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S41 Hong Leong Fin

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  • 2.470
  • -0.010-0.40%
10min DelayNot Open Jan 9 16:51 CST
1.11BMarket Cap0.86P/E (TTM)

Hong Leong Fin Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
(Q3)Sep 30, 2019
(Q2)Jun 30, 2019
(Q1)Mar 31, 2019
(FY)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities
264.30%704.23M
520.30%193.31M
85.53%-45.99M
7.45%-317.96M
-177.29%-343.56M
22.17M
-82.90%78.63M
-106.67%-289.53M
-1,878.42%-154.83M
858.12%444.48M
Net profit before non-cash adjustment
-28.66%93.37M
54.30%130.88M
32.72%84.82M
-38.00%63.91M
-12.89%103.09M
--26.98M
-35.69%23.58M
-11.08%26.29M
1.49%26.24M
38.11%118.34M
Total adjustment of non-cash items
20.50%86.19M
1,473.14%71.53M
86.21%-5.21M
-148.15%-37.77M
72.23%78.44M
--19.78M
112.81%28.54M
9.36%21.66M
62.12%8.46M
400.19%45.55M
-Depreciation and amortization
-4.79%7.56M
-0.89%7.94M
1.12%8.01M
-1.85%7.92M
312.84%8.07M
--2.03M
379.58%2.04M
359.10%2.04M
184.01%1.95M
-47.45%1.96M
-Assets reserve and write-off
-252.92%-4.51M
402.21%2.95M
-92.86%587K
192.39%8.22M
-61.87%2.81M
---393K
204.64%3.02M
-95.36%77K
-88.67%105K
49.10%7.37M
-Disposal profit
--1K
----
100.07%1K
-2,088.71%-1.36M
84.58%-62K
--0
-3,400.00%-66K
101.82%4K
----
-57.03%-402K
-Remuneration paid in stock
18.67%375K
-24.40%316K
31.03%418K
15.16%319K
-3.15%277K
--115K
-3.57%54K
-3.57%54K
-3.57%54K
9.58%286K
-Deferred income tax
-28.89%18.66M
53.20%26.23M
58.40%17.12M
-48.21%10.81M
-12.28%20.87M
--5.53M
-36.75%4.75M
-9.82%5.32M
2.64%5.29M
37.90%23.79M
-Other non-cash items
88.05%64.11M
208.74%34.09M
50.77%-31.35M
-237.03%-63.68M
270.61%46.47M
--12.5M
322.90%18.74M
18.32%14.17M
169.22%1.06M
130.51%12.54M
Changes in working capital
5,866.16%524.66M
92.76%-9.1M
63.50%-125.61M
34.47%-344.1M
-287.14%-525.09M
---24.59M
-93.53%26.51M
-78.12%-337.48M
-387.25%-189.53M
317.27%280.59M
-Change in receivables
3.56%-4.8M
-204.52%-4.98M
459.52%4.76M
-15.94%-1.32M
-338.91%-1.14M
---4.6M
2,701.92%9.47M
-248.75%-8.78M
167.28%2.77M
-94.57%478K
-Change in loans
99.59%-3.9M
-480.60%-958.45M
-57.90%251.83M
146.75%598.17M
-301.71%-1.28B
---255.32M
-130.23%-77.85M
-367.69%-781.8M
64.73%-164.48M
13.12%-318.5M
-Change in financial assets
68.37%-84.66M
-660.47%-267.67M
-62.19%47.76M
160.32%126.33M
-185.04%-209.44M
--38.1M
-341.95%-71.08M
-4,572.80%-89.86M
16.29%-86.6M
-869.54%-73.48M
-Change in payables
120.52%270K
96.90%-1.32M
-193.51%-42.46M
1,159.47%45.41M
37.69%-4.29M
---3.8M
73.05%-3.1M
-52.23%3.18M
79.11%-565K
-442.75%-6.88M
-Change in deposits by banks and customers
-49.50%617.75M
415.70%1.22B
65.18%-387.49M
-214.80%-1.11B
42.75%969.23M
--201.04M
25.47%169.07M
1,739.34%539.78M
-88.96%59.34M
212.76%678.97M
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
-52.20%-26.21M
11.08%-17.22M
-37.78%-19.37M
61.37%-14.06M
-106.20%-36.38M
-7.24M
-105.88%-10.93M
-105.86%-10.93M
-105.41%-7.28M
-56.22%-17.64M
Other operating cash inflow (outflow)
Operating cash flow
285.05%678.02M
369.42%176.09M
80.31%-65.36M
12.61%-332.01M
-189.01%-379.94M
--14.93M
-85.11%67.7M
-106.64%-300.46M
-1,325.56%-162.12M
710.44%426.84M
Investing cash flow
Net PPE purchase and sale
-105.10%-2.94M
-258.65%-1.43M
-128.48%-399K
129.78%1.4M
-1,044.53%-4.7M
---318K
-400.00%-90K
6.91%-310K
-49,925.00%-3.99M
20.35%-411K
Net investment property transactions
