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Baker Technology (BTP)

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  • 0.495
  • 0.0000.00%
10min DelayTrading May 6 13:00 CST
100.36MMarket Cap-3.96P/E (TTM)

BTP Baker Technology

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
-110.78%-4.04M
30.90%37.43M
45.97%28.6M
46.42%19.59M
203.31%13.38M
-72.05%4.41M
268.00%15.78M
-89.41%304K
252.18%8.84M
151.10%1.2M
Net profit before non-cash adjustment
-223.84%-24.84M
522.56%20.06M
-70.72%3.22M
350.94%11M
109.42%2.44M
-53.11%-25.91M
-217.07%-16.92M
-38.06%-7.39M
-128.64%-7.35M
-112.37%-2.18M
Total adjustment of non-cash items
153.95%21.48M
-55.61%8.46M
-4.96%19.06M
18.82%20.05M
-56.05%16.88M
45.79%38.4M
371.60%26.34M
-40.27%6.12M
123.17%5.25M
6,321.53%9.25M
-Depreciation and amortization
0.86%14.2M
0.19%14.08M
-0.42%14.05M
-4.92%14.11M
-15.36%14.84M
-4.93%17.53M
58.68%18.44M
-11.13%4.54M
82.93%4.48M
123.37%4.55M
-Reversal of impairment losses recognized in profit and loss
4,839.13%2.27M
-98.92%46K
1,645.08%4.26M
89.15%244K
-99.04%129K
39,670.59%13.45M
99.86%-34K
-108.83%-55K
100.08%21K
--0
-Assets reserve and write-off
--0
-36.31%940K
-69.15%1.48M
425.89%4.78M
-149.63%-1.47M
60.15%2.96M
594.36%1.85M
260.90%960K
--887K
----
-Share of associates
----
----
----
----
----
----
59.72%4.95M
--0
--0
--4.4M
-Disposal profit
3,862.50%301K
---8K
--0
--0
71.70%3.83M
425.94%2.23M
2,255.56%424K
-94.44%1K
--232K
--191K
-Net exchange gains and losses
267.62%6.65M
-362.82%-3.97M
61.56%1.51M
192.02%934K
-160.17%-1.02M
286.04%1.69M
300.46%437K
-32.90%718K
-124.64%-465K
99.55%-8K
-Other non-cash items
26.41%-1.93M
-17.64%-2.63M
-12,311.11%-2.23M
-103.20%-18K
4.45%563K
98.89%539K
185.76%271K
-212.82%-44K
237.14%96K
182.98%117K
Changes in working capital
-107.63%-680K
41.16%8.91M
155.06%6.31M
-93.11%-11.47M
26.53%-5.94M
-227.00%-8.08M
144.98%6.36M
177.15%1.57M
223.99%10.95M
-298.57%-5.86M
-Change in receivables
-37.33%6.48M
55.58%10.34M
161.56%6.65M
-50.73%-10.8M
-189.84%-7.16M
-289.93%-2.47M
111.96%1.3M
140.19%1.47M
220.13%6.17M
-128.72%-7.12M
-Change in inventory
51.30%-225K
83.39%-462K
-232.78%-2.78M
27.05%-836K
-1,002.36%-1.15M
108.90%127K
-294.20%-1.43M
----
----
----
-Change in prepaid assets
16.07%-512K
-724.32%-610K
43.94%-74K
-8.20%-132K
-56.41%-122K
-128.57%-78K
149.01%273K
----
----
----
-Change in payables
-1,639.73%-6.74M
-80.24%438K
242.13%2.22M
-65.53%648K
132.94%1.88M
-195.95%-5.71M
364.00%5.95M
34.23%298K
395.30%5.6M
-53.39%914K
-Changes in other current assets
140.71%322K
-356.82%-791K
187.50%308K
-157.52%-352K
1,202.13%612K
-82.53%47K
358.65%269K
-59.17%951K
54.29%-821K
207.52%343K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
18.20%-737K
-62.64%-901K
-3.36%-554K
18.42%-536K
16.62%-657K
15.18%-788K
-350.97%-929K
-232.05%-518K
-66.00%-83K
-170K
Interest received (cash flow from operating activities)
-24.13%3.3M
106.60%4.35M
519.41%2.11M
269.57%340K
-64.75%92K
-59.97%261K
15.19%652K
138.79%277K
-26.79%123K
-9.92%118K
Tax refund paid
-25.36%-1.82M
-161.44%-1.45M
-192.11%-555K
83.44%-190K
9.69%-1.15M
-482.57%-1.27M
26.10%-218K
-133.33%-49K
-712.50%-65K
-11K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-108.35%-3.29M
33.25%39.43M
54.10%29.59M
64.59%19.2M
346.33%11.67M
-82.90%2.61M
263.87%15.29M
-99.50%14K
254.67%8.82M
151.28%1.14M
Investing cash flow
Net PPE purchase and sale
-43.88%-8.55M
-71.80%-5.94M
-199.65%-3.46M
-121.30%-1.15M
268.37%5.42M
-296.58%-3.22M
118.56%1.64M
81.12%-575K
903.77%1.28M
120.65%985K
Net business purchase and sale
----
----
----
----
----
