SG Stock MarketDetailed Quotes

TQ5 Frasers Property

Watchlist
  • 0.930
  • 0.0000.00%
10min DelayMarket Closed Dec 31 11:38 CST
3.65BMarket Cap22.14P/E (TTM)

Frasers Property Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Sep 30, 2024
(FY)Sep 30, 2023
(FY)Sep 30, 2022
(FY)Sep 30, 2021
(FY)Sep 30, 2020
(Q2)Mar 31, 2020
(Q1)Dec 31, 2019
(FY)Sep 30, 2019
(Q4)Sep 30, 2019
(Q3)Jun 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities
-6.48%1.57B
26.24%1.68B
-12.95%1.33B
571.79%1.52B
-85.47%226.93M
-96.08%30.31M
-136.88%-143.44M
134.00%1.56B
-105.50%-40.3M
-42.80%440.65M
Net profit before non-cash adjustment
76.24%519.51M
-83.36%294.77M
13.05%1.77B
201.98%1.57B
-51.38%518.79M
-13.76%158.45M
16.78%249.67M
-10.03%1.07B
-58.88%253.41M
58.87%416.06M
Total adjustment of non-cash items
-19.56%696.29M
245.53%865.62M
-18.09%-594.79M
-168.81%-503.66M
836.86%731.94M
-230.45%-116.89M
44.21%189.26M
157.93%78.13M
146.85%128.25M
-672.69%-244.23M
-Depreciation and amortization
-0.52%79.62M
-9.78%80.03M
-4.99%88.71M
1.32%93.37M
50.83%92.16M
56.05%22.79M
52.63%22.05M
4.04%61.1M
4.37%17.1M
2.44%14.95M
-Reversal of impairment losses recognized in profit and loss
157.28%23.67M
61.89%-41.33M
-184.20%-108.44M
-34.97%128.79M
0.95%198.06M
--0
-122.22%-4K
4.89%196.19M
4.75%195.62M
-45.29%93K
-Assets reserve and write-off
----
----
----
----
415.24%7.23M
1,643.18%767K
224.24%963K
1,547.42%1.4M
8.92%635K
174.96%428K
-Share of associates
-88.51%-284.49M
-39.33%-150.92M
30.46%-108.32M
29.40%-155.77M
23.13%-220.65M
27.90%-22.85M
-18.54%-38.52M
-20.03%-287.06M
-20.17%-137.33M
-105.70%-85.54M
-Disposal profit
-47.36%288.59M
148.51%548.19M
-8.97%-1.13B
-923.04%-1.04B
82.37%-101.37M
338.95%34.17M
146.77%12.51M
16.24%-574.94M
57.77%-252.37M
-248.08%-281.52M
-Net exchange gains and losses
14.11%-95.11M
-238.32%-110.73M
319.92%80.06M
-561.32%-36.4M
21.61%7.89M
-1,240.39%-325.18M
-987.81%-42.25M
105.66%6.49M
150.92%29.98M
-137.83%-3.99M
-Remuneration paid in stock
30.27%26.63M
-26.10%20.44M
36.75%27.66M
-0.02%20.23M
2.39%20.24M
80.36%7.99M
-30.37%4.12M
4.67%19.76M
-33.20%4.48M
140.09%4.94M
-Deferred income tax
25.37%132.88M
-70.43%105.98M
-22.22%358.42M
61.04%460.79M
-0.00%286.13M
23.87%59.73M
50.22%120.48M
-16.10%286.14M
-18.69%154.7M
-56.19%29.75M
-Other non-cash items
26.71%524.51M
109.94%413.94M
781.79%197.17M
-94.94%22.36M
19.84%442.25M
14.76%105.7M
29.54%109.92M
23.15%369.05M
19.87%115.43M
8.88%76.66M
Changes in working capital
-31.85%350.95M
241.50%514.94M
-67.33%150.79M
145.08%461.5M
-345.65%-1.02B
-102.25%-11.25M
-1,425.83%-582.37M
208.64%416.78M
-208.14%-421.96M
-42.29%268.82M
-Change in receivables
