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DBS
FY 2025 Cash Flow Statement
Reported operating, investing and financing cash movements for the selected period. The figures below are selected reported lines; open the workspace for the complete structured statement.
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Year ended 31 December 2025 · units
Reported lineReported valueNote
Net cash from operating activities1,391,811—
Net cash from investing activities1,271,896—
Net cash (used in) financing activities(9,101,992)—
Profit for the year50,542,253—
Deprecation of property, plant and equipment1,159,250—
Adjustments for non-cash income and expenses: (Gain) from revaluation of investment in equity instrument at fair value through(107,236)—
Provision for employee benefits allocated to expenses3,306,827—
profit or loss Unrealized (gain) from investment at fair value(2,440,916)—
Realized (gains) from investments at fair value(354,379)—
Depreciation of right-of-use assets98,208—
دار البلد — السنة المالية 2025
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