----
----
----
----
----
----
----
----
----
-86.82%106K
Investing cash flow
-105.10%-2.94M
-258.65%-1.43M
-128.48%-399K
129.78%1.4M
-1,442.30%-4.7M
---318K
-400.00%-90K
6.91%-310K
-49,925.00%-3.99M
-205.90%-305K
Financing cash flow
Net issuance payments of debt
-7.71%-18.52M
-292.29%-17.19M
-79.17%8.94M
--42.91M
--0
----
----
----
----
----
Net common stock issuance
31.77%958K
20.76%727K
870.97%602K
-98.50%62K
177.65%4.14M
--65K
1,825.34%2.81M
74.89%1.17M
-85.56%91K
-54.38%1.49M
Increase or decrease of lease financing
7.69%-6.07M
0.03%-6.58M
-3.27%-6.58M
4.77%-6.37M
---6.69M
---1.69M
---1.67M
---1.67M
---1.66M
--0
Cash dividends paid
-39.70%-75.12M
-29.86%-53.77M
31.47%-41.41M
9.76%-60.42M
-7.30%-66.95M
--0
-0.16%-22.32M
-11.27%-44.63M
----
-40.32%-62.4M
Interest paid (cash flow from financing activities)
-140.67%-1.3M
-38.36%-541K
---391K
----
----
----
----
----
----
----
Financing cash flow
-29.34%-100.06M
-99.20%-77.36M
-63.07%-38.83M
65.74%-23.81M
-14.11%-69.51M
---1.62M
4.34%-21.18M
-14.42%-45.13M
-349.37%-1.57M
-47.83%-60.91M
Net cash flow
Beginning cash position
11.77%924.11M
-11.23%826.81M
-27.56%931.4M
-26.10%1.29B
26.60%1.74B
--1.27B
4.07%1.23B
15.30%1.57B
26.60%1.74B
-7.46%1.37B
Current changes in cash
490.98%575.03M
193.03%97.3M
70.49%-104.59M
21.96%-354.43M
-224.21%-454.15M
--12.99M
-89.26%46.43M
-86.80%-345.9M
-1,462.06%-167.67M
429.87%365.62M
End cash Position
62.23%1.5B
11.77%924.11M
-11.23%826.81M
-27.56%931.4M
-26.10%1.29B
--1.29B
-20.98%1.27B
4.07%1.23B
15.30%1.57B
26.60%1.74B
Free cash flow
286.52%675.08M
365.61%174.66M
80.22%-65.76M
13.61%-332.36M
-190.29%-384.71M
--14.62M
-85.14%67.54M
-106.05%-300.77M
-1,349.52%-166.1M
704.91%426.1M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2023 (FY)Dec 31, 2022 (FY)Dec 31, 2021 (FY)Dec 31, 2020 (FY)Dec 31, 2019 (Q4)Dec 31, 2019 (Q3)Sep 30, 2019 (Q2)Jun 30, 2019 (Q1)Mar 31, 2019 (FY)Dec 31, 2018
Operating cash flow (Indirect Method)
Cash from operating activities 264.30%704.23M 520.30%193.31M 85.53%-45.99M 7.45%-317.96M -177.29%-343.56M 22.17M -82.90%78.63M -106.67%-289.53M -1,878.42%-154.83M 858.12%444.48M
Net profit before non-cash adjustment -28.66%93.37M 54.30%130.88M 32.72%84.82M -38.00%63.91M -12.89%103.09M --26.98M -35.69%23.58M -11.08%26.29M 1.49%26.24M 38.11%118.34M
Total adjustment of non-cash items 20.50%86.19M 1,473.14%71.53M 86.21%-5.21M -148.15%-37.77M 72.23%78.44M --19.78M 112.81%28.54M 9.36%21.66M 62.12%8.46M 400.19%45.55M
-Depreciation and amortization -4.79%7.56M -0.89%7.94M 1.12%8.01M -1.85%7.92M 312.84%8.07M --2.03M 379.58%2.04M 359.10%2.04M 184.01%1.95M -47.45%1.96M
-Assets reserve and write-off -252.92%-4.51M 402.21%2.95M -92.86%587K 192.39%8.22M -61.87%2.81M ---393K 204.64%3.02M -95.36%77K -88.67%105K 49.10%7.37M
-Disposal profit --1K ---- 100.07%1K -2,088.71%-1.36M 84.58%-62K --0 -3,400.00%-66K 101.82%4K ---- -57.03%-402K
-Remuneration paid in stock 18.67%375K -24.40%316K 31.03%418K 15.16%319K -3.15%277K --115K -3.57%54K -3.57%54K -3.57%54K 9.58%286K
-Deferred income tax -28.89%18.66M 53.20%26.23M 58.40%17.12M -48.21%10.81M -12.28%20.87M --5.53M -36.75%4.75M -9.82%5.32M 2.64%5.29M 37.90%23.79M
-Other non-cash items 88.05%64.11M 208.74%34.09M 50.77%-31.35M -237.03%-63.68M 270.61%46.47M --12.5M 322.90%18.74M 18.32%14.17M 169.22%1.06M 130.51%12.54M
