CA Stock MarketDetailed Quotes

BTB.UN BTB Real Estate Investment Trust

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  • 3.620
  • +0.010+0.28%
15min DelayMarket Closed Oct 1 16:00 ET
316.68MMarket Cap10.34P/E (TTM)

BTB Real Estate Investment Trust Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-77.11%857K
6.71%1.78M
-62.06%912K
-62.06%912K
-77.37%2.36M
23.97%3.74M
-95.90%1.67M
-66.57%2.4M
-66.57%2.4M
-45.67%10.42M
-Cash and cash equivalents
-77.11%857K
6.71%1.78M
-62.06%912K
-62.06%912K
-77.37%2.36M
23.97%3.74M
-95.90%1.67M
-66.57%2.4M
-66.57%2.4M
-45.67%10.42M
-Accounts receivable
-19.30%2.48M
-1.68%3.74M
-39.26%1.47M
-39.26%1.47M
-20.28%2.43M
-21.28%3.08M
-20.00%3.8M
-31.89%2.42M
-31.89%2.42M
-47.15%3.05M
-Other receivables
0.37%2.19M
1.68%2.18M
1.74%2.17M
1.74%2.17M
1.60%2.16M
2.88%2.18M
1.66%2.14M
15.00%2.13M
15.00%2.13M
15.18%2.13M
Total current assets
57.14%24.69M
104.88%22.81M
65.29%17.16M
65.29%17.16M
2.58%23.4M
8.87%15.71M
-78.59%11.13M
-32.87%10.38M
-32.87%10.38M
-29.05%22.81M
Non current assets
-Accumulated depreciation
----
----
----
----
----
---1.16M
----
----
----
---1.08M
Investments and advances
-0.04%1.21B
0.39%1.2B
3.66%1.21B
3.66%1.21B
2.31%1.21B
3.58%1.21B
6.30%1.2B
4.85%1.16B
4.85%1.16B
27.74%1.18B
-Long term equity investment
-4.04%644.22M
-6.66%598.08M
-6.95%563.95M
-6.95%563.95M
1.52%692.43M
4.14%671.33M
4.34%640.76M
1.60%606.04M
1.60%606.04M
42.43%682.07M
Financial assets
-41.38%2.48M
-9.79%3.12M
-28.26%2.69M
-28.26%2.69M
26.45%4.8M
--4.23M
--3.45M
--3.75M
--3.75M
--3.8M
Regulatory assets
219.56%15M
213.37%15.75M
185.05%13.73M
185.05%13.73M
162.06%14.49M
-3.85%4.69M
-20.39%5.03M
-12.88%4.82M
-12.88%4.82M
-7.97%5.53M
Liabilities
Current liabilities
Current debt and capital lease obligation
37.29%79.95M
53.33%124.95M
86.13%160.28M
86.13%160.28M
14.89%35.25M
7.65%58.23M
-3.95%81.49M
-5.58%86.11M
-5.58%86.11M
-54.53%30.68M
-Current debt
37.29%79.95M
53.33%124.95M
86.17%160.28M
86.17%160.28M
14.89%35.25M
7.65%58.23M
-3.95%81.49M
-5.58%86.09M
-5.58%86.09M
-54.53%30.68M
-Current capital lease obligation
----
----
-68.42%6K
-68.42%6K
----
----
----
18.75%19K
18.75%19K
----
-accounts payable
11.65%24.4M
-0.31%20.11M
-2.54%19.55M
-2.54%19.55M
-6.04%20.51M
9.61%21.86M
-4.75%20.17M
-7.70%20.06M
-7.70%20.06M
22.90%21.83M
-Total tax payable
-4.04%648.05M
-6.35%602.23M
-6.73%567.99M
-6.73%567.99M
1.42%696.16M
3.99%675.3M
2.29%643.07M
-0.28%608.97M
-0.28%608.97M
40.17%686.44M
Current liabilities
29.50%106.54M
41.84%147.24M
68.05%182M
68.05%182M
6.01%57.92M
8.03%82.27M
-4.00%103.81M
-5.65%108.3M
-5.65%108.3M
-37.26%54.64M
Non current liabilities
