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As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 3/18/24 Bitdeer Technologies Group F-3 226:33M Broadridge Fin’l So… Inc |
Document/Exhibit Description Pages Size 1: F-3 Registration Statement by a Foreign Issuer - HTML 6.32M Securities for a Transaction 2: EX-5.1 Opinion of Counsel re: Legality HTML 95K 3: EX-23.1 Consent of Expert or Counsel HTML 55K 4: EX-23.2 Consent of Expert or Counsel HTML 56K 5: EX-FILING FEES Filing Fees Table HTML 62K 11: R1 Document and Entity Information HTML 67K 12: R2 Condensed Consolidated Statements of Financial HTML 132K Position (Q2) 13: R3 Consolidated Statements of Operations and HTML 116K Comprehensive Income / (Loss) (Q2) 14: R4 Condensed Consolidated Statements of Changes in HTML 77K Equity (Q2) 15: R5 Condensed Consolidated Statements of Cash Flows HTML 208K (Q2) 16: R6 Consolidated Statements of Financial Position (Fy) HTML 138K 17: R7 Consolidated Statements of Operations and HTML 120K Comprehensive Income / (Loss) (Fy) 18: R8 Consolidated Statements of Changes in Equity (Fy) HTML 86K 19: R9 Consolidated Statements of Cash Flows (Fy) HTML 208K 20: R10 Organization (Q2) HTML 86K 21: R11 Basis of Preparation (Q2) HTML 103K 22: R12 Significant Accounting Policies (Q2) HTML 326K 23: R13 Critical Accounting Estimates and Assumptions (Q2) HTML 60K 24: R14 Financial Risk Management and Fair Values of HTML 300K Financial Instruments (Q2) 25: R15 Revenue and Contract Balances (Q2) HTML 82K 26: R16 Segment Information (Q2) HTML 81K 27: R17 Cash, Cash Equivalents and Restricted Cash (Q2) HTML 107K 28: R18 Cryptocurrencies (Q2) HTML 211K 29: R19 Prepayments and Other Assets (Q2) HTML 92K 30: R20 Financial Assets at Fair Value Through Profit or HTML 91K Loss (Q2) 31: R21 Mining Machines (Q2) HTML 137K 32: R22 Property, Plant and Equipment (Q2) HTML 454K 33: R23 Investment Properties (Q2) HTML 154K 34: R24 Leases (Q2) HTML 128K 35: R25 Borrowings (Q2) HTML 73K 36: R26 Other Payables and Accruals (Q2) HTML 86K 37: R27 Expenses by Nature and Other Income and Expenses HTML 257K Items (Q2) 38: R28 Share-Based Payments (Q2) HTML 190K 39: R29 Equity (Q2) HTML 119K 40: R30 Taxation (Q2) HTML 233K 41: R31 Related Party Transactions (Q2) HTML 226K 42: R32 Earnings / (Loss) Per Share (Q2) HTML 105K 43: R33 Supplemental Cash Flow Information (Q2) HTML 106K 44: R34 Subsequent Events (Q2) HTML 64K 45: R35 Organization (Fy) HTML 86K 46: R36 Summary of Significant Accounting Policies (Fy) HTML 326K 47: R37 Use of Judgments and Estimates (Fy) HTML 75K 48: R38 Financial Risk Management and Fair Values of HTML 300K Financial Instruments (Fy) 49: R39 Asset Acquisition (Fy) HTML 71K 50: R40 Cash, Cash Equivalents and Restricted Cash (Fy) HTML 107K 51: R41 Cryptocurrencies (Fy) HTML 211K 52: R42 Prepayments and Other Assets (Fy) HTML 92K 53: R43 Financial Assets at Fair Value Through Profit or HTML 91K Loss (Fy) 54: R44 Mining Machines (Fy) HTML 137K 55: R45 Property, Plant and Equipment (Fy) HTML 454K 56: R46 Investment Properties (Fy) HTML 154K 57: R47 Leases (Fy) HTML 128K 58: R48 Borrowings (Fy) HTML 73K 59: R49 Other Payables and Accruals (Fy) HTML 86K 60: R50 Expenses by Nature and Other Income and Expenses HTML 257K Items (Fy) 61: R51 Share-Based Payments (Fy) HTML 190K 62: R52 Equity (Fy) HTML 119K 63: R53 Taxation (Fy) HTML 233K 64: R54 Related Party Transactions (Fy) HTML 226K 65: R55 Earnings / (Loss) Per Share (Fy) HTML 105K 66: R56 Supplemental Cash Flow Information (Fy) HTML 106K 67: R57 Subsequent Events (Fy) HTML 64K 68: R58 Significant Accounting Policies (Q2) (Policies) HTML 63K 69: R59 Summary of Significant Accounting Policies (Fy) HTML 378K (Policies) 70: R60 Organization (Q2) (Tables) HTML 72K 71: R61 Financial Risk Management and Fair Values of HTML 275K Financial Instruments (Q2) (Tables) 72: R62 Revenue and Contract