221.25%48.31M
92.31%-39.85M
-801.83%-517.94M
-29.74%73.8M
244.92%105.03M
-97.59%8.24M
145.47%197.86M
110.10%30.45M
267.14%346.71M
27.40%-107.73M
-Change in inventory
34.79%379.52M
-12.86%281.57M
-10.01%323.13M
137.72%359.08M
-3,279.09%-952.04M
115.29%117.42M
-187.65%-411.11M
108.80%29.95M
-326.81%-592.82M
-111.09%-42.36M
-Change in payables
-7.10%154.65M
-25.83%166.46M
153.94%224.43M
12.14%88.38M
-70.97%78.81M
-230.95%-72.39M
-90.97%-166.22M
82.49%271.49M
-247.22%-260.75M
80.52%418.91M
-Changes in other current assets
-316.89%-231.53M
-11.89%106.75M
302.75%121.16M
76.62%-59.76M
-401.08%-255.6M
-234.31%-64.52M
-309.08%-202.9M
-22.47%84.9M
----
----
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
-170.80%-322.56M
16.61%-119.11M
14.98%-142.85M
25.76%-168.01M
-18.86%-226.32M
-22.12%-102.14M
12.57%-23.41M
-24.14%-190.41M
18.84%-34.39M
-15.01%-45.6M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-20.05%1.24B
31.41%1.56B
-12.69%1.18B
221,904.91%1.36B
-99.96%611K
-110.42%-71.82M
-146.07%-166.86M
166.78%1.37B
-110.82%-74.69M
-45.93%395.05M
Investing cash flow
Net PPE purchase and sale
52.41%-58.63M
-155.85%-123.2M
2,229.95%220.6M
67.07%-10.36M
9.98%-31.46M
118.72%1.43M
-135.39%-16.22M
57.88%-34.94M
64.34%-11.19M
51.23%-9.23M
Net intangibles purchase and sale
-30.21%-5M
-31.78%-3.84M
53.15%-2.91M
2.32%-6.22M
0.98%-6.37M
-304.72%-429K
-5,292.31%-701K
-12.90%-6.43M
-44.15%-6.1M
46.70%-210K
Net business purchase and sale
70.95%-233.22M
-108.21%-802.75M
-8.82%-385.54M
83.27%-354.3M
-6.83%-2.12B
-27,958.43%-223.15M
-128.26%-295.1M
-79.12%-1.98B
-349.97%-1.85B
-104.54%-8.18M
Net investment property transactions
38.54%-453.34M
-3,287.66%-737.56M
93.09%-21.77M
-351.68%-315.13M
-132.63%-69.77M
-98.37%2.32M
-193.90%-72.45M
124.91%213.8M
-62.77%112.8M
71.32%-118.46M
Net investment product transactions
-9.52%-30.91M
28.60%-28.22M
-116.14%-39.53M
12.93%244.85M
233.59%216.82M
2,384.05%261.57M
142.61%32.37M
27.65%-162.31M
94.29%-15.18M
59.83%-59.69M
Advance cash and loans provided to other parties
----
----
----
----
----
87.09%-60.94M
-146.84%-63.83M
----
----
---1.07B
Repayment of advance payments to other parties and cash income from loans
--210.7M
----
----
510.55%133.22M
249.46%21.82M
----
--63.54M
-83.99%6.24M
--5.3M
-99.98%26K
Dividends received (cash flow from investment activities)
1.91%128.38M
-42.17%125.97M
140.67%217.85M
-62.99%90.52M
192.48%244.56M
-64.18%10.4M
247.62%44.73M
-57.62%83.61M
-86.68%16.22M
-35.94%25.48M
Interest received (cash flow from investment activities)
1.65%103M
65.83%101.33M
-13.70%61.11M
7.49%70.81M
-6.22%65.87M
-2.13%15.04M
152.74%14.47M
