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GRC (S3N)

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  • 0.143
  • -0.006-4.03%
10min DelayMarket Closed Jan 16 17:04 CST
484.18MMarket Cap28.60P/E (TTM)

S3N GRC

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
482.44%25.74M
-34.43%4.42M
-22.27%6.74M
-20.42%8.67M
18.80%10.9M
-33.85%9.17M
247.03%2.46M
-31.02%2.64M
721.81%13.86M
-29.13%8.54M
Net profit before non-cash adjustment
84.70%7.69M
65.40%4.16M
111.79%2.52M
-688.24%-21.35M
116.23%3.63M
-165.28%-22.36M
-98.65%54K
345.88%1.52M
-179.17%-8.43M
-157.12%-6.58M
Total adjustment of non-cash items
262.16%2.38M
-85.76%658K
-85.36%4.62M
305.04%31.56M
-75.66%7.79M
141.55%32.02M
197.31%2.61M
-43.99%1.1M
552.08%13.26M
216.82%7.76M
-Depreciation and amortization
655.28%2.15M
64.16%284K
60.19%173K
881.82%108K
-57.69%11K
-71.74%26K
100.00%56K
2,161.11%814K
-77.06%92K
-81.36%11K
-Reversal of impairment losses recognized in profit and loss
33.33%40K
--30K
----
--0
----
-98.13%156K
--48K
--0
1,090.00%8.33M
1,042.86%8M
-Assets reserve and write-off
-8,933.33%-265K
-99.01%3K
978.57%302K
-84.44%28K
-84.99%180K
--1.2M
----
----
--0
----
-Share of associates
----
----
----
1,079.19%18.45M
-231.47%-1.88M
111.12%1.43M
100.74%33K
-1,306.67%-2.11M
-113.22%-12.89M
----
-Disposal profit
39.01%-1.76M
-364.83%-2.88M
-88.21%1.09M
63.40%9.23M
-74.12%5.65M
178.79%21.84M
-2,081.82%-240K
-180.00%-20K
255.09%7.83M
334.26%7.82M
-Net exchange gains and losses
--16K
--0
----
----
----
----
----
----
----
----
-Deferred income tax
----
-51.08%543K
1,175.86%1.11M
--87K
--0
3,716.67%687K
7,250.00%429K
--0
102.32%18K
--0
-Other non-cash items
-31.60%2.21M
65.55%3.23M
-46.72%1.95M
-4.64%3.66M
-42.62%3.83M
-32.31%6.68M
27.66%2.28M
42.66%2.41M
25.97%9.87M
142.35%4.81M
Changes in working capital
3,997.01%15.67M
-0.50%-402K
73.99%-400K
-191.84%-1.54M
-8.88%-527K
-105.35%-484K
66.50%-203K
-99.20%20K
249.93%9.04M
2.51%7.36M
-Change in receivables
-10,465.74%-11.41M
-104.99%-108K
576.43%2.16M
-1,007.32%-454K
54.44%-41K
-101.09%-90K
-92.41%35K
-101.93%-73K
570.87%8.25M
-26.83%3.31M
-Change in inventory
--878K
--0
----
----
----
----
----
----
----
----
-Change in prepaid assets
--441K
--0
----
----
----
----
----
----
----
----
-Change in payables
4,300.34%12.35M
88.53%-294K
-136.44%-2.56M
-123.05%-1.08M
-23.35%-486K
-149.62%-394K
77.69%-238K
107.16%93K
104.85%794K
2,944.36%4.05M
-Changes in other current liabilities
--13.41M
--0
----
----
----
----
----
----
----
----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-19.33%-3.59M
43.31%-3.01M
27.80%-5.3M
-311.78%-7.34M
47.57%-1.78M
17.81%-3.4M
-40.95%-1.64M
-67.29%-1.78M
43.56%-4.14M
78.33%-940K
Interest received (cash flow from operating activities)
-52.83%25K
53K
Tax refund paid
29.53%-649K
-87.58%-921K
-1,463.89%-491K
134.29%36K
75.41%-105K
-2,272.22%-427K
-200.00%-6K
0
96.80%-18K
0
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
-132.50%-156K
Operating cash flow
3,842.86%21.53M
-42.34%546K
-30.57%947K
-84.86%1.36M
68.58%9.01M
-44.96%5.34M
282.96%816K
-68.67%857K
256.38%9.71M
-9.14%7.45M
Investing cash flow
Net PPE purchase and sale
-612.90%-221K
-1,650.00%-31K
103.28%2K
-306.67%-61K
-100.38%-15K
5,681.16%3.99M
--0
--0
-68.64%69K
96.36%-2K
Net business purchase and sale
--81.44M
--0
----
--43.4M
--0
----
----
----
----
----
Net investment property transactions
67.70%10.7M
21.99%6.38M
