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H12 Hotel Royal

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  • 1.770
  • +0.040+2.31%
10min DelayNot Open May 15 11:33 CST
214.10MMarket Cap32.18P/E (TTM)

Hotel Royal Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(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
Operating cash flow (Indirect Method)
Cash from operating activities
26.51%20.51M
25.17%16.21M
541.36%12.95M
31.02%2.02M
-91.85%1.54M
-30.35%18.92M
-41.03%5.82M
-3.79%6.16M
-21.16%3.88M
-48.79%3.05M
Net profit before non-cash adjustment
22.71%9.86M
373.86%8.04M
12.63%-2.93M
83.29%-3.36M
-339.95%-20.1M
-18.76%8.38M
-22.57%2.09M
5.87%2.89M
-13.51%903K
-34.99%2.5M
Total adjustment of non-cash items
18.27%11.55M
-28.75%9.77M
22,750.00%13.71M
-99.76%60K
115.80%25.37M
-8.33%11.76M
8.63%2.83M
-12.23%2.96M
-9.90%2.99M
-15.66%2.97M
-Depreciation and amortization
18.74%7.08M
-14.85%5.96M
-8.41%7M
-1.82%7.65M
-5.65%7.79M
-4.92%8.25M
26.58%2.07M
-16.06%2.12M
-3.54%2.12M
-16.27%1.94M
-Reversal of impairment losses recognized in profit and loss
56.96%-1.27M
-432.37%-2.94M
-107.77%-553K
-50.16%7.11M
18,635.06%14.27M
-2,025.00%-77K
----
----
----
----
-Assets reserve and write-off
127.27%3K
84.72%-11K
-5.88%-72K
-122.52%-68K
2,920.00%302K
158.82%10K
157.14%12K
-75.00%1K
---3K
----
-Disposal profit
-1,873.21%-1.11M
-117.50%-56K
103.06%320K
-23,884.09%-10.47M
110.73%44K
-13,566.67%-410K
-134.21%-26K
-23.13%-165K
-710.53%-154K
-187.84%-65K
-Net exchange gains and losses
38.23%-391K
-150.36%-633K
--1.26M
----
----
----
----
----
----
----
-Other non-cash items
-2.90%7.24M
29.45%7.45M
238.20%5.76M
-240.61%-4.17M
-25.56%2.96M
-4.33%3.98M
-6.45%856K
2.76%1.01M
-9.91%1.02M
-3.17%1.1M
Changes in working capital
43.05%-909K
-173.45%-1.6M
-59.13%2.17M
242.74%5.32M
-206.33%-3.73M
-130.22%-1.22M
-80.25%903K
3.31%312K
-101.60%-9K
-71.53%-2.42M
-Change in receivables
108.64%143K
-169.06%-1.66M
-61.98%2.4M
538.60%6.31M
-81.11%-1.44M
-202.19%-794K
-835.71%-1.44M
1,034.21%710K
-35.66%933K
-124.83%-996K
-Change in inventory
143.12%119K
-254.19%-276K
126.58%179K
71.74%79K
453.85%46K
94.40%-13K
213.98%212K
-115.00%-43K
-123.08%-87K
-830.77%-95K
-Change in payables
-107.58%-128K
689.25%1.69M
-26.96%214K
111.64%293K
-1,166.95%-2.52M
129.61%236K
45.35%2.3M
-893.75%-254K
33.47%-1.01M
10.75%-797K
-Changes in other current assets
22.91%-1.04M
-118.93%-1.35M
54.63%-618K
-836.22%-1.36M
128.68%185K
-115.08%-645K
-104.89%-163K
-127.60%-101K
-77.06%153K
-500.00%-534K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
-12.32%477K
49.86%544K
0.83%363K
19.21%360K
-5.33%302K
-23.13%319K
-31.82%45K
15.27%151K
-41.33%88K
-48.53%35K
