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546 Medtecs Intl

Watchlist
0.144 0.0000.00%
10min Delay Trading 09/26 10:11 SGT
0.145High0.144Low277.30KVolume

Medtecs Intl Key Stats

Quarterly+Annual
YOY
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(Q2)2023/06/30
(FY)2022/12/31
(Q4)2022/12/31
(Q2)2022/06/30
(FY)2021/12/31
(Q4)2021/12/31
(Q2)2021/06/30
(FY)2020/12/31
(Q4)2020/12/31
(Q2)2020/06/30
Assets
Current assets
Cash, cash equivalents and short term investments
-46.11%33.68M
-39.47%35.28M
-39.47%35.28M
-0.37%62.51M
-33.26%58.29M
-33.26%58.29M
144.70%62.74M
991.74%87.34M
991.74%87.34M
258.00%25.64M
-Cash and cash equivalents
-61.54%15.18M
-63.03%18.12M
-63.03%18.12M
-35.43%39.47M
-40.34%49.02M
-40.34%49.02M
195.11%61.12M
2,576.25%82.16M
2,576.25%82.16M
1,041.68%20.71M
-Including:Cash
-61.54%15.18M
-63.03%18.12M
-63.03%18.12M
-35.43%39.47M
-40.34%49.02M
-40.34%49.02M
195.11%61.12M
2,576.25%82.16M
2,576.25%82.16M
--20.71M
-Short-term investments
-19.70%18.5M
85.00%17.16M
85.00%17.16M
1,319.65%23.04M
79.12%9.28M
79.12%9.28M
-67.08%1.62M
5.03%5.18M
5.03%5.18M
-7.82%4.93M
Receivables
-27.33%28.74M
-28.31%30.36M
-28.31%30.36M
-16.93%39.55M
-22.42%42.35M
-22.42%42.35M
2.85%47.61M
242.37%54.59M
242.37%54.59M
211.23%46.29M
-Accounts receivable
-27.33%28.74M
-28.31%30.36M
-28.31%30.36M
-16.93%39.55M
-14.12%42.35M
-14.12%42.35M
2.85%47.61M
269.51%49.31M
269.51%49.31M
211.23%46.29M
-Gross accounts receivable
----
-19.80%34.15M
-19.80%34.15M
----
-14.02%42.58M
-14.02%42.58M
----
264.90%49.53M
264.90%49.53M
----
-Bad debt provision
----
-1,514.47%-3.79M
-1,514.47%-3.79M
----
-6.82%-235K
-6.82%-235K
----
3.93%-220K
3.93%-220K
----
-Other receivables
----
----
----
----
----
----
----
103.08%5.28M
103.08%5.28M
----
Inventory
-18.82%39.52M
-26.71%36.39M
-26.71%36.39M
-2.51%48.69M
-7.49%49.66M
-7.49%49.66M
32.51%49.94M
41.84%53.68M
41.84%53.68M
11.62%37.69M
Prepaid assets
----
----
----
----
----
----
----
-21.04%10.45M
-21.04%10.45M
----
Other current assets
-13.80%8.93M
-53.32%6.1M
-53.32%6.1M
-0.95%10.36M
--13.07M
--13.07M
-34.44%10.45M
----
----
-11.07%15.95M
Total current assets
-31.18%110.87M
-33.81%108.14M
-33.81%108.14M
-5.65%161.1M
-20.72%163.37M
-20.72%163.37M
35.98%170.75M
173.68%206.06M
173.68%206.06M
70.30%125.56M
Non current assets
Net PPE
5.09%57.75M
33.19%59.87M
33.19%59.87M
68.08%54.96M
43.01%44.95M
43.01%44.95M
3.84%32.7M
2.38%31.43M
2.38%31.43M
41.02%31.49M
-Gross PP&E
5.09%57.75M
13.88%117.62M
13.88%117.62M
68.08%54.96M
21.77%103.29M
21.77%103.29M
3.84%32.7M
7.78%84.83M
7.78%84.83M
--31.49M
-Accumulated depreciation
----
1.00%-57.76M
1.00%-57.76M
----
-9.26%-58.34M
-9.26%-58.34M
----
-11.24%-53.4M
-11.24%-53.4M
----
Investment properties
-4.08%2.56M
-4.07%2.62M
-4.07%2.62M
-3.99%2.67M
-3.91%2.73M
-3.91%2.73M
-3.84%2.78M
-3.76%2.84M
-3.76%2.84M
-3.69%2.89M
Prepaid assets-Non current
----
26.93%1.68M
26.93%1.68M
----
-67.06%1.32M
-67.06%1.32M
----
-36.97%4.01M
-36.97%4.01M
----
Total investment
--0
245.14%6.36M
245.14%6.36M
--0
--1.84M
--1.84M
--0
--0
--0
--0
-Long-term equity investment
