Dec 25 | Dec 24 | Dec 23 | Dec 22 | Dec 21 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | S$ 206.54M | S$ 220.91M | S$ 205.52M | S$ 101.66M | S$ 78.18M |
Gross Profit | S$ 127.49M | S$ 149.86M | S$ 135.13M | S$ 70.87M | S$ 53.68M |
Operating Income | S$ 127.49M | S$ 143.52M | S$ 133.41M | S$ 146.27M | S$ 1.55M |
EBITDA | S$ 139.09M | S$ 131.73M | S$ 131.94M | S$ 146.27M | S$ 1.55M |
Net Income | S$ 70.89M | S$ 77.18M | S$ 99.57M | S$ 141.93M | S$ -1.94M |
Balance Sheet | |||||
Cash & Short-Term Investments | S$ 41.59M | S$ 34.12M | S$ 54.22M | S$ 49.23M | S$ 249.26M |
Total Assets | S$ 3.91B | S$ 3.83B | S$ 3.83B | S$ 3.70B | S$ 1.74B |
Total Debt | S$ 1.64B | S$ 1.54B | S$ 1.91B | S$ 1.45B | S$ 545.09M |
Net Debt | S$ 1.60B | S$ 1.50B | S$ 1.86B | S$ 1.40B | S$ 295.83M |
Total Liabilities | S$ 1.76B | S$ 1.62B | S$ 2.00B | S$ 1.52B | S$ 580.32M |
Stockholders' Equity | S$ 2.15B | S$ 2.21B | S$ 1.83B | S$ 2.17B | S$ 1.16B |
Cash Flow | |||||
Free Cash Flow | S$ 147.40M | S$ 121.16M | S$ 120.56M | S$ 90.75M | S$ 65.04M |
Operating Cash Flow | S$ 162.65M | S$ 128.81M | S$ 120.72M | S$ 95.23M | S$ 66.51M |
Investing Cash Flow | S$ -11.16M | S$ 475.00K | S$ -93.36M | S$ -1.85B | S$ -47.29M |
Financing Cash Flow | S$ -145.01M | S$ -149.26M | S$ -22.21M | S$ 1.55B | S$ 145.83M |