SG Stock MarketDetailed Quotes

1A1 Wong Fong Ind

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  • 0.140
  • 0.0000.00%
10min DelayMarket Closed May 3 09:29 CST
32.90MMarket Cap8.75P/E (TTM)

Wong Fong Ind Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash from operating activities
476.78%11.77M
-71.17%2.04M
14.45%7.08M
1.38%6.19M
136.51%6.1M
-71.32%2.58M
108.51%8.99M
-63.40%4.31M
67.96%11.78M
63.96%7.02M
Net profit before non-cash adjustment
78.50%4.96M
-32.45%2.78M
47.56%4.11M
-1.94%2.79M
-11.91%2.84M
-33.17%3.23M
21.71%4.83M
-30.54%3.97M
-19.11%5.71M
19.70%7.06M
Total adjustment of non-cash items
-32.46%4.15M
28.77%6.15M
17.61%4.78M
2.34%4.06M
31.84%3.97M
29.73%3.01M
10.63%2.32M
45.75%2.1M
11.19%1.44M
44.03%1.29M
-Depreciation and amortization
1.93%4.44M
9.92%4.35M
8.58%3.96M
20.71%3.65M
32.72%3.02M
24.31%2.28M
12.25%1.83M
27.89%1.63M
25.14%1.28M
20.58%1.02M
-Reversal of impairment losses recognized in profit and loss
-85.30%199K
88.84%1.35M
168.54%717K
685.29%267K
580.00%34K
-96.86%5K
6.11%159.2K
203.22%150.04K
94.18%49.48K
-86.56%25.48K
-Assets reserve and write-off
1,832.00%483K
-76.19%25K
269.35%105K
-110.80%-62K
6.10%574K
322.76%541K
-1.10%127.97K
180.01%129.39K
495.87%46.21K
-30.94%7.76K
-Share of associates
----
----
----
-8.06%57K
195.24%62K
--21K
--0
--200K
--0
----
-Disposal profit
-1,075.44%-1.11M
140.71%114K
-118.75%-280K
-573.68%-128K
73.97%-19K
-1,865.84%-73K
101.56%4.13K
-203.20%-264.43K
-142.76%-87.21K
251.95%203.96K
-Other non-cash items
-51.99%145K
11.03%302K
-2.16%272K
-5.44%278K
23.53%294K
21.16%238K
-21.39%196.43K
62.06%249.89K
316.37%154.19K
367.42%37.03K
Changes in working capital
138.66%2.66M
-281.23%-6.89M
-173.64%-1.81M
6.52%-660K
80.68%-706K
-297.56%-3.65M
205.81%1.85M
-137.69%-1.75M
447.70%4.64M
46.94%-1.33M
-Change in receivables
168.79%3.68M
-307.05%-5.35M
257.98%2.58M
-204.61%-1.64M
133.61%1.56M
-3,554.70%-4.65M
-94.52%134.63K
267.81%2.46M
-152.63%-1.47M
150.57%2.78M
-Change in inventory
138.14%1.95M
-87.06%-5.12M
-147.96%-2.74M
-23.52%-1.1M
-224.20%-893K
-69.15%719K
770.43%2.33M
-108.15%-347.68K
265.48%4.27M
44.69%-2.58M
-Change in payables
-182.93%-2.97M
316.38%3.58M
-179.60%-1.65M
251.02%2.08M
-594.96%-1.38M
145.13%278K
84.04%-615.97K
-310.24%-3.86M
219.28%1.84M
-120.10%-1.54M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-32.65%-902K
-82.31%-680K
15.03%-373K
-11.42%-439K
30.14%-394K
-69,443.77%-564K
99.77%-811
59.57%-345.49K
-20.13%-854.54K
-32.81%-711.33K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
-270
0
Operating cash flow
698.68%10.87M
-79.71%1.36M
16.70%6.71M
0.68%5.75M
183.13%5.71M
-77.59%2.02M
126.65%8.99M
-63.69%3.97M
73.35%10.93M
68.42%6.31M
Investing cash flow
Net PPE purchase and sale
39.20%-2.2M
-125.50%-3.62M