Balances (Q2) (Tables) HTML 108K 73: R63 Segment Information (Q2) (Tables) HTML 106K 74: R64 Cash, Cash Equivalents and Restricted Cash (Q2) HTML 104K (Tables) 75: R65 Cryptocurrencies (Q2) (Tables) HTML 217K 76: R66 Prepayments and Other Assets (Q2) (Tables) HTML 90K 77: R67 Financial Assets at Fair Value Through Profit or HTML 89K Loss (Q2) (Tables) 78: R68 Mining Machines (Q2) (Tables) HTML 136K 79: R69 Property, Plant and Equipment (Q2) (Tables) HTML 452K 80: R70 Investment Properties (Q2) (Tables) HTML 150K 81: R71 Leases (Q2) (Tables) HTML 118K 82: R72 Borrowings (Q2) (Tables) HTML 71K 83: R73 Other Payables and Accruals (Q2) (Tables) HTML 84K 84: R74 Expenses by Nature and Other Income and Expenses HTML 257K Items (Q2) (Tables) 85: R75 Share-Based Payments (Q2) (Tables) HTML 183K 86: R76 Taxation (Q2) (Tables) HTML 213K 87: R77 Related Party Transactions (Q2) (Tables) HTML 131K 88: R78 Earnings / (Loss) Per Share (Q2) (Tables) HTML 100K 89: R79 Supplemental Cash Flow Information (Q2) (Tables) HTML 104K 90: R80 Summary of Significant Accounting Policies (Fy) HTML 224K (Tables) 91: R81 Financial Risk Management and Fair Values of HTML 275K Financial Instruments (Fy) (Tables) 92: R82 Asset Acquisition (Fy) (Tables) HTML 69K 93: R83 Cash, Cash Equivalents and Restricted Cash (Fy) HTML 104K (Tables) 94: R84 Cryptocurrencies (Fy) (Tables) HTML 217K 95: R85 Prepayments and Other Assets (Fy) (Tables) HTML 90K 96: R86 Financial Assets at Fair Value Through Profit or HTML 89K Loss (Fy) (Tables) 97: R87 Mining Machines (Fy) (Tables) HTML 136K 98: R88 Property, Plant and Equipment (Fy) (Tables) HTML 452K 99: R89 Investment Properties (Fy) (Tables) HTML 150K 100: R90 Leases (Fy) (Tables) HTML 125K 101: R91 Borrowings (Fy) (Tables) HTML 71K 102: R92 Other Payables and Accruals (Fy) (Tables) HTML 84K 103: R93 Expenses by Nature and Other Income and Expenses HTML 257K Items (Fy) (Tables) 104: R94 Share-Based Payments (Fy) (Tables) HTML 183K 105: R95 Equity (Fy) (Tables) HTML 97K 106: R96 Taxation (Fy) (Tables) HTML 235K 107: R97 Related Party Transactions (Fy) (Tables) HTML 153K 108: R98 Earnings / (Loss) Per Share (Fy) (Tables) HTML 100K 109: R99 Supplemental Cash Flow Information (Fy) (Tables) HTML 104K 110: R100 Organization (Q2) (Details) HTML 79K 111: R101 Organization - Purchase price allocation of HTML 81K identifiable assets acquired and liabilities assumed (Q2) (Details) 112: R102 Critical Accounting Estimates and Assumptions (Q2) HTML 64K (Details) 113: R103 Financial Risk Management and Fair Values of HTML 96K Financial Instruments (Q2) (Details) 114: R104 Financial Risk Management and Fair Values of HTML 98K Financial Instruments - Fair value hierarchy (Q2) (Details) 115: R105 FINANCIAL RISK MANAGEMENT AND FAIR VALUES OF HTML 71K FINANCIAL INSTRUMENTS - Reconciliation of changes in fair value measurement of assets (Q2) (Details) 116: R106 REVENUE AND CONTRACT BALANCES - Schedule of HTML 91K contracts with customers, Revenue (Q2) (Details) 117: R107 Revenue and Contract Balances (Q2) (Details) HTML 72K 118: R108 Segment Information (Q2) (Details) HTML 79K 119: R109 CASH, CASH EQUIVALENTS AND RESTRICTED CASH - HTML 76K breakdown of cash and cash equivalents (Q2) (Details) 120: R110 Cash, Cash Equivalents and Restricted Cash (Q2) HTML 72K (Details) 121: R111 CRYPTOCURRENCIES - Group's cryptocurrencies (Q2) HTML 62K (Details) 122: R112 Cryptocurrencies (Q2) (Details) HTML 89K 123: R113 Prepayments and Other Assets (Q2) (Details) HTML 90K 124: R114 Financial Assets at Fair Value Through Profit or HTML 78K Loss (Q2) (Details) 125: R115 Mining Machines (Q2) (Details) HTML 77K 126: R116 PROPERTY, PLANT AND EQUIPMENT - Property plant and HTML 132K equipment (Q2) (Details) 127: R117 INVESTMENT PROPERTIES - Schedule of investment HTML 97K properties (Q2) (Details) 128: R118 INVESTMENT PROPERTIES - Maturity