SG Stock MarketDetailed Quotes

1J7 Jawala

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  • 0.072
  • 0.0000.00%
10min DelayMarket Closed Apr 15 09:00 CST
8.53MMarket Cap-9000P/E (TTM)

Jawala Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jul 31, 2023
(FY)Jul 31, 2022
(FY)Jul 31, 2021
(FY)Jul 31, 2020
(FY)Jul 31, 2019
(FY)Jul 31, 2018
(Q2)Jan 31, 2018
(Q1)Oct 31, 2017
(FY)Jul 31, 2017
(Q1)Oct 31, 2016
Operating cash flow (Indirect Method)
Cash from operating activities
-263.29%-5.13M
-36.57%3.14M
-24.07%4.95M
-56.89%6.52M
11.14%15.13M
336.99%13.61M
6.59M
4,088.97%3.55M
522.42%3.12M
84.86K
Net profit before non-cash adjustment
-170.60%-897.34K
-83.95%1.27M
127.52%7.92M
-73.52%3.48M
20.50%13.14M
337.94%10.91M
--4.38M
561.40%4.15M
778.88%2.49M
--628.08K
Total adjustment of non-cash items
-426.06%-4.05M
-55.30%1.24M
111.05%2.78M
-58.99%1.32M
-35.68%3.21M
434.66%4.99M
--1.45M
628.22%1.45M
1,521.17%933K
--199.73K
-Depreciation and amortization
7.28%571.67K
1.71%532.87K
8.13%523.94K
44.51%484.54K
65.94%335.29K
95.52%202.05K
--63.21K
3,731.48%44.79K
1,966.86%103.34K
--1.17K
-Reversal of impairment losses recognized in profit and loss
--318.54K
--0
----
----
----
----
----
----
----
----
-Disposal profit
---4.36M
--0
---1.01K
----
----
----
----
----
----
----
-Deferred income tax
-106.42%-72.01K
-59.27%1.12M
61.31%2.75M
-53.96%1.71M
-25.94%3.7M
506.03%5M
--1.38M
607.11%1.4M
1,268.34%825.43K
--198.56K
-Other non-cash items
-22.25%-503.94K
17.10%-412.23K
43.14%-497.26K
-5.17%-874.47K
-284.77%-831.51K
-5,223.35%-216.1K
--6.37K
--5.63K
--4.22K
----
Changes in working capital
-129.26%-183.97K
110.95%628.79K
-432.48%-5.74M
241.61%1.73M
46.52%-1.22M
-640.72%-2.28M
--755.03K
-176.47%-2.05M
-132.99%-307.85K
---742.95K
-Change in receivables
773.26%1.46M
96.78%-217.55K
-373.78%-6.75M
400.19%2.46M
77.65%-820.94K
-360.08%-3.67M
---537.98K
-74.84%-2.83M
-190.83%-798.46K
---1.62M
-Change in inventory
286.75%514.23K
65.94%-275.35K
-173.67%-808.36K
266.05%1.1M
-1,125.17%-660.78K
111.38%64.46K
--234.02K
--85.98K
---566.39K
--0
-Change in payables
-292.82%-2.16M
-38.15%1.12M
198.86%1.81M
-799.62%-1.83M
-80.27%262.24K
25.72%1.33M
--1.06M
-21.26%689.01K
1,857.34%1.06M
--875.08K
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
26.54%-459.03K
49.34%-624.85K
54.30%-1.23M
38.31%-2.7M
-20.02%-4.37M
-811.23%-3.64M
-455K
-200K
-400K
0
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-322.08%-5.59M
-32.33%2.52M
-2.73%3.72M
-64.45%3.82M
7.89%10.76M
267.13%9.97M
--6.13M
3,853.27%3.35M
442.51%2.72M
--84.86K
Investing cash flow
Net PPE purchase and sale
-45.09%-1.66M
-37.91%-1.14M
-46.20%-829.9K
29.47%-567.66K
44.15%-804.88K
-454.29%-1.44M
---402.93K
-2,211.15%-324.07K
---260K
---14.02K
Net changes in other investments
-44.25%-6.67M
-66.21%-4.63M
2.28%-2.78M
-66.90%-2.85M
-127.89%-1.71M
-1,329.13%-748.72K
---106.53K
-732.67%-37.47K
---52.39K
---4.5K
Investing cash flow
-44.42%-8.33M
-59.71%-5.77M
-5.78%-3.61M
-36.01%-3.42M
-14.67%-2.51M
-601.01%-2.19M
---509.46K
