SG Stock MarketDetailed Quotes

C70 CITYDEV NCCPS

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  • 0.988
  • 0.0000.00%
10min DelayMarket Closed Apr 24 13:43 CST
882.68MMarket Cap0.00P/E (TTM)

CITYDEV NCCPS Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(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
Operating cash flow (Indirect Method)
Cash from operating activities
-11.31%1.04B
454.79%1.18B
-82.82%212.05M
540.92%1.23B
-125.91%-279.92M
377.75%1.08B
-0.27%283.79M
-17.43%241.41M
133.10%317.05M
3,033.51%238.05M
Net profit before non-cash adjustment
-39.23%211.96M
-73.46%348.81M
935.66%1.31B
106.76%126.9M
-406.27%-1.88B
-7.18%613.36M
31.04%94.85M
-37.52%124.3M
-26.99%182.71M
51.93%211.51M
Total adjustment of non-cash items
-3.93%562.81M
163.30%585.83M
-415.24%-925.42M
-86.53%293.56M
1,041.96%2.18B
-60.38%190.82M
-26.00%112.42M
-14.85%84.31M
-83.33%26.52M
-145.26%-32.42M
-Depreciation and amortization
9.17%277.32M
-8.10%254.03M
-3.01%276.43M
-0.74%285.01M
4.04%287.13M
26.11%275.99M
30.18%77.87M
22.61%66.87M
23.64%67.28M
27.75%63.97M
-Reversal of impairment losses recognized in profit and loss
-1,193.77%-34.67M
-102.57%-2.68M
191.85%104.29M
-115.70%-113.54M
1,022.56%723.39M
-34.31%64.44M
-74.31%24.89M
4,112.94%37.12M
2,704.82%2.33M
-60.52%107K
-Assets reserve and write-off
----
----
----
----
--283M
--0
----
----
----
----
-Share of associates
-27.58%-60.79M
72.00%-47.65M
-58.30%-170.16M
-112.71%-107.49M
530.84%845.78M
-202.46%-196.31M
17.22%-34.92M
-309.09%-48.25M
-2,968.01%-72.99M
-369.50%-40.16M
-Disposal profit
-96.06%-233.05M
93.26%-118.87M
-4,309.19%-1.76B
76.53%-39.98M
3.78%-170.35M
-270.64%-177.04M
-857.56%-7.47M
12.65%-13.93M
-642.98%-11.06M
-389.26%-144.58M
-Remuneration paid in stock
----
----
----
----
----
----
----
--0
-197.61%-531K
-3.63%531K
-Deferred income tax
30.95%162.06M
-77.19%123.76M
517.20%542.57M
0.23%87.91M
-37.67%87.7M
-34.48%140.72M
-64.90%13.41M
-39.57%31.22M
-53.91%41.95M
59.85%54.13M
-Other non-cash items
19.81%451.95M
347.01%377.23M
-53.55%84.39M
48.31%181.66M
47.54%122.49M
33.92%83.02M
3,936.68%38.63M
-41.05%11.28M
-102.70%-457K
34.47%33.57M
Changes in working capital
11.09%268.59M
236.81%241.78M
-121.72%-176.74M
240.17%813.77M
-310.25%-580.55M
118.03%276.12M
26.95%76.52M
687.91%32.81M
107.89%107.82M
126.93%58.97M
-Change in receivables
230.76%617.24M
-652.99%-472.04M
-160.92%-62.69M
139.10%102.9M
-95.23%-263.18M
-167.01%-134.81M
-404.27%-81.33M
-213.33%-66.28M
-144.11%-57.36M
599.43%70.16M
-Change in inventory
-121.48%-244.28M
1,946.39%1.14B
-113.83%-61.6M
310.16%445.37M
-153.20%-211.92M
131.60%398.37M
9.13%202.01M
1,172.32%81.56M
111.65%165.68M
-67.62%-50.88M
-Change in payables
-3,035.22%-84.21M
71.16%-2.69M
-131.48%-9.31M
118.73%29.59M
-103.90%-157.95M
65.28%-77.46M
-1.52%-66.86M
133.86%23.38M
-105.49%-475K
65.41%-33.51M
-Provision for loans, leases and other losses
420.88%7.31M
-53.76%1.4M
315.64%3.03M
-164.63%-1.41M
618.48%2.18M
-89.40%303K
398.79%2.89M
-785.42%-4.33M
15.19%1.62M
-51.02%120K
-Changes in other current assets
