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Comba (STC)

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  • 0.220
  • 0.0000.00%
10min DelayTrading Apr 24 13:21 CST
685.34MMarket Cap110.00P/E (TTM)

STC Comba

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
Operating cash flow (Indirect Method)
Cash from operating activities
53.02%571.01M
-27.94%373.17M
3.08%517.85M
23.75%502.39M
238.63%405.96M
-138.64%-292.83M
-12.25%757.91M
104.82%863.72M
-21.80%421.69M
-53.67%539.25M
Net profit before non-cash adjustment
120.33%109.5M
-1,085.51%-538.72M
-81.60%54.66M
145.25%297.05M
-144.84%-656.46M
-305.17%-268.11M
186.58%130.68M
-397.01%-150.93M
-79.84%50.82M
-23.30%252.12M
Total adjustment of non-cash items
-37.75%307.67M
19.33%494.29M
-9.99%414.22M
-9.51%460.21M
23.23%508.6M
5.09%412.74M
17.20%392.76M
27.26%335.11M
0.69%263.33M
5.90%261.52M
-Depreciation and amortization
17.08%338.54M
-16.92%289.14M
-20.10%348.04M
-5.82%435.62M
38.49%462.52M
16.12%333.98M
1.24%287.61M
29.13%284.09M
54.71%220.01M
-18.71%142.21M
-Reversal of impairment losses recognized in profit and loss
----
--0
--9.86M
--0
--10.3M
--0
----
----
----
----
-Share of associates
-34.75%-2.42M
-186.42%-1.79M
89.24%-626K
16.50%-5.82M
-562.36%-6.97M
---1.05M
--0
----
-2.23%2.42M
1,845.67%2.47M
-Disposal profit
-172.24%-18.63M
3.97%25.79M
143.60%24.81M
133.36%10.18M
-1,394.22%-30.53M
80.21%-2.04M
64.77%-10.32M
-91.42%-29.31M
-124.21%-15.31M
761.75%63.24M
-Remuneration paid in stock
-90.64%3.85M
17.73%41.1M
-22.24%34.91M
-14.08%44.89M
60.07%52.25M
18.16%32.64M
79.76%27.62M
-10.10%15.37M
45.70%17.09M
26.60%11.73M
-Other non-cash items
-109.76%-13.67M
5,146.99%140.05M
88.75%-2.78M
-217.23%-24.66M
-57.26%21.03M
-43.98%49.22M
35.26%87.86M
66.05%64.95M
-6.58%39.12M
-24.22%41.87M
Changes in working capital
-63.16%153.84M
752.82%417.59M
119.21%48.97M
-146.02%-254.87M
226.60%553.82M
-286.57%-437.46M
-65.49%234.48M
531.86%679.54M
319.84%107.55M
-95.65%25.62M
-Change in receivables
-10.75%672.85M
188.76%753.91M
458.51%261.08M
-141.32%-72.82M
21.11%176.24M
140.20%145.52M
-18.34%60.58M
117.49%74.19M
-382.39%-424.25M
-133.24%-87.95M
-Change in inventory
-53.97%162.42M
326.32%352.84M
142.33%82.76M
-396.15%-195.51M
-252.47%-39.41M
-111.99%-11.18M
632.67%93.21M
-113.22%-17.5M
-49.39%132.4M
-35.20%261.63M
-Change in prepaid assets
-93.89%5.41M
216.32%88.52M
-81.15%27.98M
-37.60%148.44M
25,783.79%237.87M
-99.47%919K
214.78%173.54M
-1,080.24%-151.19M
123.79%15.42M
-225.62%-64.82M
-Change in payables
13.22%-673.23M
-141.18%-775.82M
-112.16%-321.68M
-184.00%-151.62M
131.73%180.51M
-446.87%-568.94M
-113.40%-104.04M
99.20%776.51M
630.37%389.81M
12.05%-73.5M
-Provision for loans, leases and other losses
-7,765.54%-13.92M
