US Stock MarketDetailed Quotes

BDRAD BOMBARDIER INC

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15min DelayClose Jul 29 09:30 ET
0Market Cap0.00P/E (TTM)

BOMBARDIER INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q3)Sep 30, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(Q3)Sep 30, 2020
(Q2)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-56.56%1.91B
-34.59%1.75B
-34.59%1.75B
45.15%1.96B
51.12%2.96B
86.97%4.39B
-5.21%2.68B
-5.21%2.68B
-44.97%1.35B
-37.76%1.96B
-Cash and cash equivalents
-55.41%1.41B
-31.63%1.68B
-31.63%1.68B
18.97%1.38B
36.68%2.29B
55.63%3.15B
-6.81%2.45B
-6.81%2.45B
-48.56%1.16B
-43.39%1.67B
-Short-term investments
-59.50%501M
-66.52%76M
-66.52%76M
204.19%581M
136.27%671M
284.16%1.24B
16.41%227M
16.41%227M
-4.50%191M
50.26%284M
Receivables
-0.58%344M
-8.73%324M
-8.73%324M
-35.12%327M
-92.37%342M
-92.23%346M
-91.80%355M
-91.80%355M
-88.98%504M
-3.71%4.48B
-Accounts receivable
0.00%290M
-11.87%245M
-11.87%245M
-38.03%277M
-84.08%292M
-84.46%290M
-83.87%278M
-83.87%278M
-74.86%447M
10.82%1.83B
-Other receivables
-3.57%54M
2.60%79M
2.60%79M
-12.28%50M
-98.11%50M
-97.84%56M
-97.04%77M
-97.04%77M
-97.96%57M
-11.73%2.65B
Inventory
-7.54%3.32B
-11.18%3.24B
-11.18%3.24B
-26.23%3.43B
-27.84%3.53B
-28.97%3.6B
-20.63%3.65B
-20.63%3.65B
-10.65%4.65B
2.32%4.89B
Other current assets
-6.63%183M
-24.77%164M
-24.77%164M
30.46%197M
-39.61%218M
-58.21%196M
-53.91%218M
-53.91%218M
-65.13%151M
-25.10%361M
Total current assets
-32.47%5.76B
-67.07%5.48B
-67.07%5.48B
-65.94%5.91B
-43.96%7.05B
-37.52%8.53B
23.46%16.65B
23.46%16.65B
30.99%17.36B
-7.75%12.58B
Non current assets
Net PPE
48.49%983M
25.30%837M
25.30%837M
3.82%733M
-58.88%685M
-60.64%662M
-62.49%668M
-62.49%668M
-65.41%706M
-18.85%1.67B
-Gross PPE
----
10.45%1.93B
10.45%1.93B
----
----
----
-54.23%1.75B
-54.23%1.75B
----
----
-Accumulated depreciation
----
-1.29%-1.1B
-1.29%-1.1B
----
----
----
47.04%-1.08B
47.04%-1.08B
----
----
Goodwill and other intangible assets
-6.12%4.07B
-6.07%4.13B
-6.07%4.13B
-7.34%4.2B
-34.57%4.26B
-33.12%4.33B
-32.91%4.4B
-32.91%4.4B
-30.04%4.54B
-0.14%6.51B
-Goodwill
----
----
----
----
----
----
----
----
--0
-0.36%1.92B
-Other intangible assets
-6.12%4.07B
-6.07%4.13B
-6.07%4.13B
-7.34%4.2B
-7.11%4.26B
-5.82%4.33B
-4.77%4.4B
-4.77%4.4B
-1.78%4.54B
-0.04%4.58B
Investments and advances
9.43%1.01B
84.21%1.68B
84.21%1.68B
32.31%1.13B
-12.05%1.38B
-18.53%923M
-55.47%912M
-55.47%912M
-75.75%851M
-54.31%1.57B
Non current deferred assets
120.37%238M
125.23%250M
125.23%250M
-66.39%122M
-80.63%110M
-79.55%108M
-79.67%111M
-79.67%111M
-32.78%363M
24.02%568M
Other non current assets
12.66%436M
8.40%387M
8.40%387M
48.97%435M
-28.64%421M
-41.10%387M
-36.48%357M
-36.48%357M
-45.52%292M
-0.51%590M
Total non current assets
5.02%6.74B
