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BTDR Bitdeer Technologies

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  • 6.090
  • +0.030+0.50%
Trading May 28 15:47 ET
719.28MMarket Cap-14853P/E (TTM)

Bitdeer Technologies Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-1.40%-271.79M
-410.88%-268.04M
51.94%-52.47M
-92.88%-109.18M
-56.6M
Net income from continuing operations
6.15%-56.66M
-173.04%-60.37M
248.04%82.64M
-100.09%-55.83M
---27.9M
Operating gains losses
-156.32%-3.17M
135.52%5.63M
-3,658.53%-15.86M
-107.64%-422K
--5.52M
Depreciation and amortization
13.73%75.54M
5.34%66.42M
-43.72%63.06M
135.77%112.04M
--47.52M
Deferred tax
229.20%5.69M
-109.12%-4.4M
706.03%48.25M
---7.96M
----
Other non cash items
-2.61%-311.97M
10.21%-304.05M
-99.41%-338.64M
-101.04%-169.82M
---84.47M
Change In working capital
13.35%-35.26M
-336.28%-40.69M
81.89%17.22M
262.62%9.47M
--2.61M
-Change in receivables
105.39%270K
63.33%-5.01M
---13.67M
--0
--0
-Change in prepaid assets
-124.69%-49.24M
-438.40%-21.91M
24.36%-4.07M
-124.58%-5.38M
---2.4M
-Change in payables and accrued expense
285.59%8.21M
-117.55%-4.42M
1,054.63%25.19M
0.51%2.18M
--2.17M
-Change in other current assets
-99.60%4K
-83.18%1M
-65.84%5.96M
264.55%17.44M
--4.78M
-Change in other working capital
153.16%5.5M
-371.40%-10.34M
179.84%3.81M
-145.02%-4.77M
---1.95M
Cash from discontinued investing activities
Operating cash flow
-1.40%-271.79M
-410.88%-268.04M
51.94%-52.47M
-92.88%-109.18M
---56.6M
Investing cash flow
Cash flow from continuing investing activities
49.38%199.85M
-66.09%133.79M
528.88%394.57M
135.93%62.74M
-174.64M
Net PPE purchase and sale
-102.84%-126.25M
29.77%-62.24M
38.32%-88.62M
-117.11%-143.67M
---66.18M
Net intangibles purchase and sale
8.77%299.13M
-45.92%275M
193.83%508.51M
95.79%173.06M
--88.39M
Net business purchase and sale
--0
-13.42%-16.85M
---14.86M
--0
--0
Net investment purchase and sale
144.27%26.71M
---60.34M
--0
--0
----
Net other investing changes
114.65%261K
82.99%-1.78M
-131.39%-10.47M
116.94%33.35M
---196.85M
Cash from discontinued investing activities
Investing cash flow
49.38%199.85M
-66.09%133.79M
528.88%394.57M
135.93%62.74M
---174.64M
Financing cash flow
Cash flow from continuing financing activities
-247.40%-13.49M
73.08%-3.88M
-146.87%-14.43M
-86.41%30.78M
226.41M
Net issuance payments of debt
-213.88%-12.19M
-11.51%-3.88M
-162.78%-3.48M
205.80%5.55M
---5.24M
Net common stock issuance
--6.89M
--0
--0
----
----
Proceeds from stock option exercised by employees
--412K
--0
--0
----
----
Net other financing activities
---8.6M
----
-143.38%-10.94M
-89.11%25.23M
--231.66M
Cash from discontinued financing activities
Financing cash flow
-247.40%-13.49M
73.08%-3.88M
-146.87%-14.43M
-86.41%30.78M
--226.41M
Net cash flow
Beginning cash position
-37.82%231.36M
731.43%372.09M
-25.19%44.75M
-8.36%59.83M
--65.29M
Current changes in cash
38.15%-85.43M
-142.15%-138.13M
2,192.71%327.68M
-224.38%-15.66M
---4.83M
Effect of exchange rate changes
53.54%-1.21M
-659.65%-2.6M
-158.46%-342K
192.42%585K
---633K
End cash Position
-37.44%144.73M
-37.82%231.36M
731.43%372.09M
-25.19%44.75M
--59.83M
Free cash flow
35.50%-398.13M
-205.55%-617.23M
20.18%-202M
