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Federal Int (BDU)

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  • 0.260
  • 0.0000.00%
10min DelayTrading May 14 09:00 CST
36.57MMarket Cap11.30P/E (TTM)

BDU Federal Int

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(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
Operating cash flow (Indirect Method)
Cash from operating activities
637.26%15.96M
-171.69%-2.97M
140.00%4.14M
-156.05%-10.36M
312.14%18.48M
-804.78%-8.71M
-109.38%-963K
139.42%1.77M
2.15%1.71M
-107.78%-1.07M
Net profit before non-cash adjustment
-19.79%4.52M
931.46%5.63M
-121.76%-677K
276.63%3.11M
113.76%826K
-418.39%-6M
82.47%-1.16M
2.31%-3.17M
284.33%3.27M
-22.05%-537K
Total adjustment of non-cash items
162.64%2.81M
-235.72%-4.49M
11.00%3.31M
1,046.35%2.98M
-104.21%-315K
77.19%7.48M
134.17%4.22M
147.13%2.28M
13.40%423K
132.74%654K
-Depreciation and amortization
6.57%1.09M
-46.65%1.02M
-5.02%1.91M
-12.86%2.01M
-5.37%2.31M
-2.32%2.44M
20.03%2.5M
19.46%620K
18.39%618K
25.15%622K
-Reversal of impairment losses recognized in profit and loss
76.56%1.84M
30.61%1.04M
-59.91%797K
260.71%1.99M
-122.25%-1.24M
177.95%5.56M
--2M
----
----
----
-Assets reserve and write-off
-105.73%-74K
3,327.50%1.29M
-110.87%-40K
-66.58%368K
5,104.55%1.1M
---22K
----
----
--0
--0
-Share of associates
89.89%-288K
-546.39%-2.85M
178.28%638K
21.48%-815K
19.41%-1.04M
-50.29%-1.29M
13.08%-857K
-380.95%-354K
-5.05%-333K
30.32%-154K
-Disposal profit
87.04%-700K
-975.70%-5.4M
77.21%-502K
4.13%-2.2M
-46,060.00%-2.3M
102.12%5K
-151.98%-236K
-24,400.00%-243K
-28.57%10K
---3K
-Net exchange gains and losses
387.00%487K
233.33%100K
-197.40%-75K
173.33%77K
27.59%-105K
---145K
--0
506.67%61K
-11.54%-58K
-86.21%4K
-Other non-cash items
51.80%463K
-47.32%305K
-62.72%579K
63.13%1.55M
2.26%952K
14.09%931K
71.07%816K
-32.53%197K
-9.71%186K
870.83%185K
Changes in working capital
310.12%8.63M
-371.76%-4.11M
109.19%1.51M
-191.54%-16.45M
276.36%17.97M
-153.07%-10.19M
-126.73%-4.03M
222.23%2.66M
-164.38%-1.98M
-108.53%-1.18M
-Change in receivables
-432.46%-17.7M
-208.73%-3.32M
138.27%3.06M
-257.13%-7.99M
216.85%5.08M
-445.11%-4.35M
-103.88%-798K
191.26%3.18M
-196.92%-1.48M
-108.54%-1.62M
-Change in inventory
497.11%2.69M
-61.17%450K
133.33%1.16M
-184.85%-3.48M
162.03%4.1M
-362.81%-6.61M
2,414.00%2.51M
193.10%1.09M
-79.87%398K
118.76%240K
-Change in prepaid assets
131.56%675K
-338.46%-2.14M
-72.94%897K
175.46%3.32M
-2,811.73%-4.39M
128.77%162K
-156.47%-563K
-256.00%-156K
-300.28%-723K
901.52%529K
-Change in payables
2,457.75%22.28M
140.70%871K
36.76%-2.14M
-145.33%-3.38M
1,923.31%7.47M
106.31%369K
4.18%-5.85M
-143.88%-1.18M
-190.35%-1.5M
90.75%-341K
-Provision for loans, leases and other losses
-2,033.33%-116K
133.33%6K
-357.14%-18K
117.95%7K
53.57%-39K
-206.33%-84K
--79K
--71K
160.00%3K
--3K
-Changes in other current assets
2,896.30%809K
101.87%27K
70.71%-1.44M
-185.57%-4.93M
1,705.02%5.76M
-45.66%319K
218.59%587K
-13.18%-352K
603.04%1.32M
----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