-286.51%-1.6M
64.04%-415K
-228.77%-1.15M
68.00%-351K
58.10%-1.1M
5.76%-2.62M
-28.23%-2.78M
23.52%-2.17M
Net intangibles purchase and sale
----
----
----
----
----
383.33%17K
7.66%-6K
---6.5K
--0
----
Net business purchase and sale
---3.71M
--0
----
-225.44%-641K
533.05%511K
85.37%-118K
-303.25%-806.5K
93.80%-200K
-13,800.48%-3.22M
---23.19K
Net investment product transactions
-119.73%-250K
210.66%1.27M
64.43%-1.15M
---3.22M
--0
----
----
----
--773.2K
----
Dividends received (cash flow from investment activities)
--0
1.41%72K
238.10%71K
--21K
--0
----
----
----
-72.63%10.3K
25.95%37.63K
Interest received (cash flow from investment activities)
160.82%253K
40.58%97K
-40.52%69K
-32.95%116K
36.22%173K
320.35%127K
3,966.35%30.21K
-75.03%743
-62.89%2.98K
-52.44%8.02K
Net changes in other investments
----
----
---800K
----
0.00%-800K
---800K
----
----
----
----
Investing cash flow
-170.70%-5.9M
36.02%-2.18M
17.62%-3.41M
-225.83%-4.14M
-12.89%-1.27M
40.14%-1.13M
33.46%-1.88M
45.85%-2.82M
-143.25%-5.22M
29.38%-2.14M
Financing cash flow
Net issuance payments of debt
-6.14%-1.59M
-45.30%-1.5M
-170.52%-1.03M
276.78%1.46M
15.87%-827K
4.37%-983K
-35.33%-1.03M
-150.23%-759.53K
-20.01%-303.53K
-0.48%-252.92K
Net common stock issuance
----
----
----
----
----
----
----
36.13%6.53M
--4.8M
--0
Increase or decrease of lease financing
11.14%-1.57M
-0.74%-1.77M
-30.10%-1.76M
-64.31%-1.35M
-184.08%-821K
12.64%-289K
-39.79%-330.82K
-12.92%-236.66K
-37.55%-209.59K
-28.49%-152.38K
Cash dividends paid
41.47%-1.51M
-113.05%-2.58M
0.90%-1.21M
-1.92%-1.22M
-12.48%-1.2M
-51.21%-1.07M
67.95%-705K
57.28%-2.2M
-1,880.77%-5.15M
65.79%-260K
Interest paid (cash flow from financing activities)
-2.49%-411K
-9.26%-401K
4.43%-367K
6.80%-384K
-112.37%-412K
14.40%-194K
9.57%-226.65K
-59.74%-250.63K
-89.76%-156.9K
-151.39%-82.68K
Net other fund-raising expenses
----
--92K
----
914.29%426K
109.86%42K
-425,900.00%-426K
2.91%-100
-0.98%-103
-6.25%-102
-100.19%-96
Financing cash flow
17.43%-5.08M
-41.04%-6.16M
-309.00%-4.36M
66.83%-1.07M
-8.76%-3.22M
-29.15%-2.96M
-174.19%-2.29M
402.65%3.09M
-36.37%-1.02M
32.78%-748.08K
Net cash flow
Beginning cash position
-28.82%17.11M
-4.15%24.04M
2.19%25.08M
5.17%24.54M
-8.11%23.33M
23.45%25.39M
25.79%20.57M
39.91%16.35M
41.39%11.69M
-4.75%8.27M
Current changes in cash
98.34%-116K
-554.32%-6.98M
-296.68%-1.07M
-55.61%542K
159.07%1.22M
-142.85%-2.07M
14.01%4.82M
-9.86%4.23M
37.54%4.69M
941.68%3.41M
Effect of exchange rate changes
-51.06%23K
88.00%47K
600.00%25K
64.29%-5K
-300.00%-14K
470.76%7K
86.59%-1.89K
53.49%-14.08K
-473.52%-30.27K
221.83%8.1K
End cash Position
-0.54%17.01M
-28.82%17.11M
-4.15%24.04M
2.19%25.08M
5.17%24.54M
-8.11%23.33M
23.44%25.39M
25.79%20.57M
39.91%16.35M
41.39%11.69M
Free cash flow