-105.92%-253.06M
---122.9M
Currency Unit
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion with Explanatory Notes
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -1.40%-271.79M-410.88%-268.04M51.94%-52.47M-92.88%-109.18M-56.6M
Net income from continuing operations 6.15%-56.66M-173.04%-60.37M248.04%82.64M-100.09%-55.83M---27.9M
Operating gains losses -156.32%-3.17M135.52%5.63M-3,658.53%-15.86M-107.64%-422K--5.52M
Depreciation and amortization 13.73%75.54M5.34%66.42M-43.72%63.06M135.77%112.04M--47.52M
Deferred tax 229.20%5.69M-109.12%-4.4M706.03%48.25M---7.96M----
Other non cash items -2.61%-311.97M10.21%-304.05M-99.41%-338.64M-101.04%-169.82M---84.47M
Change In working capital 13.35%-35.26M-336.28%-40.69M81.89%17.22M262.62%9.47M--2.61M
-Change in receivables 105.39%270K63.33%-5.01M---13.67M--0--0
-Change in prepaid assets -124.69%-49.24M-438.40%-21.91M24.36%-4.07M-124.58%-5.38M---2.4M
-Change in payables and accrued expense 285.59%8.21M-117.55%-4.42M1,054.63%25.19M0.51%2.18M--2.17M
-Change in other current assets -99.60%4K-83.18%1M-65.84%5.96M264.55%17.44M--4.78M
-Change in other working capital 153.16%5.5M-371.40%-10.34M179.84%3.81M-145.02%-4.77M---1.95M
Cash from discontinued investing activities
Operating cash flow -1.40%-271.79M-410.88%-268.04M51.94%-52.47M-92.88%-109.18M---56.6M
Investing cash flow
Cash flow from continuing investing activities 49.38%199.85M-66.09%133.79M528.88%394.57M135.93%62.74M-174.64M
Net PPE purchase and sale -102.84%-126.25M29.77%-62.24M38.32%-88.62M-117.11%-143.67M---66.18M
Net intangibles purchase and sale 8.77%299.13M-45.92%275M193.83%508.51M95.79%173.06M--88.39M
Net business purchase and sale --0-13.42%-16.85M---14.86M--0--0
Net investment purchase and sale 144.27%26.71M---60.34M--0--0----
Net other investing changes 114.65%261K82.99%-1.78M-131.39%-10.47M116.94%33.35M---196.85M
Cash from discontinued investing activities
Investing cash flow 49.38%199.85M-66.09%133.79M528.88%394.57M135.93%62.74M---174.64M
Financing cash flow
Cash flow from continuing financing activities -247.40%-13.49M73.08%-3.88M-146.87%-14.43M-86.41%30.78M226.41M
Net issuance payments of debt -213.88%-12.19M-11.51%-3.88M-162.78%-3.48M205.80%5.55M---5.24M
Net common stock issuance --6.89M--0--0--------
Proceeds from stock option exercised by employees --412K--0--0--------
Net other financing activities ---8.6M-----143.38%-10.94M-89.11%25.23M--231.66M
Cash from discontinued financing activities
Financing cash flow -247.40%-13.49M73.08%-3.88M-146.87%-14.43M-86.41%30.78M--226.41M
Net cash flow
Beginning cash position -37.82%231.36M731.43%372.09M-25.19%44.75M-8.36%59.83M--65.29M
Current changes in cash 38.15%-85.43M-142.15%-138.13M2,192.71%327.68M-224.38%-15.66M---4.83M
Effect of exchange rate changes 53.54%-1.21M-659.65%-2.6M-158.46%-342K192.42%585K---633K
End cash Position -37.44%144.73M-37.82%231.36M731.43%372.09M-25.19%44.75M--59.83M
Free cash flow 35.50%-398.13M-205.55%-617.23M20.18%-202M-105.92%-253.06M---122.9M
Currency Unit USDUSDUSDUSDUSD
Audit Opinions Unqualified OpinionUnqualified Opinion with Explanatory Notes----Unqualified Opinion with Explanatory Notes

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