93.50%-27.47M
-814.54%-422.25M
-119.45%-46.17M
371.57%237.32M
-43.91%50.33M
135.67%89.72M
122.96%19.81M
26.27%-1.52M
98.07%-1.64M
193.77%73.07M
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)
Tax refund paid
49.71%-113.69M
33.03%-226.06M
-237.63%-337.56M
-31.16%-99.98M
68.75%-76.22M
-15.77%-243.92M
-88.90%-10.62M
1.51%-90.74M
-40.40%-118.22M
15.28%-24.35M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-2.18%929.67M
857.18%950.35M
-111.07%-125.51M
418.48%1.13B
-142.58%-356.15M
239.48%836.39M
-2.07%273.18M
-24.75%150.68M
119.08%198.83M
679.91%213.71M
Investing cash flow
Capital expenditures
-101.49%-467.74M
14.91%-232.14M
-0.66%-272.81M
-114.70%-271.01M
-41.96%-126.23M
-48.16%-88.92M
-66.70%-40.23M
-152.74%-18.76M
6.13%-15.3M
-20.33%-14.63M
Net PPE purchase and sale
83.07%-23.75M
-109.66%-140.31M
1,965.28%1.45B
-150.50%-77.9M
175.52%154.26M
-92.05%-204.25M
24.61%-51.97M
-88.25%-57.47M
-26.78%-42.8M
-293.64%-52.02M
Net intangibles purchase and sale
----
----
----
-67.61%-595K
32.25%-355K
-1,278.95%-524K
----
----
----
----
Net business purchase and sale
66.67%-330.29M
-110.37%-991.08M
2.82%-471.12M
51.51%-484.8M
-84.66%-999.7M
64.01%-541.38M
63.44%-427.68M
99.96%-138K
-1,537.35%-324.86M
94.39%-3.51M
Net investment property transactions
64.16%-221.7M
-155.37%-618.62M
---242.25M
--0
-59.22%-66.49M
-35.91%-41.76M
---15.58M
14.79%-26.18M
----
----
Net investment product transactions
-167.41%-121.55M
-286.14%-45.46M
129.90%24.42M
39.13%-81.67M
52.71%-134.18M
-127.77%-283.74M
-1.18%-38.4M
63.91%-14.59M
-656.48%-324.86M
2,639.22%82.42M
Advance cash and loans provided to other parties
----
----
----
----
----
---552.2M
2,152.35%344.59M
---24.14M
--0
---657.85M
Dividends received (cash flow from investment activities)
2.86%103.31M
-60.99%100.44M
729.28%257.48M
-34.10%31.05M
-83.48%47.11M
499.88%285.14M
6,399.90%201.82M
-41.63%10.7M
186.91%53.23M
156.91%19.39M
Interest received (cash flow from investment activities)
17.46%78.72M
114.35%67.02M
45.34%31.27M
-56.58%21.51M
-35.98%49.54M
55.67%77.39M
141.22%32.62M
13.07%13.94M
27.58%16.58M
31.15%14.26M
Net changes in other investments
----
----
----
----
----
----
----
----
--11.68M
----
Investing cash flow
47.16%-982.99M
-338.49%-1.86B
190.34%779.97M
19.76%-863.41M
20.31%-1.08B
21.89%-1.35B
100.37%4.65M
69.97%-116.64M
-1,512.02%-626.32M
-1,776.43%-611.94M
Financing cash flow
Net issuance payments of debt
5.02%1.72B
1,666.19%1.64B
114.53%92.6M
-136.92%-637.24M
-40.29%1.73B
141.44%2.89B
83.96%1.28B
-242.45%-229.21M
168.27%1.55B
221.57%288.85M
Net common stock issuance
---79.4M
--0
----
----
----
----
----
--0
----
----
Net preferred stock issuance
10.00%-23.23M
---25.81M
--0
----
----
----
----
----
----
----
Increase or decrease of lease financing
-8.79%-26.87M
5.11%-24.7M
-23.45%-26.03M
-0.13%-21.09M
-23.72%-21.06M
-11,887.32%-17.02M
-28,345.83%-6.83M
-21,380.00%-5.37M
-3,448.94%-1.67M
-6,763.04%-3.16M
Issuance fees
-54.71%-14.33M
11.00%-9.26M
-44.28%-10.41M
39.15%-7.21M
0.06%-11.86M
-46.43%-11.86M
78.16%-772K
-37.57%-2.29M
-267.56%-6.2M
