C$21.54
C$-0.97 (-4.31%)
End-of-day quote: 05/16/2024
TSX:BDT

Bird Construction Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
C$2.80B C$2.38B C$2.22B C$1.50B C$1.38B C$1.38B C$1.42B C$1.59B C$1.44B C$1.36B C$1.33B C$1.45B C$974.47M C$842.03M C$871.34M C$1.04B C$756.88M C$530.19M
GM % Gross Margin %
8.59% 8.49% 9.26% 8.40% 5.15% 4.17% 5.03% 6.01% 8.35% 8.18% 5.37% 9.83% 8.24% 10.57% 9.50% 7.76% 7.03% 4.72%
OM Operating Margin
3.11% 3.00% 3.88% 3.53% 0.89% -0.10% 0.85% 2.31% 4.16% 3.49% 0.84% 5.63% 3.94% 6.22% 9.11% 7.29% 6.78% 4.57%
EPS Earnings Per Share
C$0.00 C$1.38 C$0.86 C$0.96 C$0.92 C$0.28 C$-0.02 C$0.27 C$0.65 C$0.98 C$0.85 C$0.34 C$1.47 C$0.76 C$1.12 C$1.35 C$1.45 C$0.81 C$0.55
Div. Dividends
C$0.42 C$0.39 C$0.39 C$0.39 C$0.00 C$0.00 C$0.00 C$0.76 C$0.76 C$0.76 C$0.75 C$0.71 C$0.66 C$0.63 C$0.55 C$0.48 C$0.39 C$0.32
PR % Payout Ratio %
30.43% 45.35% 40.63% 42.39% 0 0 0 116.92% 77.55% 89.41% 220.59% 48.30% 86.84% 56.25% 40.74% 33.10% 48.15% 58.18%
Sha. Shares
53.77m 53.7m 53.7m 53.04m 42.52m 42.52m 42.52m 42.52m 42.52m 42.52m 42.52m 42.15m 42.15m 42.15m 42.15m 42.15m 41.37m 41.37m
OCF Operating Cash Flow
C$75.80M C$43.40M C$35.83M C$128.95M C$-38.08M C$101.44M C$-91.12M C$43.68M C$74.78M C$87.09M C$16.40M C$60.33M C$15.96M C$59.20M C$100.16M C$77.26M C$42.90M C$30.55M
FCF Free Cash Flow
C$69.55M C$22.08M C$27.68M C$123.86M C$-53.06M C$92.73M C$-105.43M C$38.06M C$69.62M C$71.06M C$0.64M C$34.68M C$7.88M C$57.16M C$98.10M C$71.21M C$39.77M C$28.58M
FCFS Free Cash Flow Per Share
C$0.83 C$0.29 C$0.45 C$2.53 C$-1.23 C$2.04 C$-2.49 C$0.90 C$1.63 C$1.66 C$0.03 C$0.82 C$0.17 C$1.34 C$2.31 C$1.69 C$0.96 C$0.71