SG Stock MarketDetailed Quotes

BXE CDW

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  • 0.194
  • 0.0000.00%
10min DelayNot Open 02/23 09:00 SGT
43.74MMarket Cap2.52P/E (TTM)

CDW Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
13.34%24.61M
-4.71%27.26M
-4.71%27.26M
-28.01%21.72M
-17.09%28.6M
-17.09%28.6M
49.64%30.17M
15.14%34.5M
15.14%34.5M
-24.68%20.16M
-Cash and cash equivalents
13.34%24.61M
0.03%27.26M
0.03%27.26M
-24.24%21.72M
-17.42%27.25M
-17.42%27.25M
53.66%28.66M
15.91%33M
15.91%33M
-30.31%18.65M
-Including:Cash
-6.21%18.72M
13.86%24.84M
13.86%24.84M
-24.26%19.96M
-28.60%21.81M
-28.60%21.81M
41.29%26.36M
7.32%30.55M
7.32%30.55M
-30.31%18.65M
-Including:Cash equivalents
236.05%5.89M
-55.48%2.42M
-55.48%2.42M
-24.01%1.75M
122.16%5.43M
122.16%5.43M
--2.31M
--2.45M
--2.45M
----
-Short-term investments
----
----
----
----
-9.96%1.36M
-9.96%1.36M
-0.20%1.5M
0.47%1.51M
0.47%1.51M
--1.51M
Receivables
6.72%28.33M
-5.78%35.75M
-5.78%35.75M
-23.56%26.54M
0.60%37.94M
0.60%37.94M
-7.91%34.72M
13.22%37.71M
13.22%37.71M
16.84%37.71M
-Accounts receivable
4.38%24.41M
-3.46%34.44M
-3.46%34.44M
-23.60%23.38M
0.04%35.68M
0.04%35.68M
-10.50%30.61M
11.68%35.67M
11.68%35.67M
23.24%34.2M
-Gross accounts receivable
----
-3.70%34.48M
-3.70%34.48M
----
0.08%35.81M
0.08%35.81M
----
10.79%35.78M
10.79%35.78M
----
-Bad debt provision
----
69.53%-39K
69.53%-39K
----
-15.32%-128K
-15.32%-128K
----
68.91%-111K
68.91%-111K
----
-Other receivables
23.99%3.92M
-42.28%1.31M
-42.28%1.31M
-23.26%3.16M
10.45%2.26M
10.45%2.26M
17.32%4.12M
49.20%2.05M
49.20%2.05M
-22.38%3.51M
Inventory
-40.49%19.72M
-1.90%26.37M
-1.90%26.37M
88.18%33.14M
99.56%26.88M
99.56%26.88M
48.34%17.61M
36.19%13.47M
36.19%13.47M
21.10%11.87M
Prepaid assets
----
-38.12%1.58M
-38.12%1.58M
----
22.87%2.55M
22.87%2.55M
----
65.31%2.07M
65.31%2.07M
----
Restricted cash
--1.5M
--1.5M
--1.5M
----
--0
--0
----
----
----
0.68%149K
Tax assets-Current
----
-2.69%651K
-2.69%651K
----
23.66%669K
23.66%669K
----
102.62%541K
102.62%541K
----
Holding assets for sale
----
--0
--0
--0
--52K
--52K
----
--0
--0
----
Total current assets
-8.89%74.16M
-3.71%93.1M
-3.71%93.1M
-1.34%81.4M
9.51%96.69M
9.51%96.69M
18.05%82.5M
17.99%88.3M
17.99%88.3M
1.30%69.89M
Non current assets
Net PPE
-25.63%6.37M
-9.88%7.78M
-9.88%7.78M
-12.51%8.56M
-19.48%8.64M
-19.48%8.64M
12.19%9.79M
7.40%10.72M
7.40%10.72M
1.94%8.73M
-Gross PP&E
-25.63%6.37M
-5.47%27.1M
-5.47%27.1M
-12.51%8.56M
-5.31%28.67M
-5.31%28.67M
12.19%9.79M
8.73%30.28M
8.73%30.28M
1.94%8.73M
-Accumulated depreciation
----
3.57%-19.32M
3.57%-19.32M
----
-2.46%-20.04M
-2.46%-20.04M
----
-9.48%-19.56M
-9.48%-19.56M
----