-51K
-52K
Interest received (cash flow from operating activities)
-12.22%158K
-25.00%180K
60.00%240K
-23.86%150K
15.88%197K
-50.44%170K
-32.88%343K
88K
-50.00%247K
50.00%3K
Tax refund paid
-2,950.00%-488K
95.53%-16K
3.76%-358K
-226.32%-372K
54.03%-114K
-131.08%-248K
178.31%798K
-100.86%-3K
128.85%191K
191.51%614K
Other operating cash inflow (outflow)
1K
0
0
-62.91%369K
875.49%995K
102K
0
0
0
0
Operating cash flow
656.93%15.63M
-169.72%-2.81M
139.42%4.03M
-152.21%-10.21M
325.14%19.56M
-4,981.46%-8.69M
-98.18%178K
148.10%2M
39.19%2.1M
-103.85%-502K
Investing cash flow
Net PPE purchase and sale
40.11%-109K
-152.78%-182K
77.91%-72K
-117.33%-326K
16.67%-150K
72.56%-180K
-120.88%-656K
-73.77%-106K
-49.45%-136K
-42.42%-94K
Net business purchase and sale
--13.61M
--0
----
----
----
550.00%63K
86.00%-14K
--0
--10K
76.00%-24K
Net investment product transactions
-810.81%-1.35M
---148K
--0
----
----
----
----
----
--0
----
Repayment of advance payments to other parties and cash income from loans
----
----
399.64%2.75M
295.68%550K
--139K
----
----
----
----
----
Dividends received (cash flow from investment activities)
-61.47%588K
--1.53M
--0
----
----
----
----
----
----
----
Interest received (cash flow from investment activities)
2.80%220K
3,466.67%214K
-33.33%6K
50.00%9K
-80.00%6K
-31.82%30K
51.72%44K
65.00%33K
50.00%3K
-25.00%3K
Net changes in other investments
14.80%900K
-96.24%784K
--20.83M
----
----
----
----
----
----
----
Investing cash flow
531.81%13.86M
-90.67%2.19M
9,990.99%23.51M
4,760.00%233K
94.25%-5K
86.10%-87K
-113.22%-626K
-101.45%-73K
-61.84%-123K
29.01%-115K
Financing cash flow
Net issuance payments of debt
513.85%3.14M
95.80%-758K
-324.21%-18.06M
153.08%8.06M
-249.90%-15.18M
5,313.90%10.12M
101.52%187K
-126.46%-571K
140.33%1.71M
77.01%-1.87M
Increase or decrease of lease financing
42.39%-159K
-74.68%-276K
13.19%-158K
8.08%-182K
28.52%-198K
5.78%-277K
---294K
---71K
---69K
---69K
Cash dividends paid
---703K
----
----
----
----
----
----
----
----
----
Interest paid (cash flow from financing activities)
-5.24%-623K
30.52%-592K
40.17%-852K
-26.92%-1.42M
5.24%-1.12M
7.86%-1.18M
-5.24%-1.29M
-70.55%-469K
0.00%-269K
-9.38%-315K
Net other fund-raising expenses
-441.98%-710K
97.81%-131K
-2,352.46%-5.98M
-118.15%-244K
1,367.92%1.34M
---106K
----
----
----
----
Financing cash flow
153.61%942K
92.99%-1.76M
-503.74%-25.06M
140.96%6.21M
-277.07%-15.15M
714.73%8.56M
91.49%-1.39M
-159.80%-1.11M
130.41%1.37M
79.94%-2.26M
Net cash flow
Beginning cash position
-22.43%7.71M
31.69%9.93M
-33.76%7.54M
66.38%11.39M
-4.41%6.84M
-20.47%7.16M
-16.55%9M
2.61%6.41M
-67.64%3.01M
-21.42%5.87M
Current changes in cash
1,384.26%30.44M
-195.49%-2.37M
165.75%2.48M
-185.70%-3.78M
2,111.42%4.41M
88.10%-219K
0.76%-1.84M
-70.57%812K
208.96%3.35M
-275.35%-2.87M
Effect of exchange rate changes
-616.90%-734K
254.35%142K
-33.33%-92K
-150.00%-69K
242.27%138K
-3,133.33%-97K
-104.41%-3K
-2,950.00%-57K
120.00%55K
-96.55%6K
End cash Position
385.50%37.41M
-22.43%7.71M
31.69%9.93M
-33.76%7.54M
