SG Stock MarketDetailed Quotes

J2T Hock Lian Seng

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  • 0.305
  • +0.005+1.67%
10min DelayMarket Closed Apr 26 13:47 CST
156.19MMarket Cap5.87P/E (TTM)

Hock Lian Seng 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
(Q4)Dec 31, 2019
(Q3)Sep 30, 2019
(Q2)Jun 30, 2019
(Q1)Mar 31, 2019
(FY)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities
-114.01%-7.66M
540.94%54.64M
168.15%8.53M
-223.13%-12.51M
-40.55%10.16M
1.89M
-78.23%7.08M
98.32%-609K
-58.21%1.8M
1,136.95%17.09M
Net profit before non-cash adjustment
58.67%30.89M
-31.66%19.47M
427.38%28.48M
-67.25%5.4M
-7.64%16.49M
--9.73M
-70.47%2.08M
-29.00%2.38M
46.19%2.3M
-16.82%17.85M
Total adjustment of non-cash items
-9.46%-3.11M
48.07%-2.84M
-196.32%-5.48M
-8.64%5.69M
102.87%6.22M
--1.55M
426.87%1.62M
15.68%1.37M
46.09%1.68M
141.96%3.07M
-Depreciation and amortization
-38.27%2.27M
-22.97%3.68M
-4.27%4.78M
-12.37%4.99M
6.45%5.69M
--1.29M
7.74%1.43M
11.62%1.48M
12.64%1.49M
34.54%5.35M
-Reversal of impairment losses recognized in profit and loss
--0
-98.73%1K
464.29%79K
--14K
----
----
----
----
----
----
-Share of associates
114.30%440K
57.76%-3.08M
-384.13%-7.29M
-7.37%2.56M
324.31%2.77M
--847K
198.24%1.17M
27,750.00%557K
676.00%194K
-151.84%-1.23M
-Disposal profit
-22.47%-278K
38.32%-227K
-196.34%-368K
-24.95%382K
-48.59%509K
--531K
-375.00%-143K
-452.54%-208K
1,318.52%329K
558.33%990K
-Net exchange gains and losses
-100.00%-180K
69.59%-90K
-236.41%-296K
13.61%217K
158.23%191K
--314K
-841.67%-226K
102.88%18K
-70.38%85K
-280.22%-328K
-Remuneration paid in stock
----
----
----
----
----
----
----
----
----
--998K
-Other non-cash items
-71.44%-5.37M
-31.35%-3.13M
3.91%-2.38M
15.56%-2.48M
-8.54%-2.94M
---1.43M
6.95%-616K
17.42%-474K
8.77%-416K
18.37%-2.71M
Changes in working capital
-193.19%-35.43M
362.52%38.02M
38.63%-14.48M
-87.96%-23.6M
-227.52%-12.55M
---9.4M
-86.96%3.39M
89.30%-4.36M
-237.82%-2.18M
84.28%-3.83M
-Change in receivables
-178.64%-30.95M
195.11%39.35M
-837.21%-41.38M
-970.81%-4.42M
4.54%507K
---8.31M
-103.43%-944K
107.10%3.41M
5.98%6.35M
104.37%485K
-Change in inventory
500.52%20.71M
-23.37%3.45M
237.15%4.5M
-35.10%1.34M
127.70%2.06M
--1.51M
--0
--0
117.30%548K
69.42%-7.43M
-Change in prepaid assets
409.18%2.19M
-1.72%-708K
-149.47%-696K
570.00%1.41M
153.03%210K
--88K
106.35%52K
286.80%467K
-237.37%-397K
69.33%-396K
-Change in payables
-13.79%-6.24M
-133.78%-5.48M
178.71%16.23M
-268.02%-20.62M
68.97%12.27M
--11.52M
603.24%6.08M
-143.72%-3.78M
35.29%-1.55M
704.75%7.26M
-Changes in other current assets
-1,604.91%-21.14M
-79.52%1.41M
625.82%6.86M
95.27%-1.31M
-634.43%-27.6M
---14.22M
67.19%-1.8M
-9,374.47%-4.45M
-919.54%-7.13M
-127.87%-3.76M
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)
194.32%3.52M
