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J36 JMH USD

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  • 44.400
  • +2.420+5.76%
10min DelayMarket Closed Apr 25 17:08 CST
11.28BMarket Cap-27.58P/E (TTM)

JMH USD 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
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities
1.59%5.64B
4.96%5.55B
-1.78%5.29B
-9.22%5.38B
12.55%5.93B
-5.84%5.27B
31.33%5.6B
0.80%4.26B
-4.02%4.23B
21.76%4.4B
Net profit before non-cash adjustment
-52.11%1.17B
-14.05%2.44B
-6.56%2.83B
544.57%3.03B
-114.40%-682M
5.04%4.74B
-47.08%4.51B
46.56%8.52B
53.43%5.81B
3.05%3.79B
Total adjustment of non-cash items
26.41%5.3B
11.43%4.19B
40.74%3.76B
-54.81%2.67B
207.11%5.92B
-6.73%1.93B
152.73%2.07B
-155.95%-3.92B
-400.59%-1.53B
-61.93%509M
-Depreciation and amortization
4.62%2.17B
-1.42%2.08B
-5.09%2.11B
-8.49%2.22B
0.87%2.43B
10.16%2.41B
122.63%2.18B
3.81%981M
-1.87%945M
-4.37%963M
-Reversal of impairment losses recognized in profit and loss
10.98%475M
62.74%428M
-5.05%263M
-53.13%277M
217.74%591M
-73.08%186M
185.54%691M
25.39%242M
-72.35%193M
108.36%698M
-Assets reserve and write-off
40.00%112M
81.82%80M
2.33%44M
-2.27%43M
18.92%44M
-50.67%37M
--75M
----
----
----
-Disposal profit
53.02%2.4B
21.78%1.57B
821.43%1.29B
-95.06%140M
465.94%2.84B
18.25%-775M
81.72%-948M
-96.40%-5.19B
-125.53%-2.64B
-1,363.75%-1.17B
-Net exchange gains and losses
2,233.33%64M
-105.45%-3M
1,933.33%55M
-116.67%-3M
500.00%18M
-83.33%3M
-28.00%18M
266.67%25M
-130.00%-15M
85.19%50M
-Remuneration paid in stock
0.00%12M
100.00%12M
500.00%6M
-50.00%1M
-50.00%2M
-20.00%4M
0.00%5M
-44.44%5M
-10.00%9M
-9.09%10M
-Other non-cash items
123.08%58M
750.00%26M
33.33%-4M
-100.00%-6M
-104.62%-3M
62.50%65M
122.22%40M
185.71%18M
48.78%-21M
-210.81%-41M
Changes in working capital
23.19%-828M
17.58%-1.08B
-306.21%-1.31B
-146.20%-322M
150.07%697M
-42.48%-1.39B
-186.51%-977M
-520.00%-341M
-151.40%-55M
107.66%107M
-Change in receivables
144.30%311M
38.90%-702M
-80.09%-1.15B
-156.16%-638M
340.68%1.14B
69.33%-472M
-83.87%-1.54B
8.72%-837M
-2,451.28%-917M
103.75%39M
-Change in inventory
216.44%673M
44.74%-578M
14.61%-1.05B
-232.86%-1.23B
740.28%922M
51.52%-144M
-21.22%-297M
-226.67%-245M
81.44%-75M
10.02%-404M
-Change in payables
-863.18%-1.82B
-73.59%239M
-41.31%905M
210.30%1.54B
-88.16%-1.4B
-187.93%-743M
-41.68%845M
148.54%1.45B
37.18%583M
9.54%425M
-Provision for loans, leases and other losses
666.67%34M
-185.71%-6M
-50.00%7M
-70.21%14M
6.82%47M
29.41%44M
-46.03%34M
-3.08%63M
4.84%65M
40.91%62M
-Changes in other current assets
29.03%-22M