-113.95%-2.61M
Cash dividends paid
38.78%-126.27M
7.27%-206.24M
-27.87%-222.42M
8.55%-173.94M
29.20%-190.21M
5.83%-268.67M
32.56%-7.09M
8.96%-82.35M
2.71%-145.97M
3.05%-33.27M
Interest paid (cash flow from financing activities)
-27.79%-586.85M
-76.68%-459.25M
-23.07%-259.93M
3.26%-211.21M
-16.69%-218.33M
-46.38%-187.1M
-47.42%-60.46M
-42.88%-42.66M
-53.94%-50.36M
-38.73%-33.62M
Net other fund-raising expenses
8.69%-168.3M
-235.46%-184.32M
160.10%136.07M
-181.13%-226.41M
122.21%279.09M
-977.59%-1.26B
-11,447.64%-1.42B
696.29%99.94M
-90.75%13.78M
3,512.13%48.96M
Financing cash flow
-4.62%692.4M
350.24%725.97M
77.28%-290.11M
-181.68%-1.28B
36.04%1.56B
28.05%1.15B
-133.16%-214.67M
-4,139.79%-261.94M
150.79%1.36B
188.73%265.16M
Net cash flow
Beginning cash position
-9.07%2.04B
15.64%2.25B
-34.21%1.94B
5.93%2.96B
29.00%2.79B
-39.92%2.16B
9.02%2.73B
9.46%2.96B
-37.38%2.03B
-39.92%2.16B
Current changes in cash
447.67%639.08M
-150.45%-183.82M
136.21%364.35M
-865.77%-1.01B
-79.32%131.41M
144.42%635.51M
118.43%63.16M
-25.47%-227.9M
273.42%933.33M
63.87%-133.07M
Effect of exchange rate changes
32.31%-13.63M
66.64%-20.13M
-1,179.58%-60.33M
-113.81%-4.72M
510.47%34.14M
-41.00%-8.32M
-111.25%-437K
78.34%-4.49M
-543.98%-3.39M
-100.02%-2K
End cash Position
30.60%2.67B
-9.07%2.04B
15.64%2.25B
-34.21%1.94B
5.93%2.96B
29.00%2.79B
29.00%2.79B
9.02%2.73B
9.46%2.96B
-37.38%2.03B
Free cash flow
-37.20%275.44M
185.30%438.63M
-171.47%-514.24M
195.94%719.49M
-241.90%-749.97M
161.40%528.54M
-3.37%179.39M
-58.36%61.82M
112.85%140.29M
243.14%147.04M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2024(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
Operating cash flow (Indirect Method)
Cash from operating activities -11.31%1.04B454.79%1.18B-82.82%212.05M540.92%1.23B-125.91%-279.92M377.75%1.08B-0.27%283.79M-17.43%241.41M133.10%317.05M3,033.51%238.05M
Net profit before non-cash adjustment -39.23%211.96M-73.46%348.81M935.66%1.31B106.76%126.9M-406.27%-1.88B-7.18%613.36M31.04%94.85M-37.52%124.3M-26.99%182.71M51.93%211.51M
Total adjustment of non-cash items -3.93%562.81M163.30%585.83M-415.24%-925.42M-86.53%293.56M1,041.96%2.18B-60.38%190.82M-26.00%112.42M-14.85%84.31M-83.33%26.52M-145.26%-32.42M
-Depreciation and amortization 9.17%277.32M-8.10%254.03M-3.01%276.43M-0.74%285.01M4.04%287.13M26.11%275.99M30.18%77.87M22.61%66.87M23.64%67.28M27.75%63.97M
-Reversal of impairment losses recognized in profit and loss -1,193.77%-34.67M-102.57%-2.68M191.85%104.29M-115.70%-113.54M1,022.56%723.39M-34.31%64.44M-74.31%24.89M4,112.94%37.12M2,704.82%2.33M-60.52%107K
-Assets reserve and write-off ------------------283M--0----------------
-Share of associates -27.58%-60.79M72.00%-47.65M-58.30%-170.16M-112.71%-107.49M530.84%845.78M-202.46%-196.31M17.22%-34.92M-309.09%-48.25M-2,968.01%-72.99M-369.50%-40.16M
-Disposal profit -96.06%-233.05M93.26%-118.87M-4,309.19%-1.76B76.53%-39.98M3.78%-170.35M-270.64%-177.04M-857.56%-7.47M12.65%-13.93M-642.98%-11.06M-389.26%-144.58M
-Remuneration paid in stock ------------------------------0-197.61%-531K-3.63%531K