-Long term debt
2.62%7.53M
-0.05%7.33M
75.10%7.33M
75.10%7.33M
74.30%7.33M
74.16%7.33M
74.00%7.33M
-0.45%4.18M
-0.45%4.18M
-0.36%4.21M
Non current accrued expenses
-15.69%231K
-19.40%241K
-15.84%271K
-15.84%271K
-39.77%265K
-39.51%274K
-31.74%299K
-27.80%322K
-27.80%322K
15.49%440K
Derivative product liabilities
900.00%130K
--387K
148.28%288K
148.28%288K
--0
-99.42%13K
--0
-98.97%116K
-98.97%116K
-73.61%2.13M
Long term provisions
-4.11%636.69M
-6.74%590.75M
-7.52%556.62M
-7.52%556.62M
1.07%685.1M
3.68%664M
3.86%633.42M
1.61%601.86M
1.61%601.86M
42.81%677.86M
Employee benefits
-1.68%1.52M
-3.60%1.56M
11.22%1.72M
11.22%1.72M
44.73%1.65M
21.28%1.55M
28.94%1.61M
1.92%1.54M
1.92%1.54M
-15.58%1.14M
Total non current liabilities
-0.39%754.59M
0.35%749.47M
4.56%749.99M
4.56%749.99M
1.76%754.09M
4.41%757.57M
1.37%746.88M
-1.13%717.27M
-1.13%717.27M
28.48%741.08M
Shareholders'equity
Share capital
1.09%403.12M
1.09%402.22M
1.22%400.77M
1.22%400.77M
1.19%399.83M
1.16%398.78M
1.36%397.86M
12.64%395.96M
12.64%395.96M
12.82%395.11M
-common stock
1.09%403.12M
1.09%402.22M
1.22%400.77M
1.22%400.77M
1.19%399.83M
1.16%398.78M
1.36%397.86M
12.64%395.96M
12.64%395.96M
12.82%395.11M
Gains losses not affecting retained earnings
10.89%319.37M
12.61%312.1M
13.64%304.95M
13.64%304.95M
13.74%303.21M
12.99%288M
17.12%277.15M
16.57%268.35M
16.57%268.35M
28.80%266.58M
Total equity
0.54%1.24B
1.32%1.23B
4.10%1.23B
4.10%1.23B
2.37%1.24B
3.72%1.23B
2.57%1.21B
4.38%1.18B
4.38%1.18B
25.43%1.21B
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -77.11%857K6.71%1.78M-62.06%912K-62.06%912K-77.37%2.36M23.97%3.74M-95.90%1.67M-66.57%2.4M-66.57%2.4M-45.67%10.42M
-Cash and cash equivalents -77.11%857K6.71%1.78M-62.06%912K-62.06%912K-77.37%2.36M23.97%3.74M-95.90%1.67M-66.57%2.4M-66.57%2.4M-45.67%10.42M
-Accounts receivable -19.30%2.48M-1.68%3.74M-39.26%1.47M-39.26%1.47M-20.28%2.43M-21.28%3.08M-20.00%3.8M-31.89%2.42M-31.89%2.42M-47.15%3.05M
-Other receivables 0.37%2.19M1.68%2.18M1.74%2.17M1.74%2.17M1.60%2.16M2.88%2.18M1.66%2.14M15.00%2.13M15.00%2.13M15.18%2.13M
Total current assets 57.14%24.69M104.88%22.81M65.29%17.16M65.29%17.16M2.58%23.4M8.87%15.71M-78.59%11.13M-32.87%10.38M-32.87%10.38M-29.05%22.81M
Non current assets
-Accumulated depreciation -----------------------1.16M---------------1.08M
Investments and advances -0.04%1.21B0.39%1.2B3.66%1.21B3.66%1.21B2.31%1.21B3.58%1.21B6.30%1.2B4.85%1.16B4.85%1.16B27.74%1.18B
-Long term equity investment -4.04%644.22M-6.66%598.08M-6.95%563.95M-6.95%563.95M1.52%692.43M4.14%671.33M4.34%640.76M1.60%606.04M1.60%606.04M42.43%682.07M
