加拿大市场个股详情

Bird Construction Inc (BDT)

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  • 47.280
  • +1.520+3.32%
延时15分钟行情已收盘 04/10 16:00 (美东)
26.19亿总市值54.98市盈率TTM

Bird Construction Inc (BDT) 现金流量表

季报+年报
显示同比 yoy
隐藏空行 yoy
(FY)2025/12/31
(Q4)2025/12/31
(Q3)2025/09/30
(Q2)2025/06/30
(Q1)2025/03/31
(FY)2024/12/31
(Q4)2024/12/31
(Q3)2024/09/30
(Q2)2024/06/30
(Q1)2024/03/31
经营活动现金流量(间接法)
持续经营活动现金净额
-0.99%1.13亿
37.81%1.9亿
-37.69%4,754.8万
-7.98%-7,542.4万
-62.94%-4,887.4万
50.71%1.14亿
31.50%1.38亿
6,175.66%7,631.2万
-1,079.28%-6,985.2万
19.63%-2,999.5万
持续经营净收入
-52.64%4,741.1万
-142.93%-1,395.6万
-12.45%3,170.4万
-5.25%2,027.5万
-5.97%938.8万
39.92%1亿
36.11%3,250.5万
25.75%3,621.1万
56.04%2,139.9万
93.90%998.4万
持续经营损益
60.07%-192.1万
3.50%-179.2万
36.39%-74.3万
283.18%159万
-6.32%-97.6万
-7.75%-481.1万
39.19%-185.7万
-280.46%-116.8万
-64.08%-86.8万
-59.65%-91.8万
折旧摊销及损耗
27.87%8,043万
-2.27%2,223.8万
10.48%1,976.9万
51.09%1,951.9万
102.53%1,890.4万
74.07%6,290.2万
118.71%2,275.5万
82.85%1,789.4万
59.26%1,291.9万
19.13%933.4万
资产减值支出
--6,222万
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--0
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投资证券未实现损益
551.02%66.3万
144.44%4.8万
1,390.91%42.6万
-3,200.00%-23.1万
41,900.00%42万
-568.18%-14.7万
-881.82%-10.8万
-312.50%-3.3万
-450.00%-7,000
120.00%1,000
以股票支付的报酬
-42.52%1,379.3万
-35.59%539.2万
-32.21%304.8万
-57.89%143.4万
-49.26%391.9万
107.15%2,399.6万
41.71%837.1万
138.64%449.6万
91.94%340.5万
282.57%772.4万
递延税费
-50.99%1,632.7万
-141.71%-482.3万
-2.54%1,100.7万
-1.83%697.4万
-5.52%316.9万
53.58%3,331.4万
56.56%1,156.2万
30.78%1,129.4万
73.82%710.4万
111.74%335.4万
其他非现金项目
-14.30%1,126.8万
-142.11%-180万
26.96%462万
39.63%492.2万
106.32%352.6万
65.55%1,314.8万
40.58%427.5万
126.17%363.9万
110.95%352.5万
5.43%170.9万
营运资金变化
9.24%-7,071.4万
88.79%1.33亿
-310.22%-1,403万
-8.14%-1.19亿
-57.38%-7,080.6万
-40.25%-7,791.2万
10.39%7,060.3万
112.72%667.4万
-489.43%-1.1亿
6.91%-4,499万
-应收款项(增)减
115.02%1,477.3万
148.07%1.2亿
-189.90%-8,969.9万
40.26%-7,743.6万
348.83%6,157.9万
45.34%-9,833.9万
1,211.33%4,850.6万
66.94%-3,094.1万
-131.22%-1.3亿
140.40%1,372万
-存货(增)减
-27.41%-285.4万
-228.09%-157.3万
79.55%-100.3万
-180.41%-152.7万
370.35%124.9万
-54.91%-224万
267.99%122.8万
-42.59%-490.5万
-11.76%189.9万
-180.63%-46.2万
-应付款项及应计费用(减)增
-13.90%3,061.9万
-18.69%3,331.3万
1,926.87%1.03亿
-149.93%-3,399.3万
-2,437.86%-7,219.3万