-Deferred income tax 30.95%162.06M-77.19%123.76M517.20%542.57M0.23%87.91M-37.67%87.7M-34.48%140.72M-64.90%13.41M-39.57%31.22M-53.91%41.95M59.85%54.13M
-Other non-cash items 19.81%451.95M347.01%377.23M-53.55%84.39M48.31%181.66M47.54%122.49M33.92%83.02M3,936.68%38.63M-41.05%11.28M-102.70%-457K34.47%33.57M
Changes in working capital 11.09%268.59M236.81%241.78M-121.72%-176.74M240.17%813.77M-310.25%-580.55M118.03%276.12M26.95%76.52M687.91%32.81M107.89%107.82M126.93%58.97M
-Change in receivables 230.76%617.24M-652.99%-472.04M-160.92%-62.69M139.10%102.9M-95.23%-263.18M-167.01%-134.81M-404.27%-81.33M-213.33%-66.28M-144.11%-57.36M599.43%70.16M
-Change in inventory -121.48%-244.28M1,946.39%1.14B-113.83%-61.6M310.16%445.37M-153.20%-211.92M131.60%398.37M9.13%202.01M1,172.32%81.56M111.65%165.68M-67.62%-50.88M
-Change in payables -3,035.22%-84.21M71.16%-2.69M-131.48%-9.31M118.73%29.59M-103.90%-157.95M65.28%-77.46M-1.52%-66.86M133.86%23.38M-105.49%-475K65.41%-33.51M
-Provision for loans, leases and other losses 420.88%7.31M-53.76%1.4M315.64%3.03M-164.63%-1.41M618.48%2.18M-89.40%303K398.79%2.89M-785.42%-4.33M15.19%1.62M-51.02%120K
-Changes in other current assets 93.50%-27.47M-814.54%-422.25M-119.45%-46.17M371.57%237.32M-43.91%50.33M135.67%89.72M122.96%19.81M26.27%-1.52M98.07%-1.64M193.77%73.07M
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)
Tax refund paid 49.71%-113.69M33.03%-226.06M-237.63%-337.56M-31.16%-99.98M68.75%-76.22M-15.77%-243.92M-88.90%-10.62M1.51%-90.74M-40.40%-118.22M15.28%-24.35M
Other operating cash inflow (outflow) 0000000000
Operating cash flow -2.18%929.67M857.18%950.35M-111.07%-125.51M418.48%1.13B-142.58%-356.15M239.48%836.39M-2.07%273.18M-24.75%150.68M119.08%198.83M679.91%213.71M
Investing cash flow
Capital expenditures -101.49%-467.74M14.91%-232.14M-0.66%-272.81M-114.70%-271.01M-41.96%-126.23M-48.16%-88.92M-66.70%-40.23M-152.74%-18.76M6.13%-15.3M-20.33%-14.63M
Net PPE purchase and sale 83.07%-23.75M-109.66%-140.31M1,965.28%1.45B-150.50%-77.9M175.52%154.26M-92.05%-204.25M24.61%-51.97M-88.25%-57.47M-26.78%-42.8M-293.64%-52.02M
Net intangibles purchase and sale -------------67.61%-595K32.25%-355K-1,278.95%-524K----------------
Net business purchase and sale 66.67%-330.29M-110.37%-991.08M2.82%-471.12M51.51%-484.8M-84.66%-999.7M64.01%-541.38M63.44%-427.68M99.96%-138K-1,537.35%-324.86M94.39%-3.51M
Net investment property transactions 64.16%-221.7M-155.37%-618.62M---242.25M--0-59.22%-66.49M-35.91%-41.76M---15.58M14.79%-26.18M--------
Net investment product transactions -167.41%-121.55M-286.14%-45.46M129.90%24.42M39.13%-81.67M52.71%-134.18M-127.77%-283.74M-1.18%-38.4M63.91%-14.59M-656.48%-324.86M2,639.22%82.42M
Advance cash and loans provided to other parties -----------------------552.2M2,152.35%344.59M---24.14M--0---657.85M
Dividends received (cash flow from investment activities) 2.86%103.31M-60.99%100.44M729.28%257.48M-34.10%31.05M-83.48%47.11M499.88%285.14M6,399.90%201.82M-41.63%10.7M186.91%53.23M156.91%19.39M
