CA Stock MarketDetailed Quotes

BBD.B Bombardier Inc

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  • 85.120
  • -0.290-0.34%
15min DelayTrading Aug 12 13:36 ET
8.41BMarket Cap21.91P/E (TTM)

Bombardier Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
8.28%1.05B
4.17%1.25B
-4.08%1.69B
-4.08%1.69B
-41.74%1.05B
-48.51%966M
-37.18%1.2B
0.69%1.76B
0.69%1.76B
-8.01%1.8B
-Cash and cash equivalents
15.06%1.02B
3.42%1.18B
23.47%1.59B
23.47%1.59B
-26.62%987M
-36.66%883M
-18.78%1.14B
-22.93%1.29B
-22.93%1.29B
-2.54%1.35B
-Accounts receivable
30.04%329M
8.47%269M
2.45%251M
2.45%251M
-1.20%247M
-1.17%253M
-14.48%248M
0.00%245M
0.00%245M
-9.75%250M
-Notes receivable
-4.52%655M
0.93%652M
34.28%803M
34.28%803M
-19.64%622M
-4.32%686M
-8.50%646M
-45.64%598M
-45.64%598M
-25.15%774M
-Other receivables
----
----
17.50%141M
17.50%141M
----
----
----
-18.37%120M
-18.37%120M
----
Prepaid assets
0.00%347M
0.00%347M
0.00%347M
0.00%347M
0.00%347M
0.00%347M
0.00%347M
0.00%347M
0.00%347M
0.00%347M
Total current assets
6.08%5.99B
14.34%6.16B
6.25%5.93B
6.25%5.93B
-1.27%5.99B
-2.84%5.64B
-6.51%5.38B
1.90%5.59B
1.90%5.59B
2.54%6.06B
Non current assets
-Accumulated depreciation
----
----
-6.90%-1.22B
-6.90%-1.22B
----
----
----
-4.38%-1.15B
-4.38%-1.15B
----
Investment properties
-16.74%751M
-23.11%805M
-15.80%757M
-15.80%757M
-34.31%538M
7.00%902M
3.66%1.05B
-46.49%899M
-46.49%899M
-27.26%819M
-Long term equity investment
-0.61%5.55B
0.48%5.61B
-6.24%5.61B
-6.24%5.61B
-9.60%5.58B
-11.08%5.58B
-16.14%5.58B
-15.14%5.98B
-15.14%5.98B
-12.31%6.18B
-Including:Available-for-sale securities
-16.74%751M
-23.11%805M
-15.80%757M
-15.80%757M
-34.31%538M
7.00%902M
3.66%1.05B
-46.49%899M
-46.49%899M
-27.26%819M
Non current note receivables
17.47%538M
9.33%504M
19.42%455M
19.42%455M
74.91%467M
84.68%458M
93.70%461M
52.40%381M
52.40%381M
118.85%267M
-Goodwill
-8.18%3.49B
-7.47%3.55B
-7.93%3.57B
-7.93%3.57B
-5.22%3.76B
-5.26%3.8B
-5.58%3.84B
-6.20%3.87B
-6.20%3.87B
-5.66%3.96B
-Other intangible assets
----
----
----
----
----
----
----
0.00%11M
0.00%11M
0.00%11M
Regulatory assets
29.63%420M
11.39%352M
7.21%342M
7.21%342M
4.21%322M
3.51%324M
-8.14%316M
-1.54%319M
-1.54%319M
-5.50%309M
Liabilities
Current liabilities
Current debt and capital lease obligation
----
----
----
----
----
----
----
----
----
--8M
-Current debt
----
----
----
----
----
----
----
----
----
--8M
-accounts payable
8.43%1.81B
15.31%1.79B
49.42%1.55B
49.42%1.55B
28.28%1.81B
33.97%1.67B
44.25%1.56B
18.18%1.04B
18.18%1.04B
-1.60%1.41B
-Total tax payable
-0.68%9.04B
-3.28%9.01B
-7.51%8.92B
-7.51%8.92B
-12.38%9.01B
-10.16%9.11B
-11.59%9.31B
-12.95%9.65B
-12.95%9.65B
-7.61%10.28B
-Other payable
4.64%383M
4.01%389M
-0.27%371M
-0.27%371M
11.14%369M
0.55%366M
-14.22%374M
-3.88%372M
-3.88%372M
-23.68%332M
Current accrued expenses
----
----
-0.79%125M
-0.79%125M
----
----
----
-8.03%126M
-8.03%126M
----
Current provisions
-26.67%55M
-6.25%75M
-4.88%78M
-4.88%78M
3.95%79M
-27.88%75M
-31.62%80M
-18.81%82M
-18.81%82M
-45.32%76M
Current deferred liabilities