-1,851.95%-361.54K
37.52%-312.39K
---18.52K
Financing cash flow
Net issuance payments of debt
--4.16M
--0
--3.14M
----
----
----
----
----
----
----
Net common stock issuance
----
----
----
----
----
--15.21M
----
--9
--0
--0
Increase or decrease of lease financing
-24.60%-210.44K
-7.36%-168.9K
-22.44%-157.33K
-90.00%-128.5K
-37.27%-67.63K
-549.37%-49.27K
---11.67K
---10.33K
---7.59K
--0
Cash dividends paid
----
---1.11M
----
-9.34%-2.51M
---2.3M
----
----
----
----
----
Cash dividends for minorities
--0
-157.14%-805.97K
---313.43K
----
----
----
----
----
----
----
Interest paid (cash flow from financing activities)
-0.52%-95.15K
7.19%-94.65K
3.28%-101.98K
-296.65%-105.44K
-7.33%-26.58K
-487.17%-24.77K
---6.37K
---5.63K
---4.22K
--0
Net other fund-raising expenses
11.16%542.15K
-15.42%487.72K
-39.24%576.66K
21.57%949.12K
192.28%780.74K
---846.08K
---2M
--1M
----
----
Financing cash flow
360.39%4.4M
-153.66%-1.69M
275.06%3.15M
-11.54%-1.8M
-111.28%-1.61M
121,124.65%14.29M
---2.02M
--984.05K
---11.81K
--0
Net cash flow
Beginning cash position
-15.00%28.02M
10.95%32.96M
-4.47%29.71M
27.11%31.1M
918.78%24.47M
22,927.10%2.4M
--6.38M
22,927.10%2.4M
5.49%10.43K
--10.43K
Current changes in cash
-92.65%-9.52M
-251.91%-4.94M
334.02%3.25M
-120.96%-1.39M
-69.94%6.63M
822.79%22.07M
--3.61M
5,895.59%3.98M
440,286.19%2.39M
--66.33K
End cash Position
-33.98%18.5M
-15.00%28.02M
10.95%32.96M
-4.47%29.71M
27.11%31.1M
918.78%24.47M
--9.99M
8,209.71%6.38M
22,927.10%2.4M
--76.76K
Free cash flow
-628.40%-7.25M
-52.43%1.37M
-11.42%2.88M
-67.28%3.26M
16.69%9.95M
247.32%8.53M
--5.73M
4,178.34%3.03M
452,108.47%2.46M
--70.83K
Currency Unit
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
MYR
(FY)Jul 31, 2023(FY)Jul 31, 2022(FY)Jul 31, 2021(FY)Jul 31, 2020(FY)Jul 31, 2019(FY)Jul 31, 2018(Q2)Jan 31, 2018(Q1)Oct 31, 2017(FY)Jul 31, 2017(Q1)Oct 31, 2016
Operating cash flow (Indirect Method)
Cash from operating activities -263.29%-5.13M-36.57%3.14M-24.07%4.95M-56.89%6.52M11.14%15.13M336.99%13.61M6.59M4,088.97%3.55M522.42%3.12M84.86K
Net profit before non-cash adjustment -170.60%-897.34K-83.95%1.27M127.52%7.92M-73.52%3.48M20.50%13.14M337.94%10.91M--4.38M561.40%4.15M778.88%2.49M--628.08K
Total adjustment of non-cash items -426.06%-4.05M-55.30%1.24M111.05%2.78M-58.99%1.32M-35.68%3.21M434.66%4.99M--1.45M628.22%1.45M1,521.17%933K--199.73K
-Depreciation and amortization 7.28%571.67K1.71%532.87K8.13%523.94K44.51%484.54K65.94%335.29K95.52%202.05K--63.21K3,731.48%44.79K1,966.86%103.34K--1.17K
-Reversal of impairment losses recognized in profit and loss --318.54K--0--------------------------------
-Disposal profit ---4.36M--0---1.01K----------------------------
-Deferred income tax -106.42%-72.01K-59.27%1.12M61.31%2.75M-53.96%1.71M-25.94%3.7M506.03%5M--1.38M607.11%1.4M1,268.34%825.43K--198.56K
-Other non-cash items -22.25%-503.94K17.10%-412.23K43.14%-497.26K-5.17%-874.47K-284.77%-831.51K-5,223.35%-216.1K--6.37K--5.63K--4.22K----