96.75%-177K
-792.37%-5.44M
156.38%786K
63.15%-1.39M
-133.84%-3.78M
553.37%11.18M
57.72%-2.47M
40.16%-5.83M
-185.58%-9.75M
-Changes in other current assets
119.00%317K
-139.18%-1.67M
-73.15%4.26M
--15.86M
--0
----
----
----
----
----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
35.41%-3.54M
-5.48M
0
Interest received (cash flow from operating activities)
Tax refund paid
-29.26%-43.6M
-34.22%-33.73M
-758.49%-25.13M
90.67%-2.93M
17.78%-31.36M
10.98%-38.14M
-12.48%-42.84M
61.69%-38.09M
22.06%-99.44M
-71.01%-127.58M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
55.38%527.41M
-31.11%339.44M
-1.35%492.72M
33.33%499.47M
211.99%374.61M
-147.14%-334.51M
-14.05%709.59M
156.20%825.63M
-21.72%322.25M
-62.21%411.67M
Investing cash flow
Net PPE purchase and sale
-62.68%-58.83M
53.28%-36.17M
43.28%-77.4M
17.63%-136.47M
28.53%-165.69M
38.82%-231.81M
-67.47%-378.9M
-97.54%-226.25M
-186.40%-114.53M
71.77%-39.99M
Net intangibles purchase and sale
45.41%-98.09M
-43.13%-179.68M
18.85%-125.53M
-55.27%-154.7M
-9.81%-99.63M
6.10%-90.73M
30.08%-96.63M
13.70%-138.19M
-107.34%-160.12M
22.67%-77.23M
Net business purchase and sale
----
----
----
--3.36M
--0
---10.8M
--0
----
23.85%-307.15M
-1,578.78%-403.34M
Net investment product transactions
-187.74%-168.05M
37.38%191.53M
669.34%139.41M
95.45%-24.49M
-10,022.97%-538.64M
-852.62%-5.32M
127.09%707K
77.96%-2.61M
-39.03%-11.84M
---8.52M
Dividends received (cash flow from investment activities)
----
--0
-5.08%2.66M
--2.8M
--0
----
----
----
----
----
Interest received (cash flow from investment activities)
39.79%40.94M
-21.06%29.29M
-9.77%37.1M
43.33%41.12M
42.47%28.69M
24.61%20.13M
85.65%16.16M
-25.56%8.7M
47.60%11.69M
-45.55%7.92M
Net changes in other investments
-86.00%11.9M
402.49%85.01M
-551.31%-28.1M
-113.86%-4.32M
-67.39%31.13M
139.24%95.47M
28.44%39.91M
128.02%31.07M
-655.94%-110.9M
-120.45%-14.67M
Investing cash flow
-402.43%-272.13M
273.45%89.98M
80.98%-51.88M
63.35%-272.7M
-233.60%-744.15M
46.73%-223.06M
-27.95%-418.76M
52.76%-327.28M
-29.31%-692.85M
-198.94%-535.83M
Financing cash flow
Net issuance payments of debt
-201.13%-151.22M
127.86%149.53M
-525.41%-536.69M
-248.94%-85.81M
114.46%57.62M
-69.28%-398.39M
-154.24%-235.34M
539.24%433.92M
611.75%67.88M
103.62%9.54M
Net common stock issuance
24,773.37%431.78M
94.12%-1.75M
-2,052.99%-29.74M
-95.67%1.52M
-95.30%35.16M
753.93%747.43M
223.44%87.53M
-732.47%-70.91M
3,991.61%11.21M
105.15%274K
Net preferred stock issuance
-73.38%-223.48M
---128.9M
--0
----
93.40%216.43M
--111.91M
--0
----
----
----
Increase or decrease of lease financing
8.22%-49.61M
13.08%-54.06M
-26.24%-62.2M
-35.11%-49.27M
0.81%-36.47M
5.87%-36.76M
---39.06M
--0
----
----
Issuance fees
---493K
