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Bird Construction Inc.

Industrials CA BDT

58.08CAD
-1.5(2.52%)

Last update at 2026-06-12T20:00:00Z

Day Range

57.6559.90
LowHigh

52 Week Range

19.8648.52
LowHigh

Fundamentals

  • Previous Close 59.58
  • Market Cap2533.76M
  • Volume156262
  • P/E Ratio53.20
  • Dividend Yield1.85%
  • EBITDA117.24M
  • Revenue TTM3396.77M
  • Revenue Per Share TTM61.33
  • Gross Profit TTM 356.91M
  • Diluted EPS TTM0.86

Source: TradingView
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Financials

Income Statement

Balance Sheet

Change in Cash

Total Operating Cash

Dividends Paid

Breakdown 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Type yearly yearly yearly yearly yearly
Date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Income before tax 63.74M 133.41M 93.23M 67.19M 57.63M
Minority interest - - - - -
Net income 47.41M 100.10M 71.54M 49.86M 42.78M
Selling general administrative 217.19M 73.86M 54.44M 132.39M 127.01M
Selling and marketing expenses - 131.97M 99.16M - -
Gross profit 304.35M 328.76M 240.54M 201.76M 186.69M
Reconciled depreciation 80.43M 62.90M 36.14M 36.44M 34.54M
Ebit 70.66M 122.92M 86.94M 66.66M 63.86M
Ebitda 151.09M 151.44M 104.37M 113.52M 98.84M
Depreciation and amortization 80.43M 28.52M 17.43M 46.86M 34.98M
Non operating income net other - - - - -
Operating income 70.66M 146.56M 101.17M 66.66M 63.86M
Other operating expenses 3326.11M 3250.78M 2697.61M 2308.17M 2160.36M
Interest expense 21.25M 17.83M 11.99M 8.99M 6.72M
Tax provision 16.33M 33.31M 21.69M 17.32M 14.85M
Interest income 5.09M 9.88M 5.22M 1.35M 5.35M
Net interest income -18.90300M -13.14800M -7.94200M 1.43M -6.27900M
Extraordinary items - - - - -
Non recurring - - - - -
Other items - - - - -
Income tax expense 16.33M 33.31M 21.69M 17.32M 14.85M
Total revenue 3396.77M 3397.35M 2798.78M 2377.55M 2220.03M
Total operating expenses 233.69M 182.20M 139.36M 132.39M 127.01M
Cost of revenue 3092.41M 3068.59M 2558.25M 2175.79M 2033.34M
Total other income expense net -6.92200M -13.14800M -7.94200M 0.52M -6.22800M
Discontinued operations - - - - -
Net income from continuing ops 47.41M 100.10M 71.54M 49.86M 42.78M
Net income applicable to common shares - 100.10M 71.54M 49.86M 42.78M
Preferred stock and other adjustments - - - - -
Breakdown 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Type yearly yearly yearly yearly yearly
Date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Total assets 1856.88M 1806.64M 1424.36M 1229.28M 1137.15M
Intangible assets 94.79M 108.85M 46.39M 34.74M 30.48M
Earning assets - - - - -
Other current assets 18.33M - 15.37M 68.27M 73.85M
Total liab 1425.07M 1376.36M 1101.87M 956.29M 893.66M
Total stockholder equity 431.82M 430.28M 322.49M 272.99M 243.49M
Deferred long term liab - - - - -
Other current liab 69.70M 6.38M 39.11M 40.59M 49.36M
Common stock 155.02M - 115.27M 114.58M 114.58M
Capital stock 155.02M 155.02M 115.27M 114.58M 114.58M
Retained earnings 274.82M 273.82M 205.31M 156.54M 126.94M
Other liab - - - 47.15M 41.61M
Good will 128.75M 128.75M 55.99M 55.74M 55.74M
Other assets - - 0.00000M 37.10M 41.89M
Cash 167.01M 44.55M 177.53M 111.63M 125.68M
Cash and equivalents - - - - -
Total current liabilities 1049.00M 1048.60M 914.47M 785.67M 721.26M
Current deferred revenue 142.09M - 206.34M 146.99M 130.31M
