SG Stock MarketDetailed Quotes

Fu Yu (F13)

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  • 0.113
  • -0.009-7.38%
10min DelayMarket Closed May 15 17:09 CST
86.11MMarket Cap-10.27P/E (TTM)

F13 Fu Yu

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
-94.20%250K
340.68%4.31M
-106.25%-1.79M
9.51%28.66M
-26.28%26.17M
19.87%35.51M
16.68%29.62M
-19.76%7.11M
22.77%10.4M
47.91%8.12M
Net profit before non-cash adjustment
-146.55%-7.25M
72.27%-2.94M
-160.87%-10.6M
-17.98%17.42M
8.36%21.24M
20.96%19.6M
1.77%16.21M
13.08%4.32M
-21.32%4.65M
-9.20%4.76M
Total adjustment of non-cash items
-10.72%9.05M
-15.98%10.13M
27.53%12.06M
46.76%9.46M
-6.57%6.44M
-35.98%6.9M
69.09%10.77M
29.02%1.93M
56.61%3.15M
52.51%3.29M
-Depreciation and amortization
-6.83%7.8M
-2.65%8.37M
10.14%8.6M
0.33%7.81M
-17.35%7.78M
-19.17%9.42M
66.75%11.65M
56.52%2.65M
73.18%2.97M
69.20%3.01M
-Reversal of impairment losses recognized in profit and loss
-44.05%2.27M
51.12%4.05M
12,081.82%2.68M
1,000.00%22K
-99.24%2K
118.18%264K
450.00%121K
-1,944.44%-166K
3,700.00%266K
533.33%19K
-Share of associates
----
----
----
----
--0
-87.44%26K
-74.06%207K
-98.37%4K
-93.58%17K
-18.38%111K
-Disposal profit
36.46%-122K
-147.06%-192K
1,557.14%408K
95.28%-28K
64.53%-593K
-670.51%-1.67M
75.86%-217K
-12.96%-122K
90.97%-64K
118.06%13K
-Net exchange gains and losses
----
----
----
315.74%1.21M
-28.21%-559K
-269.65%-436K
-75.89%257K
-335.56%-106K
-68.71%326K
-42.08%428K
-Remuneration paid in stock
--0
-156.77%-759K
46.12%1.34M
--915K
----
----
----
----
----
----
-Other non-cash items
32.89%-900K
-38.53%-1.34M
-106.40%-968K
-145.55%-469K
72.87%-191K
43.59%-704K
22.19%-1.25M
14.99%-329K
-18.18%-364K
32.01%-291K
Changes in working capital
46.32%-1.55M
11.36%-2.88M
-282.11%-3.25M
218.00%1.78M
-116.78%-1.51M
240.66%9.01M
-14.52%2.64M
-75.95%850K
368.53%2.61M
103.77%72K
-Change in receivables
43.12%-2.52M
-498.24%-4.43M
-137.95%-740K
-68.67%1.95M
-40.48%6.23M
181.66%10.46M
-23.77%3.71M
71.04%7.7M
3.24%-2.09M
13.34%-2.57M
-Change in inventory
-11.03%-1.89M
-138.93%-1.7M
285.86%4.38M
34.31%-2.36M
-202.40%-3.59M
1,004.42%3.5M
-18.09%317K
107.15%2.66M
83.30%834K
-469.71%-1.38M
-Change in payables
-97.48%65K
135.41%2.58M
-484.28%-7.29M
143.93%1.9M
6.19%-4.32M
-199.35%-4.6M
-6.88%-1.54M
-358.36%-9.38M
45.69%3.57M
362.12%4.27M
-Changes in other current assets
316.05%2.8M
67.41%673K
37.67%402K
76.97%292K
147.01%165K
-332.45%-351K
120.77%151K
34.30%-136K
261.96%298K
-4.22%-247K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-114.01%-1.56M
73.48%-728K
60.40%-2.75M
-98.77%-6.93M
-23.39%-3.49M
-22.87%-2.83M
-9.58%-2.3M
29.72%-357K
-49.01%-678K
-38.77%-809K
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
-136.49%-1.31M
179.02%3.59M
-120.88%-4.54M
-4.21%21.73M
-30.58%22.69M
19.62%32.68M
17.32%27.32M
-19.15%6.75M
21.28%9.72M
49.00%7.31M
Investing cash flow
Net PPE purchase and sale
65.60%-2.32M
-71.36%-6.75M
65.62%-3.94M
7.28%-11.45M
-196.92%-12.35M
40.42%-4.16M
-12.78%-6.98M
-46.98%-2.87M
1.80%-1.47M
22.90%-1.12M
Net intangibles purchase and sale
---792K
--0
----
----
----
----
----
----
----
----
Net business purchase and sale
----
----
----
----
-477.02%-1.77M
--470K
--0
----
----
----
Net investment product transactions
----
----
----
----
----
----
1,401.45%3.59M
264.14%2.33M
-131.75%-20K
-98.48%9K
Interest received (cash flow from investment activities)
-17.70%1.37M
-12.76%1.66M
