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Sagtec Global (SAGT)

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  • 0.934
  • -0.166-15.05%
Close May 15 16:00 ET
  • 0.975
  • +0.041+4.35%
Post 20:01 ET
18.55MMarket Cap10.16P/E (TTM)

Sagtec Global (SAGT) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(FY)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
1,829.79%9.16M
1,829.79%9.16M
--1.85M
166.73%2.25M
-42.36%474.72K
-42.36%474.72K
--843.42K
259.19%823.52K
--823.52K
--229.27K
-Cash and cash equivalents
1,829.79%9.16M
1,829.79%9.16M
--1.85M
166.73%2.25M
-42.36%474.72K
-42.36%474.72K
--843.42K
259.19%823.52K
--823.52K
--229.27K
Receivables
-4.99%9.98M
-4.99%9.98M
--17.83M
315.29%23.51M
61.77%10.5M
61.77%10.5M
--5.66M
192.01%6.49M
--6.49M
--2.22M
-Accounts receivable
18.62%9.98M
18.62%9.98M
--17.83M
153.78%12.59M
322.49%8.41M
322.49%8.41M
--4.96M
87.18%1.99M
--1.99M
--1.06M
-Related party accounts receivable
----
----
----
----
----
----
----
--0
--0
--1.16M
-Other receivables
----
----
----
1,457.84%10.92M
-53.56%2.09M
-53.56%2.09M
--701.27K
--4.5M
--4.5M
----
Prepaid assets
28,127.94%3.9M
28,127.94%3.9M
--771.41K
1,163.35%174.75K
-98.76%13.83K
-98.76%13.83K
--13.83K
1,507.93%1.11M
--1.11M
--69.18K
Restricted cash
44.21%1.7M
44.21%1.7M
--1.2M
2.22%1.19M
3.80%1.18M
3.80%1.18M
--1.16M
245.20%1.14M
--1.14M
--329.16K
Current deferred assets
-52.02%366.23K
-52.02%366.23K
--0
2,248.01%10.89M
64.64%763.34K
64.64%763.34K
--463.64K
--463.64K
--463.64K
--0
Total current assets
94.17%25.11M
94.17%25.11M
--21.65M
366.62%38.01M
28.97%12.93M
28.97%12.93M
--8.15M
251.76%10.03M
--10.03M
--2.85M
Non current assets
Net PPE
142.89%33.5M
142.89%33.5M
--32.18M
65.41%20.56M
30.57%13.79M
30.57%13.79M
--12.43M
5.67%10.56M
--10.56M
--9.99M
-Gross PPE
123.58%39.86M
123.58%39.86M
--37.47M
60.35%24.96M
37.84%17.83M
37.84%17.83M
--15.57M
8.69%12.93M
--12.93M
--11.9M
-Accumulated depreciation
-57.64%-6.37M
-57.64%-6.37M
---5.29M
-40.32%-4.41M
-70.20%-4.04M
-70.20%-4.04M
---3.14M
-24.48%-2.37M
---2.37M
---1.91M
Goodwill and other intangible assets
1,005.26%7M
1,005.26%7M
--7.2M
999.55%7.39M
-10.91%633.48K
-10.91%633.48K
--672.27K
--711.07K
--711.07K
--0
-Other intangible assets
1,005.26%7M
1,005.26%7M
--7.2M
999.55%7.39M
-10.91%633.48K
-10.91%633.48K
--672.27K
--711.07K
--711.07K
----
Related parties assets
----
----
----
----
----
----
----
--0
--0
--1.16M
Non current prepaid assets
--51.06M
--51.06M
----
----
--0
--0
----
----
----
----
Total non current assets
534.75%91.56M
534.75%91.56M
--39.38M
113.36%27.95M
27.96%14.42M
27.96%14.42M
--13.1M
12.79%11.27M
--11.27M
--9.99M
Total assets
326.49%116.66M
326.49%116.66M
--61.02M
210.47%65.96M
28.43%27.35M
28.43%27.35M
--21.25M
65.82%21.3M
--21.3M
--12.84M
Liabilities
Current liabilities
Payables
42.55%6.19M
42.55%6.19M
--5.6M
90.08%5.16M
50.40%4.34M
50.40%4.34M
--2.72M
87.53%2.89M
--2.89M
--1.54M
-accounts payable
--335.07K
--335.07K
--555.15K
--816.37K
--0
--0
--0