13.02%7.28B
13.02%7.28B
-1.91%6.62B
-37.13%6.85B
-38.80%6.41B
-43.91%6.44B
-43.91%6.44B
-48.53%6.75B
-16.50%10.9B
Total assets
-16.38%12.49B
-44.72%12.76B
-44.72%12.76B
-48.02%12.53B
-40.79%13.9B
-38.08%14.94B
-7.54%23.09B
-7.54%23.09B
-8.55%24.11B
-12.03%23.48B
Liabilities
Current liabilities
Payables
-37.00%1.08B
-25.36%1.03B
-25.36%1.03B
-16.09%1.43B
-63.13%1.5B
-62.32%1.71B
-63.00%1.38B
-63.00%1.38B
-61.52%1.71B
-12.28%4.07B
-accounts payable
-37.00%1.08B
-22.40%880M
-22.40%880M
-16.09%1.43B
-63.13%1.5B
-62.32%1.71B
-65.20%1.13B
-65.20%1.13B
-61.52%1.71B
-12.28%4.07B
-Other payable
----
-39.26%147M
-39.26%147M
----
----
----
-47.39%242M
-47.39%242M
----
----
Current accrued expenses
----
-41.70%137M
-41.70%137M
----
----
----
-75.60%235M
-75.60%235M
----
----
Current provisions
-26.88%117M
-30.82%101M
-30.82%101M
5.30%139M
-84.51%149M
-81.31%160M
-86.23%146M
-86.23%146M
-86.45%132M
-11.25%962M
Current debt and capital lease obligation
----
----
----
----
-39.04%634M
--2B
23,425.00%1.88B
23,425.00%1.88B
--837M
--1.04B
-Current debt
----
----
----
----
-39.04%634M
--2B
23,425.00%1.88B
23,425.00%1.88B
--837M
--1.04B
Current deferred liabilities
40.12%3.12B
21.10%2.85B
21.10%2.85B
-7.56%2.41B
-55.80%2.31B
-58.47%2.23B
-58.95%2.36B
-58.95%2.36B
-46.69%2.61B
8.18%5.22B
Other current liabilities
-12.83%564M
-94.00%650M
-94.00%650M
-94.37%635M
-80.37%634M
-83.76%647M
183.12%10.83B
183.12%10.83B
255.58%11.29B
2.77%3.23B
Current liabilities
-27.71%4.88B
-71.66%4.77B
-71.66%4.77B
-72.13%4.62B
-64.02%5.23B
-54.22%6.75B
9.87%16.83B
9.87%16.83B
22.94%16.57B
6.06%14.53B
Non current liabilities
Long term provisions
-31.08%173M
-20.76%229M
-20.76%229M
1.59%256M
-12.29%257M
28.06%251M
-7.07%289M
-7.07%289M
-61.11%252M
-56.72%293M
Long term debt and capital lease obligation
-9.26%6.65B
-13.99%7.05B
-13.99%7.05B
-23.47%7.04B
-16.83%7.37B
-21.26%7.33B
-12.14%8.19B
-12.14%8.19B
-1.29%9.2B
-5.21%8.86B
-Long term debt
-9.26%6.65B
-13.99%7.05B
-13.99%7.05B
-23.47%7.04B
-16.83%7.37B
-21.26%7.33B
-12.14%8.19B
-12.14%8.19B
-1.29%9.2B
-5.21%8.86B
Non current deferred liabilities
43.00%1.39B
-5.17%1.16B
-5.17%1.16B
-8.84%1.17B
-15.52%1.21B
-33.01%972M
-13.97%1.22B
-13.97%1.22B
-34.78%1.28B
-20.73%1.43B
Employee benefits
-36.85%706M
-31.51%1.1B
-31.51%1.1B
-38.60%1.03B
-58.76%1.14B
-46.43%1.12B
-34.31%1.61B
-34.31%1.61B
-47.67%1.68B
-8.08%2.76B
Other non current liabilities
1.84%1.61B
-3.72%1.55B
-3.72%1.55B
3.70%1.63B
-24.36%1.62B
-7.33%1.58B
-22.08%1.61B
-22.08%1.61B
-35.05%1.57B
-15.04%2.14B
Total non current liabilities
-6.42%10.53B
-14.20%11.09B
-14.20%11.09B
-20.46%11.13B
-25.15%11.59B
-23.71%11.25B
-17.01%12.92B
-17.01%12.92B
-20.37%13.99B
-10.76%15.48B
Total liabilities
-14.40%15.41B
-46.71%15.85B
-46.71%15.85B
-48.48%15.74B
-43.97%16.81B