--0
----
----
----
---15.27M
--0
----
----
----
Cash dividends paid
---18.66M
----
-129.20%-63.7M
---27.79M
----
-110.23%-52.12M
---24.79M
----
71.93%-19.69M
-41.51%-70.17M
Cash dividends for minorities
96.96%-723K
---23.75M
--0
---11.47M
--0
----
----
----
----
----
Interest paid (cash flow from financing activities)
-29.52%-40.49M
42.67%-31.26M
9.41%-54.53M
-37.56%-60.2M
33.50%-43.76M
33.21%-65.81M
-33.77%-98.53M
-53.90%-73.66M
-1.75%-47.86M
30.54%-47.04M
Net other fund-raising expenses
----
---148.53M
----
----
-58.85%38.83M
--94.37M
----
----
----
----
Financing cash flow
77.84%-52.89M
68.04%-238.72M
-220.52%-746.86M
-187.01%-233.01M
-30.50%267.81M
224.23%385.36M
-207.20%-310.19M
2,407.83%289.35M
110.74%11.54M
72.16%-107.39M
Net cash flow
Beginning cash position
19.18%1.42B
-22.41%1.19B
-7.30%1.53B
-3.76%1.65B
-8.05%1.72B
-1.41%1.87B
61.02%1.89B
-17.19%1.18B
-18.72%1.42B
37.07%1.75B
Current changes in cash
6.13%202.39M
162.32%190.7M
-4,801.75%-306.02M
93.86%-6.24M
40.93%-101.73M
-789.35%-172.21M
-102.46%-19.36M
319.38%787.7M
-55.07%-359.06M
-144.16%-231.56M
Effect of exchange rate changes
85.80%69.22M
200.15%37.25M
67.46%-37.2M
-407.54%-114.32M
70.41%37.17M
398.44%21.81M
89.55%-7.31M
-160.86%-69.97M
220.28%114.98M
-84.44%-95.59M
End cash Position
19.18%1.69B
19.18%1.42B
-22.41%1.19B
-7.30%1.53B
-3.76%1.65B
-8.05%1.72B
-1.41%1.87B
61.02%1.89B
-17.19%1.18B
-18.72%1.42B
Free cash flow
213.04%363.9M
-58.00%116.25M
39.28%276.76M
392.74%198.7M
105.84%40.33M
-421.32%-690.89M
-50.78%215.02M
819.66%436.82M
-83.16%47.5M
-66.69%281.98M
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
(FY)Dec 31, 2025(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016
Operating cash flow (Indirect Method)
Cash from operating activities 53.02%571.01M-27.94%373.17M3.08%517.85M23.75%502.39M238.63%405.96M-138.64%-292.83M-12.25%757.91M104.82%863.72M-21.80%421.69M-53.67%539.25M
Net profit before non-cash adjustment 120.33%109.5M-1,085.51%-538.72M-81.60%54.66M145.25%297.05M-144.84%-656.46M-305.17%-268.11M186.58%130.68M-397.01%-150.93M-79.84%50.82M-23.30%252.12M
Total adjustment of non-cash items -37.75%307.67M19.33%494.29M-9.99%414.22M-9.51%460.21M23.23%508.6M5.09%412.74M17.20%392.76M27.26%335.11M0.69%263.33M5.90%261.52M
-Depreciation and amortization 17.08%338.54M-16.92%289.14M-20.10%348.04M-5.82%435.62M38.49%462.52M16.12%333.98M1.24%287.61M29.13%284.09M54.71%220.01M-18.71%142.21M
-Reversal of impairment losses recognized in profit and loss ------0--9.86M--0--10.3M--0----------------
-Share of associates -34.75%-2.42M-186.42%-1.79M89.24%-626K16.50%-5.82M-562.36%-6.97M---1.05M--0-----2.23%2.42M1,845.67%2.47M