-24.00%-31M
-66.67%-25M
-50.00%-15M
87.01%-10M
-285.00%-77M
97.41%-20M
-366.78%-771M
2,026.67%289M
95.59%-15M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
10.87%979M
-5.16%883M
16.38%931M
26.58%800M
-44.22%632M
20.28%1.13B
-0.21%942M
58.12%944M
-5.84%597M
-9.17%634M
Interest paid (cash flow from operating activities)
-6.73%-809M
-34.40%-758M
1.57%-564M
17.20%-573M
8.83%-692M
-18.04%-759M
-99.07%-643M
-11.76%-323M
-8.24%-289M
11.88%-267M
Interest received (cash flow from operating activities)
18.89%258M
22.60%217M
-8.76%177M
-7.18%194M
12.37%209M
13.41%186M
-4.65%164M
26.47%172M
0.00%136M
-20.47%136M
Tax refund paid
18.44%-1.07B
-29.92%-1.31B
-38.19%-1.01B
9.45%-728M
16.60%-804M
-6.87%-964M
-19.31%-902M
-7.39%-756M
13.94%-704M
1.33%-818M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
9.05%5B
-4.99%4.58B
-4.94%4.83B
-3.77%5.08B
8.43%5.28B
-5.66%4.87B
19.99%5.16B
8.34%4.3B
-2.98%3.97B
21.91%4.09B
Investing cash flow
Net PPE purchase and sale
20.36%-1.06B
-53.16%-1.33B
-64.27%-869M
22.66%-529M
46.23%-684M
13.11%-1.27B
-44.52%-1.46B
-19.46%-1.01B
23.26%-848M
-4.94%-1.11B
Net intangibles purchase and sale
-11.40%-127M
24.50%-114M
4.43%-151M
-21.54%-158M
41.96%-130M
-460.00%-224M
76.47%-40M
-26.87%-170M
7.59%-134M
47.84%-145M
Net business purchase and sale
143.35%453M
-352.38%-1.05B
-117.09%-231M
-63.12%1.35B
255.58%3.67B
141.61%1.03B
-73.89%-2.48B
-106.22%-1.43B
64.83%-691M
-362.35%-1.97B
Net investment property transactions
-45.70%-220M
-22.76%-151M
-6.96%-123M
97.53%-115M
-2,618.71%-4.65B
-3.01%-171M
49.70%-166M
-5.77%-330M
-34.48%-312M
0.00%-232M
Net investment product transactions
67.84%-164M
-22.30%-510M
-504.35%-417M
-40.82%-69M
-219.51%-49M
108.69%41M
43.94%-472M
-389.53%-842M
-218.62%-172M
120.74%145M
Advance cash and loans provided to other parties
71.93%-112M
50.25%-399M
27.09%-802M
-51.72%-1.1B
29.27%-725M
-3.54%-1.03B
-16.06%-990M
-953.09%-853M
71.48%-81M
-1,793.33%-284M
Repayment of advance payments to other parties and cash income from loans
-76.17%259M
--1.09B
----
-40.85%850M
56.20%1.44B
-3.36%920M
44.68%952M
276.00%658M
-54.66%175M
-19.75%386M
Investing cash flow
60.58%-971M
5.01%-2.46B
-1,222.51%-2.59B
120.37%231M
-62.00%-1.13B
84.97%-700M
-17.18%-4.66B
-92.68%-3.98B
35.53%-2.06B
-38.95%-3.2B
Financing cash flow
Net issuance payments of debt
-220.85%-481M
703.03%398M
-105.97%-66M
169.51%1.11B
-55.63%410M
-40.66%924M
4.57%1.56B
399.66%1.49B
1,762.50%298M
-94.43%16M
Net common stock issuance
52.29%-104M
-13.54%-218M
66.95%-192M
-6.22%-581M
-68.31%-547M
-242.11%-325M
-11.76%-95M
-8,600.00%-85M
-50.00%1M