-46.25%3,556.2万
54.06%4,096.9万
-92.14%510.6万
-170.87%-1,360.1万
106.92%308.8万
-其他流动资产变动
-158.18%-18.5万
-165.17%-17.4万
-104.40%-4,000
-105.66%-3,000
95.70%-4,000
156.45%31.8万
53.45%26.7万
635.29%9.1万
431.25%5.3万
-447.06%-9.3万
-其他营运资本变动
-755.73%-1.13亿
8.65%-1,860.6万
-171.85%-2,681.6万
-119.98%-620.8万
-0.32%-6,143.7万
-122.20%-1,321.3万
-159.52%-2,036.7万
282.62%3,732.3万
93.76%3,107.4万
-306.16%-6,124.3万
已付利息(经营活动产生的现金流)
-11.99%-2,319.3万
-5.85%-664万
6.06%-562.4万
-15.11%-596.6万
-51.91%-496.3万
-65.53%-2,071万
-52.78%-627.3万
-116.45%-598.7万
-74.22%-518.3万
-22.64%-326.7万
已收到的利息(经营活动产生的现金流)
-34.19%516万
-41.90%107.9万
-51.56%122.4万
-30.82%123万
-3.10%162.7万
87.36%784.1万
943.26%185.7万
91.01%252.7万
17.44%177.8万
43.50%167.9万
已支付退税
-20.66%-2,833.4万
8.82%-539.5万
-603.66%-385.3万
-61.18%-600.4万
10.43%-1,308.2万
-396.76%-2,348.2万
-110.72%-591.7万
-83.90%76.5万
-141.73%-372.5万
-184.75%-1,460.5万
非持续经营活动现金净额
经营活动现金净额
-0.99%1.13亿
37.81%1.9亿
-37.69%4,754.8万
-7.98%-7,542.4万
-62.94%-4,887.4万
50.71%1.14亿
31.50%1.38亿
6,175.66%7,631.2万
-1,079.28%-6,985.2万
19.63%-2,999.5万
投资活动现金流量
持续投资活动现金净额
20.19%-1.05亿
-832.04%-9,685.8万
97.56%-234.7万
91.40%-55.1万
72.81%-502.8万
-377.34%-1.31亿
-128.30%-1,039.2万
-1,478.09%-9,601.1万
-53.23%-640.5万
-45.71%-1,849万
固定资产交易净额
-37.14%-2,396.3万
-951.04%-1,514万
3.74%-474.2万
10.30%-651.1万
84.32%-110.8万
-51.36%-1,747.4万
-77.23%177.9万
35.59%-492.6万
-59.78%-725.9万
1.40%-706.8万
无形资产交易净额
19.84%-1,011.9万
---221万
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-15.15%-437.1万
16.59%-1,262.3万
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---379.6万
业务交易净额
30.04%-7,136.6万
-19,983.75%-7,953.5万
102.39%218.1万
791.16%574.8万
102.05%24万
-3,605.23%-1.02亿
-84.55%40万
-55,446.67%-9,132.2万
667.86%64.5万
-109.77%-1,172.8万
其他投资活动净额
-17.41%66.4万
-48.08%2.7万
-9.70%21.4万
1.44%21.2万
-31.05%21.1万
-58.23%80.4万
102.33%5.2万
-83.06%23.7万
-92.22%20.9万
343.48%30.6万
非持续投资活动现金净额
投资活动现金净额
20.19%-1.05亿
-832.04%-9,685.8万
97.56%-234.7万
91.40%-55.1万
72.81%-502.8万
-377.34%-1.31亿
-49.31%-1,039.2万
-1,478.09%-9,601.1万
-261.46%-640.5万
-45.71%-1,849万
融资活动现金流量
持续融资活动现金净额
-207.79%-1,813.7万
40.76%-3,985.1万
-309.36%-7,353.7万
81.60%8,069万
220.52%1,456.1万
137.10%1,682.7万
-176.52%-6,727.5万
1,895.74%3,512.5万
597.69%4,443.4万
132.78%454.3万
债务发行/偿还的净额
-39.39%2,838.4万
51.53%-2,822万
-244.83%-6,190.7万
77.59%9,232万
153.64%2,619.1万
305.47%4,683万
