Bird Construction Inc. (T.BDT)

Last Closing Price: --

Cash Flow from Investing Activities (Quarterly)

Cash Flow from Investing Activities: The total change in cash resulting from a company's investments.

Bird Construction Inc. (T.BDT) had Cash Flow from Investing Activities of -15.31M for the most recently reported fiscal quarter, ending 2023-09-30.

Figures for fiscal quarter ending 2023-09-30
Income Statement Financials
--
21.46M
--
--
--
28.65M
--
27.90M
27.90M
21.46M
21.46M
21.46M
21.46M
28.65M
35.94M
53.77M
53.77M
0.40
0.40
Balance Sheet Financials
--
--
--
1.01B
--
--
--
785.23M
226.84M
152.10M
226.84M
53.77M
Cash Flow Statement Financials
-21.59M
Cash Flow from Investing Activities
-15.31M
-15.67M
130.13M
77.56M
-52.57M
--
-12.51M
--
Fundamental Metrics & Ratios
1.22
--
--
0.17
0.28
9.31%
4.90%
4.90%
--
4.78%
3.67%
-36.02M
--
--
--
0.58
62.66
0.90
99.98
9.46%
14.11%
2.12%
7.81%
5.66
-0.67
-0.40