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8AZ Aztech Gbl

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  • 0.755
  • -0.015-1.95%
10min DelayMarket Closed Apr 4 17:06 CST
582.70MMarket Cap8.30P/E (TTM)

Aztech Gbl Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
Operating cash flow (Indirect Method)
Cash from operating activities
31.46%129.85M
-16.35%98.78M
101.64%118.09M
-2,718.93%-5.81M
501.16%35.66M
79.04%58.57M
94.41%-206K
-86.36%5.93M
-25.50%32.71M
-123.32%-3.69M
Net profit before non-cash adjustment
-34.49%81.06M
53.27%123.73M
-4.98%80.73M
-86.81%4.09M
29.04%26.22M
27.73%84.96M
3.78%31.02M
-4.84%20.32M
21.41%66.52M
113.48%29.89M
Total adjustment of non-cash items
-160.33%-10.6M
-73.79%17.56M
735.14%67M
2,820.26%61.71M
-60.00%728K
-34.79%8.02M
-48.58%2.11M
-51.43%1.82M
-21.61%12.3M
-20.69%4.11M
-Depreciation and amortization
6.17%9.29M
1.59%8.75M
-15.65%8.61M
-28.66%1.94M
-9.20%2.26M
18.19%10.21M
22.30%2.72M
16.10%2.49M
0.40%8.64M
-3.14%2.22M
-Reversal of impairment losses recognized in profit and loss
34.85%534K
-85.48%396K
774.36%2.73M
-470.63%-593K
16,100.00%2.11M
-17.68%312K
-18.37%160K
550.00%13K
-84.11%379K
211.11%196K
-Assets reserve and write-off
-144.23%-2.89M
887.61%6.54M
35.38%662K
-262.37%-794K
--1.17M
-22.38%489K
-14.96%489K
--0
26.00%630K
2,975.00%575K
-Disposal profit
-549.36%-4.22M
-98.29%940K
4,571.29%55.13M
4,182.13%54.82M
-8,092.86%-1.12M
-1,270.00%-1.23M
-1,392.22%-1.34M
--14K
-15.38%-90K
-145.92%-90K
-Net exchange gains and losses
-167.84%-4.72M
884.72%6.96M
138.36%707K
6,995.83%6.81M
-442.31%-3.56M
-185.88%-1.84M
-89.80%96K
-145.47%-657K
-16.40%2.15M
-41.95%941K
-Remuneration paid in stock
-82.76%60K
20.83%348K
--288K
----
----
--0
----
----
----
----
-Pension and employee benefit expenses
13.89%41K
300.00%36K
-143.90%-18K
-41.46%24K
----
0.00%41K
--41K
----
-95.17%41K
----
-Other non-cash items
-35.49%-8.68M
-479.64%-6.41M
-2,310.00%-1.11M
-1,660.00%-792K
-105.26%-78K
-91.09%50K
-119.91%-45K
-124.20%-38K
-35.59%561K
24.86%226K
Changes in working capital
239.68%59.39M
-43.43%-42.52M
13.88%-29.64M
-114.76%-71.6M
153.72%8.71M
25.35%-34.42M
11.53%-33.34M
-188.12%-16.21M
-73.51%-46.11M
-1,014.70%-37.69M
-Change in receivables
1,084.16%135.05M
-183.87%-13.72M
194.23%16.36M
127.89%26.13M
119.85%2.68M
82.92%-17.36M
-3.87%-93.67M
-72.43%-13.49M
-169.30%-101.67M
-797.49%-90.18M
-Change in inventory
358.12%42M
146.98%9.17M
-121.21%-19.51M
-7.00%34.19M
-42.49%-9.85M
74.65%-8.82M
258.08%36.76M
80.28%-6.91M
-246.80%-34.79M
17.69%10.27M
-Change in prepaid assets
47.83%-721K
-488.20%-1.38M
220.72%356K
-128.41%-75K
1,330.00%615K
114.18%111K
-83.08%264K
97.72%-50K
-294.78%-783K
-23.23%1.56M
-Change in payables
-254.39%-120.15M
-219.64%-33.9M
404.76%28.34M
-442.86%-76.66M
234.49%14.2M
-110.20%-9.3M
-45.02%22.36M
-93.31%4.25M
805.25%91.14M
250.26%40.67M