----
----
----
--0
----
Net investment product transactions
62.89%21.65M
140.89%13.29M
-1,705.05%-32.51M
-574.53%-1.8M
-198.89%-267K
-56.73%270K
-33.55%624K
--0
--0
-88.01%117K
Repayment of advance payments to other parties and cash income from loans
-1.89%571K
0.69%582K
-51.39%578K
--1.19M
----
----
157.47%1.71M
--0
----
--1.43M
Investing cash flow
72.37%13.68M
122.42%7.93M
-1,903.91%-35.39M
-134.28%-1.77M
274.73%5.15M
-174.29%-2.95M
108.06%3.97M
76.94%-575K
103.04%1.28M
166.61%2.53M
Financing cash flow
Net issuance payments of debt
-30.66%-1.84M
-10.86%-1.41M
56.14%-1.27M
-77.57%-2.9M
-171.24%-1.63M
404.25%2.29M
---753K
---285K
---282K
---186K
Net common stock issuance
--6.13M
--0
----
----
----
----
----
----
----
----
Increase or decrease of lease financing
-13.20%-712K
34.21%-629K
-6.22%-956K
-6.01%-900K
-6.26%-849K
-6.39%-799K
---751K
----
----
----
Cash dividends paid
-33.36%-4.06M
-49.98%-3.04M
-100.10%-2.03M
---1.01M
----
0.00%-1.01M
---1.01M
--0
----
---1.01M
Net other fund-raising expenses
--6.13M
----
----
----
----
----
----
----
----
----
Financing cash flow
90.47%-484K
-19.38%-5.08M
11.55%-4.26M
-93.95%-4.81M
-619.04%-2.48M
118.98%478K
---2.52M
---1.04M
---282K
---1.2M
Net cash flow
Beginning cash position
116.10%79.42M
-22.96%36.75M
-20.18%47.7M
34.85%59.76M
-2.00%44.32M
56.37%45.22M
-66.62%28.92M
67.30%47.98M
-51.26%37.22M
-57.17%34.64M
Current changes in cash
-76.59%9.9M
520.61%42.28M
-179.63%-10.05M
-11.94%12.63M
9,856.25%14.34M
-99.14%144K
128.58%16.74M
-605.38%-1.6M
120.54%9.81M
141.01%2.47M
Effect of exchange rate changes
-13.12%331K
142.47%381K
2.29%-897K
-182.93%-918K
205.43%1.11M
-140.27%-1.05M
-151.29%-437K
-1,430.26%-1.16M
986.21%945K
-92.42%114K
End cash Position
12.88%89.65M
116.10%79.42M
-48.58%36.75M
19.59%71.47M
34.85%59.76M
-2.00%44.32M
56.37%45.22M
56.37%45.22M
67.30%47.98M
-51.26%37.22M
Free cash flow
-135.38%-11.84M
28.07%33.47M
44.79%26.13M
92.50%18.05M
331.62%9.38M
-128.21%-4.05M
179.04%14.35M
-137.71%-561K
247.73%8.66M
114.08%985K
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 -110.78%-4.04M30.90%37.43M45.97%28.6M46.42%19.59M203.31%13.38M-72.05%4.41M268.00%15.78M-89.41%304K252.18%8.84M151.10%1.2M
Net profit before non-cash adjustment -223.84%-24.84M522.56%20.06M-70.72%3.22M350.94%11M109.42%2.44M-53.11%-25.91M-217.07%-16.92M-38.06%-7.39M-128.64%-7.35M-112.37%-2.18M
Total adjustment of non-cash items 153.95%21.48M-55.61%8.46M-4.96%19.06M18.82%20.05M-56.05%16.88M45.79%38.4M371.60%26.34M-40.27%6.12M123.17%5.25M6,321.53%9.25M
-Depreciation and amortization 0.86%14.2M0.19%14.08M-0.42%14.05M-4.92%14.11M-15.36%14.84M-4.93%17.53M58.68%18.44M-11.13%4.54M82.93%4.48M123.37%4.55M
-Reversal of impairment losses recognized in profit and loss 4,839.13%2.27M-98.92%46K1,645.08%4.26M89.15%244K-99.04%129K39,670.59%13.45M99.86%-34K-108.83%-55K100.08%21K--0
-Assets reserve and write-off --0-36.31%940K-69.15%1.48M425.89%4.78M-149.63%-1.47M60.15%2.96M594.36%1.85M260.90%960K--887K----
-Share of associates ------------------------59.72%4.95M--0--0--4.4M
-Disposal profit 3,862.50%301K---8K--0--071.70%3.83M425.94%2.23M2,255.56%424K-94.44%1K--232K--191K
-Net exchange gains and losses 267.62%6.65M-362.82%-3.97M61.56%1.51M192.02%934K-160.17%-1.02M286.04%1.69M300.46%437K-32.90%718K-124.64%-465K99.55%-8K
-Other non-cash items 26.41%-1.93M-17.64%-2.63M-12,311.11%-2.23M-103.20%-18K4.45%563K98.89%539K185.76%271K-212.82%-44K237.14%96K182.98%117K
Changes in working capital -107.63%-680K41.16%8.91M155.06%6.31M-93.11%-11.47M26.53%-5.94M-227.00%-8.08M144.98%6.36M177.15%1.57M223.99%10.95M-298.57%-5.86M
