Bird Construction Inc.

OTC: BIRDF · Real-Time Price · USD
20.07
0.20 (1.02%)
At close: Jun 06, 2025, 3:53 PM

Bird Construction Balance Sheet Statement

Financials in CAD. Fiscal year is January - December.
Fiscal Year Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
44.55M -5.58M 101.81M 133.62M 177.53M 82.38M 76.64M 62.82M 111.63M 36.99M 21.94M 89.84M 125.68M 106.37M 38.89M 79.94M
Short-Term Investments
n/a n/a 9.43M 9.22M 48K 8.06M 4M 5.11M 2.95M n/a 1.22M 3.98M 4.9M 4.78M 3.11M 956K
Long-Term Investments
14.28M 13.24M 12.81M 12.72M 10.48M 8.8M 8.36M 7.33M 9.79M 10.84M 12.38M 13.02M 13.47M 15.32M 14.69M 15.78M
Other Long-Term Assets
3.22M 3.55M 33.71M 3.66M 3.65M 3.79M 5.21M 5.93M 5.54M 5.04M 5.89M 9.55M 9.1M 8.12M 8.65M 14.93M
Receivables
1.13B 1.19B 1.06B 932.53M 946.01M 960.88M 872.89M 817.79M 777.47M 841.26M 744.33M 645.8M 664.13M 718.99M 643.85M 575.47M
Inventory
14.88M 16.22M 10.68M 12.57M 12.08M 11.35M 7.91M 10.06M 10.38M 11.57M 8.11M 9.58M 9.41M 10.91M 7.79M 8.9M
Other Current Assets
143.18M 128.69M 19.18M 15.15M 12.81M 10.28M 16.49M 18.5M 22.27M 19M 24.1M 191.67M 19.86M 17.69M 33.82M 34.14M
Total Current Assets
1.34B 1.33B 1.2B 1.1B 1.15B 1.09B 994.25M 948.32M 970.3M 959.81M 841.6M 814.44M 873.07M 892.01M 753.68M 710.37M
Property-Plant & Equipment
190.13M 182.49M 149.63M 147.29M 130.44M 130.65M 124.44M 125.91M 121.61M 123.75M 125.15M 123.85M 122.5M 124.52M 116.66M 118.69M
Goodwill & Intangibles
237.6M 228.43M 114.5M 114.56M 102.39M 100.28M 96.89M 95.22M 90.48M 88.33M 86.93M 86.12M 86.22M 85.11M 58.16M 59.34M
Total Long-Term Assets
471.12M 459.34M 310.65M 310.55M 275.89M 271.43M 263.47M 261.35M 258.98M 257.89M 260.38M 262.54M 264.08M 265.63M 231.58M 238.28M
Total Assets
1.81B 1.79B 1.51B 1.41B 1.42B 1.36B 1.26B 1.21B 1.23B 1.22B 1.1B 1.08B 1.14B 1.16B 985.25M 948.64M
Account Payables
716.12M 674.49M 629.69M 643.17M 639.96M 615.77M 550.6M 531.2M 570.68M 566.89M 477.06M 488.23M 514.33M 511.77M 435.79M 405.81M
Deferred Revenue
212.05M 227.54M n/a 156.61M 206.34M 183.21M 201.56M 184.36M 146.99M 138.45M 125.47M 120.73M 130.31M 136.46M 102.49M 115.57M
Short-Term Debt
16.38M 60.88M 78.51M 17.96M 8.3M 22.49M 6.66M 6.59M 7.08M 27.01M 27.1M 7.13M 7.47M 7.41M 8.02M 8.04M
Other Current Liabilities
51.36M 43.92M 199.54M 180.54M 235.72M 223.35M 234.27M 212M 181.94M 172.05M 155.02M 151.8M 169.05M 181.17M 143.07M 146.26M
Total Current Liabilities
1.05B 1.06B 959.52M 884.47M 914.47M 889.62M 817.19M 775.14M 785.67M 787.18M 681.55M 669.58M 721.26M 737.13M 610.95M 582.31M
Long-Term Debt
136.78M 139.95M 69.84M 71.15M 64.62M 64.26M 65.87M 65.11M 68.01M 69.65M 67.71M 69.22M 71.21M 78.26M 55.46M 57.25M
Other Long-Term Liabilities
35.51M 32.85M 79.49M 66.36M 65.1M 26.05M 27.24M 40.55M 47.15M 40.24M 38.98M 31.2M 27.09M 25.26M 23.02M 20.46M
Total Long-Term Liabilities
327.76M 320.4M 213.12M 201.16M 187.4M 163.99M 159.1M 160.96M 170.62M 167.55M 166.84M 162.44M 172.4M 181.83M 148.7M 149.36M
Total Liabilities
1.38B 1.38B 1.17B 1.09B 1.1B 1.05B 976.29M 936.1M 956.29M 954.73M 848.39M 832.02M 893.66M 918.96M 759.65M 731.67M
Total Debt
261.36M 305.35M 240.69M 180.91M 151.36M 166.33M 146.79M 145.87M 148.35M 171.3M 172.04M 154.95M 158.04M 166.95M 139.22M 142.31M
Common Stock
155.02M 155.02M 116.95M 116.95M 115.27M 115.27M 115.27M 115.27M 114.58M 114.58M 114.58M 114.58M 114.58M 114.58M 108.06M 108.06M
Retained Earnings
273.82M 251.89M 223.14M 209.21M 205.31M 187.24M 164.25M 156.43M 156.54M 146.6M 137.09M 128.39M 126.94M 122.14M 115.53M 106.92M
Comprehensive Income
-520K -105K -135K -97K -41K -90K -45K -84K -89K -178K -42K 26K 13K 8K 53K 35K
Shareholders Equity
430.28M 408.76M 341.91M 328.01M 322.49M 304.37M 281.42M 273.57M 272.99M 262.97M 253.59M 244.96M 243.49M 238.68M 225.61M 216.97M
Total Investments
14.28M 13.24M 12.81M 12.72M 10.48M 8.8M 8.36M 7.33M 9.79M 10.84M 12.38M 13.02M 13.47M 15.32M 14.69M 15.78M