-7.22%3.33B
8.21%3.56B
5.02%3.46B
5.02%3.46B
6.54%3.52B
7.75%3.59B
5.48%3.29B
15.32%3.29B
15.32%3.29B
36.97%3.3B
Current liabilities
-3.79%5.7B
7.03%5.97B
9.21%5.94B
9.21%5.94B
9.29%5.99B
11.20%5.93B
14.37%5.58B
14.03%5.44B
14.03%5.44B
18.64%5.48B
Non current liabilities
Non current accrued expenses
5.90%1.46B
5.99%1.42B
13.26%1.38B
13.26%1.38B
37.57%1.41B
32.75%1.37B
35.81%1.34B
45.04%1.21B
45.04%1.21B
39.43%1.02B
Long term provisions
-0.61%5.55B
0.48%5.61B
-6.24%5.61B
-6.24%5.61B
-9.60%5.58B
-11.08%5.58B
-16.14%5.58B
-15.14%5.98B
-15.14%5.98B
-12.31%6.18B
Employee benefits
-4.52%655M
0.93%652M
34.28%803M
34.28%803M
-19.64%622M
-4.32%686M
-8.50%646M
-45.64%598M
-45.64%598M
-25.15%774M
Total non current liabilities
-1.91%14.75B
0.58%14.98B
-1.48%14.86B
-1.48%14.86B
-4.84%14.99B
-2.80%15.03B
-3.37%14.89B
-4.84%15.09B
-4.84%15.09B
0.09%15.76B
Shareholders'equity
Share capital
1.84%3.09B
0.99%3.05B
3.11%3.05B
3.11%3.05B
3.46%3.05B
2.43%3.04B
1.78%3.02B
-0.94%2.96B
-0.94%2.96B
-1.93%2.95B
-common stock
2.08%2.75B
1.12%2.71B
3.52%2.71B
3.52%2.71B
3.92%2.71B
2.75%2.69B
2.02%2.68B
-1.06%2.62B
-1.06%2.62B
-2.18%2.6B
Additional paid-in capital
-4.33%464M
-0.21%484M
-2.44%479M
-2.44%479M
-0.61%485M
0.62%485M
1.25%485M
3.37%491M
3.37%491M
2.09%488M
Gains losses not affecting retained earnings
1.67%-2.07B
2.06%-2.05B
-6.05%-2.19B
-6.05%-2.19B
12.38%-2.05B
4.50%-2.1B
0.43%-2.09B
19.99%-2.07B
19.99%-2.07B
6.02%-2.34B
Other equity interest
14.94%177M
10.53%168M
-26.52%133M
-26.52%133M
12.59%161M
4.76%154M
-16.94%152M
10.37%181M
10.37%181M
-27.41%143M
Total equity
0.47%12.6B
3.06%12.82B
1.09%12.46B
1.09%12.46B
0.45%12.52B
1.90%12.54B
-0.42%12.44B
-3.45%12.32B
-3.45%12.32B
-0.51%12.47B
(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(Q3)Sep 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 8.28%1.05B4.17%1.25B-4.08%1.69B-4.08%1.69B-41.74%1.05B-48.51%966M-37.18%1.2B0.69%1.76B0.69%1.76B-8.01%1.8B
-Cash and cash equivalents 15.06%1.02B3.42%1.18B23.47%1.59B23.47%1.59B-26.62%987M-36.66%883M-18.78%1.14B-22.93%1.29B-22.93%1.29B-2.54%1.35B
-Accounts receivable 30.04%329M8.47%269M2.45%251M2.45%251M-1.20%247M-1.17%253M-14.48%248M0.00%245M0.00%245M-9.75%250M
-Notes receivable -4.52%655M0.93%652M34.28%803M34.28%803M-19.64%622M-4.32%686M-8.50%646M-45.64%598M-45.64%598M-25.15%774M
-Other receivables --------17.50%141M17.50%141M-------------18.37%120M-18.37%120M----
Prepaid assets 0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M
Total current assets 6.08%5.99B14.34%6.16B6.25%5.93B6.25%5.93B-1.27%5.99B-2.84%5.64B-6.51%5.38B1.90%5.59B1.90%5.59B2.54%6.06B
Non current assets
-Accumulated depreciation ---------6.90%-1.22B-6.90%-1.22B-------------4.38%-1.15B-4.38%-1.15B----
Investment properties -16.74%751M-23.11%805M-15.80%757M-15.80%757M-34.31%538M7.00%902M3.66%1.05B-46.49%899M-46.49%899M-27.26%819M
-Long term equity investment -0.61%5.55B0.48%5.61B-6.24%5.61B-6.24%5.61B-9.60%5.58B-11.08%5.58B-16.14%5.58B-15.14%5.98B-15.14%5.98B-12.31%6.18B