Prepaid assets-Non current
----
111.41%389K
111.41%389K
----
-48.46%184K
-48.46%184K
----
37.84%357K
37.84%357K
----
Total investment
-17.02%1.01M
-65.71%1.06M
-65.71%1.06M
-51.24%1.22M
14.64%3.1M
14.64%3.1M
14.67%2.49M
-0.22%2.7M
-0.22%2.7M
-52.20%2.18M
-Long-term equity investment
--0
--0
--0
--0
-34.42%1.05M
-34.42%1.05M
0.22%1.37M
-15.05%1.6M
-15.05%1.6M
-54.89%1.37M
-Financial asset investment
-17.02%1.01M
-48.20%1.06M
-48.20%1.06M
--1.22M
85.53%2.05M
85.53%2.05M
----
33.41%1.11M
33.41%1.11M
-46.80%806K
-Including:Financial assets designated as fair value through profit or loss, Total
----
----
----
--0
----
----
----
----
----
----
-Including:Available-for-sale securities
-17.02%1.01M
-48.20%1.06M
-48.20%1.06M
--1.22M
85.53%2.05M
85.53%2.05M
----
33.41%1.11M
33.41%1.11M
-46.80%806K
-Other investment
----
----
----
----
----
----
--1.12M
----
----
----
Goodwill and other intangible assets
213.55%15M
--15.03M
--15.03M
--4.78M
--0
--0
----
----
----
----
-Goodwill
244.24%14.41M
--14.41M
--14.41M
--4.19M
--0
--0
----
----
----
----
-Other intangible assets
-1.34%590K
--617K
--617K
--598K
----
----
----
----
----
----
Deferred tax assets-Non current
47.95%108K
-26.21%107K
-26.21%107K
-58.29%73K
-22.46%145K
-22.46%145K
-12.94%175K
6.25%187K
6.25%187K
31.37%201K
Other non current assets
-40.68%296K
7.81%69K
7.81%69K
7.31%499K
-14.67%64K
-14.67%64K
52.46%465K
44.23%75K
44.23%75K
22.00%305K
Total non current assets
50.52%22.78M
101.49%24.44M
101.49%24.44M
17.12%15.14M
-13.66%12.13M
-13.66%12.13M
13.30%12.92M
6.56%14.05M
6.56%14.05M
-20.65%11.41M
Total assets
0.42%96.95M
8.01%117.54M
8.01%117.54M
1.16%96.54M
6.33%108.82M
6.33%108.82M
17.38%95.43M
16.28%102.35M
16.28%102.35M
-2.48%81.3M
Liabilities
Current liabilities
Financial liabilities
-55.24%5.93M
20.67%12.64M
20.67%12.64M
33.97%13.26M
-14.28%10.48M
-14.28%10.48M
38.44%9.9M
12.29%12.22M
12.29%12.22M
-1.42%7.15M
-Current debt and capital lease obligation
-55.24%5.93M
20.67%12.64M
20.67%12.64M
33.97%13.26M
-14.28%10.48M
-14.28%10.48M
38.44%9.9M
12.29%12.22M
12.29%12.22M
-1.42%7.15M
-Including:Current debt
-58.64%4.82M
23.43%11.17M
23.43%11.17M
42.07%11.65M
-13.81%9.05M
-13.81%9.05M
38.16%8.2M
11.89%10.5M
11.89%10.5M
-3.50%5.94M
-Including:Current capital Lease obligation
-30.60%1.12M
3.16%1.47M
3.16%1.47M
-5.19%1.61M
-17.14%1.43M
-17.14%1.43M
39.82%1.7M
14.81%1.72M
14.81%1.72M
10.17%1.21M
Payables
0.77%32.73M
-3.07%41.11M
-3.07%41.11M
2.15%32.48M
36.33%42.42M
36.33%42.42M
36.99%31.79M
38.77%31.11M
38.77%31.11M
19.68%23.21M
-accounts payable
-28.82%18.43M
-12.43%31.82M
-12.43%31.82M
-0.21%25.89M
30.64%36.33M
30.64%36.33M
37.32%25.94M
43.46%27.81M
43.46%27.81M
21.77%18.89M