Changes in working capital 5,866.16%524.66M 92.76%-9.1M 63.50%-125.61M 34.47%-344.1M -287.14%-525.09M ---24.59M -93.53%26.51M -78.12%-337.48M -387.25%-189.53M 317.27%280.59M
-Change in receivables 3.56%-4.8M -204.52%-4.98M 459.52%4.76M -15.94%-1.32M -338.91%-1.14M ---4.6M 2,701.92%9.47M -248.75%-8.78M 167.28%2.77M -94.57%478K
-Change in loans 99.59%-3.9M -480.60%-958.45M -57.90%251.83M 146.75%598.17M -301.71%-1.28B ---255.32M -130.23%-77.85M -367.69%-781.8M 64.73%-164.48M 13.12%-318.5M
-Change in financial assets 68.37%-84.66M -660.47%-267.67M -62.19%47.76M 160.32%126.33M -185.04%-209.44M --38.1M -341.95%-71.08M -4,572.80%-89.86M 16.29%-86.6M -869.54%-73.48M
-Change in payables 120.52%270K 96.90%-1.32M -193.51%-42.46M 1,159.47%45.41M 37.69%-4.29M ---3.8M 73.05%-3.1M -52.23%3.18M 79.11%-565K -442.75%-6.88M
-Change in deposits by banks and customers -49.50%617.75M 415.70%1.22B 65.18%-387.49M -214.80%-1.11B 42.75%969.23M --201.04M 25.47%169.07M 1,739.34%539.78M -88.96%59.34M 212.76%678.97M
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 -52.20%-26.21M 11.08%-17.22M -37.78%-19.37M 61.37%-14.06M -106.20%-36.38M -7.24M -105.88%-10.93M -105.86%-10.93M -105.41%-7.28M -56.22%-17.64M
Other operating cash inflow (outflow)
Operating cash flow 285.05%678.02M 369.42%176.09M 80.31%-65.36M 12.61%-332.01M -189.01%-379.94M --14.93M -85.11%67.7M -106.64%-300.46M -1,325.56%-162.12M 710.44%426.84M
Investing cash flow
Net PPE purchase and sale -105.10%-2.94M -258.65%-1.43M -128.48%-399K 129.78%1.4M -1,044.53%-4.7M ---318K -400.00%-90K 6.91%-310K -49,925.00%-3.99M 20.35%-411K
Net investment property transactions ---- ---- ---- ---- ---- ---- ---- ---- ---- -86.82%106K
Investing cash flow -105.10%-2.94M -258.65%-1.43M -128.48%-399K 129.78%1.4M -1,442.30%-4.7M ---318K -400.00%-90K 6.91%-310K -49,925.00%-3.99M -205.90%-305K
Financing cash flow
Net issuance payments of debt -7.71%-18.52M -292.29%-17.19M -79.17%8.94M --42.91M --0 ---- ---- ---- ---- ----
Net common stock issuance 31.77%958K 20.76%727K 870.97%602K -98.50%62K 177.65%4.14M --65K 1,825.34%2.81M 74.89%1.17M -85.56%91K -54.38%1.49M
Increase or decrease of lease financing 7.69%-6.07M 0.03%-6.58M -3.27%-6.58M 4.77%-6.37M ---6.69M ---1.69M ---1.67M ---1.67M ---1.66M --0
Cash dividends paid -39.70%-75.12M -29.86%-53.77M 31.47%-41.41M 9.76%-60.42M -7.30%-66.95M --0 -0.16%-22.32M -11.27%-44.63M ---- -40.32%-62.4M
Interest paid (cash flow from financing activities) -140.67%-1.3M -38.36%-541K ---391K ---- ---- ---- ---- ---- ---- ----
Financing cash flow -29.34%-100.06M -99.20%-77.36M -63.07%-38.83M 65.74%-23.81M -14.11%-69.51M ---1.62M 4.34%-21.18M -14.42%-45.13M -349.37%-1.57M -47.83%-60.91M
Net cash flow
Beginning cash position 11.77%924.11M -11.23%826.81M -27.56%931.4M -26.10%1.29B 26.60%1.74B --1.27B 4.07%1.23B 15.30%1.57B 26.60%1.74B -7.46%1.37B
Current changes in cash 490.98%575.03M 193.03%97.3M 70.49%-104.59M 21.96%-354.43M -224.21%-454.15M --12.99M -89.26%46.43M -86.80%-345.9M -1,462.06%-167.67M 429.87%365.62M
End cash Position 62.23%1.5B 11.77%924.11M -11.23%826.81M -27.56%931.4M -26.10%1.29B --1.29B -20.98%1.27B 4.07%1.23B 15.30%1.57B 26.60%1.74B
Free cash flow 286.52%675.08M 365.61%174.66M 80.22%-65.76M 13.61%-332.36M -190.29%-384.71M --14.62M -85.14%67.54M -106.05%-300.77M -1,349.52%-166.1M 704.91%426.1M
Currency Unit SGD SGD SGD SGD SGD SGD SGD SGD SGD SGD
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