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XTSE
BDT
Market cap1.20bUSD
Jul 11, Last price  
29.65CAD
1D
-0.17%
1Q
51.66%
Jan 2017
227.26%
IPO
85.31%
Name

Bird Construction Inc

Chart & Performance

D1W1MN
No data to show
P/E
16.40
P/S
0.48
EPS
1.81
Div Yield, %
1.50%
Shrs. gr., 5y
5.24%
Rev. gr., 5y
19.81%
Revenues
3.40b
+21.39%
447,778,011533,369,000756,879,0001,039,420,000882,939,000845,884,000974,470,0001,454,869,0001,331,689,0001,364,456,0001,444,806,0001,589,868,0001,418,439,0001,381,784,0001,376,408,0001,504,432,0002,220,026,0002,377,549,0002,798,785,0003,397,346,000
Net income
100m
+39.92%
15,241,21722,174,00033,412,00060,860,00056,913,00047,317,00029,595,00058,245,00012,090,00036,237,00021,482,00025,002,00011,618,000-1,013,0009,484,00036,103,00042,783,00049,863,00071,539,000100,099,000
CFO
114m
+49.40%
-4,085,11230,504,00042,902,00077,255,000100,163,00059,199,00015,960,00060,326,00016,399,00087,087,00074,775,00043,659,000-91,121,000101,441,000-38,076,000128,947,00035,826,00043,399,00076,466,000114,238,000
Dividend
Jul 31, 20250.07 CAD/sh
Earnings
Aug 05, 2025

Profile

Bird Construction Inc. operates as a general contractor in Canada. The company primarily focuses on projects in the industrial, commercial, and institutional sectors of the general contracting industry. It constructs industrial buildings, including manufacturing, processing, distribution, and warehouse facilities; undertakes structural, mechanical, piping, electrical, and instrumentation works that include off-site metal and modular fabrication; and provides insulation, metal siding and cladding, ductwork, asbestos abatement, and high voltage testing and commissioning services, as well as constructs power lines. The company also engages in the civil construction operations, such as site preparation and earthworks, underground piping, foundations, and other concrete services, as well as mine support and hydroelectric construction service; and civil infrastructure operations comprising road, bridge, rail, and underground utilities installation. In addition, it constructs and renovates hospitals, post-secondary education facilities, K-12 schools, recreation facilities, prisons, courthouses, government buildings, and long term care and senior housing facilities; and constructs and renovates office buildings, shopping malls, big box stores, hotels, and mixed-use high-rise and mid-rise residential projects, and well as offers electrical and related system services, which include electrical and mechanical infrastructure design and installation, data communications, security, and lifecycle services. It serves clients in the oil and gas, liquefied natural gas, mining, renewables, water and wastewater, nuclear, infrastructure, and residential sectors. Bird Construction Inc. was founded in 1920 and is based in Mississauga, Canada.
IPO date
Feb 22, 2006
Employees
2,458
Domiciled in
CA
Incorporated in
CA

Valuation

Title
CAD in thousands, except ratios and share amounts
FYFYFYFYFYFYFYFYFYFY
2024‑122023‑122022‑122021‑122020‑122019‑122018‑122017‑122016‑122015‑12
Income
Revenues
3,397,346
21.39%
2,798,785
17.72%
2,377,549
7.10%
Cost of revenue
3,253,798
2,701,030
2,308,173
Unusual Expense (Income)
NOPBT
143,548
97,755
69,376
NOPBT Margin
4.23%
3.49%
2.92%
Operating Taxes
33,314
21,692
17,322
Tax Rate
23.21%
22.19%
24.97%
NOPAT
110,234
76,063
52,054
Net income
100,099
39.92%
71,539
43.47%
49,863
16.55%
Dividends
(30,003)
(22,564)
(20,941)
Dividend yield
2.10%
2.91%
4.80%
Proceeds from repurchase of equity
BB yield
Debt
Debt current
48,816
29,055
24,874
Long-term debt
320,737
200,731
196,735
Deferred revenue
2
Other long-term liabilities
35,514
24,142
11,390
Net debt
310,716
41,730
100,190
Cash flow
Cash from operating activities
114,238
76,466
43,399
CAPEX
(21,154)
(30,956)
(27,766)
Cash from investing activities
(131,298)
(27,506)
(14,812)
Cash from financing activities
16,827
(45,356)
(44,278)
FCF
(159,036)
67,122
8,457
Balance
Cash
44,553
177,577
111,633
Long term investments
14,284
10,479
9,786
Excess cash
48,117
2,542
Stockholders' equity
428,325
320,538
271,032
Invested Capital
727,150
449,875
419,338
ROIC
18.73%
17.50%
12.99%
ROCE
17.79%
18.14%
15.16%
EV
Common stock shares outstanding
54,880
53,768
53,695
Price
26.06
80.97%
14.40
77.34%
8.12
-17.31%
Market cap
1,430,185
84.72%
774,258
77.58%
436,006
-16.63%
EV
1,740,901
815,988
536,196
EBITDA
206,450
133,892
105,815
EV/EBITDA
8.43
6.09
5.07
Interest
17,832
11,994
8,994
Interest/NOPBT
12.42%
12.27%
12.96%