-Total tax payable
-36.60%220K
34.55%775K
34.55%775K
-48.67%347K
-2.04%576K
-2.04%576K
-9.38%676K
7.89%588K
7.89%588K
631.37%746K
-Other payable
125.57%14.08M
54.71%8.52M
54.71%8.52M
20.62%6.24M
102.98%5.51M
102.98%5.51M
44.92%5.18M
9.04%2.71M
9.04%2.71M
-5.40%3.57M
Accrued and deferred income
----
-44.79%578K
-44.79%578K
----
-6.77%1.05M
-6.77%1.05M
----
12.64%1.12M
12.64%1.12M
----
Current liabilities
-15.47%38.66M
0.73%54.33M
0.73%54.33M
9.71%45.74M
21.33%53.94M
21.33%53.94M
37.33%41.69M
29.61%44.46M
29.61%44.46M
13.94%30.36M
Non current liabilities
Non-current financial liabilities
-23.88%2.19M
19.47%3.58M
19.47%3.58M
-29.20%2.88M
-40.32%3M
-40.32%3M
161.67%4.07M
137.68%5.03M
137.68%5.03M
-8.64%1.56M
-Long term debt and capital lease obligation
-23.88%2.19M
19.47%3.58M
19.47%3.58M
-29.20%2.88M
-40.32%3M
-40.32%3M
161.67%4.07M
137.68%5.03M
137.68%5.03M
-8.64%1.56M
-Including:Long term debt
20.00%1.5M
42.86%2.5M
42.86%2.5M
-44.44%1.25M
-36.36%1.75M
-36.36%1.75M
2,547.06%2.25M
2,596.08%2.75M
2,596.08%2.75M
--85K
-Including:Long term capital lease obligation
-57.51%693K
-13.28%1.08M
-13.28%1.08M
-10.34%1.63M
-45.10%1.25M
-45.10%1.25M
23.74%1.82M
13.11%2.28M
13.11%2.28M
-13.63%1.47M
Long-term pension and other post-retirement benefit plans
18.56%594K
24.01%594K
24.01%594K
-10.54%501K
-13.38%479K
-13.38%479K
15.23%560K
35.87%553K
35.87%553K
31.00%486K
Non current deferred liabilities
80.79%414K
-39.75%426K
-39.75%426K
-68.06%229K
-0.56%707K
-0.56%707K
25.57%717K
28.80%711K
28.80%711K
-11.47%571K
Total non current liabilities
-11.35%3.2M
9.99%4.6M
9.99%4.6M
-32.45%3.61M
-33.46%4.19M
-33.46%4.19M
104.67%5.35M
104.65%6.29M
104.65%6.29M
-3.90%2.61M
Total liabilities
-15.16%41.86M
1.40%58.94M
1.40%58.94M
4.91%49.35M
14.54%58.12M
14.54%58.12M
42.67%47.04M
35.78%50.75M
35.78%50.75M
12.29%32.97M
Shareholders'equity
Share capital
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
-common stock
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
0.00%10.09M
Paid-in capital
0.00%18.99M
0.00%18.99M
0.00%18.99M
0.00%18.99M
0.00%18.99M
0.00%18.99M
0.00%18.99M
0.00%18.99M
0.00%18.99M
0.00%18.99M
Retained earnings
42.84%34.36M
47.85%36.29M
47.85%36.29M
8.37%24.06M
-1.20%24.54M
-1.20%24.54M
-7.15%22.2M
-3.85%24.84M
-3.85%24.84M
-14.56%23.91M
Other equity interest
-31.82%135K
-31.82%135K
-31.82%135K
-7.48%198K
27.74%198K
27.74%198K
120.62%214K
278.05%155K
278.05%155K
--97K
Other reserves
-160.74%-3.3M
-252.79%-1.92M
-252.79%-1.92M
-188.59%-1.27M
-38.95%1.25M
-38.95%1.25M
732.30%1.43M
3,441.38%2.05M
3,441.38%2.05M
-126.65%-226K
Total stockholders'equity
17.11%56.19M
17.39%59.5M
17.39%59.5M
-0.83%47.98M
-1.75%50.69M
-1.75%50.69M