-13.15%423.79K
--423.79K
--487.96K
-Total tax payable
31.25%5.14M
31.25%5.14M
--4.48M
76.46%3.9M
140.10%3.92M
140.10%3.92M
--2.21M
195.10%1.63M
--1.63M
--553.11K
-Due to related parties current
----
----
----
4,852.86%3.47K
--0
--0
--70
--138.07K
--138.07K
--0
-Other payable
68.02%710.69K
68.02%710.69K
--571.23K
-12.03%447.02K
-38.95%422.97K
-38.95%422.97K
--508.16K
39.03%692.84K
--692.84K
--498.33K
Current accrued expenses
38.53%1.04M
38.53%1.04M
--997.94K
--0
--749.76K
--749.76K
----
--0
--0
----
Current provisions
-94.27%25.3K
-94.27%25.3K
--409.99K
-13.29%415.46K
-10.71%441.35K
-10.71%441.35K
--479.14K
433.32%494.28K
--494.28K
--92.68K
Current debt and capital lease obligation
67.43%1.5M
67.43%1.5M
--1.62M
-12.50%1.14M
-47.26%893.84K
-47.26%893.84K
--1.3M
49.26%1.69M
--1.69M
--1.14M
-Current debt
39.48%1.17M
39.48%1.17M
--1.3M
-11.95%1.1M
-48.96%841.07K
-48.96%841.07K
--1.25M
66.20%1.65M
--1.65M
--991.45K
-Current capital lease obligation
513.06%323.5K
513.06%323.5K
--319.46K
-26.38%36.07K
12.29%52.77K
12.29%52.77K
--49K
-67.37%46.99K
--46.99K
--144.01K
Current deferred liabilities
----
----
----
----
--0
--0
--764.58K
210.16%2.69M
--2.69M
--867.71K
Current liabilities
36.15%8.75M
36.15%8.75M
--8.63M
27.70%6.72M
-17.26%6.43M
-17.26%6.43M
--5.26M
113.67%7.77M
--7.77M
--3.64M
Non current liabilities
Long term debt and capital lease obligation
85.74%4.9M
85.74%4.9M
--3.06M
-27.54%2.2M
5.92%2.64M
5.92%2.64M
--3.04M
352.29%2.49M
--2.49M
--550.25K
-Long term debt
52.77%3.86M
52.77%3.86M
--1.94M
-26.38%2.14M
8.60%2.53M
8.60%2.53M
--2.9M
418.23%2.33M
--2.33M
--448.87K
-Long term capital lease obligation
844.13%1.04M
844.13%1.04M
--1.12M
-52.00%65.95K
-32.46%109.81K
-32.46%109.81K
--137.39K
60.36%162.58K
--162.58K
--101.38K
Non current deferred liabilities
10.77%1.01M
10.77%1.01M
--953.53K
12.79%908.89K
10.13%907.41K
10.13%907.41K
--805.84K
7.39%823.94K
--823.94K
--767.26K
Total non current liabilities
66.54%5.9M
66.54%5.9M
--4.01M
-19.09%3.11M
6.97%3.54M
6.97%3.54M
--3.84M
151.44%3.31M
--3.31M
--1.32M
Total liabilities
46.95%14.65M
46.95%14.65M
--12.65M
7.94%9.83M
-10.01%9.97M
-10.01%9.97M
--9.1M
123.71%11.08M
--11.08M
--4.95M
Shareholders'equity
Share capital
6,749.43%78.48M
6,749.43%78.48M
--21.16M
2,696.74%32.04M
0.00%1.15M
0.00%1.15M
--1.15M
-54.46%1.15M
--1.15M
--2.52M
-common stock
6,749.43%78.48M
6,749.43%78.48M
--21.16M
2,696.74%32.04M
0.00%1.15M
0.00%1.15M
--1.15M
-54.46%1.15M
--1.15M
--2.52M
Retained earnings
57.30%19.45M
57.30%19.45M
--23.2M
175.63%20.13M
127.33%12.37M
127.33%12.37M
--7.3M
465.47%5.44M
--5.44M
--961.96K
Gains losses not affecting retained earnings
0.00%3.28M
0.00%3.28M
--3.28M
0.00%3.28M
0.00%3.28M
0.00%3.28M
--3.28M
0.00%3.28M
--3.28M
--3.28M
Total stockholders'equity
502.73%101.21M
502.73%101.21M
--47.63M
372.77%55.46M
70.21%16.79M
70.21%16.79M
--11.73M
45.98%9.87M
--9.87M
--6.76M
Noncontrolling interests
35.22%800.6K
35.22%800.6K
--741.02K
64.79%676.45K
67.74%592.07K
67.74%592.07K