analysis of lease HTML 73K payments receivable under operating leases (Q2) (Details) 129: R119 Investment Properties (Q2) (Details) HTML 71K 130: R120 Leases (Q2) (Details) HTML 62K 131: R121 Leases - Right of use Assets (Q2) (Details) HTML 68K 132: R122 LEASES - Lease liabilities (Q2) (Details) HTML 69K 133: R123 LEASES - Restoration provision (Q2) (Details) HTML 61K 134: R124 LEASES - Amounts recognized in profit or loss (Q2) HTML 78K (Details) 135: R125 BORROWINGS - Schedule of borrowings (Q2) (Details) HTML 63K 136: R126 Borrowings (Q2) (Details) HTML 67K 137: R127 Other Payables and Accruals (Q2) (Details) HTML 71K 138: R128 Expenses by Nature and Other Income and Expenses HTML 108K Items (Q2) (Details) 139: R129 Expenses by Nature and Other Income and Expenses HTML 64K Items - Other operating expenses (Q2) (Details) 140: R130 EXPENSES BY NATURE AND OTHER INCOME AND EXPENSES HTML 68K ITEMS - Other net gain (Q2) (Details) 141: R131 EXPENSES BY NATURE AND OTHER INCOME AND EXPENSES HTML 74K ITEMS - Finance expenses (Q2) (Details) 142: R132 Share-Based Payments (Q2) (Details) HTML 88K 143: R133 Share-Based Payments - Schedule of movements in HTML 100K share awards (Q2) (Details) 144: R134 SHARE-BASED PAYMENTS - Share based compensation HTML 68K expense (Q2) (Details) 145: R135 SHARE-BASED PAYMENTS - Fair value of share awards HTML 75K (Q2) (Details) 146: R136 Equity (Q2) (Details) HTML 117K 147: R137 TAXATION - Provisions for income taxes (Q2) HTML 67K (Details) 148: R138 TAXATION - Deferred tax assets and liabilities HTML 90K (Q2) (Details) 149: R139 TAXATION - Movements in the net deferred tax HTML 79K assets (Q2) (Details) 150: R140 TAXATION - Gross value of such unused tax losses HTML 67K (Q2) (Details) 151: R141 Related Party Transactions (Q2) (Details) HTML 61K 152: R142 Related Party Transactions - Details of assets, HTML 68K liabilities (Q2) (Details) 153: R143 RELATED PARTY TRANSACTIONS - Transactions with the HTML 67K related party (Q2) (Details) 154: R144 RELATED PARTY TRANSACTIONS - Summary of HTML 94K transactions (Q2) (Details) 155: R145 Earnings / (LOSS) PER SHARE - Computation of basic HTML 68K and diluted earnings (Q2) (Details) 156: R146 Earnings / (LOSS) PER SHARE - Additional HTML 62K information (Q2) (Details) 157: R147 Supplemental Cash Flow Information (Q2) (Details) HTML 71K 158: R148 SUBSEQUENT EVENTS - Promissory Note (Q2) (Details) HTML 68K 159: R149 SUBSEQUENT EVENTS - Agreement (Q2) (Details) HTML 81K 160: R150 SUBSEQUENT EVENTS - Share Repurchase (Q2) HTML 62K (Details) 161: R151 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES - HTML 70K Restated consolidated statements of operations and comprehensive income (Fy) (Details) 162: R152 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES - HTML 73K Restated consolidated statements of cash flows (Fy) (Details) 163: R153 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES - HTML 60K Useful lives (Fy) (Details) 164: R154 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES - HTML 70K Useful lives of PPE (Fy) (Details) 165: R155 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES - HTML 68K Investment properties (Fy) (Details) 166: R156 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES - HTML 109K Revenues (Fy) (Details) 167: R157 SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES - HTML 78K Disaggregated Revenues and Mining Assets Segment (Fy) (Details) 168: R158 Summary of Significant Accounting Policies - (Fy) HTML 68K (Details) 169: R159 Use of Judgments and Estimates (Fy) (Details) HTML 67K 170: R160 Financial Risk Management and Fair Values of HTML 96K Financial Instruments (Fy) (Details) 171: R161 Financial Risk Management and Fair Values of HTML 94K Financial Instruments - Fair value hierarchy (Fy) (Details) 172: R162 FINANCIAL RISK MANAGEMENT AND FAIR VALUES OF HTML 73K FINANCIAL INSTRUMENTS - Reconciliation of changes in fair value measurement of assets (Fy) (Details) 173: R163 Asset Acquisition (Fy) (Details) HTML 66K 174: R164 Asset Acquisition -Net identifiable assets HTML 78K acquired and purchase consideration (Fy) (Details) 175: R165 CASH, CASH EQUIVALENTS AND RESTRICTED CASH - HTML 74K breakdown of cash and cash equivalents (Fy) (Details) 176: R166 Cash, Cash Equivalents and Restricted Cash (Fy) HTML 72K (Details) 177: R167 CRYPTOCURRENCIES - Group's cryptocurrencies (Fy) HTML 62K (Details) 178: R168 Cryptocurrencies (Fy) (Details) HTML 103K 179: R169 Prepayments and Other Assets (Fy) (Details) HTML 91K 180: R170 Financial Assets at Fair Value Through Profit or HTML 76K Loss (Fy) (Details) 181: R171 Mining Machines (Fy) (Details) HTML 80K 182: R172 PROPERTY, PLANT AND EQUIPMENT - Property plant and HTML 142K equipment (Fy) (Details) 183: R173 Property, Plant and Equipment (Fy) (Details) HTML 60K 184: R174 INVESTMENT PROPERTIES - Schedule of investment HTML 101K properties (Fy) (Details) 185: R175 INVESTMENT PROPERTIES - Maturity analysis of lease HTML 73K payments receivable under operating leases (Fy) (Details) 186: R176 Investment Properties (Fy) (Details) HTML 71K 187: R177 Leases (Fy) (Details) HTML 62K 188: R178 Leases - Right of use Assets (Fy) (Details) HTML 72K 189: R179 LEASES - Lease liabilities (Fy) (Details) HTML 69K 190: R180 LEASES - Restoration provision (Fy) (Details) HTML 61K 191: R181 LEASES - Amounts recognized in profit or loss (Fy) HTML 78K (Details) 192: R182 BORROWINGS - Schedule of borrowings (Fy) (Details) HTML 63K 193: R183 Borrowings (Fy) (Details) HTML 67K 194: R184 Other Payables and Accruals (Fy) (Details) HTML 71K 195: R185 Expenses by Nature and Other Income and Expenses HTML 110K Items (Fy) (Details) 196: R186 Expenses by Nature and Other Income and Expenses HTML 71K Items - other operating income / (Expenses) (Fy) (Details) 197: R187 EXPENSES BY NATURE AND OTHER INCOME AND EXPENSES HTML 82K ITEMS - Other net gain or (Loss) (Fy) (Details) 198: R188 EXPENSES BY NATURE AND OTHER INCOME AND EXPENSES HTML 77K ITEMS - Finance income (Costs) (Fy) (Details) 199: R189 Share-Based Payments (Fy) (Details) HTML 84K 200: R190 Share-Based Payments - Schedule of movements in HTML 93K share awards (Fy) (Details) 201: R191 SHARE-BASED PAYMENTS - Share based compensation HTML 68K expense (Fy) (Details) 202: R192 SHARE-BASED PAYMENTS - Fair value of share awards HTML 75K (Fy) (Details) 203: R193 Equity (Fy) (Details) HTML 89K 204: R194 Equity - Classes of shares - Votes (Fy) (Details) HTML 95K 205: R195 TAXATION - Provisions for income taxes (Fy) HTML 65K (Details) 206: R196 TAXATION - Reconciliation of tax rate (Fy) HTML 75K (Details) 207: R197 TAXATION - Deferred tax assets and liabilities HTML 86K (Fy) (Details) 208: R198 TAXATION - Movements in the net deferred tax HTML 80K assets (Fy) (Details) 209: R199 TAXATION - Gross value of such unused tax losses HTML 65K (Fy) (Details) 210: R200 Related Party Transactions (Fy) (Details) HTML 61K 211: R201 Related Party Transactions - Reconciliation of HTML 64K deemed contributions (Fy) (Details) 212: R202 RELATED PARTY TRANSACTIONS - Balances and HTML 71K transactions with Bitmain and BTC (Fy) (Details) 213: R203 RELATED PARTY TRANSACTIONS - Transactions with the HTML 67K related party (Fy) (Details) 214: R204 RELATED PARTY TRANSACTIONS - Additional HTML 76K information (Fy) (Details) 215: R205 RELATED PARTY TRANSACTION - Summary of HTML 103K transactions (Fy) (Details) 216: R206 Earnings / (Loss) Per Share (Fy) (Details) HTML 62K 217: R207 Earnings / (LOSS) PER SHARE - Computation of basic HTML 81K and diluted earnings (Fy) (Details) 218: R208 Earnings / (LOSS) PER SHARE - Additional HTML 69K information (Fy) (Details) 219: R209 Supplemental Cash Flow Information (Fy) (Details) HTML 83K 220: R210 SUBSEQUENT EVENTS - award