SG Stock MarketDetailed Quotes

YF8 YZJ Fin Hldg

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  • 0.325
  • +0.005+1.56%
10min DelayMarket Closed May 17 17:11 CST
1.15BMarket Cap5.91P/E (TTM)

YZJ Fin Hldg Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-9.71%2.66B
-9.71%2.66B
-12.03%2.58B
-14.89%2.94B
-14.89%2.94B
--2.93B
21.05%3.46B
--3.46B
27.34%2.86B
--2.24B
-Cash and cash equivalents
126.55%1.41B
126.55%1.41B
19.31%536.52M
3,278.07%620.69M
3,278.07%620.69M
--449.68M
-28.96%18.37M
--18.37M
-83.33%25.86M
--155.17M
-Short-term investments
-46.15%1.25B
-46.15%1.25B
-17.72%2.04B
-32.49%2.32B
-32.49%2.32B
--2.48B
21.50%3.44B
--3.44B
35.57%2.83B
--2.09B
-Accounts receivable
-69.17%5.38M
-69.17%5.38M
-22.87%16.71M
-30.36%17.44M
-30.36%17.44M
--21.67M
-33.89%25.04M
--25.04M
-38.92%37.87M
--62M
-Gross accounts receivable
-66.60%7.98M
-66.60%7.98M
-10.18%21.86M
-4.57%23.89M
-4.57%23.89M
--24.33M
-33.89%25.04M
--25.04M
-38.92%37.87M
--62M
-Bad debt provision
59.68%-2.6M
59.68%-2.6M
-92.95%-5.15M
---6.46M
---6.46M
---2.67M
----
----
----
----
-Other receivables
196.55%27.5M
196.55%27.5M
-83.09%114.58M
--9.27M
--9.27M
--677.64M
----
----
214.83%199.59M
--63.4M
Prepaid assets
----
----
----
----
----
----
----
----
--202.78M
--0
Total current assets
-8.63%2.71B
-8.63%2.71B
-25.37%2.71B
-14.74%2.97B
-14.74%2.97B
--3.63B
5.63%3.48B
--3.48B
39.19%3.3B
--2.37B
Non current assets
Net PPE
4,416.60%127.1M
4,416.60%127.1M
-1.14%1.91M
35.42%2.81M
35.42%2.81M
--1.93M
-0.95%2.08M
--2.08M
53.59%2.1M
--1.37M
-Gross PP&E
3,808.36%130.38M
3,808.36%130.38M
----
40.52%3.34M
40.52%3.34M
----
4.54%2.37M
--2.37M
57.60%2.27M
--1.44M
-Accumulated depreciation
-529.50%-3.29M
-529.50%-3.29M
----
-76.35%-522K
-76.35%-522K
----
-71.10%-296K
---296K
-130.67%-173K
---75K
Total investment
1.31%1.16B
1.31%1.16B
64.93%1.34B
41.33%1.14B
41.33%1.14B
--814.52M
-41.30%809.32M
--809.32M
14.43%1.38B
--1.2B
-Long-term equity investment
-8.27%295.96M
-8.27%295.96M
34.13%308.52M
42.10%322.64M
42.10%322.64M
--230.02M
-3.10%227.05M
--227.05M
-10.51%234.32M
--261.85M
-Including:Held to maturity investments
35.20%550.67M
35.20%550.67M
240.14%619.05M
163.24%407.31M
163.24%407.31M
--182M
-77.57%154.73M
--154.73M
-8.49%689.94M
--753.92M
Financial assets
----
----
--1.51M
----
----
----
----
----
----
----
Goodwill and other intangible assets
-3.58%1.02M
-3.58%1.02M
-9.89%1.03M
--1.06M
--1.06M
--1.14M
--0
--0
----
----
-Goodwill
-3.58%1.02M
-3.58%1.02M
-9.89%1.03M
--1.06M
--1.06M
--1.14M
--0
--0
----
----
Total non current assets
18.28%1.46B
18.28%1.46B
61.36%1.43B
34.72%1.24B
34.72%1.24B
--884.92M
-40.58%918.75M
--918.75M
23.39%1.55B
--1.25B
Total assets
-0.71%4.18B
-0.71%4.18B
-8.36%4.14B
-4.41%4.21B
-4.41%4.21B
--4.51B
-9.12%4.4B
--4.4B
33.72%4.84B
--3.62B
Liabilities
Current liabilities
-Current debt and capital lease obligation
-97.30%374K
-97.30%374K
--378K
--13.83M
--13.83M
----
--0
--0
----
----
-Including:Current debt
--0
--0
--0
--13.45M
--13.45M
----
--0
--0
----
----
-Including:Current capital Lease obligation
-2.60%374K
-2.60%374K
--378K
--384K
--384K
----
--0
--0
----
----
Payables
-14.20%70.17M
-14.20%70.17M
92.66%61.85M
19.76%81.78M
19.76%81.78M
--32.1M
-42.05%68.29M
--68.29M
65.18%117.85M
--71.35M
-accounts payable
----
----
269.12%41.5M
----
----
--11.24M
----
----