842.52%1.2M
-73.81%127K
-52.64%485K
-18.79%1.02M
252K
-12.86%271K
-45.58%203K
-11.31%298K
-26.56%1.26M
Tax refund paid
56.12%-2.1M
-148.91%-4.78M
63.44%-1.92M
-39.35%-5.25M
-130.52%-3.77M
65K
-126.93%-1.85M
-132.52%-1.9M
-85K
-63.99%-1.64M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-112.20%-6.23M
658.44%51.06M
138.97%6.73M
-333.00%-17.28M
-55.64%7.42M
--2.2M
-82.83%5.5M
93.72%-2.3M
-56.62%2.01M
1,901.19%16.72M
Investing cash flow
Net PPE purchase and sale
106.60%50K
-58.25%-758K
-271.68%-479K
229.17%279K
97.24%-216K
--46K
97.03%-70K
97.29%-48K
93.36%-144K
66.33%-7.81M
Net business purchase and sale
----
----
----
--507K
--0
--0
----
----
----
---1.35M
Net investment product transactions
22.26%-5.03M
-332.57%-6.47M
-58.01%2.78M
186.92%6.63M
218.65%2.31M
--677K
132.69%1.63M
74.36%-250K
-90.89%250K
-19.75%-1.95M
Advance cash and loans provided to other parties
----
----
----
59.21%-2.96M
78.81%-7.26M
---654K
94.07%-2.03M
-2,430.00%-1.77M
-69,850.00%-2.8M
---34.25M
Repayment of advance payments to other parties and cash income from loans
1,284.26%38M
303.33%2.75M
---1.35M
----
----
----
----
----
----
----
Dividends received (cash flow from investment activities)
37.97%109K
23.44%79K
-8.57%64K
-80.17%70K
-81.53%353K
--260K
-12.50%56K
-93.07%37K
--0
-86.91%1.91M
Interest received (cash flow from investment activities)
17.93%1.22M
6.50%1.03M
-23.58%969K
-14.21%1.27M
-2.38%1.48M
--380K
-6.50%345K
24.67%379K
-12.41%374K
4.49%1.51M
Investing cash flow
1,118.51%34.34M
-269.79%-3.37M
-65.69%1.99M
273.69%5.79M
92.05%-3.33M
--709K
98.79%-504K
39.93%-1.22M
-320.13%-2.32M
-385.71%-41.93M
Financing cash flow
Net issuance payments of debt
----
----
----
----
-219.17%-11.49M
--0
--0
--0
---11.49M
-800.00%-3.6M
Increase or decrease of lease financing
---19K
--0
----
----
----
----
----
----
----
----
Cash dividends paid
20.00%-5.12M
-400.08%-6.4M
79.17%-1.28M
33.33%-6.15M
0.00%-9.22M
--0
--0
----
----
85.54%-9.22M
Net other fund-raising expenses
--470K
----
----
----
--20K
--0
----
----
----
----
Financing cash flow
27.04%-4.67M
-400.08%-6.4M
79.17%-1.28M
70.30%-6.15M
-61.40%-20.69M
--0
101.43%20K
9.79%-9.22M
---11.49M
80.02%-12.82M
Net cash flow
Beginning cash position
61.33%108.84M
12.95%67.46M
-23.01%59.73M
-17.80%77.58M
-28.55%94.38M
--74.98M
-21.84%69.74M
-40.00%82.5M
-28.55%94.38M
-35.88%132.08M
Current changes in cash
-43.21%23.45M
455.06%41.29M
142.18%7.44M
-6.19%-17.63M
56.34%-16.61M
--2.91M
145.48%5.02M
73.95%-12.74M
-307.06%-11.79M
48.41%-38.03M
Effect of exchange rate changes
100.00%180K
-69.59%90K
236.41%296K
-13.61%-217K
-158.23%-191K
---314K
841.67%226K
-102.88%-18K
70.38%-85K
280.22%328K
End cash Position
21.71%132.46M
61.33%108.84M
12.95%67.46M
-23.01%59.73M
-17.80%77.58M
--77.58M
-4.14%74.98M
-21.84%69.74M
