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BTBIF BTB REAL ESTATE INVESTMENT TRUST

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  • 2.351
  • +0.039+1.67%
15min DelayClose Dec 20 16:00 ET
206.30MMarket Cap13.51P/E (TTM)

BTB REAL ESTATE INVESTMENT TRUST Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
0.61%16.42M
8.30%18.76M
-22.44%12.14M
6.96%70.85M
13.70%21.56M
-19.85%16.32M
11.63%17.32M
37.29%15.66M
17.16%66.24M
-24.57%18.96M
Net income from continuing operations
-64.05%5.47M
-32.95%7.27M
-18.73%7.15M
-4.08%36.6M
-1.98%1.73M
30.13%15.22M
-40.55%10.85M
36.49%8.8M
-8.21%38.15M
-92.38%1.77M
Operating gains losses
127.82%1.94M
196.81%698K
---6K
-120.63%-1.92M
-32.00%5.56M
-626.30%-6.96M
-315.22%-721K
----
147.77%9.3M
--8.18M
Depreciation and amortization
-48.48%17K
-26.09%17K
-26.09%17K
-18.85%99K
-35.48%20K
-5.71%33K
-11.54%23K
-23.33%23K
40.23%122K
40.91%31K
Other non cash items
17.14%9.48M
5.84%9.09M
7.90%8.83M
102.12%34.02M
54.55%9.36M
123.57%8.09M
545.36%8.59M
-9.91%8.19M
-42.64%16.83M
-36.83%6.06M
Change In working capital
-59,150.00%-1.18M
366.56%1.73M
-174.27%-4.25M
24.13%1.61M
50.73%3.8M
-99.95%2K
45.28%-649K
58.90%-1.55M
-67.13%1.29M
-78.26%2.52M
Cash from discontinued investing activities
Operating cash flow
0.61%16.42M
8.30%18.76M
-22.44%12.14M
6.96%70.85M
13.70%21.56M
-19.85%16.32M
11.63%17.32M
37.29%15.66M
17.16%66.24M
-24.57%18.96M
Investing cash flow
Cash flow from continuing investing activities
-300.54%-7.47M
27.25%-6.31M
104.08%1.24M
48.75%-46.38M
76.37%-5.42M
86.81%-1.86M
72.38%-8.67M
-37.94%-30.43M
-26.18%-90.51M
55.20%-22.94M
Net PPE purchase and sale
----
----
--13K
-2,600.00%-50K
----
----
----
--0
101.01%2K
200.00%87K
Cash from discontinued investing activities
Investing cash flow
-300.54%-7.47M
27.25%-6.31M
104.08%1.24M
48.75%-46.38M
76.37%-5.42M
86.81%-1.86M
72.38%-8.67M
-37.94%-30.43M
-26.18%-90.51M
55.20%-22.94M
Financing cash flow
Cash flow from continuing financing activities
58.61%-6.56M
-103.36%-13.38M
-189.15%-12.52M
-233.27%-25.96M
-335.55%-17.58M
-1,450.38%-15.84M
69.81%-6.58M
-68.19%14.04M
46.24%19.48M
-128.68%-4.04M
Net issuance payments of debt
425.38%7.31M
-93.21%472K
-94.91%1.37M
-9.13%27.85M
-142.49%-3.84M
-116.36%-2.25M
172.45%6.95M
54.37%26.98M
31.24%30.65M
-63.23%9.04M
Net common stock issuance
----
----
----
-100.07%-25K
----
----
----
----
28.11%38.44M
203.75%83K
Cash dividends paid
-1.08%-5.72M
-1.77%-5.7M
-2.27%-5.68M
-3.63%-22.46M
-0.16%-5.65M
-0.78%-5.66M
-0.07%-5.6M
-15.11%-5.56M
-18.59%-21.68M
-17.34%-5.64M
Cash from discontinued financing activities
Financing cash flow
58.61%-6.56M
-103.36%-13.38M
-189.15%-12.52M
-233.27%-25.96M
-335.08%-17.56M
-1,450.38%-15.84M
69.81%-6.58M
-68.19%14.04M
46.24%19.48M
-128.68%-4.04M
Net cash flow
Beginning cash position
-77.11%857K
6.71%1.78M
-62.06%912K
-66.57%2.4M
-77.37%2.36M
23.97%3.74M
-95.90%1.67M
-66.57%2.4M
-20.65%7.19M
-45.67%10.42M
Current changes in cash
272.67%2.4M
-144.53%-924K
218.23%869K
68.83%-1.49M
81.97%-1.45M
-118.75%-1.39M
105.51%2.08M
-102.20%-735K
-155.85%-4.79M
33.12%-8.01M
End cash Position
37.97%3.25M
-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
Free cash flow
0.61%16.42M
8.30%18.76M
