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TPED PTTEP TH SDR 1to1

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  • 4.860
  • 0.0000.00%
10min DelayNot Open Dec 16 11:40 CST
19.29BMarket Cap6.18P/E (TTM)

PTTEP TH SDR 1to1 Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
1,874.69%58.23B
271.63%42.99B
24.45%62.1B
-8.21%151.85B
-0.49%50.09B
-10.85%2.95B
-26.49%11.57B
22.60%49.9B
50.31%165.44B
49.23%50.33B
Net income from continuing operations
839.78%29.12B
13.53%38.96B
-10.34%33.6B
-1.95%140.41B
0.16%33.47B
-1.81%3.1B
-17.59%34.32B
39.05%37.48B
78.12%143.2B
30.74%33.42B
Operating gains losses
2,264.40%97.46M
-345.78%-241.67M
-90.58%214.07M
291.78%918.33M
401.25%1.07B
-127.97%-4.5M
-85.47%98.33M
780.44%2.27B
296.68%234.4M
29.35%-354.84M
Depreciation and amortization
1,398.26%25.18B
36.16%26.29B
34.05%22.23B
-2.22%81.32B
-1.57%23.3B
-1.89%1.68B
-0.68%19.31B
-2.95%16.58B
18.31%83.17B
68.55%23.67B
Asset impairment expenditure
1,567.60%1.52B
59,496.98%1.04B
341.70%749.18M
-44.24%6.6B
-48.14%3.46B
-35.45%90.94M
-112.78%-1.76M
73.50%169.61M
-8.13%11.83B
-4.16%6.68B
Unrealized gains and losses of investment securities
2,691.22%973.45M
67.93%-676.99M
-41.28%268.48M
-117.18%-505.35M
-68.42%827.97M
-249.79%-37.57M
-21.33%-2.11B
-93.10%457.26M
446.06%2.94B
179.33%2.62B
Other non cashItems
720.49%1.02B
-21.14%947.26M
-25.76%1.18B
-69.41%2.78B
-147.85%-1.51B
-27.20%124.58M
-40.89%1.2B
-6.07%1.58B
232.30%9.09B
422.90%3.16B
Change In working capital
2,696.72%14.46B
96.17%-332.52M
3,152.51%10.22B
25.41%-22.09B
70.30%-2.88B
3.45%-556.92M
40.90%-8.69B
94.29%-334.78M
-107.10%-29.62B
-242.09%-9.68B
-Change in receivables
17,518.82%17.66B
-759.55%-4.01B
49.53%14.5B
56.83%-3.05B
107.80%449.83M
-170.93%-101.4M
129.84%607.53M
955.93%9.69B
3.74%-7.06B
-172.90%-5.77B
-Change in inventory
-476.51%-317.3M
84.74%-235.47M
264.71%467.14M
62.16%-1.79B
104.30%105.16M
17.18%-55.04M
-47.54%-1.54B
-763.83%-283.62M
-145.98%-4.74B
-982.12%-2.44B
-Change in payables and accrued expense
-194.32%-408.43M
436.77%4.12B
55.88%-2.38B
-324.16%-4.36B
-52.25%423.25M
-552.12%-138.77M
-202.89%-1.22B
-112.03%-5.39B
-50.82%1.95B
-42.89%886.37M
-Change in other current assets
-6,451.97%-522.51M
-163.17%-1.15B
51.50%-1.3B
91.76%-599.47M
21.33%-883.25M
104.62%8.23M
135.49%1.82B
-150.41%-2.67B
-75.67%-7.27B
36.87%-1.12B
-Change in other current liabilities
-5,919.79%-548.1M
223.21%1.64B
-6.63%-451.54M
83.82%-426.96M
-121.31%-112.85M
90.07%-9.11M
52.03%-1.34B
-213.33%-423.46M
-413.24%-2.64B
252.61%529.66M
-Change in other working capital
-438.38%-1.4B
89.99%-702.18M
50.93%-618.53M
-20.37%-11.86B
-61.94%-2.86B
-11.49%-260.83M
-43.11%-7.02B
17.89%-1.26B
-126.83%-9.85B
-2,242.22%-1.76B
Interest received (cash flow from operating activities)
1,183.38%1.2B
72.17%2.47B
77.11%1.51B
370.95%4.55B
110.35%1.32B
852.50%93.8M
1,255.10%1.44B
1,489.56%851.59M
341.90%967.11M
1,549.01%626.79M
Tax refund paid
-895.86%-15.34B
25.05%-25.48B
14.14%-7.87B
-10.23%-62.13B
8.48%-8.97B
-14.36%-1.54B
-6.07%-33.99B
-63.30%-9.16B
-78.52%-56.37B
