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Bird Construction Inc. (BDT)

CBOE Canada
Currency in CAD
Disclaimer
31.88
-0.64(-1.97%)
Closed

BDT Cash Flow Statement

Advanced Cash Flow Statement
Collapse All
Period Ending:
2014
31/07
2015
31/07
2016
31/07
2017
31/07
2018
31/07
2019
31/07
2020
31/07
2021
31/07
2022
31/07
2023
31/07
Cash from Operations
aa.aaaa.aaaa.aaaa.aaaa.aa-0.370.06-0.19-0.2-0.41
Cash from Operations Growth
Net Income
Depreciation & Amortization, Total
Amortization of Deferred Charges, Total
Other Non-Cash Items, Total
Change in Net Operating Assets
aa.aaaa.aaaa.aaaa.aaaa.aa-56.35%+115.89%-417.11%-7.97%-106.3%
aa.aaaa.aaaa.aaaa.aaaa.aa-0.69-8.74-0.3-0.24-0.56
aa.aaaa.aaaa.aaaa.aaaa.aa0.320.28---
aa.aaaa.aaaa.aaaa.aaaa.aa-----
aa.aaaa.aaaa.aaaa.aaaa.aa0.178.370.20.060.17
aa.aaaa.aaaa.aaaa.aaaa.aa-0.170.15-0.08-0.02-0.02
Cash from Investing
aa.aaaa.aaaa.aaaa.aaaa.aa-1.15-0.190--
Cash from Investing Growth
Capital Expenditure
Sale of Property, Plant, and Equipment
Cash Acquisitions
Divestitures
Other Investing Activities
Cash from Financing
aa.aaaa.aaaa.aaaa.aaaa.aa-0.010.040.62-0.15
Cash from Financing Growth
Total Debt Issued
Short Term Debt Issued, Total
Long-Term Debt Issued, Total
Total Debt Repaid
Short Term Debt Repaid, Total
Long-Term Debt Repaid, Total
Issuance of Common Stock
Repurchase of Common Stock
Issuance of Preferred Stock
Repurchase of Preferred Stock
Common & Preferred Stock Dividends Paid
Special Dividend Paid
Other Financing Activities
Foreign Exchange Rate Adjustments
Miscellaneous Cash Flow Adjustments
Net Change in Cash
aa.aaaa.aaaa.aaaa.aaaa.aa-1.52-0.090.44-0.2-0.26
Beginning Cash Balance
Ending Cash Balance
Levered Free Cash Flow
Levered Free Cash Flow Growth
Free Cash Flow Yield
aa.aaaa.aaaa.aaaa.aaaa.aa1.720.20.110.550.35
aa.aaaa.aaaa.aaaa.aaaa.aa0.20.110.550.350.09
aa.aaaa.aaaa.aaaa.aaaa.aa-1.21-0.54-0.17-0.11-0.2
aa.aaaa.aaaa.aaaa.aaaa.aa+46.09%+55.42%+68.89%+34.86%-85.78%
aa.aaaa.aaaa.aaaa.aaaa.aa-87.08%-12.66%--10.92%-22.98%
* In Millions of CAD (except for per share items)