66.38%11.39M
-4.41%6.84M
-20.47%7.16M
-20.47%7.16M
2.61%6.41M
-67.64%3.01M
Free cash flow
618.48%15.51M
-175.86%-2.99M
137.38%3.94M
-154.44%-10.55M
318.25%19.38M
-1,757.74%-8.88M
-105.05%-478K
144.88%1.89M
38.53%1.96M
-104.59%-596K
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
(FY)Dec 31, 2025(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
Operating cash flow (Indirect Method)
Cash from operating activities 637.26%15.96M-171.69%-2.97M140.00%4.14M-156.05%-10.36M312.14%18.48M-804.78%-8.71M-109.38%-963K139.42%1.77M2.15%1.71M-107.78%-1.07M
Net profit before non-cash adjustment -19.79%4.52M931.46%5.63M-121.76%-677K276.63%3.11M113.76%826K-418.39%-6M82.47%-1.16M2.31%-3.17M284.33%3.27M-22.05%-537K
Total adjustment of non-cash items 162.64%2.81M-235.72%-4.49M11.00%3.31M1,046.35%2.98M-104.21%-315K77.19%7.48M134.17%4.22M147.13%2.28M13.40%423K132.74%654K
-Depreciation and amortization 6.57%1.09M-46.65%1.02M-5.02%1.91M-12.86%2.01M-5.37%2.31M-2.32%2.44M20.03%2.5M19.46%620K18.39%618K25.15%622K
-Reversal of impairment losses recognized in profit and loss 76.56%1.84M30.61%1.04M-59.91%797K260.71%1.99M-122.25%-1.24M177.95%5.56M--2M------------
-Assets reserve and write-off -105.73%-74K3,327.50%1.29M-110.87%-40K-66.58%368K5,104.55%1.1M---22K----------0--0
-Share of associates 89.89%-288K-546.39%-2.85M178.28%638K21.48%-815K19.41%-1.04M-50.29%-1.29M13.08%-857K-380.95%-354K-5.05%-333K30.32%-154K
-Disposal profit 87.04%-700K-975.70%-5.4M77.21%-502K4.13%-2.2M-46,060.00%-2.3M102.12%5K-151.98%-236K-24,400.00%-243K-28.57%10K---3K
-Net exchange gains and losses 387.00%487K233.33%100K-197.40%-75K173.33%77K27.59%-105K---145K--0506.67%61K-11.54%-58K-86.21%4K
-Other non-cash items 51.80%463K-47.32%305K-62.72%579K63.13%1.55M2.26%952K14.09%931K71.07%816K-32.53%197K-9.71%186K870.83%185K
Changes in working capital 310.12%8.63M-371.76%-4.11M109.19%1.51M-191.54%-16.45M276.36%17.97M-153.07%-10.19M-126.73%-4.03M222.23%2.66M-164.38%-1.98M-108.53%-1.18M
-Change in receivables -432.46%-17.7M-208.73%-3.32M138.27%3.06M-257.13%-7.99M216.85%5.08M-445.11%-4.35M-103.88%-798K191.26%3.18M-196.92%-1.48M-108.54%-1.62M
-Change in inventory 497.11%2.69M-61.17%450K133.33%1.16M-184.85%-3.48M162.03%4.1M-362.81%-6.61M2,414.00%2.51M193.10%1.09M-79.87%398K118.76%240K
-Change in prepaid assets 131.56%675K-338.46%-2.14M-72.94%897K175.46%3.32M-2,811.73%-4.39M128.77%162K-156.47%-563K-256.00%-156K-300.28%-723K901.52%529K
-Change in payables 2,457.75%22.28M140.70%871K36.76%-2.14M-145.33%-3.38M1,923.31%7.47M106.31%369K4.18%-5.85M-143.88%-1.18M-190.35%-1.5M90.75%-341K
-Provision for loans, leases and other losses -2,033.33%-116K133.33%6K-357.14%-18K117.95%7K53.57%-39K-206.33%-84K--79K--71K160.00%3K--3K
-Changes in other current assets 2,896.30%809K101.87%27K70.71%-1.44M-185.57%-4.93M1,705.02%5.76M-45.66%319K218.59%587K-13.18%-352K603.04%1.32M----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) -51K-52K
Interest received (cash flow from operating activities) -12.22%158K-25.00%180K60.00%240K-23.86%150K15.88%197K-50.44%170K-32.88%343K88K-50.00%247K50.00%3K