0.13%48.38M
1.89%51.59M
1.89%51.59M
-10.52%48.32M
Noncontrolling interests
-40.33%-1.1M
-8,245.45%-896K
-8,245.45%-896K
-7,245.45%-786K
0.00%11K
0.00%11K
10.00%11K
0.00%11K
0.00%11K
66.67%10K
Total equity
16.72%55.08M
15.59%58.6M
15.59%58.6M
-2.48%47.19M
-1.75%50.7M
-1.75%50.7M
0.13%48.39M
1.89%51.6M
1.89%51.6M
-10.51%48.33M
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 13.34%24.61M-4.71%27.26M-4.71%27.26M-28.01%21.72M-17.09%28.6M-17.09%28.6M49.64%30.17M15.14%34.5M15.14%34.5M-24.68%20.16M
-Cash and cash equivalents 13.34%24.61M0.03%27.26M0.03%27.26M-24.24%21.72M-17.42%27.25M-17.42%27.25M53.66%28.66M15.91%33M15.91%33M-30.31%18.65M
-Including:Cash -6.21%18.72M13.86%24.84M13.86%24.84M-24.26%19.96M-28.60%21.81M-28.60%21.81M41.29%26.36M7.32%30.55M7.32%30.55M-30.31%18.65M
-Including:Cash equivalents 236.05%5.89M-55.48%2.42M-55.48%2.42M-24.01%1.75M122.16%5.43M122.16%5.43M--2.31M--2.45M--2.45M----
-Short-term investments -----------------9.96%1.36M-9.96%1.36M-0.20%1.5M0.47%1.51M0.47%1.51M--1.51M
Receivables 6.72%28.33M-5.78%35.75M-5.78%35.75M-23.56%26.54M0.60%37.94M0.60%37.94M-7.91%34.72M13.22%37.71M13.22%37.71M16.84%37.71M
-Accounts receivable 4.38%24.41M-3.46%34.44M-3.46%34.44M-23.60%23.38M0.04%35.68M0.04%35.68M-10.50%30.61M11.68%35.67M11.68%35.67M23.24%34.2M
-Gross accounts receivable -----3.70%34.48M-3.70%34.48M----0.08%35.81M0.08%35.81M----10.79%35.78M10.79%35.78M----
-Bad debt provision ----69.53%-39K69.53%-39K-----15.32%-128K-15.32%-128K----68.91%-111K68.91%-111K----
-Other receivables 23.99%3.92M-42.28%1.31M-42.28%1.31M-23.26%3.16M10.45%2.26M10.45%2.26M17.32%4.12M49.20%2.05M49.20%2.05M-22.38%3.51M
Inventory -40.49%19.72M-1.90%26.37M-1.90%26.37M88.18%33.14M99.56%26.88M99.56%26.88M48.34%17.61M36.19%13.47M36.19%13.47M21.10%11.87M
Prepaid assets -----38.12%1.58M-38.12%1.58M----22.87%2.55M22.87%2.55M----65.31%2.07M65.31%2.07M----
Restricted cash --1.5M--1.5M--1.5M------0--0------------0.68%149K
Tax assets-Current -----2.69%651K-2.69%651K----23.66%669K23.66%669K----102.62%541K102.62%541K----
Holding assets for sale ------0--0--0--52K--52K------0--0----
Total current assets -8.89%74.16M-3.71%93.1M-3.71%93.1M-1.34%81.4M9.51%96.69M9.51%96.69M18.05%82.5M17.99%88.3M17.99%88.3M1.30%69.89M
Non current assets
Net PPE -25.63%6.37M-9.88%7.78M-9.88%7.78M-12.51%8.56M-19.48%8.64M-19.48%8.64M12.19%9.79M7.40%10.72M7.40%10.72M1.94%8.73M
-Gross PP&E -25.63%6.37M-5.47%27.1M-5.47%27.1M-12.51%8.56M-5.31%28.67M-5.31%28.67M12.19%9.79M8.73%30.28M8.73%30.28M1.94%8.73M
-Accumulated depreciation ----3.57%-19.32M3.57%-19.32M-----2.46%-20.04M-2.46%-20.04M-----9.48%-19.56M-9.48%-19.56M----