258.46%5.23M
51.98%1.46M
-96.16%960K
3,052.53%24.97M
--0
--968K
-81.92%792K
-132.50%-156K
Net investment product transactions
----
----
----
--8M
--0
----
----
----
----
----
Dividends received (cash flow from investment activities)
----
----
----
----
----
--1.84M
--1.84M
----
--0
----
Interest received (cash flow from investment activities)
----
96.30%53K
--27K
--0
-94.74%1K
-26.92%19K
-83.33%2K
-16.67%10K
-62.86%26K
-137.84%-14K
Investing cash flow
1,347.79%91.92M
20.73%6.35M
-90.04%5.26M
5,481.18%52.8M
-96.93%946K
3,374.18%30.82M
2,870.97%1.84M
3,160.00%978K
-93.41%887K
11.11%-16K
Financing cash flow
Net issuance payments of debt
-63.07%-16.99M
9.23%-10.42M
75.52%-11.48M
-2,631.47%-46.87M
93.84%-1.72M
-155.24%-27.84M
-6.93%-216K
39.34%-999K
43.99%-10.91M
0.88%-8.21M
Increase or decrease of lease financing
-231.03%-672K
-84.55%-203K
96.72%-110K
30.26%-3.35M
-15.79%-4.8M
-1,846.95%-4.15M
-629.87%-562K
-627.40%-531K
60.77%-213K
38.78%-30K
Net other fund-raising expenses
----
----
----
----
----
678.03%1M
----
98.30%-17K
-102.95%-173K
--0
Financing cash flow
-66.28%-17.66M
8.34%-10.62M
76.93%-11.59M
-670.50%-50.22M
78.96%-6.52M
-174.39%-30.98M
-178.85%-778K
43.13%-1.55M
26.39%-11.29M
13.56%-8.24M
Net cash flow
Beginning cash position
-40.57%5.46M
-36.95%9.18M
37.12%14.56M
47.83%10.62M
257.85%7.18M
-25.78%2.01M
-16.52%2.3M
-25.78%2.01M
-74.92%2.7M
-30.60%2.81M
Current changes in cash
2,672.26%95.79M
30.77%-3.72M
-236.49%-5.38M
14.73%3.94M
-33.62%3.44M
842.47%5.18M
383.56%1.88M
540.00%288K
91.37%-697K
40.31%-807K
Effect of exchange rate changes
---7K
--0
----
----
----
----
----
----
----
----
End cash Position
1,755.89%101.24M
-40.57%5.46M
-36.95%9.18M
37.12%14.56M
47.83%10.62M
257.85%7.18M
100.14%4.18M
-16.52%2.3M
-25.78%2.01M
-25.78%2.01M
Free cash flow
3,925.64%20.57M
-44.34%511K
-20.45%918K
-87.17%1.15M
68.64%8.99M
-45.05%5.33M
282.96%816K
-68.64%857K
254.57%9.7M
-8.52%7.45M
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 482.44%25.74M-34.43%4.42M-22.27%6.74M-20.42%8.67M18.80%10.9M-33.85%9.17M247.03%2.46M-31.02%2.64M721.81%13.86M-29.13%8.54M
Net profit before non-cash adjustment 84.70%7.69M65.40%4.16M111.79%2.52M-688.24%-21.35M116.23%3.63M-165.28%-22.36M-98.65%54K345.88%1.52M-179.17%-8.43M-157.12%-6.58M
Total adjustment of non-cash items 262.16%2.38M-85.76%658K-85.36%4.62M305.04%31.56M-75.66%7.79M141.55%32.02M197.31%2.61M-43.99%1.1M552.08%13.26M216.82%7.76M
-Depreciation and amortization 655.28%2.15M64.16%284K60.19%173K881.82%108K-57.69%11K-71.74%26K100.00%56K2,161.11%814K-77.06%92K-81.36%11K
-Reversal of impairment losses recognized in profit and loss 33.33%40K--30K------0-----98.13%156K--48K--01,090.00%8.33M1,042.86%8M
-Assets reserve and write-off -8,933.33%-265K-99.01%3K978.57%302K-84.44%28K-84.99%180K--1.2M----------0----
-Share of associates ------------1,079.19%18.45M-231.47%-1.88M111.12%1.43M100.74%33K-1,306.67%-2.11M-113.22%-12.89M----
-Disposal profit 39.01%-1.76M-364.83%-2.88M-88.21%1.09M63.40%9.23M-74.12%5.65M178.79%21.84M-2,081.82%-240K-180.00%-20K255.09%7.83M334.26%7.82M
-Net exchange gains and losses --16K--0--------------------------------
-Deferred income tax -----51.08%543K1,175.86%1.11M--87K--03,716.67%687K7,250.00%429K--0102.32%18K--0
-Other non-cash items -31.60%2.21M65.55%3.23M-46.72%1.95M-4.64%3.66M-42.62%3.83M-32.31%6.68M27.66%2.28M42.66%2.41M25.97%9.87M142.35%4.81M
