Dec 24 | Dec 23 | Dec 22 | Dec 21 | Dec 20 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | S$ 244.82M | S$ 232.06M | S$ 182.09M | S$ 141.18M | S$ 111.03M |
Gross Profit | S$ 134.09M | S$ 134.89M | S$ 98.57M | S$ 73.64M | S$ 48.83M |
Operating Income | S$ 63.84M | S$ 64.01M | S$ 43.38M | S$ 24.70M | S$ 13.93M |
EBITDA | S$ 250.11M | S$ 233.49M | S$ 49.06M | S$ 31.16M | S$ 20.47M |
Net Income | S$ 228.27M | S$ 216.57M | S$ 148.32M | S$ 110.10M | S$ 119.77M |
Balance Sheet | |||||
Cash & Short-Term Investments | S$ 3.93B | S$ 3.21B | S$ 334.27M | S$ 596.23M | S$ 554.41M |
Total Assets | S$ 4.28B | S$ 3.59B | S$ 3.65B | S$ 3.28B | S$ 2.95B |
Total Debt | S$ 36.30M | S$ 28.48M | S$ 29.20M | S$ 762.00K | S$ 892.00K |
Net Debt | S$ -709.49M | S$ -545.53M | S$ -305.07M | S$ -595.46M | S$ -553.52M |
Total Liabilities | S$ 128.47M | S$ 117.17M | S$ 101.41M | S$ 72.08M | S$ 64.00M |
Stockholders' Equity | S$ 4.15B | S$ 3.48B | S$ 3.55B | S$ 3.21B | S$ 2.89B |
Cash Flow | |||||
Free Cash Flow | S$ 50.33M | S$ 54.92M | S$ 21.21M | S$ 14.46M | S$ 17.49M |
Operating Cash Flow | S$ 53.79M | S$ 62.68M | S$ 40.94M | S$ 18.84M | S$ 25.03M |
Investing Cash Flow | S$ 199.82M | S$ 258.00M | S$ -261.58M | S$ 87.52M | S$ 138.09M |
Financing Cash Flow | S$ -82.79M | S$ -79.30M | S$ -38.07M | S$ -65.11M | S$ -73.80M |