-213.82%-5,822.6万
467.21%4,274.5万
1,748.75%5,198.5万
219.78%1,032.6万
已支付现金股息
-55.05%-4,652.1万
-28.53%-1,163.1万
-52.62%-1,163万
-54.02%-1,163万
-101.11%-1,163万
-32.97%-3,000.3万
-56.69%-904.9万
-31.93%-762万
-30.75%-755.1万
-10.40%-578.3万
其他融资活动的净现金流额
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300.00%4,000万
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--1,000万
非持续融资活动现金净额
融资活动现金净额
-207.79%-1,813.7万
40.76%-3,985.1万
-309.36%-7,353.7万
81.60%8,069万
220.52%1,456.1万
137.10%1,682.7万
-176.52%-6,727.5万
1,895.74%3,512.5万
597.69%4,443.4万
132.78%454.3万
现金净流量
期初现金流
-0.05%1.77亿
-2.83%1.14亿
40.05%1.43亿
3.13%1.38亿
-0.05%1.77亿
1.67%1.78亿
12.65%1.17亿
-4.98%1.02亿
20.67%1.34亿
1.67%1.78亿
当期现金流变化
-4,110.73%-981.1万
-11.57%5,315.1万
-283.69%-2,833.6万
114.82%471.5万
10.47%-3,934.1万
-107.93%-23.3万
-18.21%6,010.6万
596.33%1,542.6万
-792.15%-3,182.3万
31.20%-4,394.2万
利率变动影响
-520.81%-62.7万
-158.33%-6.3万
-3,644.44%-33.7万
323.53%7.2万
-1,006.06%-29.9万
1,031.25%14.9万
640.00%10.8万
-136.00%-9,000
194.44%1.7万
1,200.00%3.3万
期末现金流
-5.88%1.67亿
-5.88%1.67亿
-2.83%1.14亿
40.05%1.43亿
3.13%1.38亿
-0.05%1.77亿
-0.05%1.77亿
12.65%1.17亿
-4.98%1.02亿
20.67%1.34亿
自由现金流
-10.73%7,182.5万
36.68%1.72亿
-41.43%4,140.3万
-9.82%-8,530.6万
-46.59%-5,622.3万
79.42%8,046.1万
31.97%1.26亿
1,112.16%7,068.9万
-5,306.30%-7,767.8万
14.76%-3,835.5万
会计准则
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
审计意见
无保留意见
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无保留意见
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(FY)2025/12/31(Q4)2025/12/31(Q3)2025/09/30(Q2)2025/06/30(Q1)2025/03/31(FY)2024/12/31(Q4)2024/12/31(Q3)2024/09/30(Q2)2024/06/30(Q1)2024/03/31
经营活动现金流量(间接法)
持续经营活动现金净额 -0.99%1.13亿37.81%1.9亿-37.69%4,754.8万-7.98%-7,542.4万-62.94%-4,887.4万50.71%1.14亿31.50%1.38亿6,175.66%7,631.2万-1,079.28%-6,985.2万19.63%-2,999.5万
持续经营净收入 -52.64%4,741.1万-142.93%-1,395.6万-12.45%3,170.4万-5.25%2,027.5万-5.97%938.8万39.92%1亿36.11%3,250.5万25.75%3,621.1万56.04%2,139.9万93.90%998.4万
持续经营损益 60.07%-192.1万3.50%-179.2万36.39%-74.3万283.18%159万-6.32%-97.6万-7.75%-481.1万39.19%-185.7万-280.46%-116.8万-64.08%-86.8万-59.65%-91.8万
折旧摊销及损耗 27.87%8,043万-2.27%2,223.8万10.48%1,976.9万51.09%1,951.9万102.53%1,890.4万74.07%6,290.2万118.71%2,275.5万82.85%1,789.4万59.26%1,291.9万19.13%933.4万
资产减值支出 --6,222万------------------0----------------