129.95%1.9M
70.02%828K
-52.67%487K
-39.40%1.03M
5.86%1.7M
11.37%431K
47.08%453K
-3.97%411K
Investing cash flow
65.68%-1.75M
-150.10%-5.09M
80.86%-2.03M
22.09%-10.63M
-412.48%-13.64M
-57.27%-2.66M
65.21%-1.69M
96.52%-104K
7.91%-1.04M
-63.08%-698K
Financing cash flow
Net issuance payments of debt
--0
16.66%-3.34M
-340.06%-4.01M
-70.60%1.67M
--5.68M
--0
----
----
---1.43M
---1.13M
Increase or decrease of lease financing
31.78%-803K
7.61%-1.18M
0.55%-1.27M
-21.42%-1.28M
58.38%-1.06M
49.38%-2.54M
---5.01M
----
----
----
Cash dividends paid
----
----
63.44%-4.54M
66.67%-12.42M
-266.68%-37.27M
15.63%-10.17M
0.00%-12.05M
16.64%-1.88M
-16.64%-2.64M
0.00%-7.53M
Interest paid (cash flow from financing activities)
22.06%-212K
46.56%-272K
-57.59%-509K
-2,207.14%-323K
---14K
--0
----
----
----
----
Net other fund-raising expenses
-106.42%-325K
106.03%5.06M
47.60%2.46M
116.47%1.66M
-406.24%-10.1M
3,399.00%3.3M
99.53%-100K
4.00%-24K
3.85%-25K
99.88%-25K
Financing cash flow
-596.30%-1.34M
103.43%270K
26.33%-7.88M
74.99%-10.69M
-354.90%-42.77M
45.20%-9.4M
48.67%-17.16M
-20.18%-2.75M
-79.12%-4.09M
69.86%-8.69M
Net cash flow
Beginning cash position
0.49%55.46M
-22.73%55.19M
-3.18%71.42M
-30.72%73.77M
25.18%106.49M
10.45%85.07M
-16.51%77.02M
9.75%81.27M
8.71%76.75M
-16.47%79.5M
Current changes in cash
-256.66%-4.39M
91.47%-1.23M
-3,615.57%-14.45M
101.22%411K
-263.53%-33.72M
143.35%20.62M
156.49%8.47M
26.74%3.9M
-0.28%4.59M
91.46%-2.08M
Effect of exchange rate changes
-186.48%-1.3M
183.95%1.5M
35.15%-1.79M
-375.70%-2.76M
25.00%1M
289.57%800K
-78.06%-422K
5.31%-107K
93.77%-72K
-206.94%-663K
End cash Position
-10.26%49.76M
0.49%55.46M
-22.73%55.19M
-3.18%71.42M
-30.72%73.77M
25.18%106.49M
10.45%85.07M
10.45%85.07M
9.75%81.27M
8.71%76.75M
Free cash flow
-35.41%-4.54M
60.52%-3.36M
-183.61%-8.5M
7.45%10.17M
-64.39%9.46M
32.57%26.56M
24.78%20.04M
-40.63%3.7M
42.67%8.19M
83.07%6.19M
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 -94.20%250K340.68%4.31M-106.25%-1.79M9.51%28.66M-26.28%26.17M19.87%35.51M16.68%29.62M-19.76%7.11M22.77%10.4M47.91%8.12M
Net profit before non-cash adjustment -146.55%-7.25M72.27%-2.94M-160.87%-10.6M-17.98%17.42M8.36%21.24M20.96%19.6M1.77%16.21M13.08%4.32M-21.32%4.65M-9.20%4.76M
Total adjustment of non-cash items -10.72%9.05M-15.98%10.13M27.53%12.06M46.76%9.46M-6.57%6.44M-35.98%6.9M69.09%10.77M29.02%1.93M56.61%3.15M52.51%3.29M
-Depreciation and amortization -6.83%7.8M-2.65%8.37M10.14%8.6M0.33%7.81M-17.35%7.78M-19.17%9.42M66.75%11.65M56.52%2.65M73.18%2.97M69.20%3.01M
-Reversal of impairment losses recognized in profit and loss -44.05%2.27M51.12%4.05M12,081.82%2.68M1,000.00%22K-99.24%2K118.18%264K450.00%121K-1,944.44%-166K3,700.00%266K533.33%19K
-Share of associates ------------------0-87.44%26K-74.06%207K-98.37%4K-93.58%17K-18.38%111K
-Disposal profit 36.46%-122K-147.06%-192K1,557.14%408K95.28%-28K64.53%-593K-670.51%-1.67M75.86%-217K-12.96%-122K90.97%-64K118.06%13K
-Net exchange gains and losses ------------315.74%1.21M-28.21%-559K-269.65%-436K-75.89%257K-335.56%-106K-68.71%326K-42.08%428K
-Remuneration paid in stock --0-156.77%-759K46.12%1.34M--915K------------------------
-Other non-cash items 32.89%-900K-38.53%-1.34M-106.40%-968K-145.55%-469K72.87%-191K43.59%-704K22.19%-1.25M14.99%-329K-18.18%-364K32.01%-291K
Changes in working capital 46.32%-1.55M11.36%-2.88M-282.11%-3.25M218.00%1.78M-116.78%-1.51M240.66%9.01M-14.52%2.64M-75.95%850K368.53%2.61M103.77%72K