Net debt 159.70M 108.60M -26.17300M 36.72M 32.36M
Short term debt 60.94M - 29.05M 24.87M 27.25M
Short long term debt 25.67M 16.38M 8.30M 7.08M 7.47M
Short long term debt total 326.71M - 151.36M 148.35M 158.04M
Other stockholder equity 1.96M - 1.96M 1.96M 1.96M
Property plant equipment - - - 121.61M 122.50M
Total current assets 1317.40M 1335.53M 1148.48M 970.30M 873.07M
Long term investments 12.26M 14.28M 10.48M 9.79M 13.47M
Net tangible assets - - - 182.51M 157.27M
Short term investments - - 0.05M - -
Net receivables 1109.44M 360.14M 955.58M 780.02M 664.13M
Long term debt 194.52M 136.78M 64.62M 68.01M 71.21M
Inventory 22.63M 14.88M 12.08M 10.38M 9.41M
Accounts payable 776.27M 716.12M 639.96M 573.22M 514.33M
Total permanent equity - - - - -
Noncontrolling interest in consolidated entity - - - - -
Temporary equity redeemable noncontrolling interests - - - - -
Accumulated other comprehensive income 0.02M - -0.04100M -0.08900M 0.01M
Additional paid in capital - - - - -
Common stock total equity - - - - -
Preferred stock total equity - - - - -
Retained earnings total equity - - - - -
Treasury stock - - - - -
Accumulated amortization - - - - -
Non currrent assets other 2.68M 0.85M 3.65M 5.54M 9.10M
Deferred long term asset charges - - - - -
Non current assets total 539.48M 471.12M 275.89M 258.98M 264.08M
Capital lease obligations 106.51M 108.20M 78.43M 73.26M 79.36M
Long term debt total - - - 123.48M 130.79M
Breakdown 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Type yearly yearly yearly yearly yearly
Date 2025-12-31 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Investments - -131.29800M -27.50600M -14.81200M 1.43M
Change to liabilities - - - 75.02M 29.21M
Total cashflows from investing activities -107.95900M -134.42800M -28.17200M -14.81200M -23.30500M
Net borrowings 28.38M 46.83M -22.79200M -23.33700M -13.49700M
Total cash from financing activities -18.13700M 16.83M -45.35600M -44.27800M -34.24600M
Change to operating activities - - - -20.96000M -2.75400M
Net income 47.41M 100.10M 71.54M 49.86M 42.78M
Change in cash -10.43800M -0.08400M 2.92M -15.58400M -21.87700M
Begin period cash flow 177.44M 177.53M 174.61M 190.19M 212.07M
End period cash flow 167.01M 177.44M 177.53M 174.61M 190.19M
Total cash from operating activities 116.28M 117.37M 76.47M 43.40M 35.83M
Issuance of capital stock - - - - -
Depreciation 80.43M 62.90M 36.14M 36.44M 34.54M
Other cashflows from investing activities 0.66M 0.80M 1.93M 12.95M 3.98M
Dividends paid 46.52M -30.00300M -22.56400M 20.94M 20.75M
Change to inventory -2.85400M -2.24000M -1.44600M -0.97900M -1.29400M
Change to account receivables 14.77M -98.33900M -179.91900M -111.40900M -60.94400M
Sale purchase of stock - - - - 0.00000M
Other cashflows from financing activities -38.65400M -32.05200M -20.62700M 52.78M 58.60M
Change to netincome - - - 16.41M -9.95900M
Capital expenditures 31.17M 21.15M 15.82M 27.77M 11.76M
Change receivables - - - - -
Cash flows other operating - - - - -
Exchange rate changes - - - - -
Cash and cash equivalents changes - - - - -
Change in working capital -70.71400M -77.91200M -55.55400M -59.31700M -31.53500M
Stock based compensation 13.79M 24.00M 11.58M 5.99M 10.06M
Other non cash items 63.24M 21.44M 17.21M -6.89300M -34.86200M
Free cash flow 85.12M 96.21M 60.64M 15.63M 24.07M