Changes in working capital 3,997.01%15.67M-0.50%-402K73.99%-400K-191.84%-1.54M-8.88%-527K-105.35%-484K66.50%-203K-99.20%20K249.93%9.04M2.51%7.36M
-Change in receivables -10,465.74%-11.41M-104.99%-108K576.43%2.16M-1,007.32%-454K54.44%-41K-101.09%-90K-92.41%35K-101.93%-73K570.87%8.25M-26.83%3.31M
-Change in inventory --878K--0--------------------------------
-Change in prepaid assets --441K--0--------------------------------
-Change in payables 4,300.34%12.35M88.53%-294K-136.44%-2.56M-123.05%-1.08M-23.35%-486K-149.62%-394K77.69%-238K107.16%93K104.85%794K2,944.36%4.05M
-Changes in other current liabilities --13.41M--0--------------------------------
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -19.33%-3.59M43.31%-3.01M27.80%-5.3M-311.78%-7.34M47.57%-1.78M17.81%-3.4M-40.95%-1.64M-67.29%-1.78M43.56%-4.14M78.33%-940K
Interest received (cash flow from operating activities) -52.83%25K53K
Tax refund paid 29.53%-649K-87.58%-921K-1,463.89%-491K134.29%36K75.41%-105K-2,272.22%-427K-200.00%-6K096.80%-18K0
Other operating cash inflow (outflow) 000000000-132.50%-156K
Operating cash flow 3,842.86%21.53M-42.34%546K-30.57%947K-84.86%1.36M68.58%9.01M-44.96%5.34M282.96%816K-68.67%857K256.38%9.71M-9.14%7.45M
Investing cash flow
Net PPE purchase and sale -612.90%-221K-1,650.00%-31K103.28%2K-306.67%-61K-100.38%-15K5,681.16%3.99M--0--0-68.64%69K96.36%-2K
Net business purchase and sale --81.44M--0------43.4M--0--------------------
Net investment property transactions 67.70%10.7M21.99%6.38M258.46%5.23M51.98%1.46M-96.16%960K3,052.53%24.97M--0--968K-81.92%792K-132.50%-156K
Net investment product transactions --------------8M--0--------------------
Dividends received (cash flow from investment activities) ----------------------1.84M--1.84M------0----
Interest received (cash flow from investment activities) ----96.30%53K--27K--0-94.74%1K-26.92%19K-83.33%2K-16.67%10K-62.86%26K-137.84%-14K
Investing cash flow 1,347.79%91.92M20.73%6.35M-90.04%5.26M5,481.18%52.8M-96.93%946K3,374.18%30.82M2,870.97%1.84M3,160.00%978K-93.41%887K11.11%-16K
Financing cash flow
Net issuance payments of debt -63.07%-16.99M9.23%-10.42M75.52%-11.48M-2,631.47%-46.87M93.84%-1.72M-155.24%-27.84M-6.93%-216K39.34%-999K43.99%-10.91M0.88%-8.21M
Increase or decrease of lease financing -231.03%-672K-84.55%-203K96.72%-110K30.26%-3.35M-15.79%-4.8M-1,846.95%-4.15M-629.87%-562K-627.40%-531K60.77%-213K38.78%-30K
Net other fund-raising expenses --------------------678.03%1M----98.30%-17K-102.95%-173K--0
Financing cash flow -66.28%-17.66M8.34%-10.62M76.93%-11.59M-670.50%-50.22M78.96%-6.52M-174.39%-30.98M-178.85%-778K43.13%-1.55M26.39%-11.29M13.56%-8.24M
Net cash flow
Beginning cash position -40.57%5.46M-36.95%9.18M37.12%14.56M47.83%10.62M257.85%7.18M-25.78%2.01M-16.52%2.3M-25.78%2.01M-74.92%2.7M-30.60%2.81M
Current changes in cash 2,672.26%95.79M30.77%-3.72M-236.49%-5.38M14.73%3.94M-33.62%3.44M842.47%5.18M383.56%1.88M540.00%288K91.37%-697K40.31%-807K
Effect of exchange rate changes ---7K--0--------------------------------
End cash Position 1,755.89%101.24M-40.57%5.46M-36.95%9.18M37.12%14.56M47.83%10.62M257.85%7.18M100.14%4.18M-16.52%2.3M-25.78%2.01M-25.78%2.01M
Free cash flow 3,925.64%20.57M-44.34%511K-20.45%918K-87.17%1.15M68.64%8.99M-45.05%5.33M282.96%816K-68.64%857K254.57%9.7M-8.52%7.45M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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