K
1,713.55%4.41M
-16.78%4.15M
--1.48M
-Changes in other current assets
1,478.19%4.87M
91.04%-353K
-129.30%-3.94M
7,050.53%13.44M
120.43%1.56M
-10.87%-16.41M
62.94%-3.91M
-2.96%32.19M
-82.46%188K
---7.65M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
2.51%-14.32M
9.28%-14.69M
31.40%-16.19M
-109.02%-23.61M
-108.68%-8.73M
24.30%-1.96M
-337.64%-5.45M
-128.05%-7.46M
24.60%-11.29M
-4.18M
Interest received (cash flow from operating activities)
-93.35%161K
55.73%2.42M
793.10%1.55M
-73.02%174K
-126.95%-38K
-83.78%24K
-70.94%59K
-15.69%129K
-48.11%645K
141K
Tax refund paid
-73.54%-6.99M
50.21%-4.03M
3.93%-8.08M
-783.00%-8.42M
-300.70%-573K
-1,604.49%-6.84M
-597.54%-851K
45.64%-156K
29.67%-953K
-143K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-77.58%4.35M
355.09%19.4M
-74.59%4.26M
18.10%16.77M
156.67%2.36M
-20.06%-9.51M
-79.58%-1.89M
-5.56%25.81M
46.46%14.2M
---4.16M
Investing cash flow
Net PPE purchase and sale
74.59%-3.44M
17.23%-13.53M
49.29%-16.35M
-18.45%-32.23M
37.68%-2.97M
4.83%-3.77M
-73.95%-18.32M
9.77%-7.18M
-39.88%-27.21M
---4.77M
Net intangibles purchase and sale
--0
-320.00%-21K
96.58%-5K
-1,116.67%-146K
-1,100.00%-120K
---10K
---7K
---9K
74.47%-12K
---10K
Net business purchase and sale
--0
-107.86%-1.15M
-67.95%14.59M
201.55%45.52M
-100.57%-33K
--0
252.31%24.61M
--20.94M
-550.01%-44.83M
--5.79M
Net investment property transactions
-4.72%4.76M
19.88%5M
524.10%4.17M
158.24%668K
561.30%2.75M
--0
-159,400.00%-1.6M
40.42%-488K
-102.04%-1.15M
--416K
Net changes in other investments
-91.41%1.78M
--20.72M
----
4.60%46.08M
--18.43M
--0
----
----
--44.05M
----
Investing cash flow
-71.84%3.1M
358.00%11.02M
-95.98%2.41M
305.46%59.88M
1,087.31%18.06M
82.36%-3.78M
250.19%32.34M
8.11%13.26M
-161.62%-29.15M
--1.52M
Financing cash flow
Net issuance payments of debt
66.92%-16.15M
-180.77%-48.81M
81.94%-17.38M
-252.40%-96.27M
-113.73%-1.56M
-105.42%-2.64M
-603.37%-60.28M
-260.05%-31.79M
213.76%63.17M
--11.36M
Increase or decrease of lease financing
-9.86%-3.33M
-109.46%-3.03M
-13.84%-1.45M
13.70%-1.27M
9.91%-300K
-160.59%-886K
236.97%289K
36.44%-375K
22.13%-1.47M
---333K
Interest paid (cash flow from financing activities)
14.51%-607K
-26.33%-710K
-264.94%-562K
39.84%-154K
35.29%-33K
839.19%547K
----
----
24.71%-256K
---51K
Net other fund-raising expenses
-99.54%125K
5,647.76%27.3M
-101.70%-492K
214.99%28.94M
87.12%-373K
99.25%-63K
131.73%4.69M
2,679.62%24.68M
-2,161.34%-25.17M
---2.9M
Financing cash flow
20.97%-19.96M
-27.01%-25.26M
71.08%-19.89M
-289.55%-68.76M
-128.05%-2.27M
-107.62%-3.04M
-1,671.17%-55.97M
12.28%-7.48M
164.15%36.27M
--8.07M
Net cash flow
Beginning cash position
21.33%29.37M
-35.32%24.21M
26.74%37.42M
260.22%29.53M
----
159.76%36.58M
52.83%61.17M
260.22%29.53M
5.78%8.2M
----
Current changes in cash
-342.26%-12.51M
139.06%5.16M
-267.39%-13.22M
-62.98%7.9M
233.90%18.15M
-254.37%-16.32M
0.87%-25.52M
1.68%31.59M
4,661.16%21.33M
