Bird Construction Inc. (T.BDT)

Last Closing Price: --

Cash Flow from Financial Activities (Quarterly)

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 10.14M for the most recently reported fiscal quarter, ending 2025-03-31.

Figures for fiscal quarter ending 2025-03-31
Income Statement Financials
--
6.54M
--
--
--
11.54M
--
8.74M
8.74M
6.54M
6.54M
6.54M
6.54M
11.54M
24.70M
55.38M
55.38M
0.12
0.12
Balance Sheet Financials
--
--
--
1.18B
--
--
--
885.69M
298.23M
134.63M
298.23M
55.38M
Cash Flow Statement Financials
-34.03M
-3.50M
Cash Flow from Financial Activities
10.14M
123.57M
95.96M
-27.60M
--
-8.10M
--
Fundamental Metrics & Ratios
1.27
--
--
0.24
0.44
9.40%
2.31%
2.31%
--
1.75%
1.31%
-37.85M
--
--
--
0.42
47.69
0.76
117.72
2.19%
4.86%
0.55%
1.67%
7.73
-0.68
-0.61