-86.05%-9.8B
Cash from discontinued investing activities
Operating cash flow
1,874.69%58.23B
271.63%42.99B
24.45%62.1B
-8.21%151.85B
-0.49%50.09B
-10.85%2.95B
-24.98%11.57B
22.60%49.9B
50.31%165.44B
49.23%50.33B
Investing cash flow
Cash flow from continuing investing activities
-1,232.91%-27.01B
-169.60%-67.24B
26.22%-17.82B
-39.07%-82.45B
41.37%-12.54B
-84.76%-2.03B
-277.61%-24.94B
-83.83%-24.16B
51.81%-59.29B
-11.78%-21.39B
Net PPE purchase and sale
-1,567.40%-29.59B
-21.77%-24.09B
1.64%-21.83B
-26.38%-82.27B
-0.06%-21.04B
-39.18%-1.77B
-49.77%-19.78B
-74.15%-22.2B
-24.04%-65.09B
-27.00%-21.03B
Net intangibles purchas and sale
-1,969.99%-320.08M
-6.50%-178.78M
-23.38%-152.14M
15.51%-918.64M
-9.83%-385.17M
27.45%-15.46M
-273.69%-167.86M
55.76%-123.31M
-17.16%-1.09B
-243.39%-350.68M
Net business purchase and sale
-2,492.52%-140.33M
----
----
72.45%6.65B
3,958.80%6.84B
-104.64%-5.41M
----
----
105.10%3.86B
93.93%-177.2M
Net investment purchase and sale
411.83%808.57M
108.88%451.26M
290.16%3.94B
---7.05B
--1.89B
---259.3M
---5.08B
---2.07B
--0
--0
Dividends received (cash flow from investment activities)
1,538.04%722.12M
42.74%588.66M
6.57%364.12M
-13.89%1.84B
-14.51%316.04M
-13.62%44.08M
-35.22%412.41M
12.22%341.67M
64.00%2.13B
-1.18%369.69M
Interest received (cash flow from investment activities)
8,526.03%83.85M
729.74%45.9M
29,396.02%125.95M
54.81%41.83M
1,016.17%8.28M
27.89%972K
-56.90%5.53M
-96.62%427K
-70.40%27.02M
-43.10%742K
Net other investing changes
8,745.75%1.43B
-26,644.18%-40.65B
-143.45%-265.45M
-184.47%-739.56M
16.09%-169.71M
-152.96%-16.52M
-124.36%-152.01M
50.27%-109.04M
-39.74%875.55M
-995.22%-202.25M
Cash from discontinued investing activities
Investing cash flow
-1,232.91%-27.01B
-169.60%-67.24B
26.22%-17.82B
-39.07%-82.45B
41.37%-12.54B
-84.76%-2.03B
-242.61%-24.94B
-83.83%-24.16B
51.81%-59.29B
-11.78%-21.39B
Financing cash flow
Cash flow from continuing financing activities
-1,409.10%-21.17B
0.11%-25.33B
-17.77%-2.73B
26.62%-51.42B
83.43%-4.2B
-9.56%-1.4B
-4.11%-25.36B
-52.45%-2.32B
-215.64%-70.07B
-1,204.63%-25.36B
Net issuance payments of debt
-1,211.06%-2.97B
32.86%-2.44B
-28.62%-2.42B
70.93%-10.03B
90.35%-2.22B
31.85%-226.34M
58.56%-3.63B
-58.23%-1.88B
-2,199.16%-34.5B
-621.08%-23.02B
Net common stock issuance
--0
-51.05%58.5M
--100.01M
--121.41M
--791K
--3.5M
--119.51M
--0
--0
--0
Cash dividends paid
-1,525.85%-17.86B
-5.00%-20.84B
--0
-27.59%-36.72B
--0
-34.08%-1.1B
-66.67%-19.85B
--0
-48.92%-28.78B
--0
Interest paid (cash flow from financing activities)
-322.97%-339.86M
-7.45%-2.11B
6.24%-407.56M
8.63%-4.75B
14.53%-1.98B
3.73%-80.35M
8.57%-1.97B
-31.60%-434.69M
-13.85%-5.2B
-22.09%-2.32B
Net other financing activities
----
----
----
97.69%-36.8M
83.83%-3.14M
97.85%-976K
----
----
-3,304.27%-1.59B
---19.39M
Cash from discontinued financing activities
Financing cash flow
-1,409.10%-21.17B
0.11%-25.33B
-17.77%-2.73B
26.62%-51.42B
83.43%-4.2B
-9.56%-1.4B
-4.11%-25.36B
-52.45%-2.32B
-215.64%-70.07B
-1,204.63%-25.36B
Net cash flow
Beginning cash position
