Bird Construction Inc. (T.BDT)

Last Closing Price: --

Cash Flow from Financial Activities (Annual)

Cash Flow from Financial Activities: The net amount of cash transactions used in funding activities.

Bird Construction Inc. (T.BDT) had Cash Flow from Financial Activities of 12.28M for the most recently reported fiscal year, ending 2024-12-31.

Figures for fiscal year ending 2024-12-31
Income Statement Financials
--
73.03M
--
--
--
104.74M
--
97.34M
97.34M
73.03M
73.03M
73.03M
73.03M
104.74M
150.63M
54.51M
54.51M
1.34
1.34
Balance Sheet Financials
--
--
--
1.32B
--
--
--
1.00B
313.94M
140.58M
313.94M
55.38M
Cash Flow Statement Financials
83.35M
-95.80M
Cash Flow from Financial Activities
12.28M
129.53M
129.47M
-0.06M
--
-21.89M
--
Fundamental Metrics & Ratios
1.27
--
--
0.24
0.36
9.68%
4.23%
4.23%
6.08%
3.93%
2.95%
61.39M
--
--
--
1.88
206.21
3.40
107.29
23.26%
51.95%
5.54%
17.65%
7.77
1.13
1.53