Changes in working capital -129.26%-183.97K110.95%628.79K-432.48%-5.74M241.61%1.73M46.52%-1.22M-640.72%-2.28M--755.03K-176.47%-2.05M-132.99%-307.85K---742.95K
-Change in receivables 773.26%1.46M96.78%-217.55K-373.78%-6.75M400.19%2.46M77.65%-820.94K-360.08%-3.67M---537.98K-74.84%-2.83M-190.83%-798.46K---1.62M
-Change in inventory 286.75%514.23K65.94%-275.35K-173.67%-808.36K266.05%1.1M-1,125.17%-660.78K111.38%64.46K--234.02K--85.98K---566.39K--0
-Change in payables -292.82%-2.16M-38.15%1.12M198.86%1.81M-799.62%-1.83M-80.27%262.24K25.72%1.33M--1.06M-21.26%689.01K1,857.34%1.06M--875.08K
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 26.54%-459.03K49.34%-624.85K54.30%-1.23M38.31%-2.7M-20.02%-4.37M-811.23%-3.64M-455K-200K-400K0
Other operating cash inflow (outflow) 0000000000
Operating cash flow -322.08%-5.59M-32.33%2.52M-2.73%3.72M-64.45%3.82M7.89%10.76M267.13%9.97M--6.13M3,853.27%3.35M442.51%2.72M--84.86K
Investing cash flow
Net PPE purchase and sale -45.09%-1.66M-37.91%-1.14M-46.20%-829.9K29.47%-567.66K44.15%-804.88K-454.29%-1.44M---402.93K-2,211.15%-324.07K---260K---14.02K
Net changes in other investments -44.25%-6.67M-66.21%-4.63M2.28%-2.78M-66.90%-2.85M-127.89%-1.71M-1,329.13%-748.72K---106.53K-732.67%-37.47K---52.39K---4.5K
Investing cash flow -44.42%-8.33M-59.71%-5.77M-5.78%-3.61M-36.01%-3.42M-14.67%-2.51M-601.01%-2.19M---509.46K-1,851.95%-361.54K37.52%-312.39K---18.52K
Financing cash flow
Net issuance payments of debt --4.16M--0--3.14M----------------------------
Net common stock issuance ----------------------15.21M------9--0--0
Increase or decrease of lease financing -24.60%-210.44K-7.36%-168.9K-22.44%-157.33K-90.00%-128.5K-37.27%-67.63K-549.37%-49.27K---11.67K---10.33K---7.59K--0
Cash dividends paid -------1.11M-----9.34%-2.51M---2.3M--------------------
Cash dividends for minorities --0-157.14%-805.97K---313.43K----------------------------
Interest paid (cash flow from financing activities) -0.52%-95.15K7.19%-94.65K3.28%-101.98K-296.65%-105.44K-7.33%-26.58K-487.17%-24.77K---6.37K---5.63K---4.22K--0
Net other fund-raising expenses 11.16%542.15K-15.42%487.72K-39.24%576.66K21.57%949.12K192.28%780.74K---846.08K---2M--1M--------
Financing cash flow 360.39%4.4M-153.66%-1.69M275.06%3.15M-11.54%-1.8M-111.28%-1.61M121,124.65%14.29M---2.02M--984.05K---11.81K--0
Net cash flow
Beginning cash position -15.00%28.02M10.95%32.96M-4.47%29.71M27.11%31.1M918.78%24.47M22,927.10%2.4M--6.38M22,927.10%2.4M5.49%10.43K--10.43K
Current changes in cash -92.65%-9.52M-251.91%-4.94M334.02%3.25M-120.96%-1.39M-69.94%6.63M822.79%22.07M--3.61M5,895.59%3.98M440,286.19%2.39M--66.33K
End cash Position -33.98%18.5M-15.00%28.02M10.95%32.96M-4.47%29.71M27.11%31.1M918.78%24.47M--9.99M8,209.71%6.38M22,927.10%2.4M--76.76K
Free cash flow -628.40%-7.25M-52.43%1.37M-11.42%2.88M-67.28%3.26M16.69%9.95M247.32%8.53M--5.73M4,178.34%3.03M452,108.47%2.46M--70.83K
Currency Unit MYRMYRMYRMYRMYRMYRMYRMYRMYRMYR

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Price Target

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