0.00%2M
Increase or decrease of lease financing
-2.45%-877M
2.17%-856M
2.13%-875M
7.07%-894M
5.31%-962M
0.20%-1.02B
---1.02B
----
----
----
Cash dividends paid
1.76%-447M
-7.57%-455M
-19.83%-423M
9.95%-353M
2.00%-392M
-9.29%-400M
-8.28%-366M
-4.97%-338M
8.52%-322M
-2.62%-352M
Cash dividends for minorities
37.36%-1.28B
-104.93%-2.04B
-48.58%-994M
20.36%-669M
12.86%-840M
-6.87%-964M
-9.47%-902M
-5.24%-824M
13.58%-783M
3.62%-906M
Net other fund-raising expenses
-587.37%-653M
86.90%-95M
87.48%-725M
-48,341.67%-5.79B
104.63%12M
52.21%-259M
-197.80%-542M
30.53%-182M
-1,347.62%-262M
-56.25%21M
Financing cash flow
-17.62%-3.84B
0.37%-3.26B
54.39%-3.28B
-209.66%-7.18B
-13.68%-2.32B
-49.34%-2.04B
-2,376.67%-1.37B
105.62%60M
12.39%-1.07B
-28.86%-1.22B
Net cash flow
Beginning cash position
-18.42%4.8B
-19.22%5.88B
-20.49%7.28B
27.89%9.15B
44.50%7.16B
-17.46%4.95B
8.50%6B
15.88%5.53B
-9.74%4.77B
1.91%5.29B
Current changes in cash
116.64%190M
-9.49%-1.14B
44.34%-1.04B
-202.85%-1.87B
-14.26%1.82B
345.10%2.13B
-326.37%-867M
-54.19%383M
353.33%836M
-414.29%-330M
Effect of exchange rate changes
-344.07%-144M
116.57%59M
-35,500.00%-356M
-100.57%-1M
120.25%174M
143.65%79M
-308.05%-181M
211.54%87M
57.84%-78M
-2,983.33%-185M
End cash Position
0.96%4.84B
-18.42%4.8B
-19.22%5.88B
-20.49%7.28B
27.89%9.15B
44.50%7.16B
-17.46%4.95B
8.50%6B
15.88%5.53B
-9.74%4.77B
Free cash flow
32.37%3.62B
-23.23%2.74B
-15.94%3.57B
-3.90%4.24B
33.61%4.41B
-7.38%3.3B
23.31%3.57B
4.29%2.89B
-0.14%2.77B
44.86%2.78B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities 1.59%5.64B4.96%5.55B-1.78%5.29B-9.22%5.38B12.55%5.93B-5.84%5.27B31.33%5.6B0.80%4.26B-4.02%4.23B21.76%4.4B
Net profit before non-cash adjustment -52.11%1.17B-14.05%2.44B-6.56%2.83B544.57%3.03B-114.40%-682M5.04%4.74B-47.08%4.51B46.56%8.52B53.43%5.81B3.05%3.79B
Total adjustment of non-cash items 26.41%5.3B11.43%4.19B40.74%3.76B-54.81%2.67B207.11%5.92B-6.73%1.93B152.73%2.07B-155.95%-3.92B-400.59%-1.53B-61.93%509M
-Depreciation and amortization 4.62%2.17B-1.42%2.08B-5.09%2.11B-8.49%2.22B0.87%2.43B10.16%2.41B122.63%2.18B3.81%981M-1.87%945M-4.37%963M
-Reversal of impairment losses recognized in profit and loss 10.98%475M62.74%428M-5.05%263M-53.13%277M217.74%591M-73.08%186M185.54%691M25.39%242M-72.35%193M108.36%698M
-Assets reserve and write-off 40.00%112M81.82%80M2.33%44M-2.27%43M18.92%44M-50.67%37M--75M------------
-Disposal profit 53.02%2.4B21.78%1.57B821.43%1.29B-95.06%140M465.94%2.84B18.25%-775M81.72%-948M-96.40%-5.19B-125.53%-2.64B-1,363.75%-1.17B