122.45%70.24M
141.04%28.39M
145.01%20.76M
Net changes in other investments
----
----
----
----
----
--12.75M
--24.2M
--66.49M
----
----
Investing cash flow
76.91%-339.02M
-3,048.45%-1.47B
133.97%49.8M
91.25%-146.61M
3.98%-1.68B
106.27%18.99M
-89.05%-268.98M
13.16%-1.75B
62.56%-78.99M
-398.67%-1.22B
Financing cash flow
Net issuance payments of debt
8.63%805.64M
215.27%741.65M
62.40%-643.38M
-170.45%-1.71B
47.93%2.43B
210.80%1.36B
290.75%994.57M
-1.01%1.64B
638.79%365.62M
712.70%585.09M
Net common stock issuance
----
----
----
--1.16B
----
----
----
----
----
----
Increase or decrease of lease financing
3.21%-59.69M
15.04%-61.67M
-54.10%-72.58M
0.62%-47.1M
---47.4M
---9.12M
---15.81M
--0
----
----
Issuance fees
---3.36M
--0
----
-9,665.59%-9.08M
99.15%-93K
--0
-38.81%-93K
-58.96%-10.92M
-530.00%-4.54M
-36.38%-6.23M
Cash dividends paid
-50.00%-176.67M
-50.00%-117.78M
-78.46%-78.52M
58.23%-44M
58.05%-105.32M
41.81%-105.32M
----
-0.26%-251.08M
--0
-0.26%-70.07M
Cash dividends for minorities
3.98%-377.68M
-9.99%-393.33M
1.59%-357.61M
-20.35%-363.4M
2.33%-301.96M
-73.56%-62.43M
-19.44%-134.24M
-14.42%-309.18M
30.66%-30.78M
-28.33%-130.04M
Interest paid (cash flow from financing activities)
-23.59%-598.02M
-31.51%-483.89M
9.94%-367.94M
16.33%-408.54M
-14.75%-488.26M
-8.87%-122.84M
-51.48%-126.45M
-29.44%-425.51M
3.51%-106.38M
-64.84%-122.82M
Net other fund-raising expenses
-16.86%-437.03M
-610.50%-373.97M
-106.07%-52.64M
656.19%866.95M
-84.36%114.65M
-2,119.79%-724.07M
-285.33%-17.66M
-0.59%733.05M
7.53%-32.86M
116.63%803.11M
Financing cash flow
-22.91%-846.82M
56.19%-688.99M
-182.18%-1.57B
-134.83%-557.32M
16.12%1.6B
349.89%332.92M
1,196.60%700.32M
-10.49%1.38B
173.84%191.06M
4,146.03%1.06B
Net cash flow
Beginning cash position
-19.96%2.66B
-12.07%3.32B
22.44%3.78B
-0.65%3.08B
44.61%3.1B
40.42%3.38B
44.61%3.1B
-0.05%2.15B
58.85%3.08B
99.86%2.85B
Current changes in cash
109.71%58.36M
-77.51%-601.04M
-151.89%-338.6M
970.39%652.52M
-107.46%-74.97M
-39.14%280.09M
-3.44%264.48M
2,190.40%1B
-83.06%37.37M
-54.42%232.79M
Effect of exchange rate changes
100.87%540K
46.81%-62.31M
-396.35%-117.14M
-27.71%39.53M
217.08%54.68M
-190.53%-45.62M
203.08%12.78M
-4.35%-46.71M
9.48%-9.26M
-482.74%-9.35M
Cash adjustments other than cash changes
----
--759K
----
----
----
----
----
----
----
----
End cash Position
2.22%2.72B
-19.96%2.66B
-12.07%3.32B
22.44%3.78B
-0.65%3.08B
26.76%3.62B
40.42%3.38B
44.59%3.1B
44.59%3.1B
58.85%3.08B
Free cash flow
-17.43%1.18B
30.97%1.43B
-17.36%1.09B
3,468.79%1.32B
-102.95%-39.19M
-110.63%-72.36M
-151.80%-184.01M
213.15%1.33B
-114.05%-91.98M