----
----
-Total tax payable
-14.67%24.63M
-14.67%24.63M
-2.45%20.35M
-55.95%28.87M
-55.95%28.87M
--20.86M
-9.72%65.53M
--65.53M
21.59%72.59M
--59.7M
-Other payable
-13.94%45.54M
-13.94%45.54M
----
1,817.28%52.92M
1,817.28%52.92M
----
-93.90%2.76M
--2.76M
288.54%45.27M
--11.65M
Current liabilities
-12.52%89.66M
-12.52%89.66M
99.36%64.01M
50.08%102.49M
50.08%102.49M
--32.11M
-42.05%68.29M
--68.29M
65.18%117.85M
--71.35M
Non current liabilities
-Long term debt and capital lease obligation
-51.09%358K
-51.09%358K
--586K
--732K
--732K
----
--0
--0
----
----
-Including:Long term debt
--0
--0
--0
--0
--0
----
--0
--0
----
----
-Including:Long term capital lease obligation
-51.09%358K
-51.09%358K
--586K
--732K
--732K
----
--0
--0
----
----
Total non current liabilities
-24.75%172.8M
-24.75%172.8M
-7.12%231.62M
177.28%229.64M
177.28%229.64M
--249.38M
59.77%82.82M
--82.82M
142.76%51.84M
--21.35M
Total liabilities
-20.98%262.46M
-20.98%262.46M
5.02%295.63M
119.80%332.13M
119.80%332.13M
--281.49M
-10.95%151.11M
--151.11M
83.05%169.69M
--92.7M
Shareholders'equity
Share capital
-3.61%3.72B
-3.61%3.72B
-9.86%3.74B
85.09%3.86B
85.09%3.86B
--4.15B
-3.83%2.08B
--2.08B
985.22%2.17B
--199.75M
-common stock
-3.61%3.72B
-3.61%3.72B
-9.86%3.74B
85.09%3.86B
85.09%3.86B
--4.15B
-3.83%2.08B
--2.08B
985.22%2.17B
--199.75M
Retained earnings
124.24%190.6M
124.24%190.6M
135.23%166.59M
-90.47%85M
-90.47%85M
--70.82M
22.19%892.26M
--892.26M
78.10%730.21M
--410M
Other equity interest
----
----
----
----
----
----
-40.61%984.36M
--984.36M
-45.12%1.66B
--3.02B
Total stockholders'equity
-0.97%3.84B
-0.97%3.84B
-9.25%3.84B
-8.83%3.87B
-8.83%3.87B
--4.23B
-9.06%4.25B
--4.25B
32.43%4.67B
--3.53B
Noncontrolling interests
--77.49M
--77.49M
----
--0
--0
----
----
----
----
----
Total equity
1.03%3.91B
1.03%3.91B
-9.25%3.84B
-8.83%3.87B
-8.83%3.87B
--4.23B
-9.06%4.25B
--4.25B
32.43%4.67B
--3.53B
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -9.71%2.66B-9.71%2.66B-12.03%2.58B-14.89%2.94B-14.89%2.94B--2.93B21.05%3.46B--3.46B27.34%2.86B--2.24B
-Cash and cash equivalents 126.55%1.41B126.55%1.41B19.31%536.52M3,278.07%620.69M3,278.07%620.69M--449.68M-28.96%18.37M--18.37M-83.33%25.86M--155.17M
-Short-term investments -46.15%1.25B-46.15%1.25B-17.72%2.04B-32.49%2.32B-32.49%2.32B--2.48B21.50%3.44B--3.44B35.57%2.83B--2.09B
-Accounts receivable -69.17%5.38M-69.17%5.38M-22.87%16.71M-30.36%17.44M-30.36%17.44M--21.67M-33.89%25.04M--25.04M-38.92%37.87M--62M
-Gross accounts receivable -66.60%7.98M-66.60%7.98M-10.18%21.86M-4.57%23.89M-4.57%23.89M--24.33M-33.89%25.04M--25.04M-38.92%37.87M--62M
-Bad debt provision 59.68%-2.6M59.68%-2.6M-92.95%-5.15M---6.46M---6.46M---2.67M----------------
-Other receivables 196.55%27.5M196.55%27.5M-83.09%114.58M--9.27M--9.27M--677.64M--------214.83%199.59M--63.4M
Prepaid assets ----------------------------------202.78M--0
Total current assets -8.63%2.71B-8.63%2.71B-25.37%2.71B-14.74%2.97B-14.74%2.97B--3.63B5.63%3.48B--3.48B39.19%3.3B--2.37B
Non current assets
Net PPE 4,416.60%127.1M4,416.60%127.1M-1.14%1.91M35.42%2.81M35.42%2.81M--1.93M-0.95%2.08M--2.08M53.59%2.1M--1.37M
-Gross PP&E 3,808.36%130.38M3,808.36%130.38M----40.52%3.34M40.52%3.34M----4.54%2.37M--2.37M57.60%2.27M--1.44M
-Accumulated depreciation -529.50%-3.29M-529.50%-3.29M-----76.35%-522K-76.35%-522K-----71.10%-296K---296K-130.67%-173K---75K