465.13%8.63M
-148.03%-2.36M
-7.20%4.92M
17.64%5.3M
224.95%4.51M
-82.42%1.39M
488.00%7.89M
-83.47%1.34M
100.89%8.12M
353.80%4.04M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(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(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash from operating activities 476.78%11.77M-71.17%2.04M14.45%7.08M1.38%6.19M136.51%6.1M-71.32%2.58M108.51%8.99M-63.40%4.31M67.96%11.78M63.96%7.02M
Net profit before non-cash adjustment 78.50%4.96M-32.45%2.78M47.56%4.11M-1.94%2.79M-11.91%2.84M-33.17%3.23M21.71%4.83M-30.54%3.97M-19.11%5.71M19.70%7.06M
Total adjustment of non-cash items -32.46%4.15M28.77%6.15M17.61%4.78M2.34%4.06M31.84%3.97M29.73%3.01M10.63%2.32M45.75%2.1M11.19%1.44M44.03%1.29M
-Depreciation and amortization 1.93%4.44M9.92%4.35M8.58%3.96M20.71%3.65M32.72%3.02M24.31%2.28M12.25%1.83M27.89%1.63M25.14%1.28M20.58%1.02M
-Reversal of impairment losses recognized in profit and loss -85.30%199K88.84%1.35M168.54%717K685.29%267K580.00%34K-96.86%5K6.11%159.2K203.22%150.04K94.18%49.48K-86.56%25.48K
-Assets reserve and write-off 1,832.00%483K-76.19%25K269.35%105K-110.80%-62K6.10%574K322.76%541K-1.10%127.97K180.01%129.39K495.87%46.21K-30.94%7.76K
-Share of associates -------------8.06%57K195.24%62K--21K--0--200K--0----
-Disposal profit -1,075.44%-1.11M140.71%114K-118.75%-280K-573.68%-128K73.97%-19K-1,865.84%-73K101.56%4.13K-203.20%-264.43K-142.76%-87.21K251.95%203.96K
-Other non-cash items -51.99%145K11.03%302K-2.16%272K-5.44%278K23.53%294K21.16%238K-21.39%196.43K62.06%249.89K316.37%154.19K367.42%37.03K
Changes in working capital 138.66%2.66M-281.23%-6.89M-173.64%-1.81M6.52%-660K80.68%-706K-297.56%-3.65M205.81%1.85M-137.69%-1.75M447.70%4.64M46.94%-1.33M
-Change in receivables 168.79%3.68M-307.05%-5.35M257.98%2.58M-204.61%-1.64M133.61%1.56M-3,554.70%-4.65M-94.52%134.63K267.81%2.46M-152.63%-1.47M150.57%2.78M
-Change in inventory 138.14%1.95M-87.06%-5.12M-147.96%-2.74M-23.52%-1.1M-224.20%-893K-69.15%719K770.43%2.33M-108.15%-347.68K265.48%4.27M44.69%-2.58M
-Change in payables -182.93%-2.97M316.38%3.58M-179.60%-1.65M251.02%2.08M-594.96%-1.38M145.13%278K84.04%-615.97K-310.24%-3.86M219.28%1.84M-120.10%-1.54M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -32.65%-902K-82.31%-680K15.03%-373K-11.42%-439K30.14%-394K-69,443.77%-564K99.77%-81159.57%-345.49K-20.13%-854.54K-32.81%-711.33K
Other operating cash inflow (outflow) 00000000-2700
Operating cash flow 698.68%10.87M-79.71%1.36M16.70%6.71M0.68%5.75M183.13%5.71M-77.59%2.02M126.65%8.99M-63.69%3.97M73.35%10.93M68.42%6.31M
Investing cash flow
Net PPE purchase and sale 39.20%-2.2M-125.50%-3.62M-286.51%-1.6M64.04%-415K-228.77%-1.15M68.00%-351K58.10%-1.1M5.76%-2.62M-28.23%-2.78M23.52%-2.17M