--5.44M
Effect of exchange rate changes
----
----
----
----
----
-154.82%-165K
570.71%932K
-92.66%56K
----
----
End cash Position
-42.59%16.86M
21.33%29.37M
-35.32%24.21M
26.74%37.42M
----
----
159.76%36.58M
52.83%61.17M
260.22%29.53M
----
Free cash flow
-97.54%140K
147.01%5.7M
23.40%-12.12M
-21.23%-15.83M
89.34%-953K
-11.85%-13.28M
-74.06%-20.21M
-3.88%18.62M
-32.24%-13.06M
---8.94M
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(Q4)Jun 30, 2022(Q3)Mar 31, 2022(Q2)Dec 31, 2021(Q1)Sep 30, 2021(FY)Jun 30, 2021(Q4)Jun 30, 2021
Operating cash flow (Indirect Method)
Cash from operating activities -28.57%25.49M32.26%35.69M-44.50%26.98M88.42%48.62M48,620.83%11.69M85.57%-732K3,787.50%4.35M8.34%33.3M4.10%25.8M24K
Net profit before non-cash adjustment 138.73%8.74M-1,112.36%-22.56M-108.31%-1.86M-25.07%22.39M74.65%-1.65M136.83%1.48M-28.63%30M-359.48%-7.44M505.41%29.88M---6.52M
Total adjustment of non-cash items -68.64%17.64M117.37%56.25M281.20%25.88M-132.30%-14.28M-254.88%-11.75M-52.43%5.97M32.68%-22.22M103.91%13.72M-121.49%-6.15M--7.59M
-Depreciation and amortization 1.14%18.22M-10.12%18.02M0.47%20.04M9.56%19.95M21.94%5.55M-0.73%4.77M0.31%4.85M18.94%4.79M14.29%18.21M--4.55M
-Reversal of impairment losses recognized in profit and loss 470.64%1.34M-72.80%235K491.78%864K105.66%146K82.85%-208K-95.31%9K-18.12%122K113.07%223K-198.10%-2.58M---1.21M
-Assets reserve and write-off 444.32%958K155.07%176K331.25%69K900.00%16K-142.86%-3K--17K83.33%-1K200.00%3K-107.14%-2K--7K
-Share of associates -57.31%362K47.99%848K113.29%573K8.02%-4.31M80.33%-156K-447.39%-3.04M75.02%-960K-131.41%-158K-396.71%-4.69M---793K
-Disposal profit -47.33%7.64M82.33%14.51M116.99%7.96M-11.31%-46.84M-114.15%-9.65M--01.03%-37.19M--0-721.53%-42.08M---4.51M
-Net exchange gains and losses -693.70%-27.31M120.84%4.6M-825.32%-22.07M-120.24%-2.39M-466.49%-11.32M-99.16%31K919.02%6M-34.10%2.9M1,286.12%11.78M--3.09M
-Remuneration paid in stock ---------------------------------79.17%10K--0
-Other non-cash items -8.05%16.43M-3.10%17.87M-3.66%18.44M45.04%19.14M-37.31%4.05M-5.12%4.18M74.38%4.95M1,270.33%5.96M4.18%13.2M--6.46M
Changes in working capital -144.35%-887K-32.57%2M-92.68%2.97M1,855.26%40.51M2,501.34%25.09M39.85%-8.18M61.58%-3.42M5.44%27.02M-41.55%2.07M---1.05M
-Change in receivables -11.17%-637K-110.43%-573K8.30%5.49M322.26%5.07M95.67%10.04M1,359.19%4.68M85.13%-69K-31.80%-9.58M10.86%-2.28M--5.13M
-Change in inventory -175.00%-3K33.33%4K-83.33%3K20.00%18K250.00%6K40.00%7K-94.74%1K180.00%4K-66.67%15K---4K
-Change in payables -274.95%-5.11M107.38%2.92M-93.59%1.41M429.51%21.98M811.42%13.49M305.50%3.54M-73.46%550K1,713.55%4.41M-16.78%4.15M--1.48M
-Changes in other current assets 1,478.19%4.87M91.04%-353K-129.30%-3.94M7,050.53%13.44M120.43%1.56M-10.87%-16.41M62.94%-3.91M-2.96%32.19M-82.46%188K---7.65M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 2.51%-14.32M9.28%-14.69M31.40%-16.19M-109.02%-23.61M-108.68%-8.73M24.30%-1.96M-337.64%-5.45M-128.05%-7.46M24.60%-11.29M-4.18M