-Net exchange gains and losses 2,233.33%64M-105.45%-3M1,933.33%55M-116.67%-3M500.00%18M-83.33%3M-28.00%18M266.67%25M-130.00%-15M85.19%50M
-Remuneration paid in stock 0.00%12M100.00%12M500.00%6M-50.00%1M-50.00%2M-20.00%4M0.00%5M-44.44%5M-10.00%9M-9.09%10M
-Other non-cash items 123.08%58M750.00%26M33.33%-4M-100.00%-6M-104.62%-3M62.50%65M122.22%40M185.71%18M48.78%-21M-210.81%-41M
Changes in working capital 23.19%-828M17.58%-1.08B-306.21%-1.31B-146.20%-322M150.07%697M-42.48%-1.39B-186.51%-977M-520.00%-341M-151.40%-55M107.66%107M
-Change in receivables 144.30%311M38.90%-702M-80.09%-1.15B-156.16%-638M340.68%1.14B69.33%-472M-83.87%-1.54B8.72%-837M-2,451.28%-917M103.75%39M
-Change in inventory 216.44%673M44.74%-578M14.61%-1.05B-232.86%-1.23B740.28%922M51.52%-144M-21.22%-297M-226.67%-245M81.44%-75M10.02%-404M
-Change in payables -863.18%-1.82B-73.59%239M-41.31%905M210.30%1.54B-88.16%-1.4B-187.93%-743M-41.68%845M148.54%1.45B37.18%583M9.54%425M
-Provision for loans, leases and other losses 666.67%34M-185.71%-6M-50.00%7M-70.21%14M6.82%47M29.41%44M-46.03%34M-3.08%63M4.84%65M40.91%62M
-Changes in other current assets 29.03%-22M-24.00%-31M-66.67%-25M-50.00%-15M87.01%-10M-285.00%-77M97.41%-20M-366.78%-771M2,026.67%289M95.59%-15M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities) 10.87%979M-5.16%883M16.38%931M26.58%800M-44.22%632M20.28%1.13B-0.21%942M58.12%944M-5.84%597M-9.17%634M
Interest paid (cash flow from operating activities) -6.73%-809M-34.40%-758M1.57%-564M17.20%-573M8.83%-692M-18.04%-759M-99.07%-643M-11.76%-323M-8.24%-289M11.88%-267M
Interest received (cash flow from operating activities) 18.89%258M22.60%217M-8.76%177M-7.18%194M12.37%209M13.41%186M-4.65%164M26.47%172M0.00%136M-20.47%136M
Tax refund paid 18.44%-1.07B-29.92%-1.31B-38.19%-1.01B9.45%-728M16.60%-804M-6.87%-964M-19.31%-902M-7.39%-756M13.94%-704M1.33%-818M
Other operating cash inflow (outflow) 0000000000
Operating cash flow 9.05%5B-4.99%4.58B-4.94%4.83B-3.77%5.08B8.43%5.28B-5.66%4.87B19.99%5.16B8.34%4.3B-2.98%3.97B21.91%4.09B
Investing cash flow
Net PPE purchase and sale 20.36%-1.06B-53.16%-1.33B-64.27%-869M22.66%-529M46.23%-684M13.11%-1.27B-44.52%-1.46B-19.46%-1.01B23.26%-848M-4.94%-1.11B
Net intangibles purchase and sale -11.40%-127M24.50%-114M4.43%-151M-21.54%-158M41.96%-130M-460.00%-224M76.47%-40M-26.87%-170M7.59%-134M47.84%-145M
Net business purchase and sale 143.35%453M-352.38%-1.05B-117.09%-231M-63.12%1.35B255.58%3.67B141.61%1.03B-73.89%-2.48B-106.22%-1.43B64.83%-691M-362.35%-1.97B
Net investment property transactions -45.70%-220M-22.76%-151M-6.96%-123M97.53%-115M-2,618.71%-4.65B-3.01%-171M49.70%-166M-5.77%-330M-34.48%-312M0.00%-232M