-Change in receivables -37.33%6.48M55.58%10.34M161.56%6.65M-50.73%-10.8M-189.84%-7.16M-289.93%-2.47M111.96%1.3M140.19%1.47M220.13%6.17M-128.72%-7.12M
-Change in inventory 51.30%-225K83.39%-462K-232.78%-2.78M27.05%-836K-1,002.36%-1.15M108.90%127K-294.20%-1.43M------------
-Change in prepaid assets 16.07%-512K-724.32%-610K43.94%-74K-8.20%-132K-56.41%-122K-128.57%-78K149.01%273K------------
-Change in payables -1,639.73%-6.74M-80.24%438K242.13%2.22M-65.53%648K132.94%1.88M-195.95%-5.71M364.00%5.95M34.23%298K395.30%5.6M-53.39%914K
-Changes in other current assets 140.71%322K-356.82%-791K187.50%308K-157.52%-352K1,202.13%612K-82.53%47K358.65%269K-59.17%951K54.29%-821K207.52%343K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities) 18.20%-737K-62.64%-901K-3.36%-554K18.42%-536K16.62%-657K15.18%-788K-350.97%-929K-232.05%-518K-66.00%-83K-170K
Interest received (cash flow from operating activities) -24.13%3.3M106.60%4.35M519.41%2.11M269.57%340K-64.75%92K-59.97%261K15.19%652K138.79%277K-26.79%123K-9.92%118K
Tax refund paid -25.36%-1.82M-161.44%-1.45M-192.11%-555K83.44%-190K9.69%-1.15M-482.57%-1.27M26.10%-218K-133.33%-49K-712.50%-65K-11K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -108.35%-3.29M33.25%39.43M54.10%29.59M64.59%19.2M346.33%11.67M-82.90%2.61M263.87%15.29M-99.50%14K254.67%8.82M151.28%1.14M
Investing cash flow
Net PPE purchase and sale -43.88%-8.55M-71.80%-5.94M-199.65%-3.46M-121.30%-1.15M268.37%5.42M-296.58%-3.22M118.56%1.64M81.12%-575K903.77%1.28M120.65%985K
Net business purchase and sale ----------------------------------0----
Net investment product transactions 62.89%21.65M140.89%13.29M-1,705.05%-32.51M-574.53%-1.8M-198.89%-267K-56.73%270K-33.55%624K--0--0-88.01%117K
Repayment of advance payments to other parties and cash income from loans -1.89%571K0.69%582K-51.39%578K--1.19M--------157.47%1.71M--0------1.43M
Investing cash flow 72.37%13.68M122.42%7.93M-1,903.91%-35.39M-134.28%-1.77M274.73%5.15M-174.29%-2.95M108.06%3.97M76.94%-575K103.04%1.28M166.61%2.53M
Financing cash flow
Net issuance payments of debt -30.66%-1.84M-10.86%-1.41M56.14%-1.27M-77.57%-2.9M-171.24%-1.63M404.25%2.29M---753K---285K---282K---186K
Net common stock issuance --6.13M--0--------------------------------
Increase or decrease of lease financing -13.20%-712K34.21%-629K-6.22%-956K-6.01%-900K-6.26%-849K-6.39%-799K---751K------------
Cash dividends paid -33.36%-4.06M-49.98%-3.04M-100.10%-2.03M---1.01M----0.00%-1.01M---1.01M--0-------1.01M
Net other fund-raising expenses --6.13M------------------------------------
Financing cash flow 90.47%-484K-19.38%-5.08M11.55%-4.26M-93.95%-4.81M-619.04%-2.48M118.98%478K---2.52M---1.04M---282K---1.2M
Net cash flow
Beginning cash position 116.10%79.42M-22.96%36.75M-20.18%47.7M34.85%59.76M-2.00%44.32M56.37%45.22M-66.62%28.92M67.30%47.98M-51.26%37.22M-57.17%34.64M
Current changes in cash -76.59%9.9M520.61%42.28M-179.63%-10.05M-11.94%12.63M9,856.25%14.34M-99.14%144K128.58%16.74M-605.38%-1.6M120.54%9.81M141.01%2.47M
Effect of exchange rate changes -13.12%331K142.47%381K2.29%-897K-182.93%-918K205.43%1.11M-140.27%-1.05M-151.29%-437K-1,430.26%-1.16M986.21%945K-92.42%114K
End cash Position 12.88%89.65M116.10%79.42M-48.58%36.75M19.59%71.47M34.85%59.76M-2.00%44.32M56.37%45.22M56.37%45.22M67.30%47.98M-51.26%37.22M
Free cash flow -135.38%-11.84M28.07%33.47M44.79%26.13M92.50%18.05M331.62%9.38M-128.21%-4.05M179.04%14.35M-137.71%-561K247.73%8.66M114.08%985K
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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