Bird Construction Inc.

General ticker "BIRDF" information:

  • Sector: Industrials
  • Industry: Engineering & Construction
  • Capitalization: $1.0B (TTM average)

Bird Construction Inc. follows the US Stock Market performance with the rate: 50.4%.

Estimated limits based on current volatility of 1.5%: low 24.84$, high 25.56$

Factors to consider:

  • Company pays dividends (quarterly): last record date 2026-02-27, amount 0.05$ (Y0.77%)
  • Current price 37.5% above estimated high
  • Earnings for 12 months up through Q4 are below our estimates

Stock Forecast*

* forecast is subjective and experimental, should not be used for any investment decisions

Long term estimates were made for the period from 2024-12-31 to 2026-12-31

  • 2024-12-31 to 2025-12-31 estimated range: [11.57$, 19.49$]
  • 2025-12-31 to 2026-12-31 estimated range: [11.08$, 18.93$]

Financial Metrics affecting the BIRDF estimates:

  • Positive: with PPE of 13.8 at the end of fiscal year the price was neutral
  • Positive: -4.75 < Operating profit margin, % of 4.31
  • Positive: 6.64 < Operating cash flow per share per price, % of 7.98
  • Positive: 19.40 < Shareholder equity ratio, % of 23.82 <= 42.68
  • Positive: 5.46 < Industry operating cash flow per share per price (median), % of 5.87
  • Positive: 3.01 < Industry operating profit margin (median), % of 3.99

Similar symbols

Short-term BIRDF quotes

Long-term BIRDF plot with estimates

Financial data

YTD 2023-12-31 2024-12-31 2025-12-31
Operating Revenue CA$2,798.78MM CA$3,397.35MM CA$3,394.00MM
Operating Expenses CA$2,697.61MM CA$3,250.78MM CA$3,323.40MM
Operating Income CA$101.17MM CA$146.56MM CA$70.60MM
Non-Operating Income CA$-7.94MM CA$-13.15MM CA$-6.92MM
Interest Expense CA$11.99MM CA$17.83MM CA$21.23MM
Income(Loss) CA$93.23MM CA$133.41MM CA$63.69MM
Taxes CA$21.69MM CA$33.31MM CA$16.31MM
Profit(Loss)* CA$71.54MM CA$100.10MM CA$47.37MM
Stockholders Equity CA$322.49MM CA$430.28MM CA$431.47MM
Inventory CA$12.08MM CA$14.88MM CA$22.61MM
Assets CA$1,424.36MM CA$1,806.64MM CA$1,855.37MM
Operating Cash Flow CA$75.80MM CA$114.24MM CA$116.19MM
Capital expenditure CA$30.96MM CA$33.78MM CA$31.14MM
Investing Cash Flow CA$-27.51MM CA$-131.30MM CA$-107.87MM
Financing Cash Flow CA$-45.36MM CA$16.83MM CA$-18.12MM
Earnings Per Share** CA$1.33 CA$1.84 CA$0.86

* Profit(Loss) attributable to entity.
** EPS are Split Adjusted, recent splits may be reflected with a delay.