3,805.70%138.23B
29.95%187.95B
12.44%137.54B
43.02%122.32B
-14.78%111B
38.29%3.54B
29.82%144.63B
43.02%122.32B
-23.13%85.53B
91.97%130.25B
Current changes in cash
2,193.52%10.05B
-28.01%-49.59B
77.36%41.55B
-50.16%17.99B
828.12%33.35B
-151.60%-480.23M
-143.52%-38.74B
-10.05%23.43B
202.68%36.09B
-78.73%3.59B
Effect of exchange rate changes
-73,811.58%-16.87B
-104.25%-134.75M
893.77%8.86B
-491.10%-2.77B
40.93%-6.8B
57.56%-22.83M
-10.72%3.17B
-609.66%-1.12B
-92.48%708.25M
-1,563.42%-11.52B
End cash Position
4,228.30%131.41B
26.74%138.23B
29.95%187.95B
12.44%137.54B
12.44%137.54B
-11.64%3.04B
10.11%109.07B
29.82%144.63B
43.02%122.32B
43.02%122.32B
Free cash from
2,343.99%28.32B
323.43%18.72B
45.44%40.12B
-30.82%68.67B
-1.01%28.67B
-42.39%1.16B
-462.93%-8.38B
-0.35%27.58B
75.17%99.26B
69.63%28.96B
Currency Unit
THB
THB
THB
THB
THB
THB
THB
THB
THB
THB
(Q3)Sep 30, 2024 (Q2)Jun 30, 2024 (Q1)Mar 31, 2024 (FY)Dec 31, 2023 (Q4)Dec 31, 2023 (Q3)Sep 30, 2023 (Q2)Jun 30, 2023 (Q1)Mar 31, 2023 (FY)Dec 31, 2022 (Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 1,874.69%58.23B 271.63%42.99B 24.45%62.1B -8.21%151.85B -0.49%50.09B -10.85%2.95B -26.49%11.57B 22.60%49.9B 50.31%165.44B 49.23%50.33B
Net income from continuing operations 839.78%29.12B 13.53%38.96B -10.34%33.6B -1.95%140.41B 0.16%33.47B -1.81%3.1B -17.59%34.32B 39.05%37.48B 78.12%143.2B 30.74%33.42B
Operating gains losses 2,264.40%97.46M -345.78%-241.67M -90.58%214.07M 291.78%918.33M 401.25%1.07B -127.97%-4.5M -85.47%98.33M 780.44%2.27B 296.68%234.4M 29.35%-354.84M
Depreciation and amortization 1,398.26%25.18B 36.16%26.29B 34.05%22.23B -2.22%81.32B -1.57%23.3B -1.89%1.68B -0.68%19.31B -2.95%16.58B 18.31%83.17B 68.55%23.67B
Asset impairment expenditure 1,567.60%1.52B 59,496.98%1.04B 341.70%749.18M -44.24%6.6B -48.14%3.46B -35.45%90.94M -112.78%-1.76M 73.50%169.61M -8.13%11.83B -4.16%6.68B
Unrealized gains and losses of investment securities 2,691.22%973.45M 67.93%-676.99M -41.28%268.48M -117.18%-505.35M -68.42%827.97M -249.79%-37.57M -21.33%-2.11B -93.10%457.26M 446.06%2.94B 179.33%2.62B
Other non cashItems 720.49%1.02B -21.14%947.26M -25.76%1.18B -69.41%2.78B -147.85%-1.51B -27.20%124.58M -40.89%1.2B -6.07%1.58B 232.30%9.09B 422.90%3.16B
Change In working capital 2,696.72%14.46B 96.17%-332.52M 3,152.51%10.22B 25.41%-22.09B 70.30%-2.88B 3.45%-556.92M 40.90%-8.69B 94.29%-334.78M -107.10%-29.62B -242.09%-9.68B
-Change in receivables 17,518.82%17.66B -759.55%-4.01B 49.53%14.5B 56.83%-3.05B 107.80%449.83M -170.93%-101.4M 129.84%607.53M 955.93%9.69B 3.74%-7.06B -172.90%-5.77B
-Change in inventory -476.51%-317.3M 84.74%-235.47M 264.71%467.14M 62.16%-1.79B 104.30%105.16M 17.18%-55.04M -47.54%-1.54B -763.83%-283.62M -145.98%-4.74B -982.12%-2.44B
-Change in payables and accrued expense -194.32%-408.43M 436.77%4.12B 55.88%-2.38B -324.16%-4.36B -52.25%423.25M -552.12%-138.77M -202.89%-1.22B -112.03%-5.39B -50.82%1.95B -42.89%886.37M
-Change in other current assets -6,451.97%-522.51M -163.17%-1.15B 51.50%-1.3B 91.76%-599.47M 21.33%-883.25M 104.62%8.23M 135.49%1.82B -150.41%-2.67B -75.67%-7.27B 36.87%-1.12B