-Changes in other current assets
219.78%3.21M
95.15%-2.68M
-5,908.84%-55.18M
----
----
--950K
----
----
--0
----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
12.15%-947K
-15.79%-1.08M
-37.52%-931K
-77.11%-294K
-178.67%-418K
41.64%-677K
31.40%-166K
25.00%-150K
-26.91%-1.16M
-28.72%-242K
Interest received (cash flow from operating activities)
Tax refund paid
-10.06%-15.61M
-32.10%-14.18M
32.87%-10.73M
1.30%-1.06M
-52.49%-6.03M
-437.33%-15.99M
-3,881.48%-1.08M
-28.77%-3.96M
-123.26%-2.98M
95.06%-27K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
35.65%113.3M
-21.52%83.52M
154.02%106.43M
-394.96%-7.16M
1,501.04%29.2M
46.62%41.9M
63.40%-1.45M
-95.47%1.82M
-31.41%28.58M
-126.24%-3.95M
Investing cash flow
Net PPE purchase and sale
32.13%-2.77M
34.54%-4.07M
-31.72%-6.22M
261.74%1.19M
-723.11%-6.77M
57.23%-4.73M
88.33%-737K
73.20%-822K
-73.60%-11.05M
-31.31%-6.32M
Net intangibles purchase and sale
----
----
----
----
----
----
----
----
82.72%-248K
--0
Net investment product transactions
330.62%22.2M
68.16%-9.62M
---30.23M
----
----
--0
----
----
----
----
Interest received (cash flow from investment activities)
28.84%9.62M
272.65%7.47M
219.62%2M
359.24%969K
209.04%581K
4.67%627K
1,218.75%211K
337.21%188K
1,293.02%599K
128.57%16K
Investing cash flow
566.32%29.05M
81.91%-6.23M
-740.53%-34.45M
-5,235.36%-28.06M
-875.55%-6.19M
61.69%-4.1M
91.65%-526K
79.03%-634K
-37.92%-10.7M
-25.57%-6.3M
Financing cash flow
Net issuance payments of debt
50.76%-3.44M
40.61%-6.98M
37.77%-11.75M
-7,014.63%-45.84M
2,036.94%39.28M
-181.83%-18.89M
-93.71%663K
105.36%1.84M
1,464.01%23.08M
213.49%10.55M
Net common stock issuance
---149K
--0
----
----
----
--196.56M
---1.84M
--0
--0
----
Increase or decrease of lease financing
-30.61%-2.3M
5.17%-1.76M
27.83%-1.86M
22.70%-412K
8.01%-597K
6.47%-2.57M
-9.67%-533K
14.94%-649K
12.19%-2.75M
40.66%-486K
Issuance fees
----
----
----
----
----
---7.84M
---490K
--0
--0
----
Cash dividends paid
-122.22%-77.2M
43.75%-34.74M
-302.77%-61.76M
---23.16M
--0
62.59%-15.33M
--0
--0
-55.88%-40.99M
---10.05M
Financing cash flow
-91.08%-83.08M
42.31%-43.48M
-149.61%-75.37M
-3,050.89%-69.41M
3,153.15%38.68M
835.27%151.92M
-31,571.43%-2.2M
101.80%1.19M
33.61%-20.66M
100.07%7K
Net cash flow
Beginning cash position
18.10%231.44M
-2.75%195.96M
1,658.09%201.51M
48.05%304.53M
19.03%241.65M
-19.74%11.46M
837.70%205.69M
296.24%203.02M
26.87%14.28M
53.16%21.94M
Current changes in cash
75.29%59.27M
1,098.85%33.81M
-101.78%-3.39M
-2,405.75%-104.64M
2,493.44%61.7M
6,914.69%189.72M
59.25%-4.18M
108.26%2.38M
-200.07%-2.78M
-16,698.36%-10.25M
Effect of exchange rate changes
-17.75%1.37M
177.08%1.67M
-757.75%-2.16M
-78,460.00%-3.93M
297.32%1.19M
1,040.00%329K
97.80%-5K
158.28%299K
-114.40%-35K
-1,235.00%-227K
End cash Position
26.20%292.08M
18.10%231.44M
-2.75%195.96M
-2.75%195.96M
48.05%304.53M
1,658.09%201.51M