-22.44%12.14M
6.89%70.8M
12.93%21.51M
-19.77%16.32M
11.92%17.32M
37.56%15.66M
17.57%66.24M
-23.97%19.05M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
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(Q3)Sep 30, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 0.61%16.42M8.30%18.76M-22.44%12.14M6.96%70.85M13.70%21.56M-19.85%16.32M11.63%17.32M37.29%15.66M17.16%66.24M-24.57%18.96M
Net income from continuing operations -64.05%5.47M-32.95%7.27M-18.73%7.15M-4.08%36.6M-1.98%1.73M30.13%15.22M-40.55%10.85M36.49%8.8M-8.21%38.15M-92.38%1.77M
Operating gains losses 127.82%1.94M196.81%698K---6K-120.63%-1.92M-32.00%5.56M-626.30%-6.96M-315.22%-721K----147.77%9.3M--8.18M
Depreciation and amortization -48.48%17K-26.09%17K-26.09%17K-18.85%99K-35.48%20K-5.71%33K-11.54%23K-23.33%23K40.23%122K40.91%31K
Other non cash items 17.14%9.48M5.84%9.09M7.90%8.83M102.12%34.02M54.55%9.36M123.57%8.09M545.36%8.59M-9.91%8.19M-42.64%16.83M-36.83%6.06M
Change In working capital -59,150.00%-1.18M366.56%1.73M-174.27%-4.25M24.13%1.61M50.73%3.8M-99.95%2K45.28%-649K58.90%-1.55M-67.13%1.29M-78.26%2.52M
Cash from discontinued investing activities
Operating cash flow 0.61%16.42M8.30%18.76M-22.44%12.14M6.96%70.85M13.70%21.56M-19.85%16.32M11.63%17.32M37.29%15.66M17.16%66.24M-24.57%18.96M
Investing cash flow
Cash flow from continuing investing activities -300.54%-7.47M27.25%-6.31M104.08%1.24M48.75%-46.38M76.37%-5.42M86.81%-1.86M72.38%-8.67M-37.94%-30.43M-26.18%-90.51M55.20%-22.94M
Net PPE purchase and sale ----------13K-2,600.00%-50K--------------0101.01%2K200.00%87K
Cash from discontinued investing activities
Investing cash flow -300.54%-7.47M27.25%-6.31M104.08%1.24M48.75%-46.38M76.37%-5.42M86.81%-1.86M72.38%-8.67M-37.94%-30.43M-26.18%-90.51M55.20%-22.94M
Financing cash flow
Cash flow from continuing financing activities 58.61%-6.56M-103.36%-13.38M-189.15%-12.52M-233.27%-25.96M-335.55%-17.58M-1,450.38%-15.84M69.81%-6.58M-68.19%14.04M46.24%19.48M-128.68%-4.04M
Net issuance payments of debt 425.38%7.31M-93.21%472K-94.91%1.37M-9.13%27.85M-142.49%-3.84M-116.36%-2.25M172.45%6.95M54.37%26.98M31.24%30.65M-63.23%9.04M
Net common stock issuance -------------100.07%-25K----------------28.11%38.44M203.75%83K
Cash dividends paid -1.08%-5.72M-1.77%-5.7M-2.27%-5.68M-3.63%-22.46M-0.16%-5.65M-0.78%-5.66M-0.07%-5.6M-15.11%-5.56M-18.59%-21.68M-17.34%-5.64M
Cash from discontinued financing activities
Financing cash flow 58.61%-6.56M-103.36%-13.38M-189.15%-12.52M-233.27%-25.96M-335.08%-17.56M-1,450.38%-15.84M69.81%-6.58M-68.19%14.04M46.24%19.48M-128.68%-4.04M
Net cash flow
Beginning cash position -77.11%857K6.71%1.78M-62.06%912K-66.57%2.4M-77.37%2.36M23.97%3.74M-95.90%1.67M-66.57%2.4M-20.65%7.19M-45.67%10.42M
Current changes in cash 272.67%2.4M-144.53%-924K218.23%869K68.83%-1.49M81.97%-1.45M-118.75%-1.39M105.51%2.08M-102.20%-735K-155.85%-4.79M33.12%-8.01M
End cash Position 37.97%3.25M-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
Free cash flow 0.61%16.42M8.30%18.76M-22.44%12.14M6.89%70.8M12.93%21.51M-19.77%16.32M11.92%17.32M37.56%15.66M17.57%66.24M-23.97%19.05M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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