Dec 24 | Dec 23 | Dec 22 | Dec 21 | Dec 20 | |
---|---|---|---|---|---|
Income Statement | |||||
Total Revenue | S$ 646.50M | S$ 623.10M | S$ 491.12M | S$ 300.81M | S$ 530.46M |
Gross Profit | S$ 365.61M | S$ 360.42M | S$ 286.30M | S$ 156.30M | S$ 234.37M |
Operating Income | S$ 239.72M | S$ 261.85M | S$ 379.69M | S$ 307.05M | S$ -206.75M |
EBITDA | S$ 103.98M | S$ 303.42M | S$ 416.31M | S$ 55.92M | S$ -391.96M |
Net Income | S$ -285.10M | S$ 81.08M | S$ 189.86M | S$ 80.94M | S$ -343.38M |
Balance Sheet | |||||
Cash & Short-Term Investments | S$ 603.31M | S$ 186.53M | S$ 380.51M | S$ 599.95M | S$ 620.50M |
Total Assets | S$ 8.87B | S$ 9.27B | S$ 9.49B | S$ 9.03B | S$ 9.62B |
Total Debt | S$ 3.15B | S$ 2.91B | S$ 3.01B | S$ 2.87B | S$ 3.50B |
Net Debt | S$ 2.55B | S$ 2.73B | S$ 2.68B | S$ 2.35B | S$ 2.94B |
Total Liabilities | S$ 3.52B | S$ 3.39B | S$ 3.51B | S$ 3.31B | S$ 3.97B |
Stockholders' Equity | S$ 3.23B | S$ 3.67B | S$ 3.72B | S$ 3.85B | S$ 3.74B |
Cash Flow | |||||
Free Cash Flow | S$ 236.02M | S$ 134.06M | S$ 141.84M | S$ 56.43M | S$ 168.06M |
Operating Cash Flow | S$ 265.74M | S$ 183.87M | S$ 196.69M | S$ 130.84M | S$ 180.74M |
Investing Cash Flow | S$ 298.46M | S$ -105.73M | S$ 103.01M | S$ 714.13M | S$ 686.56M |
Financing Cash Flow | S$ -143.57M | S$ -220.58M | S$ -450.05M | S$ -879.76M | S$ -785.09M |