-Change in receivables 43.12%-2.52M-498.24%-4.43M-137.95%-740K-68.67%1.95M-40.48%6.23M181.66%10.46M-23.77%3.71M71.04%7.7M3.24%-2.09M13.34%-2.57M
-Change in inventory -11.03%-1.89M-138.93%-1.7M285.86%4.38M34.31%-2.36M-202.40%-3.59M1,004.42%3.5M-18.09%317K107.15%2.66M83.30%834K-469.71%-1.38M
-Change in payables -97.48%65K135.41%2.58M-484.28%-7.29M143.93%1.9M6.19%-4.32M-199.35%-4.6M-6.88%-1.54M-358.36%-9.38M45.69%3.57M362.12%4.27M
-Changes in other current assets 316.05%2.8M67.41%673K37.67%402K76.97%292K147.01%165K-332.45%-351K120.77%151K34.30%-136K261.96%298K-4.22%-247K
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -114.01%-1.56M73.48%-728K60.40%-2.75M-98.77%-6.93M-23.39%-3.49M-22.87%-2.83M-9.58%-2.3M29.72%-357K-49.01%-678K-38.77%-809K
Other operating cash inflow (outflow) 0000000000
Operating cash flow -136.49%-1.31M179.02%3.59M-120.88%-4.54M-4.21%21.73M-30.58%22.69M19.62%32.68M17.32%27.32M-19.15%6.75M21.28%9.72M49.00%7.31M
Investing cash flow
Net PPE purchase and sale 65.60%-2.32M-71.36%-6.75M65.62%-3.94M7.28%-11.45M-196.92%-12.35M40.42%-4.16M-12.78%-6.98M-46.98%-2.87M1.80%-1.47M22.90%-1.12M
Net intangibles purchase and sale ---792K--0--------------------------------
Net business purchase and sale -----------------477.02%-1.77M--470K--0------------
Net investment product transactions ------------------------1,401.45%3.59M264.14%2.33M-131.75%-20K-98.48%9K
Interest received (cash flow from investment activities) -17.70%1.37M-12.76%1.66M129.95%1.9M70.02%828K-52.67%487K-39.40%1.03M5.86%1.7M11.37%431K47.08%453K-3.97%411K
Investing cash flow 65.68%-1.75M-150.10%-5.09M80.86%-2.03M22.09%-10.63M-412.48%-13.64M-57.27%-2.66M65.21%-1.69M96.52%-104K7.91%-1.04M-63.08%-698K
Financing cash flow
Net issuance payments of debt --016.66%-3.34M-340.06%-4.01M-70.60%1.67M--5.68M--0-----------1.43M---1.13M
Increase or decrease of lease financing 31.78%-803K7.61%-1.18M0.55%-1.27M-21.42%-1.28M58.38%-1.06M49.38%-2.54M---5.01M------------
Cash dividends paid --------63.44%-4.54M66.67%-12.42M-266.68%-37.27M15.63%-10.17M0.00%-12.05M16.64%-1.88M-16.64%-2.64M0.00%-7.53M
Interest paid (cash flow from financing activities) 22.06%-212K46.56%-272K-57.59%-509K-2,207.14%-323K---14K--0----------------
Net other fund-raising expenses -106.42%-325K106.03%5.06M47.60%2.46M116.47%1.66M-406.24%-10.1M3,399.00%3.3M99.53%-100K4.00%-24K3.85%-25K99.88%-25K
Financing cash flow -596.30%-1.34M103.43%270K26.33%-7.88M74.99%-10.69M-354.90%-42.77M45.20%-9.4M48.67%-17.16M-20.18%-2.75M-79.12%-4.09M69.86%-8.69M
Net cash flow
Beginning cash position 0.49%55.46M-22.73%55.19M-3.18%71.42M-30.72%73.77M25.18%106.49M10.45%85.07M-16.51%77.02M9.75%81.27M8.71%76.75M-16.47%79.5M
Current changes in cash -256.66%-4.39M91.47%-1.23M-3,615.57%-14.45M101.22%411K-263.53%-33.72M143.35%20.62M156.49%8.47M26.74%3.9M-0.28%4.59M91.46%-2.08M
Effect of exchange rate changes -186.48%-1.3M183.95%1.5M35.15%-1.79M-375.70%-2.76M25.00%1M289.57%800K-78.06%-422K5.31%-107K93.77%-72K-206.94%-663K
End cash Position -10.26%49.76M0.49%55.46M-22.73%55.19M-3.18%71.42M-30.72%73.77M25.18%106.49M10.45%85.07M10.45%85.07M9.75%81.27M8.71%76.75M
Free cash flow -35.41%-4.54M60.52%-3.36M-183.61%-8.5M7.45%10.17M-64.39%9.46M32.57%26.56M24.78%20.04M-40.63%3.7M42.67%8.19M83.07%6.19M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
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