Interest received (cash flow from operating activities) -93.35%161K55.73%2.42M793.10%1.55M-73.02%174K-126.95%-38K-83.78%24K-70.94%59K-15.69%129K-48.11%645K141K
Tax refund paid -73.54%-6.99M50.21%-4.03M3.93%-8.08M-783.00%-8.42M-300.70%-573K-1,604.49%-6.84M-597.54%-851K45.64%-156K29.67%-953K-143K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -77.58%4.35M355.09%19.4M-74.59%4.26M18.10%16.77M156.67%2.36M-20.06%-9.51M-79.58%-1.89M-5.56%25.81M46.46%14.2M---4.16M
Investing cash flow
Net PPE purchase and sale 74.59%-3.44M17.23%-13.53M49.29%-16.35M-18.45%-32.23M37.68%-2.97M4.83%-3.77M-73.95%-18.32M9.77%-7.18M-39.88%-27.21M---4.77M
Net intangibles purchase and sale --0-320.00%-21K96.58%-5K-1,116.67%-146K-1,100.00%-120K---10K---7K---9K74.47%-12K---10K
Net business purchase and sale --0-107.86%-1.15M-67.95%14.59M201.55%45.52M-100.57%-33K--0252.31%24.61M--20.94M-550.01%-44.83M--5.79M
Net investment property transactions -4.72%4.76M19.88%5M524.10%4.17M158.24%668K561.30%2.75M--0-159,400.00%-1.6M40.42%-488K-102.04%-1.15M--416K
Net changes in other investments -91.41%1.78M--20.72M----4.60%46.08M--18.43M--0----------44.05M----
Investing cash flow -71.84%3.1M358.00%11.02M-95.98%2.41M305.46%59.88M1,087.31%18.06M82.36%-3.78M250.19%32.34M8.11%13.26M-161.62%-29.15M--1.52M
Financing cash flow
Net issuance payments of debt 66.92%-16.15M-180.77%-48.81M81.94%-17.38M-252.40%-96.27M-113.73%-1.56M-105.42%-2.64M-603.37%-60.28M-260.05%-31.79M213.76%63.17M--11.36M
Increase or decrease of lease financing -9.86%-3.33M-109.46%-3.03M-13.84%-1.45M13.70%-1.27M9.91%-300K-160.59%-886K236.97%289K36.44%-375K22.13%-1.47M---333K
Interest paid (cash flow from financing activities) 14.51%-607K-26.33%-710K-264.94%-562K39.84%-154K35.29%-33K839.19%547K--------24.71%-256K---51K
Net other fund-raising expenses -99.54%125K5,647.76%27.3M-101.70%-492K214.99%28.94M87.12%-373K99.25%-63K131.73%4.69M2,679.62%24.68M-2,161.34%-25.17M---2.9M
Financing cash flow 20.97%-19.96M-27.01%-25.26M71.08%-19.89M-289.55%-68.76M-128.05%-2.27M-107.62%-3.04M-1,671.17%-55.97M12.28%-7.48M164.15%36.27M--8.07M
Net cash flow
Beginning cash position 21.33%29.37M-35.32%24.21M26.74%37.42M260.22%29.53M----159.76%36.58M52.83%61.17M260.22%29.53M5.78%8.2M----
Current changes in cash -342.26%-12.51M139.06%5.16M-267.39%-13.22M-62.98%7.9M233.90%18.15M-254.37%-16.32M0.87%-25.52M1.68%31.59M4,661.16%21.33M--5.44M
Effect of exchange rate changes ---------------------154.82%-165K570.71%932K-92.66%56K--------
End cash Position -42.59%16.86M21.33%29.37M-35.32%24.21M26.74%37.42M--------159.76%36.58M52.83%61.17M260.22%29.53M----
Free cash flow -97.54%140K147.01%5.7M23.40%-12.12M-21.23%-15.83M89.34%-953K-11.85%-13.28M-74.06%-20.21M-3.88%18.62M-32.24%-13.06M---8.94M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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