-Change in other current liabilities -5,919.79%-548.1M 223.21%1.64B -6.63%-451.54M 83.82%-426.96M -121.31%-112.85M 90.07%-9.11M 52.03%-1.34B -213.33%-423.46M -413.24%-2.64B 252.61%529.66M
-Change in other working capital -438.38%-1.4B 89.99%-702.18M 50.93%-618.53M -20.37%-11.86B -61.94%-2.86B -11.49%-260.83M -43.11%-7.02B 17.89%-1.26B -126.83%-9.85B -2,242.22%-1.76B
Interest received (cash flow from operating activities) 1,183.38%1.2B 72.17%2.47B 77.11%1.51B 370.95%4.55B 110.35%1.32B 852.50%93.8M 1,255.10%1.44B 1,489.56%851.59M 341.90%967.11M 1,549.01%626.79M
Tax refund paid -895.86%-15.34B 25.05%-25.48B 14.14%-7.87B -10.23%-62.13B 8.48%-8.97B -14.36%-1.54B -6.07%-33.99B -63.30%-9.16B -78.52%-56.37B -86.05%-9.8B
Cash from discontinued investing activities
Operating cash flow 1,874.69%58.23B 271.63%42.99B 24.45%62.1B -8.21%151.85B -0.49%50.09B -10.85%2.95B -24.98%11.57B 22.60%49.9B 50.31%165.44B 49.23%50.33B
Investing cash flow
Cash flow from continuing investing activities -1,232.91%-27.01B -169.60%-67.24B 26.22%-17.82B -39.07%-82.45B 41.37%-12.54B -84.76%-2.03B -277.61%-24.94B -83.83%-24.16B 51.81%-59.29B -11.78%-21.39B
Net PPE purchase and sale -1,567.40%-29.59B -21.77%-24.09B 1.64%-21.83B -26.38%-82.27B -0.06%-21.04B -39.18%-1.77B -49.77%-19.78B -74.15%-22.2B -24.04%-65.09B -27.00%-21.03B
Net intangibles purchas and sale -1,969.99%-320.08M -6.50%-178.78M -23.38%-152.14M 15.51%-918.64M -9.83%-385.17M 27.45%-15.46M -273.69%-167.86M 55.76%-123.31M -17.16%-1.09B -243.39%-350.68M
Net business purchase and sale -2,492.52%-140.33M ---- ---- 72.45%6.65B 3,958.80%6.84B -104.64%-5.41M ---- ---- 105.10%3.86B 93.93%-177.2M
Net investment purchase and sale 411.83%808.57M 108.88%451.26M 290.16%3.94B ---7.05B --1.89B ---259.3M ---5.08B ---2.07B --0 --0
Dividends received (cash flow from investment activities) 1,538.04%722.12M 42.74%588.66M 6.57%364.12M -13.89%1.84B -14.51%316.04M -13.62%44.08M -35.22%412.41M 12.22%341.67M 64.00%2.13B -1.18%369.69M
Interest received (cash flow from investment activities) 8,526.03%83.85M 729.74%45.9M 29,396.02%125.95M 54.81%41.83M 1,016.17%8.28M 27.89%972K -56.90%5.53M -96.62%427K -70.40%27.02M -43.10%742K
Net other investing changes 8,745.75%1.43B -26,644.18%-40.65B -143.45%-265.45M -184.47%-739.56M 16.09%-169.71M -152.96%-16.52M -124.36%-152.01M 50.27%-109.04M -39.74%875.55M -995.22%-202.25M
Cash from discontinued investing activities
Investing cash flow -1,232.91%-27.01B -169.60%-67.24B 26.22%-17.82B -39.07%-82.45B 41.37%-12.54B -84.76%-2.03B -242.61%-24.94B -83.83%-24.16B 51.81%-59.29B -11.78%-21.39B
Financing cash flow
Cash flow from continuing financing activities -1,409.10%-21.17B 0.11%-25.33B -17.77%-2.73B 26.62%-51.42B 83.43%-4.2B -9.56%-1.4B -4.11%-25.36B -52.45%-2.32B -215.64%-70.07B -1,204.63%-25.36B
Net issuance payments of debt -1,211.06%-2.97B 32.86%-2.44B -28.62%-2.42B 70.93%-10.03B 90.35%-2.22B 31.85%-226.34M 58.56%-3.63B -58.23%-1.88B -2,199.16%-34.5B -621.08%-23.02B