Net intangibles purchase and sale --------------------383.33%17K7.66%-6K---6.5K--0----
Net business purchase and sale ---3.71M--0-----225.44%-641K533.05%511K85.37%-118K-303.25%-806.5K93.80%-200K-13,800.48%-3.22M---23.19K
Net investment product transactions -119.73%-250K210.66%1.27M64.43%-1.15M---3.22M--0--------------773.2K----
Dividends received (cash flow from investment activities) --01.41%72K238.10%71K--21K--0-------------72.63%10.3K25.95%37.63K
Interest received (cash flow from investment activities) 160.82%253K40.58%97K-40.52%69K-32.95%116K36.22%173K320.35%127K3,966.35%30.21K-75.03%743-62.89%2.98K-52.44%8.02K
Net changes in other investments -----------800K----0.00%-800K---800K----------------
Investing cash flow -170.70%-5.9M36.02%-2.18M17.62%-3.41M-225.83%-4.14M-12.89%-1.27M40.14%-1.13M33.46%-1.88M45.85%-2.82M-143.25%-5.22M29.38%-2.14M
Financing cash flow
Net issuance payments of debt -6.14%-1.59M-45.30%-1.5M-170.52%-1.03M276.78%1.46M15.87%-827K4.37%-983K-35.33%-1.03M-150.23%-759.53K-20.01%-303.53K-0.48%-252.92K
Net common stock issuance ----------------------------36.13%6.53M--4.8M--0
Increase or decrease of lease financing 11.14%-1.57M-0.74%-1.77M-30.10%-1.76M-64.31%-1.35M-184.08%-821K12.64%-289K-39.79%-330.82K-12.92%-236.66K-37.55%-209.59K-28.49%-152.38K
Cash dividends paid 41.47%-1.51M-113.05%-2.58M0.90%-1.21M-1.92%-1.22M-12.48%-1.2M-51.21%-1.07M67.95%-705K57.28%-2.2M-1,880.77%-5.15M65.79%-260K
Interest paid (cash flow from financing activities) -2.49%-411K-9.26%-401K4.43%-367K6.80%-384K-112.37%-412K14.40%-194K9.57%-226.65K-59.74%-250.63K-89.76%-156.9K-151.39%-82.68K
Net other fund-raising expenses ------92K----914.29%426K109.86%42K-425,900.00%-426K2.91%-100-0.98%-103-6.25%-102-100.19%-96
Financing cash flow 17.43%-5.08M-41.04%-6.16M-309.00%-4.36M66.83%-1.07M-8.76%-3.22M-29.15%-2.96M-174.19%-2.29M402.65%3.09M-36.37%-1.02M32.78%-748.08K
Net cash flow
Beginning cash position -28.82%17.11M-4.15%24.04M2.19%25.08M5.17%24.54M-8.11%23.33M23.45%25.39M25.79%20.57M39.91%16.35M41.39%11.69M-4.75%8.27M
Current changes in cash 98.34%-116K-554.32%-6.98M-296.68%-1.07M-55.61%542K159.07%1.22M-142.85%-2.07M14.01%4.82M-9.86%4.23M37.54%4.69M941.68%3.41M
Effect of exchange rate changes -51.06%23K88.00%47K600.00%25K64.29%-5K-300.00%-14K470.76%7K86.59%-1.89K53.49%-14.08K-473.52%-30.27K221.83%8.1K
End cash Position -0.54%17.01M-28.82%17.11M-4.15%24.04M2.19%25.08M5.17%24.54M-8.11%23.33M23.44%25.39M25.79%20.57M39.91%16.35M41.39%11.69M
Free cash flow 465.13%8.63M-148.03%-2.36M-7.20%4.92M17.64%5.3M224.95%4.51M-82.42%1.39M488.00%7.89M-83.47%1.34M100.89%8.12M353.80%4.04M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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Price Target

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