Interest paid (cash flow from operating activities)
9.79%-7.54M
-44.14%-8.36M
-39.25%-5.8M
-40.12%-4.16M
26.61%-2.97M
4.26%-4.05M
10.18%-838K
-6.05%-1.07M
10.10%-1.03M
2.63%-1.11M
Interest received (cash flow from operating activities)
-64.91%327K
2,173.17%932K
41K
0
-86.96%9K
0.00%69K
-200.00%-18K
117.24%63K
-22.22%14K
150.00%10K
Tax refund paid
-121.74%-2.42M
-85.37%-1.09M
52.92%-588K
41.20%-1.25M
35.91%-2.12M
-12.80%-3.31M
54.80%-372K
-65.42%-1.6M
17.76%-815K
-234.81%-529K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
37.82%11.35M
18.23%8.24M
329.74%6.97M
6.48%-3.03M
-127.16%-3.24M
-41.68%11.94M
-43.43%4.64M
-19.21%3.71M
-27.64%2.13M
-69.20%1.46M
Investing cash flow
Net PPE purchase and sale
24.38%-13.61M
-103.18%-18M
-263.56%-8.86M
24.18%-2.44M
49.45%-3.21M
-75.83%-6.36M
-4.39%-1.45M
-130.37%-1.92M
-117.90%-1.33M
-111.86%-1.66M
Net business purchase and sale
----
----
----
---56.48M
--0
---6.54M
--0
--0
--0
---6.54M
Net investment property transactions
30.56%-275K
70.93%-396K
-136.90%-1.36M
154.80%3.69M
32.70%-6.74M
-71.22%-10.01M
-30.30%-3.28M
-13.92%-2.82M
-369.68%-2.6M
-338.26%-1.31M
Net investment product transactions
-48.09%844K
125.52%1.63M
307.34%721K
120.09%177K
-214.56%-881K
-69.57%769K
-100.09%-3K
-4,566.67%-280K
169.92%967K
-86.04%85K
Investing cash flow
22.23%-13.04M
-76.53%-16.77M
82.74%-9.5M
-408.34%-55.05M
51.08%-10.83M
-219.25%-22.14M
-691.14%-4.73M
-51.40%-5.02M
-16.34%-2.96M
-1,891.97%-9.42M
Financing cash flow
Net issuance payments of debt
107.73%943K
27.10%-12.2M
-122.66%-16.74M
518.51%73.85M
56.28%11.94M
115.73%7.64M
-69.44%272K
99.21%-370K
-94.29%99K
271.47%7.64M
Net common stock issuance
----
----
--40.17M
--0
----
----
----
--0
----
----
Cash dividends paid
0.00%-3.02M
-20.00%-3.02M
0.00%-2.52M
0.24%-2.52M
58.19%-2.53M
-43.86%-6.04M
--0
----
-43.86%-6.04M
----
Net other fund-raising expenses
51.85%287K
114.43%189K
-7,805.88%-1.31M
--17K
----
--27K
--3K
-46.15%14K
433.33%16K
79.31%-6K
Financing cash flow
88.07%-1.79M
-176.70%-15.04M
-72.52%19.6M
657.88%71.35M
479.32%9.41M
164.25%1.63M
-69.10%275K
-110.09%-356K
-140.54%-5.93M
270.23%7.63M
Net cash flow
Beginning cash position
-53.71%20.72M
59.31%44.77M
85.51%28.1M
-23.68%15.15M
-29.58%19.85M
63.43%28.19M
-9.92%18.79M
26.85%20.3M
46.03%26.79M
63.43%28.19M
Current changes in cash
85.22%-3.48M
-238.07%-23.57M
28.73%17.07M
384.63%13.26M
45.64%-4.66M
-177.81%-8.57M
-97.82%185K
-134.75%-1.67M
-227.75%-6.76M
-47.77%-331K
Effect of exchange rate changes
219.04%569K
-18.91%-478K
-30.94%-402K
-630.95%-307K
-118.18%-42K
416.44%231K
175.80%880K
209.80%158K
191.90%261K
-180.85%-1.07M
End cash Position
-14.07%17.81M
-53.71%20.72M
59.31%44.77M
85.51%28.1M
-23.68%15.15M
-29.58%19.85M