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-Financial asset investment
----
245.14%6.36M
245.14%6.36M
----
--1.84M
--1.84M
----
--0
--0
----
-Including:Available-for-sale securities
----
245.14%6.36M
245.14%6.36M
----
--1.84M
--1.84M
----
----
----
----
Goodwill and other intangible assets
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
-Goodwill
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
0.00%709K
Deferred tax assets-Non current
4,281.63%2.15M
6,281.82%2.11M
6,281.82%2.11M
48.48%49K
0.00%33K
0.00%33K
94.12%33K
57.14%33K
57.14%33K
70.00%17K
Other non current assets
-4.24%7.69M
-7.07%578K
-7.07%578K
186.00%8.03M
2.98%622K
2.98%622K
-61.91%2.81M
6.53%604K
6.53%604K
-44.06%7.37M
Total non current assets
6.70%70.86M
41.58%73.91M
41.58%73.91M
70.17%66.41M
31.74%52.21M
31.74%52.21M
-8.12%39.03M
-4.08%39.63M
-4.08%39.63M
8.28%42.48M
Total assets
-20.12%181.73M
-15.55%182.05M
-15.55%182.05M
8.45%227.51M
-12.26%215.57M
-12.26%215.57M
24.84%209.77M
110.70%245.69M
110.70%245.69M
48.77%168.04M
Liabilities
Current liabilities
Financial liabilities
44.91%21.19M
57.55%16.22M
57.55%16.22M
24.94%14.63M
-69.03%10.29M
-69.03%10.29M
-70.23%11.71M
-10.52%33.24M
-10.52%33.24M
16.64%39.32M
-Current debt and capital lease obligation
44.91%21.19M
57.55%16.22M
57.55%16.22M
24.94%14.63M
-69.03%10.29M
-69.03%10.29M
-70.23%11.71M
-10.52%33.24M
-10.52%33.24M
16.64%39.32M
-Including:Current debt
40.98%20.62M
68.10%15.64M
68.10%15.64M
24.94%14.63M
-71.67%9.31M
-71.67%9.31M
-70.23%11.71M
-10.40%32.85M
-10.40%32.85M
16.64%39.32M
-Including:Current capital Lease obligation
--575K
-41.80%575K
-41.80%575K
----
155.96%988K
155.96%988K
----
-19.58%386K
-19.58%386K
----
Payables
-16.34%9.03M
-19.57%6.89M
-19.57%6.89M
71.50%10.79M
-21.02%8.57M
-21.02%8.57M
-68.40%6.29M
330.91%10.85M
330.91%10.85M
166.58%19.92M
-accounts payable
-24.95%6.55M
-60.30%1.82M
-60.30%1.82M
178.19%8.72M
-23.84%4.57M
-23.84%4.57M
-81.24%3.14M
533.23%6M
533.23%6M
177.64%16.71M
-Total tax payable
35.31%2.48M
-5.92%2.42M
-5.92%2.42M
-41.89%1.84M
-7.50%2.57M
-7.50%2.57M
-1.47%3.16M
208.33%2.78M
208.33%2.78M
120.73%3.21M
-Dividends payable
----
----
----
--235K
----
----
----
----
----
----
-Other payable
----
86.41%2.66M
86.41%2.66M
----
-31.00%1.43M
-31.00%1.43M
----
209.12%2.07M
209.12%2.07M
----
Accrued and deferred income
----
11.66%1.97M
11.66%1.97M
----
-7.05%1.77M
-7.05%1.77M
----
9.26%1.9M
9.26%1.9M
----
Current liabilities
18.90%30.22M
21.59%25.08M
21.59%25.08M
41.22%25.42M
-55.15%20.63M
-55.15%20.63M
-69.62%18M
11.07%45.99M
11.07%45.99M
43.84%59.24M
Non current liabilities
Non-current financial liabilities
-85.72%3.18M
-42.41%3.34M
-42.41%3.34M
604.02%22.26M
71.03%5.79M
71.03%5.79M
-38.96%3.16M
-62.18%3.39M
-62.18%3.39M
-6.50%5.18M
-Long term debt and capital lease obligation
-85.72%3.18M
-42.41%3.34M
-42.41%3.34M
604.02%22.26M
71.03%5.79M
71.03%5.79M
-38.96%3.16M
-62.18%3.39M
-62.18%3.39M
-6.50%5.18M
-Including:Long term debt
----
----
----
--19.17M
----
----
--0
-96.12%228K
-96.12%228K
-65.38%1.92M
-Including:Long term capital lease obligation
2.75%3.18M
-42.41%3.34M
-42.41%3.34M
-2.15%3.09M
83.38%5.79M
