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5PC Goodland

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  • 0.132
  • 0.0000.00%
10min DelayMarket Closed Apr 15 09:00 CST
47.40MMarket Cap33.00P/E (TTM)

Goodland Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Sep 30, 2023
(FY)Sep 30, 2022
(FY)Sep 30, 2021
(FY)Sep 30, 2020
(FY)Sep 30, 2019
(Q4)Sep 30, 2019
(Q3)Jun 30, 2019
(Q2)Mar 31, 2019
(Q1)Dec 31, 2018
(FY)Sep 30, 2018
Operating cash flow (Indirect Method)
Cash from operating activities
-46.50%-11.23M
-169.87%-7.66M
-22.30%10.97M
147.64%14.12M
-189.66%-29.63M
-4.29M
-1,052.68%-21.95M
-101.46%-472K
-132.85%-2.92M
-13.44%33.05M
Net profit before non-cash adjustment
-83.57%1.73M
836.63%10.56M
131.39%1.13M
-1,402.99%-3.59M
-89.86%275.65K
---1.43M
-91.20%77K
-53.00%251K
428.74%1.38M
-7.00%2.72M
Total adjustment of non-cash items
105.34%287.62K
-332.15%-5.39M
-25.68%2.32M
206.72%3.12M
14.81%-2.93M
--694.68K
47.65%-635K
21.11%-1.34M
-135.05%-1.64M
-261.35%-3.44M
-Depreciation and amortization
-11.05%257.95K
33.43%290K
-25.23%217.34K
-30.11%290.68K
-9.45%415.93K
--98.93K
-20.00%100K
-13.60%108K
-9.17%109K
-19.60%459.34K
-Reversal of impairment losses recognized in profit and loss
----
----
----
----
----
----
--0
--0
----
--415.88K
-Share of associates
66.67%-1.48M
-292.63%-4.45M
75.53%2.31M
132.33%1.32M
35.62%-4.08M
--825.97K
32.69%-1.11M
33.07%-1.75M
-93.55%-2.04M
-1,800.23%-6.33M
-Disposal profit
16.38%-2.56M
-94.59%-3.06M
-756.25%-1.57M
133.71%239.55K
-0.76%-710.61K
---760.61K
-113.64%-3K
67.24%-19K
413.04%72K
-45.98%-705.27K
-Other non-cash items
121.90%4.07M
34.61%1.84M
6.90%1.36M
-11.64%1.28M
-47.02%1.44M
--530.38K
30.80%378K
-25.93%320K
-16.28%216K
63.28%2.72M
Changes in working capital
-3.24%-13.25M
-270.66%-12.83M
-48.44%7.52M
154.06%14.59M
-179.91%-26.98M
---3.55M
-1,265.84%-21.39M
-98.16%619K
-128.49%-2.66M
1.92%33.76M
-Change in receivables
57.06%-5.12M
-45.85%-11.91M
-327.84%-8.17M
1,384.12%3.59M
-100.70%-279.19K
--1.13M
-97.45%131K
-102.92%-743K
-115.65%-798K
871.61%40.04M
-Change in inventory
-492.33%-10.35M
-110.91%-1.75M
52.64%16.01M
138.76%10.49M
-291.67%-27.06M
---6.36M
-353.36%-20.04M
-90.04%745K
-147.64%-1.41M
-116.61%-6.91M
-Change in payables
167.77%2.21M
354.99%826.2K
-163.56%-324.01K
41.19%509.75K
-43.29%361.03K
--1.68M
35.13%-1.48M
-7.36%617K
-135.46%-455K
119.35%636.64K
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)
119.17%5.68K
-84.79%2.59K
1,325.42%17.05K
-95.51%1.2K
-9.77%26.65K
1.65K
-50.00%5K
8K
266.67%11K
26.55%29.54K
Tax refund paid
-194.43%-53.28K
-18.1K
0
108.58%3.71K
83.01%-43.19K
-43.19K
0
0
-450.63%-254.2K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-46.82%-11.27M
-169.90%-7.68M
-22.21%10.99M
147.63%14.12M
-190.33%-29.65M
---4.33M
-1,033.37%-21.94M
-101.44%-464K
-132.71%-2.91M