1,658.09%201.51M
837.70%205.69M
-19.74%11.46M
-19.74%11.46M
Free cash flow
38.67%109.91M
-20.71%79.26M
169.38%99.96M
-170.46%-5.99M
2,200.72%22.27M
116.54%37.11M
78.74%-2.21M
-97.39%968K
-49.14%17.14M
-201.99%-10.41M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020
Operating cash flow (Indirect Method)
Cash from operating activities 31.46%129.85M-16.35%98.78M101.64%118.09M-2,718.93%-5.81M501.16%35.66M79.04%58.57M94.41%-206K-86.36%5.93M-25.50%32.71M-123.32%-3.69M
Net profit before non-cash adjustment -34.49%81.06M53.27%123.73M-4.98%80.73M-86.81%4.09M29.04%26.22M27.73%84.96M3.78%31.02M-4.84%20.32M21.41%66.52M113.48%29.89M
Total adjustment of non-cash items -160.33%-10.6M-73.79%17.56M735.14%67M2,820.26%61.71M-60.00%728K-34.79%8.02M-48.58%2.11M-51.43%1.82M-21.61%12.3M-20.69%4.11M
-Depreciation and amortization 6.17%9.29M1.59%8.75M-15.65%8.61M-28.66%1.94M-9.20%2.26M18.19%10.21M22.30%2.72M16.10%2.49M0.40%8.64M-3.14%2.22M
-Reversal of impairment losses recognized in profit and loss 34.85%534K-85.48%396K774.36%2.73M-470.63%-593K16,100.00%2.11M-17.68%312K-18.37%160K550.00%13K-84.11%379K211.11%196K
-Assets reserve and write-off -144.23%-2.89M887.61%6.54M35.38%662K-262.37%-794K--1.17M-22.38%489K-14.96%489K--026.00%630K2,975.00%575K
-Disposal profit -549.36%-4.22M-98.29%940K4,571.29%55.13M4,182.13%54.82M-8,092.86%-1.12M-1,270.00%-1.23M-1,392.22%-1.34M--14K-15.38%-90K-145.92%-90K
-Net exchange gains and losses -167.84%-4.72M884.72%6.96M138.36%707K6,995.83%6.81M-442.31%-3.56M-185.88%-1.84M-89.80%96K-145.47%-657K-16.40%2.15M-41.95%941K
-Remuneration paid in stock -82.76%60K20.83%348K--288K----------0----------------
-Pension and employee benefit expenses 13.89%41K300.00%36K-143.90%-18K-41.46%24K----0.00%41K--41K-----95.17%41K----
-Other non-cash items -35.49%-8.68M-479.64%-6.41M-2,310.00%-1.11M-1,660.00%-792K-105.26%-78K-91.09%50K-119.91%-45K-124.20%-38K-35.59%561K24.86%226K
Changes in working capital 239.68%59.39M-43.43%-42.52M13.88%-29.64M-114.76%-71.6M153.72%8.71M25.35%-34.42M11.53%-33.34M-188.12%-16.21M-73.51%-46.11M-1,014.70%-37.69M
-Change in receivables 1,084.16%135.05M-183.87%-13.72M194.23%16.36M127.89%26.13M119.85%2.68M82.92%-17.36M-3.87%-93.67M-72.43%-13.49M-169.30%-101.67M-797.49%-90.18M
-Change in inventory 358.12%42M146.98%9.17M-121.21%-19.51M-7.00%34.19M-42.49%-9.85M74.65%-8.82M258.08%36.76M80.28%-6.91M-246.80%-34.79M17.69%10.27M
-Change in prepaid assets 47.83%-721K-488.20%-1.38M220.72%356K-128.41%-75K1,330.00%615K114.18%111K-83.08%264K97.72%-50K-294.78%-783K-23.23%1.56M
-Change in payables -254.39%-120.15M-219.64%-33.9M404.76%28.34M-442.86%-76.66M234.49%14.2M-110.20%-9.3M-45.02%22.36M-93.31%4.25M805.25%91.14M250.26%40.67M
-Changes in other current assets 219.78%3.21M95.15%-2.68M-5,908.84%-55.18M----------950K----------0----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 12.15%-947K-15.79%-1.08M-37.52%-931K-77.11%-294K-178.67%-418K41.64%-677K31.40%-166K25.00%-150K-26.91%-1.16M-28.72%-242K