-29.58%19.85M
-9.92%18.79M
26.85%20.3M
46.03%26.79M
Free cash flow
76.32%-2.31M
-416.07%-9.76M
65.41%-1.89M
15.36%-5.47M
-215.89%-6.46M
-66.77%5.58M
-53.42%3.18M
-52.16%1.79M
-64.40%807K
-106.12%-241K
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2024(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
Operating cash flow (Indirect Method)
Cash from operating activities 26.51%20.51M25.17%16.21M541.36%12.95M31.02%2.02M-91.85%1.54M-30.35%18.92M-41.03%5.82M-3.79%6.16M-21.16%3.88M-48.79%3.05M
Net profit before non-cash adjustment 22.71%9.86M373.86%8.04M12.63%-2.93M83.29%-3.36M-339.95%-20.1M-18.76%8.38M-22.57%2.09M5.87%2.89M-13.51%903K-34.99%2.5M
Total adjustment of non-cash items 18.27%11.55M-28.75%9.77M22,750.00%13.71M-99.76%60K115.80%25.37M-8.33%11.76M8.63%2.83M-12.23%2.96M-9.90%2.99M-15.66%2.97M
-Depreciation and amortization 18.74%7.08M-14.85%5.96M-8.41%7M-1.82%7.65M-5.65%7.79M-4.92%8.25M26.58%2.07M-16.06%2.12M-3.54%2.12M-16.27%1.94M
-Reversal of impairment losses recognized in profit and loss 56.96%-1.27M-432.37%-2.94M-107.77%-553K-50.16%7.11M18,635.06%14.27M-2,025.00%-77K----------------
-Assets reserve and write-off 127.27%3K84.72%-11K-5.88%-72K-122.52%-68K2,920.00%302K158.82%10K157.14%12K-75.00%1K---3K----
-Disposal profit -1,873.21%-1.11M-117.50%-56K103.06%320K-23,884.09%-10.47M110.73%44K-13,566.67%-410K-134.21%-26K-23.13%-165K-710.53%-154K-187.84%-65K
-Net exchange gains and losses 38.23%-391K-150.36%-633K--1.26M----------------------------
-Other non-cash items -2.90%7.24M29.45%7.45M238.20%5.76M-240.61%-4.17M-25.56%2.96M-4.33%3.98M-6.45%856K2.76%1.01M-9.91%1.02M-3.17%1.1M
Changes in working capital 43.05%-909K-173.45%-1.6M-59.13%2.17M242.74%5.32M-206.33%-3.73M-130.22%-1.22M-80.25%903K3.31%312K-101.60%-9K-71.53%-2.42M
-Change in receivables 108.64%143K-169.06%-1.66M-61.98%2.4M538.60%6.31M-81.11%-1.44M-202.19%-794K-835.71%-1.44M1,034.21%710K-35.66%933K-124.83%-996K
-Change in inventory 143.12%119K-254.19%-276K126.58%179K71.74%79K453.85%46K94.40%-13K213.98%212K-115.00%-43K-123.08%-87K-830.77%-95K
-Change in payables -107.58%-128K689.25%1.69M-26.96%214K111.64%293K-1,166.95%-2.52M129.61%236K45.35%2.3M-893.75%-254K33.47%-1.01M10.75%-797K
-Changes in other current assets 22.91%-1.04M-118.93%-1.35M54.63%-618K-836.22%-1.36M128.68%185K-115.08%-645K-104.89%-163K-127.60%-101K-77.06%153K-500.00%-534K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities) -12.32%477K49.86%544K0.83%363K19.21%360K-5.33%302K-23.13%319K-31.82%45K15.27%151K-41.33%88K-48.53%35K
Interest paid (cash flow from operating activities) 9.79%-7.54M-44.14%-8.36M-39.25%-5.8M-40.12%-4.16M26.61%-2.97M4.26%-4.05M10.18%-838K-6.05%-1.07M10.10%-1.03M2.63%-1.11M