-45.76%385.57M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Sep 30, 2024 (FY)Sep 30, 2023 (FY)Sep 30, 2022 (FY)Sep 30, 2021 (FY)Sep 30, 2020 (Q2)Mar 31, 2020 (Q1)Dec 31, 2019 (FY)Sep 30, 2019 (Q4)Sep 30, 2019 (Q3)Jun 30, 2019
Operating cash flow (Indirect Method)
Cash from operating activities -6.48%1.57B 26.24%1.68B -12.95%1.33B 571.79%1.52B -85.47%226.93M -96.08%30.31M -136.88%-143.44M 134.00%1.56B -105.50%-40.3M -42.80%440.65M
Net profit before non-cash adjustment 76.24%519.51M -83.36%294.77M 13.05%1.77B 201.98%1.57B -51.38%518.79M -13.76%158.45M 16.78%249.67M -10.03%1.07B -58.88%253.41M 58.87%416.06M
Total adjustment of non-cash items -19.56%696.29M 245.53%865.62M -18.09%-594.79M -168.81%-503.66M 836.86%731.94M -230.45%-116.89M 44.21%189.26M 157.93%78.13M 146.85%128.25M -672.69%-244.23M
-Depreciation and amortization -0.52%79.62M -9.78%80.03M -4.99%88.71M 1.32%93.37M 50.83%92.16M 56.05%22.79M 52.63%22.05M 4.04%61.1M 4.37%17.1M 2.44%14.95M
-Reversal of impairment losses recognized in profit and loss 157.28%23.67M 61.89%-41.33M -184.20%-108.44M -34.97%128.79M 0.95%198.06M --0 -122.22%-4K 4.89%196.19M 4.75%195.62M -45.29%93K
-Assets reserve and write-off ---- ---- ---- ---- 415.24%7.23M 1,643.18%767K 224.24%963K 1,547.42%1.4M 8.92%635K 174.96%428K
-Share of associates -88.51%-284.49M -39.33%-150.92M 30.46%-108.32M 29.40%-155.77M 23.13%-220.65M 27.90%-22.85M -18.54%-38.52M -20.03%-287.06M -20.17%-137.33M -105.70%-85.54M
-Disposal profit -47.36%288.59M 148.51%548.19M -8.97%-1.13B -923.04%-1.04B 82.37%-101.37M 338.95%34.17M 146.77%12.51M 16.24%-574.94M 57.77%-252.37M -248.08%-281.52M
-Net exchange gains and losses 14.11%-95.11M -238.32%-110.73M 319.92%80.06M -561.32%-36.4M 21.61%7.89M -1,240.39%-325.18M -987.81%-42.25M 105.66%6.49M 150.92%29.98M -137.83%-3.99M
-Remuneration paid in stock 30.27%26.63M -26.10%20.44M 36.75%27.66M -0.02%20.23M 2.39%20.24M 80.36%7.99M -30.37%4.12M 4.67%19.76M -33.20%4.48M 140.09%4.94M
-Deferred income tax 25.37%132.88M -70.43%105.98M -22.22%358.42M 61.04%460.79M -0.00%286.13M 23.87%59.73M 50.22%120.48M -16.10%286.14M -18.69%154.7M -56.19%29.75M
-Other non-cash items 26.71%524.51M 109.94%413.94M 781.79%197.17M -94.94%22.36M 19.84%442.25M 14.76%105.7M 29.54%109.92M 23.15%369.05M 19.87%115.43M 8.88%76.66M
Changes in working capital -31.85%350.95M 241.50%514.94M -67.33%150.79M 145.08%461.5M -345.65%-1.02B -102.25%-11.25M -1,425.83%-582.37M 208.64%416.78M -208.14%-421.96M -42.29%268.82M
-Change in receivables 221.25%48.31M 92.31%-39.85M -801.83%-517.94M -29.74%73.8M 244.92%105.03M -97.59%8.24M 145.47%197.86M 110.10%30.45M 267.14%346.71M 27.40%-107.73M