Total investment 1.31%1.16B1.31%1.16B64.93%1.34B41.33%1.14B41.33%1.14B--814.52M-41.30%809.32M--809.32M14.43%1.38B--1.2B
-Long-term equity investment -8.27%295.96M-8.27%295.96M34.13%308.52M42.10%322.64M42.10%322.64M--230.02M-3.10%227.05M--227.05M-10.51%234.32M--261.85M
-Including:Held to maturity investments 35.20%550.67M35.20%550.67M240.14%619.05M163.24%407.31M163.24%407.31M--182M-77.57%154.73M--154.73M-8.49%689.94M--753.92M
Financial assets ----------1.51M----------------------------
Goodwill and other intangible assets -3.58%1.02M-3.58%1.02M-9.89%1.03M--1.06M--1.06M--1.14M--0--0--------
-Goodwill -3.58%1.02M-3.58%1.02M-9.89%1.03M--1.06M--1.06M--1.14M--0--0--------
Total non current assets 18.28%1.46B18.28%1.46B61.36%1.43B34.72%1.24B34.72%1.24B--884.92M-40.58%918.75M--918.75M23.39%1.55B--1.25B
Total assets -0.71%4.18B-0.71%4.18B-8.36%4.14B-4.41%4.21B-4.41%4.21B--4.51B-9.12%4.4B--4.4B33.72%4.84B--3.62B
Liabilities
Current liabilities
-Current debt and capital lease obligation -97.30%374K-97.30%374K--378K--13.83M--13.83M------0--0--------
-Including:Current debt --0--0--0--13.45M--13.45M------0--0--------
-Including:Current capital Lease obligation -2.60%374K-2.60%374K--378K--384K--384K------0--0--------
Payables -14.20%70.17M-14.20%70.17M92.66%61.85M19.76%81.78M19.76%81.78M--32.1M-42.05%68.29M--68.29M65.18%117.85M--71.35M
-accounts payable --------269.12%41.5M----------11.24M----------------
-Total tax payable -14.67%24.63M-14.67%24.63M-2.45%20.35M-55.95%28.87M-55.95%28.87M--20.86M-9.72%65.53M--65.53M21.59%72.59M--59.7M
-Other payable -13.94%45.54M-13.94%45.54M----1,817.28%52.92M1,817.28%52.92M-----93.90%2.76M--2.76M288.54%45.27M--11.65M
Current liabilities -12.52%89.66M-12.52%89.66M99.36%64.01M50.08%102.49M50.08%102.49M--32.11M-42.05%68.29M--68.29M65.18%117.85M--71.35M
Non current liabilities
-Long term debt and capital lease obligation -51.09%358K-51.09%358K--586K--732K--732K------0--0--------
-Including:Long term debt --0--0--0--0--0------0--0--------
-Including:Long term capital lease obligation -51.09%358K-51.09%358K--586K--732K--732K------0--0--------
Total non current liabilities -24.75%172.8M-24.75%172.8M-7.12%231.62M177.28%229.64M177.28%229.64M--249.38M59.77%82.82M--82.82M142.76%51.84M--21.35M
Total liabilities -20.98%262.46M-20.98%262.46M5.02%295.63M119.80%332.13M119.80%332.13M--281.49M-10.95%151.11M--151.11M83.05%169.69M--92.7M
Shareholders'equity
Share capital -3.61%3.72B-3.61%3.72B-9.86%3.74B85.09%3.86B85.09%3.86B--4.15B-3.83%2.08B--2.08B985.22%2.17B--199.75M
-common stock -3.61%3.72B-3.61%3.72B-9.86%3.74B85.09%3.86B85.09%3.86B--4.15B-3.83%2.08B--2.08B985.22%2.17B--199.75M
Retained earnings 124.24%190.6M124.24%190.6M135.23%166.59M-90.47%85M-90.47%85M--70.82M22.19%892.26M--892.26M78.10%730.21M--410M
Other equity interest -------------------------40.61%984.36M--984.36M-45.12%1.66B--3.02B
Total stockholders'equity -0.97%3.84B-0.97%3.84B-9.25%3.84B-8.83%3.87B-8.83%3.87B--4.23B-9.06%4.25B--4.25B32.43%4.67B--3.53B
Noncontrolling interests --77.49M--77.49M------0--0--------------------
Total equity 1.03%3.91B1.03%3.91B-9.25%3.84B-8.83%3.87B-8.83%3.87B--4.23B-9.06%4.25B--4.25B32.43%4.67B--3.53B
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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