-14.25%32.82M
Investing cash flow
Net PPE purchase and sale
96.88%-4.85K
10.61%-155.19K
-106.36%-173.62K
-78.82%-84.13K
84.76%-47.05K
---14.05K
10.00%-9K
97.85%-5K
61.22%-19K
-112.71%-308.68K
Net business purchase and sale
----
----
----
----
----
----
--0
--0
-93.39%153K
---679.98K
Net investment property transactions
----
----
----
98.54%-12.55K
-584.55%-861.62K
---6.62K
--0
---3K
-85,100.00%-852K
-1,120.34%-125.87K
Net investment product transactions
---2.4K
--0
-92.27%5.57K
--72.07K
--0
--0
--0
--0
----
---199.1K
Advance cash and loans provided to other parties
-216.38%-345.18K
93.61%-109.1K
-33,619.76%-1.71M
99.84%-5.06K
63.22%-3.14M
---16.99K
77.48%-691K
--0
0.57%-2.45M
-1,589.40%-8.54M
Repayment of advance payments to other parties and cash income from loans
120,141.25%3.64M
--3.03K
----
----
-96.16%153.53K
--11.53K
----
----
----
-21.67%4M
Dividends received (cash flow from investment activities)
--1.73K
--0
-95.80%125
-70.15%2.97K
-42.08%9.96K
--1.96K
-22.22%7K
--1K
--0
274.24%17.2K
Investing cash flow
1,359.33%3.29M
86.06%-261.27K
-6,920.05%-1.87M
99.31%-26.7K
33.49%-3.89M
---24.16K
77.42%-693K
99.31%-7K
-1,556.02%-3.16M
-183.29%-5.84M
Financing cash flow
Net issuance payments of debt
39.33%18.25M
536.70%13.1M
65.03%-3M
-130.91%-8.58M
164.94%27.74M
--4.32M
285.35%20.72M
102.16%821K
112.21%1.88M
3.09%-42.72M
Net common stock issuance
--0
-90.03%-50.63K
15.41%-26.65K
57.24%-31.5K
-213.79%-73.66K
---10.66K
---63K
----
----
---23.48K
Increase or decrease of lease financing
-3.42%-98.52K
-127.44%-95.26K
-19.55%-41.89K
-0.00%-35.04K
25.81%-35.03K
---9.03K
46.67%-8K
-107.69%-9K
30.77%-9K
1.44%-47.22K
Cash dividends paid
-180.61%-2.27M
0.15%-808.8K
-49.92%-810.05K
66.70%-540.31K
57.15%-1.62M
--322
50.00%-541K
50.00%-1.08M
----
-16.67%-3.79M
Interest paid (cash flow from financing activities)
-147.96%-5.39M
-26.95%-2.17M
30.60%-1.71M
1.00%-2.47M
-24.61%-2.49M
---897.41K
-73.42%-659K
5.03%-529K
27.03%-405K
43.61%-2M
Net other fund-raising expenses
93.97%-65.83K
-382.29%-1.09M
2,115.79%386.75K
-100.54%-19.19K
-27.02%3.52M
--396.49K
-77.78%680K
----
--2.45M
905.22%4.83M
Financing cash flow
17.46%10.43M
270.69%8.88M
55.42%-5.2M
-143.15%-11.67M
161.81%27.04M
--3.8M
189.23%20.13M
98.04%-799K
124.49%3.91M
13.26%-43.75M
Net cash flow
Beginning cash position
11.55%9.09M
92.30%8.15M
134.25%4.24M
-78.21%1.81M
-66.90%8.3M
--2.37M
-41.88%4.87M
-65.52%6.14M
-66.90%8.3M
-17.06%25.07M
Current changes in cash
160.37%2.45M
-75.98%939.06K
61.09%3.91M
137.38%2.43M
61.30%-6.49M
---558.43K
-227.91%-2.5M
86.52%-1.27M
70.29%-2.16M
-225.94%-16.78M
Effect of exchange rate changes
390.17%10.37K
253.26%2.12K
-46.57%599
999.02%1.12K
142.86%102
----
----
----
----
100.44%42
End cash Position
27.02%11.54M
11.55%9.09M
92.30%8.15M
134.25%4.24M
-78.21%1.81M
--1.81M
-77.10%2.37M
