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SMFX S A M TRADE ASIA PTE LTD

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  • 1.000000
  • 0.0000000.00%
15min DelayClose Apr 23 16:00 ET
922.33KMarket Cap-86P/E (TTM)

S A M TRADE ASIA PTE LTD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)May 30, 2008
(FY)Feb 29, 2008
(Q4)Feb 29, 2008
(Q3)Nov 30, 2007
(Q2)Aug 30, 2007
(Q1)May 30, 2007
(FY)Feb 28, 2007
(Q4)Feb 28, 2007
(Q3)Nov 30, 2006
(Q2)Aug 30, 2006
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
57.98%-89.93K
-12.16%-1.09M
73.66%-123.98K
9.01%-229.01K
-639.48%-527.24K
-17.67%-214.02K
21.44%-975.63K
29.36%-470.77K
-124.90%-251.68K
44.43%-71.3K
Net income from continuing operations
21.72%-286.46K
24.74%-2.08M
81.55%-373.94K
-4,011.21%-530.59K
-330.95%-807.2K
31.40%-365.95K
14.85%-2.76M
-17.81%-2.03M
98.23%-12.91K
33.53%-187.31K
Depreciation and amortization
-98.89%1K
-81.31%44.11K
-381.97%-225.98K
94.10%105.56K
51.81%74.46K
71.79%90.08K
283.11%236.01K
69.98%80.14K
1,041.76%54.38K
1,642.31%49.05K
Other non cash items
529.88%97.02K
-68.14%526.77K
-80.60%339.94K
179.37%97.84K
245.63%111.56K
-122.29%-22.57K
-38.16%1.65M
--1.75M
---123.28K
---76.6K
Change In working capital
16.71%98.52K
495.10%412.53K
149.27%135.99K
157.79%98.18K
-34.56%93.95K
-57.35%84.41K
57.08%-104.41K
-5.28%-275.99K
-490.16%-169.88K
191.85%143.56K
-Change in receivables
-79.88%5.79K
364.91%76.68K
259.25%17.4K
-4.81%20.85K
117.53%9.64K
91.40%28.79K
-149.22%-28.94K
-117.15%-10.93K
52.49%21.9K
-122.39%-54.96K
-Change in prepaid assets
-84.56%2.75K
----
----
---15.96K
--2.7K
--17.83K
----
----
----
----
-Change in payables and accrued expense
41.14%89.97K
565.38%311.17K
128.28%72.52K
149.95%93.29K
-62.65%81.61K
-59.62%63.75K
50.67%-66.86K
-60.96%-256.46K
-740.15%-186.78K
195.69%218.52K
-Change in other current liabilities
----
----
----
--0
--0
---25.95K
113.34%8.88K
----
----
----
-Change in other working capital
----
241.23%24.69K
----
----
----
----
82.52%-17.48K
----
----
---20K
Cash from discontinued investing activities
Operating cash flow
57.98%-89.93K
-12.16%-1.09M
73.66%-123.98K
9.01%-229.01K
-639.48%-527.24K
-17.67%-214.02K
21.44%-975.63K
29.36%-470.77K
-124.90%-251.68K
44.43%-71.3K
Investing cash flow
Cash flow from continuing investing activities
0
91.66%-15.65K
0
0
0
-15.65K
-9,541.09%-187.71K
-4,483.72%-89.25K
-98.47K
0
Net PPE purchase and sale
----
91.66%-15.65K
--0
--0
--0
---15.65K
-9,541.09%-187.71K
---89.25K
----
----
Cash from discontinued investing activities
Investing cash flow
--0
91.66%-15.65K
--0
--0
--0
---15.65K
-9,541.09%-187.71K
-4,483.72%-89.25K
---98.47K
--0
Financing cash flow
Cash flow from continuing financing activities
-63.70%95K
-32.79%830.93K
-99.57%3.51K
79.47%350.27K
-0.28%215.41K
4,965.53%261.74K
-7.42%1.24M
661.37%819.92K
-77.03%195.18K
182.96%216.01K
Net issuance payments of debt
----
-23.00%951.91K
-84.82%124.49K
79.47%350.27K
-0.28%215.41K
4,965.53%261.74K
79.97%1.24M
17.37%819.92K
3,980.99%195.18K
913.16%216.01K
Net other financing activities
--95K
---120.99K
----
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-63.70%95K
-32.79%830.93K
-99.57%3.51K
79.47%350.27K
-0.28%215.41K
4,965.53%261.74K
-7.42%1.24M
661.37%819.92K
-77.03%195.18K
182.96%216.01K
Net cash flow
Beginning cash position
-97.45%7.31K
34.18%286.29K
384.15%127.79K
-96.40%6.53K
768.48%318.36K
34.18%286.29K
75.13%213.37K
-96.59%26.39K
398.39%181.37K
-58.51%36.66K
Current changes in cash
-84.18%5.07K
-482.56%-278.98K
-146.36%-120.48K
178.24%121.26K
-315.49%-311.83K
118.15%32.07K
-20.33%72.93K
146.35%259.9K
-121.01%-154.97K
378.50%144.71K
End cash Position
-96.11%12.38K
-97.45%7.31K
-97.45%7.31K
384.15%127.79K
-96.40%6.53K
768.48%318.36K
34.18%286.29K
34.18%286.29K
-96.59%26.39K
398.39%181.37K
Free cash flow
60.85%-89.93K
4.59%-1.11M
77.86%-123.98K
34.60%-229.01K