-Disposal profit -172.24%-18.63M3.97%25.79M143.60%24.81M133.36%10.18M-1,394.22%-30.53M80.21%-2.04M64.77%-10.32M-91.42%-29.31M-124.21%-15.31M761.75%63.24M
-Remuneration paid in stock -90.64%3.85M17.73%41.1M-22.24%34.91M-14.08%44.89M60.07%52.25M18.16%32.64M79.76%27.62M-10.10%15.37M45.70%17.09M26.60%11.73M
-Other non-cash items -109.76%-13.67M5,146.99%140.05M88.75%-2.78M-217.23%-24.66M-57.26%21.03M-43.98%49.22M35.26%87.86M66.05%64.95M-6.58%39.12M-24.22%41.87M
Changes in working capital -63.16%153.84M752.82%417.59M119.21%48.97M-146.02%-254.87M226.60%553.82M-286.57%-437.46M-65.49%234.48M531.86%679.54M319.84%107.55M-95.65%25.62M
-Change in receivables -10.75%672.85M188.76%753.91M458.51%261.08M-141.32%-72.82M21.11%176.24M140.20%145.52M-18.34%60.58M117.49%74.19M-382.39%-424.25M-133.24%-87.95M
-Change in inventory -53.97%162.42M326.32%352.84M142.33%82.76M-396.15%-195.51M-252.47%-39.41M-111.99%-11.18M632.67%93.21M-113.22%-17.5M-49.39%132.4M-35.20%261.63M
-Change in prepaid assets -93.89%5.41M216.32%88.52M-81.15%27.98M-37.60%148.44M25,783.79%237.87M-99.47%919K214.78%173.54M-1,080.24%-151.19M123.79%15.42M-225.62%-64.82M
-Change in payables 13.22%-673.23M-141.18%-775.82M-112.16%-321.68M-184.00%-151.62M131.73%180.51M-446.87%-568.94M-113.40%-104.04M99.20%776.51M630.37%389.81M12.05%-73.5M
-Provision for loans, leases and other losses -7,765.54%-13.92M96.75%-177K-792.37%-5.44M156.38%786K63.15%-1.39M-133.84%-3.78M553.37%11.18M57.72%-2.47M40.16%-5.83M-185.58%-9.75M
-Changes in other current assets 119.00%317K-139.18%-1.67M-73.15%4.26M--15.86M--0--------------------
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 35.41%-3.54M-5.48M0
Interest received (cash flow from operating activities)
Tax refund paid -29.26%-43.6M-34.22%-33.73M-758.49%-25.13M90.67%-2.93M17.78%-31.36M10.98%-38.14M-12.48%-42.84M61.69%-38.09M22.06%-99.44M-71.01%-127.58M
Other operating cash inflow (outflow) 0000000000
Operating cash flow 55.38%527.41M-31.11%339.44M-1.35%492.72M33.33%499.47M211.99%374.61M-147.14%-334.51M-14.05%709.59M156.20%825.63M-21.72%322.25M-62.21%411.67M
Investing cash flow
Net PPE purchase and sale -62.68%-58.83M53.28%-36.17M43.28%-77.4M17.63%-136.47M28.53%-165.69M38.82%-231.81M-67.47%-378.9M-97.54%-226.25M-186.40%-114.53M71.77%-39.99M
Net intangibles purchase and sale 45.41%-98.09M-43.13%-179.68M18.85%-125.53M-55.27%-154.7M-9.81%-99.63M6.10%-90.73M30.08%-96.63M13.70%-138.19M-107.34%-160.12M22.67%-77.23M
Net business purchase and sale --------------3.36M--0---10.8M--0----23.85%-307.15M-1,578.78%-403.34M
Net investment product transactions -187.74%-168.05M37.38%191.53M669.34%139.41M95.45%-24.49M-10,022.97%-538.64M-852.62%-5.32M127.09%707K77.96%-2.61M-39.03%-11.84M---8.52M
Dividends received (cash flow from investment activities) ------0-5.08%2.66M--2.8M--0--------------------