Prepaid assets-Non current ----111.41%389K111.41%389K-----48.46%184K-48.46%184K----37.84%357K37.84%357K----
Total investment -17.02%1.01M-65.71%1.06M-65.71%1.06M-51.24%1.22M14.64%3.1M14.64%3.1M14.67%2.49M-0.22%2.7M-0.22%2.7M-52.20%2.18M
-Long-term equity investment --0--0--0--0-34.42%1.05M-34.42%1.05M0.22%1.37M-15.05%1.6M-15.05%1.6M-54.89%1.37M
-Financial asset investment -17.02%1.01M-48.20%1.06M-48.20%1.06M--1.22M85.53%2.05M85.53%2.05M----33.41%1.11M33.41%1.11M-46.80%806K
-Including:Financial assets designated as fair value through profit or loss, Total --------------0------------------------
-Including:Available-for-sale securities -17.02%1.01M-48.20%1.06M-48.20%1.06M--1.22M85.53%2.05M85.53%2.05M----33.41%1.11M33.41%1.11M-46.80%806K
-Other investment --------------------------1.12M------------
Goodwill and other intangible assets 213.55%15M--15.03M--15.03M--4.78M--0--0----------------
-Goodwill 244.24%14.41M--14.41M--14.41M--4.19M--0--0----------------
-Other intangible assets -1.34%590K--617K--617K--598K------------------------
Deferred tax assets-Non current 47.95%108K-26.21%107K-26.21%107K-58.29%73K-22.46%145K-22.46%145K-12.94%175K6.25%187K6.25%187K31.37%201K
Other non current assets -40.68%296K7.81%69K7.81%69K7.31%499K-14.67%64K-14.67%64K52.46%465K44.23%75K44.23%75K22.00%305K
Total non current assets 50.52%22.78M101.49%24.44M101.49%24.44M17.12%15.14M-13.66%12.13M-13.66%12.13M13.30%12.92M6.56%14.05M6.56%14.05M-20.65%11.41M
Total assets 0.42%96.95M8.01%117.54M8.01%117.54M1.16%96.54M6.33%108.82M6.33%108.82M17.38%95.43M16.28%102.35M16.28%102.35M-2.48%81.3M
Liabilities
Current liabilities
Financial liabilities -55.24%5.93M20.67%12.64M20.67%12.64M33.97%13.26M-14.28%10.48M-14.28%10.48M38.44%9.9M12.29%12.22M12.29%12.22M-1.42%7.15M
-Current debt and capital lease obligation -55.24%5.93M20.67%12.64M20.67%12.64M33.97%13.26M-14.28%10.48M-14.28%10.48M38.44%9.9M12.29%12.22M12.29%12.22M-1.42%7.15M
-Including:Current debt -58.64%4.82M23.43%11.17M23.43%11.17M42.07%11.65M-13.81%9.05M-13.81%9.05M38.16%8.2M11.89%10.5M11.89%10.5M-3.50%5.94M
-Including:Current capital Lease obligation -30.60%1.12M3.16%1.47M3.16%1.47M-5.19%1.61M-17.14%1.43M-17.14%1.43M39.82%1.7M14.81%1.72M14.81%1.72M10.17%1.21M
Payables 0.77%32.73M-3.07%41.11M-3.07%41.11M2.15%32.48M36.33%42.42M36.33%42.42M36.99%31.79M38.77%31.11M38.77%31.11M19.68%23.21M
-accounts payable -28.82%18.43M-12.43%31.82M-12.43%31.82M-0.21%25.89M30.64%36.33M30.64%36.33M37.32%25.94M43.46%27.81M43.46%27.81M21.77%18.89M
-Total tax payable -36.60%220K34.55%775K34.55%775K-48.67%347K-2.04%576K-2.04%576K-9.38%676K7.89%588K7.89%588K631.37%746K
-Other payable 125.57%14.08M54.71%8.52M54.71%8.52M20.62%6.24M102.98%5.51M102.98%5.51M44.92%5.18M9.04%2.71M9.04%2.71M-5.40%3.57M