Financial assets -41.38%2.48M-9.79%3.12M-28.26%2.69M-28.26%2.69M26.45%4.8M--4.23M--3.45M--3.75M--3.75M--3.8M
Regulatory assets 219.56%15M213.37%15.75M185.05%13.73M185.05%13.73M162.06%14.49M-3.85%4.69M-20.39%5.03M-12.88%4.82M-12.88%4.82M-7.97%5.53M
Liabilities
Current liabilities
Current debt and capital lease obligation 37.29%79.95M53.33%124.95M86.13%160.28M86.13%160.28M14.89%35.25M7.65%58.23M-3.95%81.49M-5.58%86.11M-5.58%86.11M-54.53%30.68M
-Current debt 37.29%79.95M53.33%124.95M86.17%160.28M86.17%160.28M14.89%35.25M7.65%58.23M-3.95%81.49M-5.58%86.09M-5.58%86.09M-54.53%30.68M
-Current capital lease obligation ---------68.42%6K-68.42%6K------------18.75%19K18.75%19K----
-accounts payable 11.65%24.4M-0.31%20.11M-2.54%19.55M-2.54%19.55M-6.04%20.51M9.61%21.86M-4.75%20.17M-7.70%20.06M-7.70%20.06M22.90%21.83M
-Total tax payable -4.04%648.05M-6.35%602.23M-6.73%567.99M-6.73%567.99M1.42%696.16M3.99%675.3M2.29%643.07M-0.28%608.97M-0.28%608.97M40.17%686.44M
Current liabilities 29.50%106.54M41.84%147.24M68.05%182M68.05%182M6.01%57.92M8.03%82.27M-4.00%103.81M-5.65%108.3M-5.65%108.3M-37.26%54.64M
Non current liabilities
-Long term debt 2.62%7.53M-0.05%7.33M75.10%7.33M75.10%7.33M74.30%7.33M74.16%7.33M74.00%7.33M-0.45%4.18M-0.45%4.18M-0.36%4.21M
Non current accrued expenses -15.69%231K-19.40%241K-15.84%271K-15.84%271K-39.77%265K-39.51%274K-31.74%299K-27.80%322K-27.80%322K15.49%440K
Derivative product liabilities 900.00%130K--387K148.28%288K148.28%288K--0-99.42%13K--0-98.97%116K-98.97%116K-73.61%2.13M
Long term provisions -4.11%636.69M-6.74%590.75M-7.52%556.62M-7.52%556.62M1.07%685.1M3.68%664M3.86%633.42M1.61%601.86M1.61%601.86M42.81%677.86M
Employee benefits -1.68%1.52M-3.60%1.56M11.22%1.72M11.22%1.72M44.73%1.65M21.28%1.55M28.94%1.61M1.92%1.54M1.92%1.54M-15.58%1.14M
Total non current liabilities -0.39%754.59M0.35%749.47M4.56%749.99M4.56%749.99M1.76%754.09M4.41%757.57M1.37%746.88M-1.13%717.27M-1.13%717.27M28.48%741.08M
Shareholders'equity
Share capital 1.09%403.12M1.09%402.22M1.22%400.77M1.22%400.77M1.19%399.83M1.16%398.78M1.36%397.86M12.64%395.96M12.64%395.96M12.82%395.11M
-common stock 1.09%403.12M1.09%402.22M1.22%400.77M1.22%400.77M1.19%399.83M1.16%398.78M1.36%397.86M12.64%395.96M12.64%395.96M12.82%395.11M
Gains losses not affecting retained earnings 10.89%319.37M12.61%312.1M13.64%304.95M13.64%304.95M13.74%303.21M12.99%288M17.12%277.15M16.57%268.35M16.57%268.35M28.80%266.58M
Total equity 0.54%1.24B1.32%1.23B4.10%1.23B4.10%1.23B2.37%1.24B3.72%1.23B2.57%1.21B4.38%1.18B4.38%1.18B25.43%1.21B

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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