--410.49K
-68.86%352.97K
--352.97K
--1.13M
Total equity
486.81%102.01M
486.81%102.01M
--48.38M
362.36%56.13M
70.12%17.38M
70.12%17.38M
--12.14M
29.49%10.22M
--10.22M
--7.89M
Currency Unit
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
Audit Opinions
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
--
--
--
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(FY)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 1,829.79%9.16M1,829.79%9.16M--1.85M166.73%2.25M-42.36%474.72K-42.36%474.72K--843.42K259.19%823.52K--823.52K--229.27K
-Cash and cash equivalents 1,829.79%9.16M1,829.79%9.16M--1.85M166.73%2.25M-42.36%474.72K-42.36%474.72K--843.42K259.19%823.52K--823.52K--229.27K
Receivables -4.99%9.98M-4.99%9.98M--17.83M315.29%23.51M61.77%10.5M61.77%10.5M--5.66M192.01%6.49M--6.49M--2.22M
-Accounts receivable 18.62%9.98M18.62%9.98M--17.83M153.78%12.59M322.49%8.41M322.49%8.41M--4.96M87.18%1.99M--1.99M--1.06M
-Related party accounts receivable ------------------------------0--0--1.16M
-Other receivables ------------1,457.84%10.92M-53.56%2.09M-53.56%2.09M--701.27K--4.5M--4.5M----
Prepaid assets 28,127.94%3.9M28,127.94%3.9M--771.41K1,163.35%174.75K-98.76%13.83K-98.76%13.83K--13.83K1,507.93%1.11M--1.11M--69.18K
Restricted cash 44.21%1.7M44.21%1.7M--1.2M2.22%1.19M3.80%1.18M3.80%1.18M--1.16M245.20%1.14M--1.14M--329.16K
Current deferred assets -52.02%366.23K-52.02%366.23K--02,248.01%10.89M64.64%763.34K64.64%763.34K--463.64K--463.64K--463.64K--0
Total current assets 94.17%25.11M94.17%25.11M--21.65M366.62%38.01M28.97%12.93M28.97%12.93M--8.15M251.76%10.03M--10.03M--2.85M
Non current assets
Net PPE 142.89%33.5M142.89%33.5M--32.18M65.41%20.56M30.57%13.79M30.57%13.79M--12.43M5.67%10.56M--10.56M--9.99M
-Gross PPE 123.58%39.86M123.58%39.86M--37.47M60.35%24.96M37.84%17.83M37.84%17.83M--15.57M8.69%12.93M--12.93M--11.9M
-Accumulated depreciation -57.64%-6.37M-57.64%-6.37M---5.29M-40.32%-4.41M-70.20%-4.04M-70.20%-4.04M---3.14M-24.48%-2.37M---2.37M---1.91M
Goodwill and other intangible assets 1,005.26%7M1,005.26%7M--7.2M999.55%7.39M-10.91%633.48K-10.91%633.48K--672.27K--711.07K--711.07K--0
-Other intangible assets 1,005.26%7M1,005.26%7M--7.2M999.55%7.39M-10.91%633.48K-10.91%633.48K--672.27K--711.07K--711.07K----
Related parties assets ------------------------------0--0--1.16M
Non current prepaid assets --51.06M--51.06M----------0--0----------------
Total non current assets 534.75%91.56M534.75%91.56M--39.38M113.36%27.95M27.96%14.42M27.96%14.42M--13.1M12.79%11.27M--11.27M--9.99M
Total assets 326.49%116.66M326.49%116.66M--61.02M210.47%65.96M28.43%27.35M28.43%27.35M--21.25M65.82%21.3M--21.3M--12.84M
Liabilities
Current liabilities
Payables 42.55%6.19M42.55%6.19M--5.6M90.08%5.16M50.40%4.34M50.40%4.34M--2.72M87.53%2.89M--2.89M--1.54M
-accounts payable --335.07K--335.07K--555.15K--816.37K--0--0--0-13.15%423.79K--423.79K--487.96K
-Total tax payable 31.25%5.14M31.25%5.14M--4.48M76.46%3.9M140.10%3.92M140.10%3.92M--2.21M195.10%1.63M--1.63M--553.11K