Net common stock issuance --0 -51.05%58.5M --100.01M --121.41M --791K --3.5M --119.51M --0 --0 --0
Cash dividends paid -1,525.85%-17.86B -5.00%-20.84B --0 -27.59%-36.72B --0 -34.08%-1.1B -66.67%-19.85B --0 -48.92%-28.78B --0
Interest paid (cash flow from financing activities) -322.97%-339.86M -7.45%-2.11B 6.24%-407.56M 8.63%-4.75B 14.53%-1.98B 3.73%-80.35M 8.57%-1.97B -31.60%-434.69M -13.85%-5.2B -22.09%-2.32B
Net other financing activities ---- ---- ---- 97.69%-36.8M 83.83%-3.14M 97.85%-976K ---- ---- -3,304.27%-1.59B ---19.39M
Cash from discontinued financing activities
Financing cash flow -1,409.10%-21.17B 0.11%-25.33B -17.77%-2.73B 26.62%-51.42B 83.43%-4.2B -9.56%-1.4B -4.11%-25.36B -52.45%-2.32B -215.64%-70.07B -1,204.63%-25.36B
Net cash flow
Beginning cash position 3,805.70%138.23B 29.95%187.95B 12.44%137.54B 43.02%122.32B -14.78%111B 38.29%3.54B 29.82%144.63B 43.02%122.32B -23.13%85.53B 91.97%130.25B
Current changes in cash 2,193.52%10.05B -28.01%-49.59B 77.36%41.55B -50.16%17.99B 828.12%33.35B -151.60%-480.23M -143.52%-38.74B -10.05%23.43B 202.68%36.09B -78.73%3.59B
Effect of exchange rate changes -73,811.58%-16.87B -104.25%-134.75M 893.77%8.86B -491.10%-2.77B 40.93%-6.8B 57.56%-22.83M -10.72%3.17B -609.66%-1.12B -92.48%708.25M -1,563.42%-11.52B
End cash Position 4,228.30%131.41B 26.74%138.23B 29.95%187.95B 12.44%137.54B 12.44%137.54B -11.64%3.04B 10.11%109.07B 29.82%144.63B 43.02%122.32B 43.02%122.32B
Free cash from 2,343.99%28.32B 323.43%18.72B 45.44%40.12B -30.82%68.67B -1.01%28.67B -42.39%1.16B -462.93%-8.38B -0.35%27.58B 75.17%99.26B 69.63%28.96B
Currency Unit THB THB THB THB THB THB THB THB THB THB
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Singapore's high dividend stocks offer a compelling investment opportunity for those seeking to generate regular income while participating in the potential growth of some of the region's most stable companies. By understanding the benefits and challenges associated with these stocks and conducting thorough research before investing, individuals can effectively incorporate high dividend stocks into their investment strategy. Always consider consulting with financial advisors to tailor investments to your personal financial goals and risk tolerance. With the right approach, high dividend stocks can be a valuable addition to a well-rounded investment portfolio. Singapore's high dividend stocks offer a compelling investment opportunity for those seeking to generate regular income while participating in the potential growth of some of the region's most stable companies. By understanding the benefits and challenges associated with these stocks and conducting thorough research before investing, individuals can effectively incorporate high dividend stocks into their investment strategy. Always consider consulting with financial advisors to tailor investments to your personal financial goals and risk tolerance. With the right approach, high dividend stocks can be a valuable addition to a well-rounded investment portfolio.