83.38%5.79M
-3.07%3.16M
2.43%3.16M
2.43%3.16M
--3.26M
Long-term pension and other post-retirement benefit plans
----
-24.56%811K
-24.56%811K
----
-11.96%1.08M
-11.96%1.08M
----
31.72%1.22M
31.72%1.22M
----
Non current deferred liabilities
122.16%391K
165.99%391K
165.99%391K
19.73%176K
-18.78%147K
-18.78%147K
-28.64%147K
-15.02%181K
-15.02%181K
-8.44%206K
Other non current liabilities
-13.16%977K
317.86%117K
317.86%117K
-12.04%1.13M
-93.38%28K
-93.38%28K
27.14%1.28M
-18.34%423K
-18.34%423K
-53.73%1.01M
Total non current liabilities
-80.70%4.55M
-33.90%4.65M
-33.90%4.65M
413.56%23.56M
35.12%7.04M
35.12%7.04M
-28.22%4.59M
-50.89%5.21M
-50.89%5.21M
-19.49%6.39M
Total liabilities
-29.01%34.77M
7.47%29.73M
7.47%29.73M
116.85%48.98M
-45.96%27.67M
-45.96%27.67M
-65.58%22.59M
-1.57%51.2M
-1.57%51.2M
33.61%65.63M
Shareholders'equity
Share capital
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
--27.47M
-common stock
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
0.00%27.47M
--27.47M
Paid-in capital
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
0.00%4.72M
-85.33%4.72M
Other equity interest
614.29%250K
----
----
126.52%35K
----
----
-2,300.00%-132K
----
----
-97.75%6K
Other reserves
-21.22%114.76M
-22.67%119.96M
-22.67%119.96M
-7.08%145.67M
-3.81%155.13M
-3.81%155.13M
126.59%156.77M
413.97%161.27M
413.97%161.27M
49,675.54%69.19M
Total stockholders'equity
-17.48%144.85M
-19.13%149.79M
-19.13%149.79M
-5.99%175.54M
-4.26%185.21M
-4.26%185.21M
84.17%186.72M
204.33%193.47M
204.33%193.47M
61.40%101.39M
Noncontrolling interests
-29.31%2.12M
-6.20%2.53M
-6.20%2.53M
544.83%2.99M
162.73%2.69M
162.73%2.69M
-54.64%464K
0.49%1.03M
0.49%1.03M
0.59%1.02M
Total equity
-17.68%146.96M
-18.94%152.32M
-18.94%152.32M
-4.63%178.53M
-3.38%187.91M
-3.38%187.91M
82.78%187.19M
201.11%194.49M
201.11%194.49M
60.43%102.41M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(Q2)2023/06/30(FY)2022/12/31(Q4)2022/12/31(Q2)2022/06/30(FY)2021/12/31(Q4)2021/12/31(Q2)2021/06/30(FY)2020/12/31(Q4)2020/12/31(Q2)2020/06/30
Assets
Current assets
Cash, cash equivalents and short term investments -46.11%33.68M-39.47%35.28M-39.47%35.28M-0.37%62.51M-33.26%58.29M-33.26%58.29M144.70%62.74M991.74%87.34M991.74%87.34M258.00%25.64M
-Cash and cash equivalents -61.54%15.18M-63.03%18.12M-63.03%18.12M-35.43%39.47M-40.34%49.02M-40.34%49.02M195.11%61.12M2,576.25%82.16M2,576.25%82.16M1,041.68%20.71M
-Including:Cash -61.54%15.18M-63.03%18.12M-63.03%18.12M-35.43%39.47M-40.34%49.02M-40.34%49.02M195.11%61.12M2,576.25%82.16M2,576.25%82.16M--20.71M
-Short-term investments -19.70%18.5M85.00%17.16M85.00%17.16M1,319.65%23.04M79.12%9.28M79.12%9.28M-67.08%1.62M5.03%5.18M5.03%5.18M-7.82%4.93M
Receivables -27.33%28.74M-28.31%30.36M-28.31%30.36M-16.93%39.55M-22.42%42.35M-22.42%42.35M2.85%47.61M242.37%54.59M242.37%54.59M211.23%46.29M
-Accounts receivable -27.33%28.74M-28.31%30.36M-28.31%30.36M-16.93%39.55M-14.12%42.35M-14.12%42.35M2.85%47.61M269.51%49.31M269.51%49.31M211.23%46.29M
-Gross accounts receivable -----19.80%34.15M-19.80%34.15M-----14.02%42.58M-14.02%42.58M----264.90%49.53M264.90%49.53M----