-41.88%4.87M
-65.52%6.14M
-66.90%8.3M
Free cash flow
-43.46%-11.31M
-172.94%-7.88M
-22.99%10.81M
147.24%14.04M
-191.45%-29.71M
---4.36M
-1,028.01%-21.95M
-101.46%-469K
-133.12%-2.93M
-14.39%32.49M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Sep 30, 2023(FY)Sep 30, 2022(FY)Sep 30, 2021(FY)Sep 30, 2020(FY)Sep 30, 2019(Q4)Sep 30, 2019(Q3)Jun 30, 2019(Q2)Mar 31, 2019(Q1)Dec 31, 2018(FY)Sep 30, 2018
Operating cash flow (Indirect Method)
Cash from operating activities -46.50%-11.23M-169.87%-7.66M-22.30%10.97M147.64%14.12M-189.66%-29.63M-4.29M-1,052.68%-21.95M-101.46%-472K-132.85%-2.92M-13.44%33.05M
Net profit before non-cash adjustment -83.57%1.73M836.63%10.56M131.39%1.13M-1,402.99%-3.59M-89.86%275.65K---1.43M-91.20%77K-53.00%251K428.74%1.38M-7.00%2.72M
Total adjustment of non-cash items 105.34%287.62K-332.15%-5.39M-25.68%2.32M206.72%3.12M14.81%-2.93M--694.68K47.65%-635K21.11%-1.34M-135.05%-1.64M-261.35%-3.44M
-Depreciation and amortization -11.05%257.95K33.43%290K-25.23%217.34K-30.11%290.68K-9.45%415.93K--98.93K-20.00%100K-13.60%108K-9.17%109K-19.60%459.34K
-Reversal of impairment losses recognized in profit and loss --------------------------0--0------415.88K
-Share of associates 66.67%-1.48M-292.63%-4.45M75.53%2.31M132.33%1.32M35.62%-4.08M--825.97K32.69%-1.11M33.07%-1.75M-93.55%-2.04M-1,800.23%-6.33M
-Disposal profit 16.38%-2.56M-94.59%-3.06M-756.25%-1.57M133.71%239.55K-0.76%-710.61K---760.61K-113.64%-3K67.24%-19K413.04%72K-45.98%-705.27K
-Other non-cash items 121.90%4.07M34.61%1.84M6.90%1.36M-11.64%1.28M-47.02%1.44M--530.38K30.80%378K-25.93%320K-16.28%216K63.28%2.72M
Changes in working capital -3.24%-13.25M-270.66%-12.83M-48.44%7.52M154.06%14.59M-179.91%-26.98M---3.55M-1,265.84%-21.39M-98.16%619K-128.49%-2.66M1.92%33.76M
-Change in receivables 57.06%-5.12M-45.85%-11.91M-327.84%-8.17M1,384.12%3.59M-100.70%-279.19K--1.13M-97.45%131K-102.92%-743K-115.65%-798K871.61%40.04M
-Change in inventory -492.33%-10.35M-110.91%-1.75M52.64%16.01M138.76%10.49M-291.67%-27.06M---6.36M-353.36%-20.04M-90.04%745K-147.64%-1.41M-116.61%-6.91M
-Change in payables 167.77%2.21M354.99%826.2K-163.56%-324.01K41.19%509.75K-43.29%361.03K--1.68M35.13%-1.48M-7.36%617K-135.46%-455K119.35%636.64K
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) 119.17%5.68K-84.79%2.59K1,325.42%17.05K-95.51%1.2K-9.77%26.65K1.65K-50.00%5K8K266.67%11K26.55%29.54K
Tax refund paid -194.43%-53.28K-18.1K0108.58%3.71K83.01%-43.19K-43.19K00-450.63%-254.2K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -46.82%-11.27M-169.90%-7.68M-22.21%10.99M147.63%14.12M-190.33%-29.65M---4.33M-1,033.37%-21.94M-101.44%-464K-132.71%-2.91M-14.25%32.82M
Investing cash flow
Net PPE purchase and sale 96.88%-4.85K10.61%-155.19K-106.36%-173.62K-78.82%-84.13K84.76%-47.05K---14.05K10.00%-9K97.85%-5K61.22%-19K-112.71%-308.68K