-Due to related parties current ------------4,852.86%3.47K--0--0--70--138.07K--138.07K--0
-Other payable 68.02%710.69K68.02%710.69K--571.23K-12.03%447.02K-38.95%422.97K-38.95%422.97K--508.16K39.03%692.84K--692.84K--498.33K
Current accrued expenses 38.53%1.04M38.53%1.04M--997.94K--0--749.76K--749.76K------0--0----
Current provisions -94.27%25.3K-94.27%25.3K--409.99K-13.29%415.46K-10.71%441.35K-10.71%441.35K--479.14K433.32%494.28K--494.28K--92.68K
Current debt and capital lease obligation 67.43%1.5M67.43%1.5M--1.62M-12.50%1.14M-47.26%893.84K-47.26%893.84K--1.3M49.26%1.69M--1.69M--1.14M
-Current debt 39.48%1.17M39.48%1.17M--1.3M-11.95%1.1M-48.96%841.07K-48.96%841.07K--1.25M66.20%1.65M--1.65M--991.45K
-Current capital lease obligation 513.06%323.5K513.06%323.5K--319.46K-26.38%36.07K12.29%52.77K12.29%52.77K--49K-67.37%46.99K--46.99K--144.01K
Current deferred liabilities ------------------0--0--764.58K210.16%2.69M--2.69M--867.71K
Current liabilities 36.15%8.75M36.15%8.75M--8.63M27.70%6.72M-17.26%6.43M-17.26%6.43M--5.26M113.67%7.77M--7.77M--3.64M
Non current liabilities
Long term debt and capital lease obligation 85.74%4.9M85.74%4.9M--3.06M-27.54%2.2M5.92%2.64M5.92%2.64M--3.04M352.29%2.49M--2.49M--550.25K
-Long term debt 52.77%3.86M52.77%3.86M--1.94M-26.38%2.14M8.60%2.53M8.60%2.53M--2.9M418.23%2.33M--2.33M--448.87K
-Long term capital lease obligation 844.13%1.04M844.13%1.04M--1.12M-52.00%65.95K-32.46%109.81K-32.46%109.81K--137.39K60.36%162.58K--162.58K--101.38K
Non current deferred liabilities 10.77%1.01M10.77%1.01M--953.53K12.79%908.89K10.13%907.41K10.13%907.41K--805.84K7.39%823.94K--823.94K--767.26K
Total non current liabilities 66.54%5.9M66.54%5.9M--4.01M-19.09%3.11M6.97%3.54M6.97%3.54M--3.84M151.44%3.31M--3.31M--1.32M
Total liabilities 46.95%14.65M46.95%14.65M--12.65M7.94%9.83M-10.01%9.97M-10.01%9.97M--9.1M123.71%11.08M--11.08M--4.95M
Shareholders'equity
Share capital 6,749.43%78.48M6,749.43%78.48M--21.16M2,696.74%32.04M0.00%1.15M0.00%1.15M--1.15M-54.46%1.15M--1.15M--2.52M
-common stock 6,749.43%78.48M6,749.43%78.48M--21.16M2,696.74%32.04M0.00%1.15M0.00%1.15M--1.15M-54.46%1.15M--1.15M--2.52M
Retained earnings 57.30%19.45M57.30%19.45M--23.2M175.63%20.13M127.33%12.37M127.33%12.37M--7.3M465.47%5.44M--5.44M--961.96K
Gains losses not affecting retained earnings 0.00%3.28M0.00%3.28M--3.28M0.00%3.28M0.00%3.28M0.00%3.28M--3.28M0.00%3.28M--3.28M--3.28M
Total stockholders'equity 502.73%101.21M502.73%101.21M--47.63M372.77%55.46M70.21%16.79M70.21%16.79M--11.73M45.98%9.87M--9.87M--6.76M
Noncontrolling interests 35.22%800.6K35.22%800.6K--741.02K64.79%676.45K67.74%592.07K67.74%592.07K--410.49K-68.86%352.97K--352.97K--1.13M
Total equity 486.81%102.01M486.81%102.01M--48.38M362.36%56.13M70.12%17.38M70.12%17.38M--12.14M29.49%10.22M--10.22M--7.89M
Currency Unit MYRMYRMYRMYRMYRMYRMYRMYRMYRMYR
Audit Opinions Unqualified Opinion------Unqualified Opinion----------
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