Birchcliff Energy Ltd.

OTC: BIREF · Real-Time Price · USD
5.04
0.10 (2.02%)
At close: Jun 06, 2025, 3:56 PM

Birchcliff Energy Cash Flow 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
Net Income
56.1M 15.35M 40.92M 37.29M 9.78M 84.77M 315.3M 487.44M 656.83M 694.53M 588.3M 418.3M 314.68M 248.98M 92.92M 9.55M
Depreciation & Amortization
123.56M 120.01M 176.05M 233.39M 230.21M 229.12M 227.7M 221.72M 217.06M 212.39M 215.54M 216.19M 113.5M 63.02M 79.37M 88.48M
Stock-Based Compensation
n/a -7.33M -4.82M -2.39M n/a 3.03M 1.97M 911K n/a 5.05M 4.15M 3.31M 2.43M 2.24M 2.26M 2.29M
Other Working Capital
-17.27M 14.26M -10.77M 9.67M 19.48M 21.15M 31.2M 26.14M -25.66M -29.33M -48.08M -45.86M -21.16M -19.15M -13.06M -12.36M
Other Non-Cash Items
142.45M 321.26M 314.63M 333.71M 345.51M 329.38M 225.06M 218.97M 93.62M 21.94M 62.15M 88.54M 127.59M 83.42M 177.21M 214.49M
Deferred Income Tax
18.07M 6.21M 14.2M 13.79M 6.17M 30.68M 99.55M 149.91M 200.49M 209.83M 177.23M 125.93M 94.27M 76.85M 29.83M 6.87M
Change in Working Capital
-17.27M 14.26M -10.77M 9.67M 19.48M 21.15M 31.2M 26.14M -25.66M -29.33M -48.08M -45.86M -21.16M -19.15M -13.06M -12.36M
Operating Cash Flow
203.71M 237.07M 238.97M 274.45M 320.53M 465.97M 671.1M 882.45M 925.27M 896.97M 779.61M 586.91M 515.37M 390.66M 288.03M 220.24M
Capital Expenditures
-432.41M -212.16M -278.71M -295.33M -306.77M -353.98M -372.45M -391.38M -364.62M -292.16M -225.22M -222.14M -230.48M -237.84M -250.64M -253.46M
Cash Acquisitions
109K 119K 119K 196K 87K 77K -771K -2.35M -2.03M -2.09M -1.47M 32K -283K -228K n/a n/a
Purchase of Investments
-234K -305K -305K -1.12M -1.24M -1.5M -2.34M -2.21M -1.96M -2.73M -2.04M -1.45M -1.25M -155K n/a n/a
Sales Maturities Of Investments
n/a n/a n/a 643K 643K 643K 1.49M 844K 844K 844K n/a n/a n/a n/a n/a n/a
Other Investing Acitivies
139.17M -62.59M -2.94M -22.64M -31.58M -3.85M -28.7M -15.69M 28.76M 21.05M -17.73M -24.33M -16.62M 5.94M 18.49M -22.68M
Investing Cash Flow
-293.36M -274.93M -281.84M -318.25M -338.86M -358.61M -402.77M -410.19M -338.54M -273.51M -244.74M -246.75M -247.38M -232.13M -232.16M -276.14M
Debt Repayment
188.87M 170.74M 199.12M 232.98M 235.96M 117.56M 1.17M -209.15M -371.52M -453.79M -447.15M -303.94M -199.97M -92.82M -1.58M 109.83M
Common Stock Repurchased
n/a -1.2M -1.2M -11.46M -11.46M 25.21M -17.96M -48.46M -57.15M -105.16M -79.35M -38.59M -29.9M -17.37M -25K -635K
Dividend Paid
-107.83M -134.1M -160.47M -186.81M -213.34M -218.46M -172.18M -125.97M -76.95M -22.81M -18.81M -14.84M -13.54M -12.42M -12.6M -12.79M
Other Financial Acitivies
-2.17M -6.08M -3.4M 1.42M 1.42M -35.73M -82.13M -99.34M -99.39M -60.02M -13.61M -1.7M -31.88M -43.22M -43.24M -39.36M
Financial Cash Flow
89.64M 37.89M 42.9M 43.76M 18.32M -107.35M -268.31M -472.22M -586.73M -623.48M -534.83M -340.19M -267.98M -158.5M -55.92M 55.89M
Net Cash Flow
-5K 29K 35K -29K -19K 9K 12K 40K 11K -19K 48K -28K 3K 30K -43K -11K
Free Cash Flow
-232.1M 21.51M -43.14M -20.87M 13.76M 111.99M 298.65M 491.07M 560.65M 604.81M 554.39M 364.78M 284.89M 152.81M 37.38M -33.22M