-40.00%82.5M
-28.55%94.38M
Free cash flow
-113.85%-6.91M
720.61%49.89M
134.62%6.08M
-346.67%-17.56M
-17.54%7.12M
--2.2M
-81.74%5.42M
93.87%-2.37M
-24.20%1.87M
135.27%8.63M
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(Q4)Dec 31, 2019(Q3)Sep 30, 2019(Q2)Jun 30, 2019(Q1)Mar 31, 2019(FY)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities -114.01%-7.66M540.94%54.64M168.15%8.53M-223.13%-12.51M-40.55%10.16M1.89M-78.23%7.08M98.32%-609K-58.21%1.8M1,136.95%17.09M
Net profit before non-cash adjustment 58.67%30.89M-31.66%19.47M427.38%28.48M-67.25%5.4M-7.64%16.49M--9.73M-70.47%2.08M-29.00%2.38M46.19%2.3M-16.82%17.85M
Total adjustment of non-cash items -9.46%-3.11M48.07%-2.84M-196.32%-5.48M-8.64%5.69M102.87%6.22M--1.55M426.87%1.62M15.68%1.37M46.09%1.68M141.96%3.07M
-Depreciation and amortization -38.27%2.27M-22.97%3.68M-4.27%4.78M-12.37%4.99M6.45%5.69M--1.29M7.74%1.43M11.62%1.48M12.64%1.49M34.54%5.35M
-Reversal of impairment losses recognized in profit and loss --0-98.73%1K464.29%79K--14K------------------------
-Share of associates 114.30%440K57.76%-3.08M-384.13%-7.29M-7.37%2.56M324.31%2.77M--847K198.24%1.17M27,750.00%557K676.00%194K-151.84%-1.23M
-Disposal profit -22.47%-278K38.32%-227K-196.34%-368K-24.95%382K-48.59%509K--531K-375.00%-143K-452.54%-208K1,318.52%329K558.33%990K
-Net exchange gains and losses -100.00%-180K69.59%-90K-236.41%-296K13.61%217K158.23%191K--314K-841.67%-226K102.88%18K-70.38%85K-280.22%-328K
-Remuneration paid in stock --------------------------------------998K
-Other non-cash items -71.44%-5.37M-31.35%-3.13M3.91%-2.38M15.56%-2.48M-8.54%-2.94M---1.43M6.95%-616K17.42%-474K8.77%-416K18.37%-2.71M
Changes in working capital -193.19%-35.43M362.52%38.02M38.63%-14.48M-87.96%-23.6M-227.52%-12.55M---9.4M-86.96%3.39M89.30%-4.36M-237.82%-2.18M84.28%-3.83M
-Change in receivables -178.64%-30.95M195.11%39.35M-837.21%-41.38M-970.81%-4.42M4.54%507K---8.31M-103.43%-944K107.10%3.41M5.98%6.35M104.37%485K
-Change in inventory 500.52%20.71M-23.37%3.45M237.15%4.5M-35.10%1.34M127.70%2.06M--1.51M--0--0117.30%548K69.42%-7.43M
-Change in prepaid assets 409.18%2.19M-1.72%-708K-149.47%-696K570.00%1.41M153.03%210K--88K106.35%52K286.80%467K-237.37%-397K69.33%-396K
-Change in payables -13.79%-6.24M-133.78%-5.48M178.71%16.23M-268.02%-20.62M68.97%12.27M--11.52M603.24%6.08M-143.72%-3.78M35.29%-1.55M704.75%7.26M
-Changes in other current assets -1,604.91%-21.14M-79.52%1.41M625.82%6.86M95.27%-1.31M-634.43%-27.6M---14.22M67.19%-1.8M-9,374.47%-4.45M-919.54%-7.13M-127.87%-3.76M
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) 194.32%3.52M842.52%1.2M-73.81%127K-52.64%485K-18.79%1.02M252K-12.86%271K-45.58%203K-11.31%298K-26.56%1.26M
Tax refund paid 56.12%-2.1M-148.91%-4.78M63.44%-1.92M-39.35%-5.25M-130.52%-3.77M65K-126.93%-1.85M-132.52%-1.9M-85K-63.99%-1.64M