-Change in inventory 34.79%379.52M -12.86%281.57M -10.01%323.13M 137.72%359.08M -3,279.09%-952.04M 115.29%117.42M -187.65%-411.11M 108.80%29.95M -326.81%-592.82M -111.09%-42.36M
-Change in payables -7.10%154.65M -25.83%166.46M 153.94%224.43M 12.14%88.38M -70.97%78.81M -230.95%-72.39M -90.97%-166.22M 82.49%271.49M -247.22%-260.75M 80.52%418.91M
-Changes in other current assets -316.89%-231.53M -11.89%106.75M 302.75%121.16M 76.62%-59.76M -401.08%-255.6M -234.31%-64.52M -309.08%-202.9M -22.47%84.9M ---- ----
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 -170.80%-322.56M 16.61%-119.11M 14.98%-142.85M 25.76%-168.01M -18.86%-226.32M -22.12%-102.14M 12.57%-23.41M -24.14%-190.41M 18.84%-34.39M -15.01%-45.6M
Other operating cash inflow (outflow) 0 0 0 0 0 0 0 0 0 0
Operating cash flow -20.05%1.24B 31.41%1.56B -12.69%1.18B 221,904.91%1.36B -99.96%611K -110.42%-71.82M -146.07%-166.86M 166.78%1.37B -110.82%-74.69M -45.93%395.05M
Investing cash flow
Net PPE purchase and sale 52.41%-58.63M -155.85%-123.2M 2,229.95%220.6M 67.07%-10.36M 9.98%-31.46M 118.72%1.43M -135.39%-16.22M 57.88%-34.94M 64.34%-11.19M 51.23%-9.23M
Net intangibles purchase and sale -30.21%-5M -31.78%-3.84M 53.15%-2.91M 2.32%-6.22M 0.98%-6.37M -304.72%-429K -5,292.31%-701K -12.90%-6.43M -44.15%-6.1M 46.70%-210K
Net business purchase and sale 70.95%-233.22M -108.21%-802.75M -8.82%-385.54M 83.27%-354.3M -6.83%-2.12B -27,958.43%-223.15M -128.26%-295.1M -79.12%-1.98B -349.97%-1.85B -104.54%-8.18M
Net investment property transactions 38.54%-453.34M -3,287.66%-737.56M 93.09%-21.77M -351.68%-315.13M -132.63%-69.77M -98.37%2.32M -193.90%-72.45M 124.91%213.8M -62.77%112.8M 71.32%-118.46M
Net investment product transactions -9.52%-30.91M 28.60%-28.22M -116.14%-39.53M 12.93%244.85M 233.59%216.82M 2,384.05%261.57M 142.61%32.37M 27.65%-162.31M 94.29%-15.18M 59.83%-59.69M
Advance cash and loans provided to other parties ---- ---- ---- ---- ---- 87.09%-60.94M -146.84%-63.83M ---- ---- ---1.07B
Repayment of advance payments to other parties and cash income from loans --210.7M ---- ---- 510.55%133.22M 249.46%21.82M ---- --63.54M -83.99%6.24M --5.3M -99.98%26K
Dividends received (cash flow from investment activities) 1.91%128.38M -42.17%125.97M 140.67%217.85M -62.99%90.52M 192.48%244.56M -64.18%10.4M 247.62%44.73M -57.62%83.61M -86.68%16.22M -35.94%25.48M
Interest received (cash flow from investment activities) 1.65%103M 65.83%101.33M -13.70%61.11M 7.49%70.81M -6.22%65.87M -2.13%15.04M 152.74%14.47M 122.45%70.24M 141.04%28.39M 145.01%20.76M
Net changes in other investments ---- ---- ---- ---- ---- --12.75M --24.2M --66.49M ---- ----