Net investment product transactions 67.84%-164M-22.30%-510M-504.35%-417M-40.82%-69M-219.51%-49M108.69%41M43.94%-472M-389.53%-842M-218.62%-172M120.74%145M
Advance cash and loans provided to other parties 71.93%-112M50.25%-399M27.09%-802M-51.72%-1.1B29.27%-725M-3.54%-1.03B-16.06%-990M-953.09%-853M71.48%-81M-1,793.33%-284M
Repayment of advance payments to other parties and cash income from loans -76.17%259M--1.09B-----40.85%850M56.20%1.44B-3.36%920M44.68%952M276.00%658M-54.66%175M-19.75%386M
Investing cash flow 60.58%-971M5.01%-2.46B-1,222.51%-2.59B120.37%231M-62.00%-1.13B84.97%-700M-17.18%-4.66B-92.68%-3.98B35.53%-2.06B-38.95%-3.2B
Financing cash flow
Net issuance payments of debt -220.85%-481M703.03%398M-105.97%-66M169.51%1.11B-55.63%410M-40.66%924M4.57%1.56B399.66%1.49B1,762.50%298M-94.43%16M
Net common stock issuance 52.29%-104M-13.54%-218M66.95%-192M-6.22%-581M-68.31%-547M-242.11%-325M-11.76%-95M-8,600.00%-85M-50.00%1M0.00%2M
Increase or decrease of lease financing -2.45%-877M2.17%-856M2.13%-875M7.07%-894M5.31%-962M0.20%-1.02B---1.02B------------
Cash dividends paid 1.76%-447M-7.57%-455M-19.83%-423M9.95%-353M2.00%-392M-9.29%-400M-8.28%-366M-4.97%-338M8.52%-322M-2.62%-352M
Cash dividends for minorities 37.36%-1.28B-104.93%-2.04B-48.58%-994M20.36%-669M12.86%-840M-6.87%-964M-9.47%-902M-5.24%-824M13.58%-783M3.62%-906M
Net other fund-raising expenses -587.37%-653M86.90%-95M87.48%-725M-48,341.67%-5.79B104.63%12M52.21%-259M-197.80%-542M30.53%-182M-1,347.62%-262M-56.25%21M
Financing cash flow -17.62%-3.84B0.37%-3.26B54.39%-3.28B-209.66%-7.18B-13.68%-2.32B-49.34%-2.04B-2,376.67%-1.37B105.62%60M12.39%-1.07B-28.86%-1.22B
Net cash flow
Beginning cash position -18.42%4.8B-19.22%5.88B-20.49%7.28B27.89%9.15B44.50%7.16B-17.46%4.95B8.50%6B15.88%5.53B-9.74%4.77B1.91%5.29B
Current changes in cash 116.64%190M-9.49%-1.14B44.34%-1.04B-202.85%-1.87B-14.26%1.82B345.10%2.13B-326.37%-867M-54.19%383M353.33%836M-414.29%-330M
Effect of exchange rate changes -344.07%-144M116.57%59M-35,500.00%-356M-100.57%-1M120.25%174M143.65%79M-308.05%-181M211.54%87M57.84%-78M-2,983.33%-185M
End cash Position 0.96%4.84B-18.42%4.8B-19.22%5.88B-20.49%7.28B27.89%9.15B44.50%7.16B-17.46%4.95B8.50%6B15.88%5.53B-9.74%4.77B
Free cash flow 32.37%3.62B-23.23%2.74B-15.94%3.57B-3.90%4.24B33.61%4.41B-7.38%3.3B23.31%3.57B4.29%2.89B-0.14%2.77B44.86%2.78B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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Warren Buffett Portfolio Warren Buffett Portfolio

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