-Including:Available-for-sale securities -16.74%751M-23.11%805M-15.80%757M-15.80%757M-34.31%538M7.00%902M3.66%1.05B-46.49%899M-46.49%899M-27.26%819M
Non current note receivables 17.47%538M9.33%504M19.42%455M19.42%455M74.91%467M84.68%458M93.70%461M52.40%381M52.40%381M118.85%267M
-Goodwill -8.18%3.49B-7.47%3.55B-7.93%3.57B-7.93%3.57B-5.22%3.76B-5.26%3.8B-5.58%3.84B-6.20%3.87B-6.20%3.87B-5.66%3.96B
-Other intangible assets ----------------------------0.00%11M0.00%11M0.00%11M
Regulatory assets 29.63%420M11.39%352M7.21%342M7.21%342M4.21%322M3.51%324M-8.14%316M-1.54%319M-1.54%319M-5.50%309M
Liabilities
Current liabilities
Current debt and capital lease obligation --------------------------------------8M
-Current debt --------------------------------------8M
-accounts payable 8.43%1.81B15.31%1.79B49.42%1.55B49.42%1.55B28.28%1.81B33.97%1.67B44.25%1.56B18.18%1.04B18.18%1.04B-1.60%1.41B
-Total tax payable -0.68%9.04B-3.28%9.01B-7.51%8.92B-7.51%8.92B-12.38%9.01B-10.16%9.11B-11.59%9.31B-12.95%9.65B-12.95%9.65B-7.61%10.28B
-Other payable 4.64%383M4.01%389M-0.27%371M-0.27%371M11.14%369M0.55%366M-14.22%374M-3.88%372M-3.88%372M-23.68%332M
Current accrued expenses ---------0.79%125M-0.79%125M-------------8.03%126M-8.03%126M----
Current provisions -26.67%55M-6.25%75M-4.88%78M-4.88%78M3.95%79M-27.88%75M-31.62%80M-18.81%82M-18.81%82M-45.32%76M
Current deferred liabilities -7.22%3.33B8.21%3.56B5.02%3.46B5.02%3.46B6.54%3.52B7.75%3.59B5.48%3.29B15.32%3.29B15.32%3.29B36.97%3.3B
Current liabilities -3.79%5.7B7.03%5.97B9.21%5.94B9.21%5.94B9.29%5.99B11.20%5.93B14.37%5.58B14.03%5.44B14.03%5.44B18.64%5.48B
Non current liabilities
Non current accrued expenses 5.90%1.46B5.99%1.42B13.26%1.38B13.26%1.38B37.57%1.41B32.75%1.37B35.81%1.34B45.04%1.21B45.04%1.21B39.43%1.02B
Long term provisions -0.61%5.55B0.48%5.61B-6.24%5.61B-6.24%5.61B-9.60%5.58B-11.08%5.58B-16.14%5.58B-15.14%5.98B-15.14%5.98B-12.31%6.18B
Employee benefits -4.52%655M0.93%652M34.28%803M34.28%803M-19.64%622M-4.32%686M-8.50%646M-45.64%598M-45.64%598M-25.15%774M
Total non current liabilities -1.91%14.75B0.58%14.98B-1.48%14.86B-1.48%14.86B-4.84%14.99B-2.80%15.03B-3.37%14.89B-4.84%15.09B-4.84%15.09B0.09%15.76B
Shareholders'equity
Share capital 1.84%3.09B0.99%3.05B3.11%3.05B3.11%3.05B3.46%3.05B2.43%3.04B1.78%3.02B-0.94%2.96B-0.94%2.96B-1.93%2.95B
-common stock 2.08%2.75B1.12%2.71B3.52%2.71B3.52%2.71B3.92%2.71B2.75%2.69B2.02%2.68B-1.06%2.62B-1.06%2.62B-2.18%2.6B
Additional paid-in capital -4.33%464M-0.21%484M-2.44%479M-2.44%479M-0.61%485M0.62%485M1.25%485M3.37%491M3.37%491M2.09%488M
Gains losses not affecting retained earnings 1.67%-2.07B2.06%-2.05B-6.05%-2.19B-6.05%-2.19B12.38%-2.05B4.50%-2.1B0.43%-2.09B19.99%-2.07B19.99%-2.07B6.02%-2.34B
Other equity interest 14.94%177M10.53%168M-26.52%133M-26.52%133M12.59%161M4.76%154M-16.94%152M10.37%181M10.37%181M-27.41%143M
Total equity 0.47%12.6B3.06%12.82B1.09%12.46B1.09%12.46B0.45%12.52B1.90%12.54B-0.42%12.44B-3.45%12.32B-3.45%12.32B-0.51%12.47B

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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