Investing cash flow 76.91%-339.02M -3,048.45%-1.47B 133.97%49.8M 91.25%-146.61M 3.98%-1.68B 106.27%18.99M -89.05%-268.98M 13.16%-1.75B 62.56%-78.99M -398.67%-1.22B
Financing cash flow
Net issuance payments of debt 8.63%805.64M 215.27%741.65M 62.40%-643.38M -170.45%-1.71B 47.93%2.43B 210.80%1.36B 290.75%994.57M -1.01%1.64B 638.79%365.62M 712.70%585.09M
Net common stock issuance ---- ---- ---- --1.16B ---- ---- ---- ---- ---- ----
Increase or decrease of lease financing 3.21%-59.69M 15.04%-61.67M -54.10%-72.58M 0.62%-47.1M ---47.4M ---9.12M ---15.81M --0 ---- ----
Issuance fees ---3.36M --0 ---- -9,665.59%-9.08M 99.15%-93K --0 -38.81%-93K -58.96%-10.92M -530.00%-4.54M -36.38%-6.23M
Cash dividends paid -50.00%-176.67M -50.00%-117.78M -78.46%-78.52M 58.23%-44M 58.05%-105.32M 41.81%-105.32M ---- -0.26%-251.08M --0 -0.26%-70.07M
Cash dividends for minorities 3.98%-377.68M -9.99%-393.33M 1.59%-357.61M -20.35%-363.4M 2.33%-301.96M -73.56%-62.43M -19.44%-134.24M -14.42%-309.18M 30.66%-30.78M -28.33%-130.04M
Interest paid (cash flow from financing activities) -23.59%-598.02M -31.51%-483.89M 9.94%-367.94M 16.33%-408.54M -14.75%-488.26M -8.87%-122.84M -51.48%-126.45M -29.44%-425.51M 3.51%-106.38M -64.84%-122.82M
Net other fund-raising expenses -16.86%-437.03M -610.50%-373.97M -106.07%-52.64M 656.19%866.95M -84.36%114.65M -2,119.79%-724.07M -285.33%-17.66M -0.59%733.05M 7.53%-32.86M 116.63%803.11M
Financing cash flow -22.91%-846.82M 56.19%-688.99M -182.18%-1.57B -134.83%-557.32M 16.12%1.6B 349.89%332.92M 1,196.60%700.32M -10.49%1.38B 173.84%191.06M 4,146.03%1.06B
Net cash flow
Beginning cash position -19.96%2.66B -12.07%3.32B 22.44%3.78B -0.65%3.08B 44.61%3.1B 40.42%3.38B 44.61%3.1B -0.05%2.15B 58.85%3.08B 99.86%2.85B
Current changes in cash 109.71%58.36M -77.51%-601.04M -151.89%-338.6M 970.39%652.52M -107.46%-74.97M -39.14%280.09M -3.44%264.48M 2,190.40%1B -83.06%37.37M -54.42%232.79M
Effect of exchange rate changes 100.87%540K 46.81%-62.31M -396.35%-117.14M -27.71%39.53M 217.08%54.68M -190.53%-45.62M 203.08%12.78M -4.35%-46.71M 9.48%-9.26M -482.74%-9.35M
Cash adjustments other than cash changes ---- --759K ---- ---- ---- ---- ---- ---- ---- ----
End cash Position 2.22%2.72B -19.96%2.66B -12.07%3.32B 22.44%3.78B -0.65%3.08B 26.76%3.62B 40.42%3.38B 44.59%3.1B 44.59%3.1B 58.85%3.08B
Free cash flow -17.43%1.18B 30.97%1.43B -17.36%1.09B 3,468.79%1.32B -102.95%-39.19M -110.63%-72.36M -151.80%-184.01M 213.15%1.33B -114.05%-91.98M -45.76%385.57M
Currency Unit SGD SGD SGD SGD SGD SGD SGD SGD SGD SGD
Trending SG Stocks
SG High Dividend SG High Dividend

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.