Interest received (cash flow from operating activities)
Tax refund paid -10.06%-15.61M-32.10%-14.18M32.87%-10.73M1.30%-1.06M-52.49%-6.03M-437.33%-15.99M-3,881.48%-1.08M-28.77%-3.96M-123.26%-2.98M95.06%-27K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 35.65%113.3M-21.52%83.52M154.02%106.43M-394.96%-7.16M1,501.04%29.2M46.62%41.9M63.40%-1.45M-95.47%1.82M-31.41%28.58M-126.24%-3.95M
Investing cash flow
Net PPE purchase and sale 32.13%-2.77M34.54%-4.07M-31.72%-6.22M261.74%1.19M-723.11%-6.77M57.23%-4.73M88.33%-737K73.20%-822K-73.60%-11.05M-31.31%-6.32M
Net intangibles purchase and sale --------------------------------82.72%-248K--0
Net investment product transactions 330.62%22.2M68.16%-9.62M---30.23M----------0----------------
Interest received (cash flow from investment activities) 28.84%9.62M272.65%7.47M219.62%2M359.24%969K209.04%581K4.67%627K1,218.75%211K337.21%188K1,293.02%599K128.57%16K
Investing cash flow 566.32%29.05M81.91%-6.23M-740.53%-34.45M-5,235.36%-28.06M-875.55%-6.19M61.69%-4.1M91.65%-526K79.03%-634K-37.92%-10.7M-25.57%-6.3M
Financing cash flow
Net issuance payments of debt 50.76%-3.44M40.61%-6.98M37.77%-11.75M-7,014.63%-45.84M2,036.94%39.28M-181.83%-18.89M-93.71%663K105.36%1.84M1,464.01%23.08M213.49%10.55M
Net common stock issuance ---149K--0--------------196.56M---1.84M--0--0----
Increase or decrease of lease financing -30.61%-2.3M5.17%-1.76M27.83%-1.86M22.70%-412K8.01%-597K6.47%-2.57M-9.67%-533K14.94%-649K12.19%-2.75M40.66%-486K
Issuance fees -----------------------7.84M---490K--0--0----
Cash dividends paid -122.22%-77.2M43.75%-34.74M-302.77%-61.76M---23.16M--062.59%-15.33M--0--0-55.88%-40.99M---10.05M
Financing cash flow -91.08%-83.08M42.31%-43.48M-149.61%-75.37M-3,050.89%-69.41M3,153.15%38.68M835.27%151.92M-31,571.43%-2.2M101.80%1.19M33.61%-20.66M100.07%7K
Net cash flow
Beginning cash position 18.10%231.44M-2.75%195.96M1,658.09%201.51M48.05%304.53M19.03%241.65M-19.74%11.46M837.70%205.69M296.24%203.02M26.87%14.28M53.16%21.94M
Current changes in cash 75.29%59.27M1,098.85%33.81M-101.78%-3.39M-2,405.75%-104.64M2,493.44%61.7M6,914.69%189.72M59.25%-4.18M108.26%2.38M-200.07%-2.78M-16,698.36%-10.25M
Effect of exchange rate changes -17.75%1.37M177.08%1.67M-757.75%-2.16M-78,460.00%-3.93M297.32%1.19M1,040.00%329K97.80%-5K158.28%299K-114.40%-35K-1,235.00%-227K
End cash Position 26.20%292.08M18.10%231.44M-2.75%195.96M-2.75%195.96M48.05%304.53M1,658.09%201.51M1,658.09%201.51M837.70%205.69M-19.74%11.46M-19.74%11.46M
Free cash flow 38.67%109.91M-20.71%79.26M169.38%99.96M-170.46%-5.99M2,200.72%22.27M116.54%37.11M78.74%-2.21M-97.39%968K-49.14%17.14M-201.99%-10.41M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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