Interest received (cash flow from investment activities) 39.79%40.94M-21.06%29.29M-9.77%37.1M43.33%41.12M42.47%28.69M24.61%20.13M85.65%16.16M-25.56%8.7M47.60%11.69M-45.55%7.92M
Net changes in other investments -86.00%11.9M402.49%85.01M-551.31%-28.1M-113.86%-4.32M-67.39%31.13M139.24%95.47M28.44%39.91M128.02%31.07M-655.94%-110.9M-120.45%-14.67M
Investing cash flow -402.43%-272.13M273.45%89.98M80.98%-51.88M63.35%-272.7M-233.60%-744.15M46.73%-223.06M-27.95%-418.76M52.76%-327.28M-29.31%-692.85M-198.94%-535.83M
Financing cash flow
Net issuance payments of debt -201.13%-151.22M127.86%149.53M-525.41%-536.69M-248.94%-85.81M114.46%57.62M-69.28%-398.39M-154.24%-235.34M539.24%433.92M611.75%67.88M103.62%9.54M
Net common stock issuance 24,773.37%431.78M94.12%-1.75M-2,052.99%-29.74M-95.67%1.52M-95.30%35.16M753.93%747.43M223.44%87.53M-732.47%-70.91M3,991.61%11.21M105.15%274K
Net preferred stock issuance -73.38%-223.48M---128.9M--0----93.40%216.43M--111.91M--0------------
Increase or decrease of lease financing 8.22%-49.61M13.08%-54.06M-26.24%-62.2M-35.11%-49.27M0.81%-36.47M5.87%-36.76M---39.06M--0--------
Issuance fees ---493K--0---------------15.27M--0------------
Cash dividends paid ---18.66M-----129.20%-63.7M---27.79M-----110.23%-52.12M---24.79M----71.93%-19.69M-41.51%-70.17M
Cash dividends for minorities 96.96%-723K---23.75M--0---11.47M--0--------------------
Interest paid (cash flow from financing activities) -29.52%-40.49M42.67%-31.26M9.41%-54.53M-37.56%-60.2M33.50%-43.76M33.21%-65.81M-33.77%-98.53M-53.90%-73.66M-1.75%-47.86M30.54%-47.04M
Net other fund-raising expenses -------148.53M---------58.85%38.83M--94.37M----------------
Financing cash flow 77.84%-52.89M68.04%-238.72M-220.52%-746.86M-187.01%-233.01M-30.50%267.81M224.23%385.36M-207.20%-310.19M2,407.83%289.35M110.74%11.54M72.16%-107.39M
Net cash flow
Beginning cash position 19.18%1.42B-22.41%1.19B-7.30%1.53B-3.76%1.65B-8.05%1.72B-1.41%1.87B61.02%1.89B-17.19%1.18B-18.72%1.42B37.07%1.75B
Current changes in cash 6.13%202.39M162.32%190.7M-4,801.75%-306.02M93.86%-6.24M40.93%-101.73M-789.35%-172.21M-102.46%-19.36M319.38%787.7M-55.07%-359.06M-144.16%-231.56M
Effect of exchange rate changes 85.80%69.22M200.15%37.25M67.46%-37.2M-407.54%-114.32M70.41%37.17M398.44%21.81M89.55%-7.31M-160.86%-69.97M220.28%114.98M-84.44%-95.59M
End cash Position 19.18%1.69B19.18%1.42B-22.41%1.19B-7.30%1.53B-3.76%1.65B-8.05%1.72B-1.41%1.87B61.02%1.89B-17.19%1.18B-18.72%1.42B
Free cash flow 213.04%363.9M-58.00%116.25M39.28%276.76M392.74%198.7M105.84%40.33M-421.32%-690.89M-50.78%215.02M819.66%436.82M-83.16%47.5M-66.69%281.98M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
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