Interest received (cash flow from operating activities) -64.91%327K2,173.17%932K41K0-86.96%9K0.00%69K-200.00%-18K117.24%63K-22.22%14K150.00%10K
Tax refund paid -121.74%-2.42M-85.37%-1.09M52.92%-588K41.20%-1.25M35.91%-2.12M-12.80%-3.31M54.80%-372K-65.42%-1.6M17.76%-815K-234.81%-529K
Other operating cash inflow (outflow) 0000000000
Operating cash flow 37.82%11.35M18.23%8.24M329.74%6.97M6.48%-3.03M-127.16%-3.24M-41.68%11.94M-43.43%4.64M-19.21%3.71M-27.64%2.13M-69.20%1.46M
Investing cash flow
Net PPE purchase and sale 24.38%-13.61M-103.18%-18M-263.56%-8.86M24.18%-2.44M49.45%-3.21M-75.83%-6.36M-4.39%-1.45M-130.37%-1.92M-117.90%-1.33M-111.86%-1.66M
Net business purchase and sale ---------------56.48M--0---6.54M--0--0--0---6.54M
Net investment property transactions 30.56%-275K70.93%-396K-136.90%-1.36M154.80%3.69M32.70%-6.74M-71.22%-10.01M-30.30%-3.28M-13.92%-2.82M-369.68%-2.6M-338.26%-1.31M
Net investment product transactions -48.09%844K125.52%1.63M307.34%721K120.09%177K-214.56%-881K-69.57%769K-100.09%-3K-4,566.67%-280K169.92%967K-86.04%85K
Investing cash flow 22.23%-13.04M-76.53%-16.77M82.74%-9.5M-408.34%-55.05M51.08%-10.83M-219.25%-22.14M-691.14%-4.73M-51.40%-5.02M-16.34%-2.96M-1,891.97%-9.42M
Financing cash flow
Net issuance payments of debt 107.73%943K27.10%-12.2M-122.66%-16.74M518.51%73.85M56.28%11.94M115.73%7.64M-69.44%272K99.21%-370K-94.29%99K271.47%7.64M
Net common stock issuance ----------40.17M--0--------------0--------
Cash dividends paid 0.00%-3.02M-20.00%-3.02M0.00%-2.52M0.24%-2.52M58.19%-2.53M-43.86%-6.04M--0-----43.86%-6.04M----
Net other fund-raising expenses 51.85%287K114.43%189K-7,805.88%-1.31M--17K------27K--3K-46.15%14K433.33%16K79.31%-6K
Financing cash flow 88.07%-1.79M-176.70%-15.04M-72.52%19.6M657.88%71.35M479.32%9.41M164.25%1.63M-69.10%275K-110.09%-356K-140.54%-5.93M270.23%7.63M
Net cash flow
Beginning cash position -53.71%20.72M59.31%44.77M85.51%28.1M-23.68%15.15M-29.58%19.85M63.43%28.19M-9.92%18.79M26.85%20.3M46.03%26.79M63.43%28.19M
Current changes in cash 85.22%-3.48M-238.07%-23.57M28.73%17.07M384.63%13.26M45.64%-4.66M-177.81%-8.57M-97.82%185K-134.75%-1.67M-227.75%-6.76M-47.77%-331K
Effect of exchange rate changes 219.04%569K-18.91%-478K-30.94%-402K-630.95%-307K-118.18%-42K416.44%231K175.80%880K209.80%158K191.90%261K-180.85%-1.07M
End cash Position -14.07%17.81M-53.71%20.72M59.31%44.77M85.51%28.1M-23.68%15.15M-29.58%19.85M-29.58%19.85M-9.92%18.79M26.85%20.3M46.03%26.79M
Free cash flow 76.32%-2.31M-416.07%-9.76M65.41%-1.89M15.36%-5.47M-215.89%-6.46M-66.77%5.58M-53.42%3.18M-52.16%1.79M-64.40%807K-106.12%-241K
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD

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