Accrued and deferred income -----44.79%578K-44.79%578K-----6.77%1.05M-6.77%1.05M----12.64%1.12M12.64%1.12M----
Current liabilities -15.47%38.66M0.73%54.33M0.73%54.33M9.71%45.74M21.33%53.94M21.33%53.94M37.33%41.69M29.61%44.46M29.61%44.46M13.94%30.36M
Non current liabilities
Non-current financial liabilities -23.88%2.19M19.47%3.58M19.47%3.58M-29.20%2.88M-40.32%3M-40.32%3M161.67%4.07M137.68%5.03M137.68%5.03M-8.64%1.56M
-Long term debt and capital lease obligation -23.88%2.19M19.47%3.58M19.47%3.58M-29.20%2.88M-40.32%3M-40.32%3M161.67%4.07M137.68%5.03M137.68%5.03M-8.64%1.56M
-Including:Long term debt 20.00%1.5M42.86%2.5M42.86%2.5M-44.44%1.25M-36.36%1.75M-36.36%1.75M2,547.06%2.25M2,596.08%2.75M2,596.08%2.75M--85K
-Including:Long term capital lease obligation -57.51%693K-13.28%1.08M-13.28%1.08M-10.34%1.63M-45.10%1.25M-45.10%1.25M23.74%1.82M13.11%2.28M13.11%2.28M-13.63%1.47M
Long-term pension and other post-retirement benefit plans 18.56%594K24.01%594K24.01%594K-10.54%501K-13.38%479K-13.38%479K15.23%560K35.87%553K35.87%553K31.00%486K
Non current deferred liabilities 80.79%414K-39.75%426K-39.75%426K-68.06%229K-0.56%707K-0.56%707K25.57%717K28.80%711K28.80%711K-11.47%571K
Total non current liabilities -11.35%3.2M9.99%4.6M9.99%4.6M-32.45%3.61M-33.46%4.19M-33.46%4.19M104.67%5.35M104.65%6.29M104.65%6.29M-3.90%2.61M
Total liabilities -15.16%41.86M1.40%58.94M1.40%58.94M4.91%49.35M14.54%58.12M14.54%58.12M42.67%47.04M35.78%50.75M35.78%50.75M12.29%32.97M
Shareholders'equity
Share capital 0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M
-common stock 0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M0.00%10.09M
Paid-in capital 0.00%18.99M0.00%18.99M0.00%18.99M0.00%18.99M0.00%18.99M0.00%18.99M0.00%18.99M0.00%18.99M0.00%18.99M0.00%18.99M
Retained earnings 42.84%34.36M47.85%36.29M47.85%36.29M8.37%24.06M-1.20%24.54M-1.20%24.54M-7.15%22.2M-3.85%24.84M-3.85%24.84M-14.56%23.91M
Other equity interest -31.82%135K-31.82%135K-31.82%135K-7.48%198K27.74%198K27.74%198K120.62%214K278.05%155K278.05%155K--97K
Other reserves -160.74%-3.3M-252.79%-1.92M-252.79%-1.92M-188.59%-1.27M-38.95%1.25M-38.95%1.25M732.30%1.43M3,441.38%2.05M3,441.38%2.05M-126.65%-226K
Total stockholders'equity 17.11%56.19M17.39%59.5M17.39%59.5M-0.83%47.98M-1.75%50.69M-1.75%50.69M0.13%48.38M1.89%51.59M1.89%51.59M-10.52%48.32M
Noncontrolling interests -40.33%-1.1M-8,245.45%-896K-8,245.45%-896K-7,245.45%-786K0.00%11K0.00%11K10.00%11K0.00%11K0.00%11K66.67%10K
Total equity 16.72%55.08M15.59%58.6M15.59%58.6M-2.48%47.19M-1.75%50.7M-1.75%50.7M0.13%48.39M1.89%51.6M1.89%51.6M-10.51%48.33M
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