投资证券未实现损益 551.02%66.3万144.44%4.8万1,390.91%42.6万-3,200.00%-23.1万41,900.00%42万-568.18%-14.7万-881.82%-10.8万-312.50%-3.3万-450.00%-7,000120.00%1,000
以股票支付的报酬 -42.52%1,379.3万-35.59%539.2万-32.21%304.8万-57.89%143.4万-49.26%391.9万107.15%2,399.6万41.71%837.1万138.64%449.6万91.94%340.5万282.57%772.4万
递延税费 -50.99%1,632.7万-141.71%-482.3万-2.54%1,100.7万-1.83%697.4万-5.52%316.9万53.58%3,331.4万56.56%1,156.2万30.78%1,129.4万73.82%710.4万111.74%335.4万
其他非现金项目 -14.30%1,126.8万-142.11%-180万26.96%462万39.63%492.2万106.32%352.6万65.55%1,314.8万40.58%427.5万126.17%363.9万110.95%352.5万5.43%170.9万
营运资金变化 9.24%-7,071.4万88.79%1.33亿-310.22%-1,403万-8.14%-1.19亿-57.38%-7,080.6万-40.25%-7,791.2万10.39%7,060.3万112.72%667.4万-489.43%-1.1亿6.91%-4,499万
-应收款项(增)减 115.02%1,477.3万148.07%1.2亿-189.90%-8,969.9万40.26%-7,743.6万348.83%6,157.9万45.34%-9,833.9万1,211.33%4,850.6万66.94%-3,094.1万-131.22%-1.3亿140.40%1,372万
-存货(增)减 -27.41%-285.4万-228.09%-157.3万79.55%-100.3万-180.41%-152.7万370.35%124.9万-54.91%-224万267.99%122.8万-42.59%-490.5万-11.76%189.9万-180.63%-46.2万
-应付款项及应计费用(减)增 -13.90%3,061.9万-18.69%3,331.3万1,926.87%1.03亿-149.93%-3,399.3万-2,437.86%-7,219.3万-46.25%3,556.2万54.06%4,096.9万-92.14%510.6万-170.87%-1,360.1万106.92%308.8万
-其他流动资产变动 -158.18%-18.5万-165.17%-17.4万-104.40%-4,000-105.66%-3,00095.70%-4,000156.45%31.8万53.45%26.7万635.29%9.1万431.25%5.3万-447.06%-9.3万
-其他营运资本变动 -755.73%-1.13亿8.65%-1,860.6万-171.85%-2,681.6万-119.98%-620.8万-0.32%-6,143.7万-122.20%-1,321.3万-159.52%-2,036.7万282.62%3,732.3万93.76%3,107.4万-306.16%-6,124.3万
已付利息(经营活动产生的现金流) -11.99%-2,319.3万-5.85%-664万6.06%-562.4万-15.11%-596.6万-51.91%-496.3万-65.53%-2,071万-52.78%-627.3万-116.45%-598.7万-74.22%-518.3万-22.64%-326.7万
已收到的利息(经营活动产生的现金流) -34.19%516万-41.90%107.9万-51.56%122.4万-30.82%123万-3.10%162.7万87.36%784.1万943.26%185.7万91.01%252.7万17.44%177.8万43.50%167.9万
已支付退税 -20.66%-2,833.4万8.82%-539.5万-603.66%-385.3万-61.18%-600.4万10.43%-1,308.2万-396.76%-2,348.2万-110.72%-591.7万-83.90%76.5万-141.73%-372.5万-184.75%-1,460.5万
非持续经营活动现金净额
经营活动现金净额 -0.99%1.13亿37.81%1.9亿-37.69%4,754.8万-7.98%-7,542.4万-62.94%-4,887.4万50.71%1.14亿31.50%1.38亿6,175.66%7,631.2万-1,079.28%-6,985.2万19.63%-2,999.5万
投资活动现金流量
持续投资活动现金净额 20.19%-1.05亿-832.04%-9,685.8万97.56%-234.7万91.40%-55.1万72.81%-502.8万-377.34%-1.31亿-128.30%-1,039.2万-1,478.09%-9,601.1万-53.23%-640.5万-45.71%-1,849万
固定资产交易净额 -37.14%-2,396.3万-951.04%-1,514万3.74%-474.2万10.30%-651.1万84.32%-110.8万-51.36%-1,747.4万-77.23%177.9万35.59%-492.6万-59.78%-725.9万1.40%-706.8万
