GMG Global Ltd (Singapore)


GMG Global Ltd, has an extreme figure during financial year 31.12.2011 over the followings:-

Revenue that results
a) increase of net profit before tax
b) increase of inventories
c) increase of cash & cash equivalents, fixed deposits
d) increase of fast cash flow
e) double of current ratio

experiencing the "SHOCK" effect. However, GP Margin is lowered.

 Description  Latest
 Current Assets more than Fixed Assets   Yes
 Current Ratio more than 1.50 Yes
 Net Profit before Tax Yes
 Fast Cash Flow Positive Yes
 Cash and Cash Equivalents over Current Assets 64%
 Short Term Loan over Current Liabilities   50%
 Retained Earnings  Yes
 Biggest Turnover (Stock) 1.60 months




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