Interest received (cash flow from investment activities) 17.46%78.72M114.35%67.02M45.34%31.27M-56.58%21.51M-35.98%49.54M55.67%77.39M141.22%32.62M13.07%13.94M27.58%16.58M31.15%14.26M
Net changes in other investments ----------------------------------11.68M----
Investing cash flow 47.16%-982.99M-338.49%-1.86B190.34%779.97M19.76%-863.41M20.31%-1.08B21.89%-1.35B100.37%4.65M69.97%-116.64M-1,512.02%-626.32M-1,776.43%-611.94M
Financing cash flow
Net issuance payments of debt 5.02%1.72B1,666.19%1.64B114.53%92.6M-136.92%-637.24M-40.29%1.73B141.44%2.89B83.96%1.28B-242.45%-229.21M168.27%1.55B221.57%288.85M
Net common stock issuance ---79.4M--0----------------------0--------
Net preferred stock issuance 10.00%-23.23M---25.81M--0----------------------------
Increase or decrease of lease financing -8.79%-26.87M5.11%-24.7M-23.45%-26.03M-0.13%-21.09M-23.72%-21.06M-11,887.32%-17.02M-28,345.83%-6.83M-21,380.00%-5.37M-3,448.94%-1.67M-6,763.04%-3.16M
Issuance fees -54.71%-14.33M11.00%-9.26M-44.28%-10.41M39.15%-7.21M0.06%-11.86M-46.43%-11.86M78.16%-772K-37.57%-2.29M-267.56%-6.2M-113.95%-2.61M
Cash dividends paid 38.78%-126.27M7.27%-206.24M-27.87%-222.42M8.55%-173.94M29.20%-190.21M5.83%-268.67M32.56%-7.09M8.96%-82.35M2.71%-145.97M3.05%-33.27M
Interest paid (cash flow from financing activities) -27.79%-586.85M-76.68%-459.25M-23.07%-259.93M3.26%-211.21M-16.69%-218.33M-46.38%-187.1M-47.42%-60.46M-42.88%-42.66M-53.94%-50.36M-38.73%-33.62M
Net other fund-raising expenses 8.69%-168.3M-235.46%-184.32M160.10%136.07M-181.13%-226.41M122.21%279.09M-977.59%-1.26B-11,447.64%-1.42B696.29%99.94M-90.75%13.78M3,512.13%48.96M
Financing cash flow -4.62%692.4M350.24%725.97M77.28%-290.11M-181.68%-1.28B36.04%1.56B28.05%1.15B-133.16%-214.67M-4,139.79%-261.94M150.79%1.36B188.73%265.16M
Net cash flow
Beginning cash position -9.07%2.04B15.64%2.25B-34.21%1.94B5.93%2.96B29.00%2.79B-39.92%2.16B9.02%2.73B9.46%2.96B-37.38%2.03B-39.92%2.16B
Current changes in cash 447.67%639.08M-150.45%-183.82M136.21%364.35M-865.77%-1.01B-79.32%131.41M144.42%635.51M118.43%63.16M-25.47%-227.9M273.42%933.33M63.87%-133.07M
Effect of exchange rate changes 32.31%-13.63M66.64%-20.13M-1,179.58%-60.33M-113.81%-4.72M510.47%34.14M-41.00%-8.32M-111.25%-437K78.34%-4.49M-543.98%-3.39M-100.02%-2K
End cash Position 30.60%2.67B-9.07%2.04B15.64%2.25B-34.21%1.94B5.93%2.96B29.00%2.79B29.00%2.79B9.02%2.73B9.46%2.96B-37.38%2.03B
Free cash flow -37.20%275.44M185.30%438.63M-171.47%-514.24M195.94%719.49M-241.90%-749.97M161.40%528.54M-3.37%179.39M-58.36%61.82M112.85%140.29M243.14%147.04M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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Warren Buffett Portfolio Warren Buffett Portfolio

Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry. Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry.

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2025 Buffett shareholders' meeting: What's the new buzz in value investing?
🎙️Discussion 1. In the face of market changes, do you prefer to stick with growth stocks or switch to value stocks? 2. Based on the current Show More