Tax refund paid -2,950.00%-488K95.53%-16K3.76%-358K-226.32%-372K54.03%-114K-131.08%-248K178.31%798K-100.86%-3K128.85%191K191.51%614K
Other operating cash inflow (outflow) 1K00-62.91%369K875.49%995K102K0000
Operating cash flow 656.93%15.63M-169.72%-2.81M139.42%4.03M-152.21%-10.21M325.14%19.56M-4,981.46%-8.69M-98.18%178K148.10%2M39.19%2.1M-103.85%-502K
Investing cash flow
Net PPE purchase and sale 40.11%-109K-152.78%-182K77.91%-72K-117.33%-326K16.67%-150K72.56%-180K-120.88%-656K-73.77%-106K-49.45%-136K-42.42%-94K
Net business purchase and sale --13.61M--0------------550.00%63K86.00%-14K--0--10K76.00%-24K
Net investment product transactions -810.81%-1.35M---148K--0----------------------0----
Repayment of advance payments to other parties and cash income from loans --------399.64%2.75M295.68%550K--139K--------------------
Dividends received (cash flow from investment activities) -61.47%588K--1.53M--0----------------------------
Interest received (cash flow from investment activities) 2.80%220K3,466.67%214K-33.33%6K50.00%9K-80.00%6K-31.82%30K51.72%44K65.00%33K50.00%3K-25.00%3K
Net changes in other investments 14.80%900K-96.24%784K--20.83M----------------------------
Investing cash flow 531.81%13.86M-90.67%2.19M9,990.99%23.51M4,760.00%233K94.25%-5K86.10%-87K-113.22%-626K-101.45%-73K-61.84%-123K29.01%-115K
Financing cash flow
Net issuance payments of debt 513.85%3.14M95.80%-758K-324.21%-18.06M153.08%8.06M-249.90%-15.18M5,313.90%10.12M101.52%187K-126.46%-571K140.33%1.71M77.01%-1.87M
Increase or decrease of lease financing 42.39%-159K-74.68%-276K13.19%-158K8.08%-182K28.52%-198K5.78%-277K---294K---71K---69K---69K
Cash dividends paid ---703K------------------------------------
Interest paid (cash flow from financing activities) -5.24%-623K30.52%-592K40.17%-852K-26.92%-1.42M5.24%-1.12M7.86%-1.18M-5.24%-1.29M-70.55%-469K0.00%-269K-9.38%-315K
Net other fund-raising expenses -441.98%-710K97.81%-131K-2,352.46%-5.98M-118.15%-244K1,367.92%1.34M---106K----------------
Financing cash flow 153.61%942K92.99%-1.76M-503.74%-25.06M140.96%6.21M-277.07%-15.15M714.73%8.56M91.49%-1.39M-159.80%-1.11M130.41%1.37M79.94%-2.26M
Net cash flow
Beginning cash position -22.43%7.71M31.69%9.93M-33.76%7.54M66.38%11.39M-4.41%6.84M-20.47%7.16M-16.55%9M2.61%6.41M-67.64%3.01M-21.42%5.87M
Current changes in cash 1,384.26%30.44M-195.49%-2.37M165.75%2.48M-185.70%-3.78M2,111.42%4.41M88.10%-219K0.76%-1.84M-70.57%812K208.96%3.35M-275.35%-2.87M
Effect of exchange rate changes -616.90%-734K254.35%142K-33.33%-92K-150.00%-69K242.27%138K-3,133.33%-97K-104.41%-3K-2,950.00%-57K120.00%55K-96.55%6K
End cash Position 385.50%37.41M-22.43%7.71M31.69%9.93M-33.76%7.54M66.38%11.39M-4.41%6.84M-20.47%7.16M-20.47%7.16M2.61%6.41M-67.64%3.01M
Free cash flow 618.48%15.51M-175.86%-2.99M137.38%3.94M-154.44%-10.55M318.25%19.38M-1,757.74%-8.88M-105.05%-478K144.88%1.89M38.53%1.96M-104.59%-596K
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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