Other operating cash inflow (outflow) 0000000000
Operating cash flow -112.20%-6.23M658.44%51.06M138.97%6.73M-333.00%-17.28M-55.64%7.42M--2.2M-82.83%5.5M93.72%-2.3M-56.62%2.01M1,901.19%16.72M
Investing cash flow
Net PPE purchase and sale 106.60%50K-58.25%-758K-271.68%-479K229.17%279K97.24%-216K--46K97.03%-70K97.29%-48K93.36%-144K66.33%-7.81M
Net business purchase and sale --------------507K--0--0---------------1.35M
Net investment product transactions 22.26%-5.03M-332.57%-6.47M-58.01%2.78M186.92%6.63M218.65%2.31M--677K132.69%1.63M74.36%-250K-90.89%250K-19.75%-1.95M
Advance cash and loans provided to other parties ------------59.21%-2.96M78.81%-7.26M---654K94.07%-2.03M-2,430.00%-1.77M-69,850.00%-2.8M---34.25M
Repayment of advance payments to other parties and cash income from loans 1,284.26%38M303.33%2.75M---1.35M----------------------------
Dividends received (cash flow from investment activities) 37.97%109K23.44%79K-8.57%64K-80.17%70K-81.53%353K--260K-12.50%56K-93.07%37K--0-86.91%1.91M
Interest received (cash flow from investment activities) 17.93%1.22M6.50%1.03M-23.58%969K-14.21%1.27M-2.38%1.48M--380K-6.50%345K24.67%379K-12.41%374K4.49%1.51M
Investing cash flow 1,118.51%34.34M-269.79%-3.37M-65.69%1.99M273.69%5.79M92.05%-3.33M--709K98.79%-504K39.93%-1.22M-320.13%-2.32M-385.71%-41.93M
Financing cash flow
Net issuance payments of debt -----------------219.17%-11.49M--0--0--0---11.49M-800.00%-3.6M
Increase or decrease of lease financing ---19K--0--------------------------------
Cash dividends paid 20.00%-5.12M-400.08%-6.4M79.17%-1.28M33.33%-6.15M0.00%-9.22M--0--0--------85.54%-9.22M
Net other fund-raising expenses --470K--------------20K--0----------------
Financing cash flow 27.04%-4.67M-400.08%-6.4M79.17%-1.28M70.30%-6.15M-61.40%-20.69M--0101.43%20K9.79%-9.22M---11.49M80.02%-12.82M
Net cash flow
Beginning cash position 61.33%108.84M12.95%67.46M-23.01%59.73M-17.80%77.58M-28.55%94.38M--74.98M-21.84%69.74M-40.00%82.5M-28.55%94.38M-35.88%132.08M
Current changes in cash -43.21%23.45M455.06%41.29M142.18%7.44M-6.19%-17.63M56.34%-16.61M--2.91M145.48%5.02M73.95%-12.74M-307.06%-11.79M48.41%-38.03M
Effect of exchange rate changes 100.00%180K-69.59%90K236.41%296K-13.61%-217K-158.23%-191K---314K841.67%226K-102.88%-18K70.38%-85K280.22%328K
End cash Position 21.71%132.46M61.33%108.84M12.95%67.46M-23.01%59.73M-17.80%77.58M--77.58M-4.14%74.98M-21.84%69.74M-40.00%82.5M-28.55%94.38M
Free cash flow -113.85%-6.91M720.61%49.89M134.62%6.08M-346.67%-17.56M-17.54%7.12M--2.2M-81.74%5.42M93.87%-2.37M-24.20%1.87M135.27%8.63M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

Analysis

Analyst Rating

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Price Target

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