-639.48%-527.24K
-26.28%-229.67K
6.47%-1.16M
16.22%-560.02K
-212.88%-350.15K
44.43%-71.3K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)May 30, 2008(FY)Feb 29, 2008(Q4)Feb 29, 2008(Q3)Nov 30, 2007(Q2)Aug 30, 2007(Q1)May 30, 2007(FY)Feb 28, 2007(Q4)Feb 28, 2007(Q3)Nov 30, 2006(Q2)Aug 30, 2006
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 57.98%-89.93K-12.16%-1.09M73.66%-123.98K9.01%-229.01K-639.48%-527.24K-17.67%-214.02K21.44%-975.63K29.36%-470.77K-124.90%-251.68K44.43%-71.3K
Net income from continuing operations 21.72%-286.46K24.74%-2.08M81.55%-373.94K-4,011.21%-530.59K-330.95%-807.2K31.40%-365.95K14.85%-2.76M-17.81%-2.03M98.23%-12.91K33.53%-187.31K
Depreciation and amortization -98.89%1K-81.31%44.11K-381.97%-225.98K94.10%105.56K51.81%74.46K71.79%90.08K283.11%236.01K69.98%80.14K1,041.76%54.38K1,642.31%49.05K
Other non cash items 529.88%97.02K-68.14%526.77K-80.60%339.94K179.37%97.84K245.63%111.56K-122.29%-22.57K-38.16%1.65M--1.75M---123.28K---76.6K
Change In working capital 16.71%98.52K495.10%412.53K149.27%135.99K157.79%98.18K-34.56%93.95K-57.35%84.41K57.08%-104.41K-5.28%-275.99K-490.16%-169.88K191.85%143.56K
-Change in receivables -79.88%5.79K364.91%76.68K259.25%17.4K-4.81%20.85K117.53%9.64K91.40%28.79K-149.22%-28.94K-117.15%-10.93K52.49%21.9K-122.39%-54.96K
-Change in prepaid assets -84.56%2.75K-----------15.96K--2.7K--17.83K----------------
-Change in payables and accrued expense 41.14%89.97K565.38%311.17K128.28%72.52K149.95%93.29K-62.65%81.61K-59.62%63.75K50.67%-66.86K-60.96%-256.46K-740.15%-186.78K195.69%218.52K
-Change in other current liabilities --------------0--0---25.95K113.34%8.88K------------
-Change in other working capital ----241.23%24.69K----------------82.52%-17.48K-----------20K
Cash from discontinued investing activities
Operating cash flow 57.98%-89.93K-12.16%-1.09M73.66%-123.98K9.01%-229.01K-639.48%-527.24K-17.67%-214.02K21.44%-975.63K29.36%-470.77K-124.90%-251.68K44.43%-71.3K
Investing cash flow
Cash flow from continuing investing activities 091.66%-15.65K000-15.65K-9,541.09%-187.71K-4,483.72%-89.25K-98.47K0
Net PPE purchase and sale ----91.66%-15.65K--0--0--0---15.65K-9,541.09%-187.71K---89.25K--------
Cash from discontinued investing activities
Investing cash flow --091.66%-15.65K--0--0--0---15.65K-9,541.09%-187.71K-4,483.72%-89.25K---98.47K--0
Financing cash flow
Cash flow from continuing financing activities -63.70%95K-32.79%830.93K-99.57%3.51K79.47%350.27K-0.28%215.41K4,965.53%261.74K-7.42%1.24M661.37%819.92K-77.03%195.18K182.96%216.01K
Net issuance payments of debt -----23.00%951.91K-84.82%124.49K79.47%350.27K-0.28%215.41K4,965.53%261.74K79.97%1.24M17.37%819.92K3,980.99%195.18K913.16%216.01K
Net other financing activities --95K---120.99K--------------------------------
Cash from discontinued financing activities
Financing cash flow -63.70%95K-32.79%830.93K-99.57%3.51K79.47%350.27K-0.28%215.41K4,965.53%261.74K-7.42%1.24M661.37%819.92K-77.03%195.18K182.96%216.01K
Net cash flow
Beginning cash position -97.45%7.31K34.18%286.29K384.15%127.79K-96.40%6.53K768.48%318.36K34.18%286.29K75.13%213.37K-96.59%26.39K398.39%181.37K-58.51%36.66K
Current changes in cash -84.18%5.07K-482.56%-278.98K-146.36%-120.48K178.24%121.26K-315.49%-311.83K118.15%32.07K-20.33%72.93K146.35%259.9K-121.01%-154.97K378.50%144.71K
End cash Position -96.11%12.38K-97.45%7.31K-97.45%7.31K384.15%127.79K-96.40%6.53K768.48%318.36K34.18%286.29K34.18%286.29K-96.59%26.39K398.39%181.37K
Free cash flow 60.85%-89.93K4.59%-1.11M77.86%-123.98K34.60%-229.01K-639.48%-527.24K-26.28%-229.67K6.47%-1.16M16.22%-560.02K-212.88%-350.15K44.43%-71.3K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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Analyst Rating

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Price Target

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