Net business purchase and sale --------------------------0--0-93.39%153K---679.98K
Net investment property transactions ------------98.54%-12.55K-584.55%-861.62K---6.62K--0---3K-85,100.00%-852K-1,120.34%-125.87K
Net investment product transactions ---2.4K--0-92.27%5.57K--72.07K--0--0--0--0-------199.1K
Advance cash and loans provided to other parties -216.38%-345.18K93.61%-109.1K-33,619.76%-1.71M99.84%-5.06K63.22%-3.14M---16.99K77.48%-691K--00.57%-2.45M-1,589.40%-8.54M
Repayment of advance payments to other parties and cash income from loans 120,141.25%3.64M--3.03K---------96.16%153.53K--11.53K-------------21.67%4M
Dividends received (cash flow from investment activities) --1.73K--0-95.80%125-70.15%2.97K-42.08%9.96K--1.96K-22.22%7K--1K--0274.24%17.2K
Investing cash flow 1,359.33%3.29M86.06%-261.27K-6,920.05%-1.87M99.31%-26.7K33.49%-3.89M---24.16K77.42%-693K99.31%-7K-1,556.02%-3.16M-183.29%-5.84M
Financing cash flow
Net issuance payments of debt 39.33%18.25M536.70%13.1M65.03%-3M-130.91%-8.58M164.94%27.74M--4.32M285.35%20.72M102.16%821K112.21%1.88M3.09%-42.72M
Net common stock issuance --0-90.03%-50.63K15.41%-26.65K57.24%-31.5K-213.79%-73.66K---10.66K---63K-----------23.48K
Increase or decrease of lease financing -3.42%-98.52K-127.44%-95.26K-19.55%-41.89K-0.00%-35.04K25.81%-35.03K---9.03K46.67%-8K-107.69%-9K30.77%-9K1.44%-47.22K
Cash dividends paid -180.61%-2.27M0.15%-808.8K-49.92%-810.05K66.70%-540.31K57.15%-1.62M--32250.00%-541K50.00%-1.08M-----16.67%-3.79M
Interest paid (cash flow from financing activities) -147.96%-5.39M-26.95%-2.17M30.60%-1.71M1.00%-2.47M-24.61%-2.49M---897.41K-73.42%-659K5.03%-529K27.03%-405K43.61%-2M
Net other fund-raising expenses 93.97%-65.83K-382.29%-1.09M2,115.79%386.75K-100.54%-19.19K-27.02%3.52M--396.49K-77.78%680K------2.45M905.22%4.83M
Financing cash flow 17.46%10.43M270.69%8.88M55.42%-5.2M-143.15%-11.67M161.81%27.04M--3.8M189.23%20.13M98.04%-799K124.49%3.91M13.26%-43.75M
Net cash flow
Beginning cash position 11.55%9.09M92.30%8.15M134.25%4.24M-78.21%1.81M-66.90%8.3M--2.37M-41.88%4.87M-65.52%6.14M-66.90%8.3M-17.06%25.07M
Current changes in cash 160.37%2.45M-75.98%939.06K61.09%3.91M137.38%2.43M61.30%-6.49M---558.43K-227.91%-2.5M86.52%-1.27M70.29%-2.16M-225.94%-16.78M
Effect of exchange rate changes 390.17%10.37K253.26%2.12K-46.57%599999.02%1.12K142.86%102----------------100.44%42
End cash Position 27.02%11.54M11.55%9.09M92.30%8.15M134.25%4.24M-78.21%1.81M--1.81M-77.10%2.37M-41.88%4.87M-65.52%6.14M-66.90%8.3M
Free cash flow -43.46%-11.31M-172.94%-7.88M-22.99%10.81M147.24%14.04M-191.45%-29.71M---4.36M-1,028.01%-21.95M-101.46%-469K-133.12%-2.93M-14.39%32.49M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

Analyst Rating

No Data

Price Target

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