-Bad debt provision -----1,514.47%-3.79M-1,514.47%-3.79M-----6.82%-235K-6.82%-235K----3.93%-220K3.93%-220K----
-Other receivables ----------------------------103.08%5.28M103.08%5.28M----
Inventory -18.82%39.52M-26.71%36.39M-26.71%36.39M-2.51%48.69M-7.49%49.66M-7.49%49.66M32.51%49.94M41.84%53.68M41.84%53.68M11.62%37.69M
Prepaid assets -----------------------------21.04%10.45M-21.04%10.45M----
Other current assets -13.80%8.93M-53.32%6.1M-53.32%6.1M-0.95%10.36M--13.07M--13.07M-34.44%10.45M---------11.07%15.95M
Total current assets -31.18%110.87M-33.81%108.14M-33.81%108.14M-5.65%161.1M-20.72%163.37M-20.72%163.37M35.98%170.75M173.68%206.06M173.68%206.06M70.30%125.56M
Non current assets
Net PPE 5.09%57.75M33.19%59.87M33.19%59.87M68.08%54.96M43.01%44.95M43.01%44.95M3.84%32.7M2.38%31.43M2.38%31.43M41.02%31.49M
-Gross PP&E 5.09%57.75M13.88%117.62M13.88%117.62M68.08%54.96M21.77%103.29M21.77%103.29M3.84%32.7M7.78%84.83M7.78%84.83M--31.49M
-Accumulated depreciation ----1.00%-57.76M1.00%-57.76M-----9.26%-58.34M-9.26%-58.34M-----11.24%-53.4M-11.24%-53.4M----
Investment properties -4.08%2.56M-4.07%2.62M-4.07%2.62M-3.99%2.67M-3.91%2.73M-3.91%2.73M-3.84%2.78M-3.76%2.84M-3.76%2.84M-3.69%2.89M
Prepaid assets-Non current ----26.93%1.68M26.93%1.68M-----67.06%1.32M-67.06%1.32M-----36.97%4.01M-36.97%4.01M----
Total investment --0245.14%6.36M245.14%6.36M--0--1.84M--1.84M--0--0--0--0
-Long-term equity investment --0--0--0--0--0--0--0--0--0--0
-Financial asset investment ----245.14%6.36M245.14%6.36M------1.84M--1.84M------0--0----
-Including:Available-for-sale securities ----245.14%6.36M245.14%6.36M------1.84M--1.84M----------------
Goodwill and other intangible assets 0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K
-Goodwill 0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K0.00%709K
Deferred tax assets-Non current 4,281.63%2.15M6,281.82%2.11M6,281.82%2.11M48.48%49K0.00%33K0.00%33K94.12%33K57.14%33K57.14%33K70.00%17K
Other non current assets -4.24%7.69M-7.07%578K-7.07%578K186.00%8.03M2.98%622K2.98%622K-61.91%2.81M6.53%604K6.53%604K-44.06%7.37M
Total non current assets 6.70%70.86M41.58%73.91M41.58%73.91M70.17%66.41M31.74%52.21M31.74%52.21M-8.12%39.03M-4.08%39.63M-4.08%39.63M8.28%42.48M
Total assets -20.12%181.73M-15.55%182.05M-15.55%182.05M8.45%227.51M-12.26%215.57M-12.26%215.57M24.84%209.77M110.70%245.69M110.70%245.69M48.77%168.04M
Liabilities
Current liabilities
Financial liabilities 44.91%21.19M57.55%16.22M57.55%16.22M24.94%14.63M-69.03%10.29M-69.03%10.29M-70.23%11.71M-10.52%33.24M-10.52%33.24M16.64%39.32M
-Current debt and capital lease obligation 44.91%21.19M57.55%16.22M57.55%16.22M24.94%14.63M-69.03%10.29M-69.03%10.29M-70.23%11.71M-10.52%33.24M-10.52%33.24M16.64%39.32M
-Including:Current debt 40.98%20.62M68.10%15.64M68.10%15.64M24.94%14.63M-71.67%9.31M-71.67%9.31M-70.23%11.71M-10.40%32.85M-10.40%32.85M16.64%39.32M
-Including:Current capital Lease obligation --575K-41.80%575K-41.80%575K----155.96%988K155.96%988K-----19.58%386K-19.58%386K----
Payables -16.34%9.03M-19.57%6.89M-19.57%6.89M71.50%10.79M-21.02%8.57M-21.02%8.57M-68.40%6.29M330.91%10.85M330.91%10.85M166.58%19.92M