Peer Comparison

Sector: Industrials Industry: Engineering & Construction

Company Change (CAD) Price (CAD) Trailing PE (x) Forward PE (x) Price Sales TTM (x) Price to Book Value (x) Enterprise Value to Revenue (x) Enterprise Value to EBITDA (x)
BDT
Bird Construction Inc.
-1.5 2.52% 58.08 53.20 17.15 0.75 5.81 0.82 16.91
WSP
WSP Global Inc
-0.82 0.45% 182.95 31.04 20.12 1.69 3.15 1.87 14.51
ATRL
AtkinsRealis Group Inc
-0.2 0.24% 82.21 5.80 23.58 1.34 2.76 1.38 4.43
STN
Stantec Inc
0.70 0.70% 101.09 29.41 20.41 2.17 4.43 2.02 15.02
ARE
Aecon Group Inc.
-0.73 1.69% 42.40 198.96 30.58 0.58 3.43 0.57 18.19

Reports Covered

Stock Research & News

Profile

Bird Construction Inc. provides construction services in Canada. The company primarily focuses on projects in the industrial, building, and infrastructure markets. It constructs large, complex industrial buildings, including manufacturing, processing, distribution, and warehouse facilities; and provides electrical and instrumentation, high voltage testing and commissioning services, as well as power line construction, structural, mechanical, and piping, including off-site metal and modular fabrication. It also involved in the civil construction operations, such as site preparation and earthworks, underground piping, utilities and foundation, drilling, blasting, and other concrete services, as well as contract mining, mine support, and greenfield and brownfield hydroelectric facilities; steel modular construction; and civil infrastructure operations comprising road, bridge, rail, and underground utilities installation. In addition, the company constructs and retrofits institutional facilities, include healthcare, long term care, post-secondary education, transportation, public safety and defence facilities, as well as K-12 schools, public spaces, and government buildings; offers industrial maintenance, repair, and operations services; and constructs new construction and retrofit of warehousing, laboratories, manufacturing and processing facilities, data centers, office buildings, retail spaces, film studio infrastructure, hotels, and mixed-use mid- to high-rise residential buildings. Further, it offers electrical and related system services, such as electrical and mechanical infrastructure design and installation, data communications, telecommunications, security, and lifecycle services. It serves oil and gas, chemicals, liquefied natural gas, natural resources, nuclear, power, renewable energy, and water and wastewater sectors. Bird Construction Inc. was founded in 1920 and is based in Mississauga, Canada.

Bird Construction Inc.

5700 Explorer Drive, Mississauga, ON, Canada, L4W 0C6

Key Executives

Name Title Year Born
Mr. Terrance Lloyd McKibbon ICD.D Pres, CEO & Director 1964
Mr. Wayne R. Gingrich C.M.A., CPA, CPA, CMA Chief Financial Officer NA
Mr. Gilles Gerald Royer Chief Operating Officer NA
Mr. J. Paul Bergman CET Exec. VP of Buildings East NA
Mr. Rob Otway P.Eng. Exec. VP of Buildings West NA
Mr. Richard Begg Chief Information Officer NA
Mr. Charles Joseph Caza B.A., BA Sc Eng, L.L.B., LL.B Exec. VP & Gen. Counsel NA
Ms. Cheryl Ballerini Director of Strategic Devel. & Communications NA
Brian C. Henry Chief People Officer NA
Mr. Durck de Winter P.Eng, GSC Sr. VP & Atlantic District Mang. of Saint John office NA

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