无形资产交易净额 19.84%-1,011.9万---221万---------15.15%-437.1万16.59%-1,262.3万---------------379.6万
业务交易净额 30.04%-7,136.6万-19,983.75%-7,953.5万102.39%218.1万791.16%574.8万102.05%24万-3,605.23%-1.02亿-84.55%40万-55,446.67%-9,132.2万667.86%64.5万-109.77%-1,172.8万
其他投资活动净额 -17.41%66.4万-48.08%2.7万-9.70%21.4万1.44%21.2万-31.05%21.1万-58.23%80.4万102.33%5.2万-83.06%23.7万-92.22%20.9万343.48%30.6万
非持续投资活动现金净额
投资活动现金净额 20.19%-1.05亿-832.04%-9,685.8万97.56%-234.7万91.40%-55.1万72.81%-502.8万-377.34%-1.31亿-49.31%-1,039.2万-1,478.09%-9,601.1万-261.46%-640.5万-45.71%-1,849万
融资活动现金流量
持续融资活动现金净额 -207.79%-1,813.7万40.76%-3,985.1万-309.36%-7,353.7万81.60%8,069万220.52%1,456.1万137.10%1,682.7万-176.52%-6,727.5万1,895.74%3,512.5万597.69%4,443.4万132.78%454.3万
债务发行/偿还的净额 -39.39%2,838.4万51.53%-2,822万-244.83%-6,190.7万77.59%9,232万153.64%2,619.1万305.47%4,683万-213.82%-5,822.6万467.21%4,274.5万1,748.75%5,198.5万219.78%1,032.6万
已支付现金股息 -55.05%-4,652.1万-28.53%-1,163.1万-52.62%-1,163万-54.02%-1,163万-101.11%-1,163万-32.97%-3,000.3万-56.69%-904.9万-31.93%-762万-30.75%-755.1万-10.40%-578.3万
其他融资活动的净现金流额 ----------------300.00%4,000万------------------1,000万
非持续融资活动现金净额
融资活动现金净额 -207.79%-1,813.7万40.76%-3,985.1万-309.36%-7,353.7万81.60%8,069万220.52%1,456.1万137.10%1,682.7万-176.52%-6,727.5万1,895.74%3,512.5万597.69%4,443.4万132.78%454.3万
现金净流量
期初现金流 -0.05%1.77亿-2.83%1.14亿40.05%1.43亿3.13%1.38亿-0.05%1.77亿1.67%1.78亿12.65%1.17亿-4.98%1.02亿20.67%1.34亿1.67%1.78亿
当期现金流变化 -4,110.73%-981.1万-11.57%5,315.1万-283.69%-2,833.6万114.82%471.5万10.47%-3,934.1万-107.93%-23.3万-18.21%6,010.6万596.33%1,542.6万-792.15%-3,182.3万31.20%-4,394.2万
利率变动影响 -520.81%-62.7万-158.33%-6.3万-3,644.44%-33.7万323.53%7.2万-1,006.06%-29.9万1,031.25%14.9万640.00%10.8万-136.00%-9,000194.44%1.7万1,200.00%3.3万
期末现金流 -5.88%1.67亿-5.88%1.67亿-2.83%1.14亿40.05%1.43亿3.13%1.38亿-0.05%1.77亿-0.05%1.77亿12.65%1.17亿-4.98%1.02亿20.67%1.34亿
自由现金流 -10.73%7,182.5万36.68%1.72亿-41.43%4,140.3万-9.82%-8,530.6万-46.59%-5,622.3万79.42%8,046.1万31.97%1.26亿1,112.16%7,068.9万-5,306.30%-7,767.8万14.76%-3,835.5万
会计准则 US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
审计意见 无保留意见--------无保留意见--------

FY:Financial Year 年度报告,相当于上市公司向SEC披露的10-K文件。

Q:Quarter 季度报告,相当于上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4为单季报,跨度为3个月;Q6、Q9为累计季报,Q6为6个月,Q9为9个月。

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