granted (Fy) (Details) HTML 68K 221: R211 SUBSEQUENT EVENTS - Business Combination (Fy) HTML 60K (Details) 223: XML IDEA XML File -- Filing Summary XML 452K 226: XML XBRL Instance -- ny20023745x3_f3_htm XML 8.59M 222: EXCEL IDEA Workbook of Financial Report Info XLSX 556K 7: EX-101.CAL XBRL Calculations -- btdr-20240318_cal XML 421K 8: EX-101.DEF XBRL Definitions -- btdr-20240318_def XML 2.11M 9: EX-101.LAB XBRL Labels -- btdr-20240318_lab XML 3.41M 10: EX-101.PRE XBRL Presentations -- btdr-20240318_pre XML 3.05M 6: EX-101.SCH XBRL Schema -- btdr-20240318 XSD 558K 224: JSON XBRL Instance as JSON Data -- MetaLinks 587± 958K 225: ZIP XBRL Zipped Folder -- 0001140361-24-013888-xbrl Zip 995K
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Security Type
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Security
Class Title |
Fee Calculation Rule
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Amount Registered(1)
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Proposed Maximum Offering Price Per Unit
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Maximum Aggregate Offering Price
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Fee Rate
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Amount of Registration Fee
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Fees to Be Paid
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Equity
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Class A ordinary shares, par value US$0.0000001 per share
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Rule 457(c)
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63,726,338(2)
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$6.15(3)
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$391,916,978.7
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0.00014760
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$57,846.95(4)
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Total Offering Amounts
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$57,846.95
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$57,846.95
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||||||
Net Fee Due
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$57,846.95
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(1)
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Pursuant to Rule 416 under the Securities Act of 1933, as amended (the “Securities Act”), includes an indeterminable number of additional Class A ordinary shares of Bitdeer Technologies Group (the “Registrant”), par value $0.0000001
per share (“ Class A Ordinary Shares”), that may be issued to prevent dilution from share splits, share dividends or similar transactions that could result in an increase to the number of outstanding Class A Ordinary Shares.
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(2)
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Represents 63,726,338 Class A Ordinary Shares registered for resale by certain Selling Securityholders named in the Registration Statement.
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(3)
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Calculated in accordance with Rule 457(c) under Securities Act, based on the average of the high and low prices of the Class A Ordinary Shares on the Nasdaq on March 12, 2024.
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(4)
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Calculated by multiplying the proposed Maximum Aggregate Offering Price of securities to be registered by 0.00014760.
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This ‘F-3’ Filing | Date | Other Filings | ||
---|---|---|---|---|
Filed on: | 3/18/24 | F-3 | ||
3/12/24 | ||||
List all Filings |
As Of Filer Filing For·On·As Docs:Size Issuer Filing Agent 3/28/24 Bitdeer Technologies Group F-3/A 2:482K Broadridge Fin’l So… Inc |