-accounts payable -24.95%6.55M-60.30%1.82M-60.30%1.82M178.19%8.72M-23.84%4.57M-23.84%4.57M-81.24%3.14M533.23%6M533.23%6M177.64%16.71M
-Total tax payable 35.31%2.48M-5.92%2.42M-5.92%2.42M-41.89%1.84M-7.50%2.57M-7.50%2.57M-1.47%3.16M208.33%2.78M208.33%2.78M120.73%3.21M
-Dividends payable --------------235K------------------------
-Other payable ----86.41%2.66M86.41%2.66M-----31.00%1.43M-31.00%1.43M----209.12%2.07M209.12%2.07M----
Accrued and deferred income ----11.66%1.97M11.66%1.97M-----7.05%1.77M-7.05%1.77M----9.26%1.9M9.26%1.9M----
Current liabilities 18.90%30.22M21.59%25.08M21.59%25.08M41.22%25.42M-55.15%20.63M-55.15%20.63M-69.62%18M11.07%45.99M11.07%45.99M43.84%59.24M
Non current liabilities
Non-current financial liabilities -85.72%3.18M-42.41%3.34M-42.41%3.34M604.02%22.26M71.03%5.79M71.03%5.79M-38.96%3.16M-62.18%3.39M-62.18%3.39M-6.50%5.18M
-Long term debt and capital lease obligation -85.72%3.18M-42.41%3.34M-42.41%3.34M604.02%22.26M71.03%5.79M71.03%5.79M-38.96%3.16M-62.18%3.39M-62.18%3.39M-6.50%5.18M
-Including:Long term debt --------------19.17M----------0-96.12%228K-96.12%228K-65.38%1.92M
-Including:Long term capital lease obligation 2.75%3.18M-42.41%3.34M-42.41%3.34M-2.15%3.09M83.38%5.79M83.38%5.79M-3.07%3.16M2.43%3.16M2.43%3.16M--3.26M
Long-term pension and other post-retirement benefit plans -----24.56%811K-24.56%811K-----11.96%1.08M-11.96%1.08M----31.72%1.22M31.72%1.22M----
Non current deferred liabilities 122.16%391K165.99%391K165.99%391K19.73%176K-18.78%147K-18.78%147K-28.64%147K-15.02%181K-15.02%181K-8.44%206K
Other non current liabilities -13.16%977K317.86%117K317.86%117K-12.04%1.13M-93.38%28K-93.38%28K27.14%1.28M-18.34%423K-18.34%423K-53.73%1.01M
Total non current liabilities -80.70%4.55M-33.90%4.65M-33.90%4.65M413.56%23.56M35.12%7.04M35.12%7.04M-28.22%4.59M-50.89%5.21M-50.89%5.21M-19.49%6.39M
Total liabilities -29.01%34.77M7.47%29.73M7.47%29.73M116.85%48.98M-45.96%27.67M-45.96%27.67M-65.58%22.59M-1.57%51.2M-1.57%51.2M33.61%65.63M
Shareholders'equity
Share capital 0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M--27.47M
-common stock 0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M0.00%27.47M--27.47M
Paid-in capital 0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M0.00%4.72M-85.33%4.72M
Other equity interest 614.29%250K--------126.52%35K---------2,300.00%-132K---------97.75%6K
Other reserves -21.22%114.76M-22.67%119.96M-22.67%119.96M-7.08%145.67M-3.81%155.13M-3.81%155.13M126.59%156.77M413.97%161.27M413.97%161.27M49,675.54%69.19M
Total stockholders'equity -17.48%144.85M-19.13%149.79M-19.13%149.79M-5.99%175.54M-4.26%185.21M-4.26%185.21M84.17%186.72M204.33%193.47M204.33%193.47M61.40%101.39M
Noncontrolling interests -29.31%2.12M-6.20%2.53M-6.20%2.53M544.83%2.99M162.73%2.69M162.73%2.69M-54.64%464K0.49%1.03M0.49%1.03M0.59%1.02M
Total equity -17.68%146.96M-18.94%152.32M-18.94%152.32M-4.63%178.53M-3.38%187.91M-3.38%187.91M82.78%187.19M201.11%194.49M201.11%194.49M60.43%102.41M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
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