-38.96%18B
-3.68%29.75B
-3.68%29.75B
-1.57%30.56B
-3.34%30B
Shareholders'equity
Share capital
-1.79%2.97B
-1.09%2.99B
-1.09%2.99B
-0.33%3.01B
1.00%3.03B
0.97%3.03B
1.41%3.02B
1.41%3.02B
1.51%3.02B
0.81%3B
-common stock
-2.02%2.62B
-1.23%2.64B
-1.23%2.64B
-0.37%2.66B
1.13%2.68B
1.09%2.68B
1.59%2.68B
1.59%2.68B
1.71%2.67B
0.91%2.65B
-Preferred stock
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
Retained earnings
-7.92%-4.28B
55.72%-3.98B
55.72%-3.98B
50.85%-4.22B
55.86%-3.83B
52.67%-3.96B
-10.92%-9B
-10.92%-9B
-35.37%-8.58B
-40.11%-8.68B
Paid-in capital
14.59%479M
15.01%475M
15.01%475M
19.20%478M
9.36%444M
-0.71%418M
107.54%413M
107.54%413M
91.87%401M
98.05%406M
Gains losses not affecting retained earnings
19.67%-2.1B
32.72%-2.58B
32.72%-2.58B
34.77%-2.49B
28.24%-2.59B
1.25%-2.61B
-24.63%-3.84B
-24.63%-3.84B
-8.27%-3.82B
-9.32%-3.61B
Other equity interest
-84.93%11M
-84.93%11M
-84.93%11M
-84.93%11M
-41.10%43M
0.00%73M
-78.72%73M
-78.72%73M
-78.72%73M
-78.72%73M
Total stockholders'equity
4.74%-2.92B
66.87%-3.09B
66.87%-3.09B
63.95%-3.21B
66.99%-2.91B
59.36%-3.06B
-21.63%-9.33B
-21.63%-9.33B
-40.47%-8.91B
-47.46%-8.82B
Noncontrolling interests
----
----
----
--0
--0
--0
51.94%2.67B
51.94%2.67B
48.07%2.46B
40.79%2.29B
Total equity
4.74%-2.92B
53.60%-3.09B
53.60%-3.09B
50.20%-3.21B
55.39%-2.91B
42.95%-3.06B
-12.62%-6.66B
-12.62%-6.66B
-37.78%-6.45B
-49.95%-6.53B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q3)Sep 30, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(Q3)Sep 30, 2020(Q2)Jun 30, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -56.56%1.91B-34.59%1.75B-34.59%1.75B45.15%1.96B51.12%2.96B86.97%4.39B-5.21%2.68B-5.21%2.68B-44.97%1.35B-37.76%1.96B
-Cash and cash equivalents -55.41%1.41B-31.63%1.68B-31.63%1.68B18.97%1.38B36.68%2.29B55.63%3.15B-6.81%2.45B-6.81%2.45B-48.56%1.16B-43.39%1.67B
-Short-term investments -59.50%501M-66.52%76M-66.52%76M204.19%581M136.27%671M284.16%1.24B16.41%227M16.41%227M-4.50%191M50.26%284M
Receivables -0.58%344M-8.73%324M-8.73%324M-35.12%327M-92.37%342M-92.23%346M-91.80%355M-91.80%355M-88.98%504M-3.71%4.48B
-Accounts receivable 0.00%290M-11.87%245M-11.87%245M-38.03%277M-84.08%292M-84.46%290M-83.87%278M-83.87%278M-74.86%447M10.82%1.83B
-Other receivables -3.57%54M2.60%79M2.60%79M-12.28%50M-98.11%50M-97.84%56M-97.04%77M-97.04%77M-97.96%57M-11.73%2.65B
Inventory -7.54%3.32B-11.18%3.24B-11.18%3.24B-26.23%3.43B-27.84%3.53B-28.97%3.6B-20.63%3.65B-20.63%3.65B-10.65%4.65B2.32%4.89B
Other current assets -6.63%183M-24.77%164M-24.77%164M30.46%197M-39.61%218M-58.21%196M-53.91%218M-53.91%218M-65.13%151M-25.10%361M
Total current assets -32.47%5.76B-67.07%5.48B-67.07%5.48B-65.94%5.91B-43.96%7.05B-37.52%8.53B23.46%16.65B23.46%16.65B30.99%17.36B-7.75%12.58B
Non current assets
Net PPE 48.49%983M25.30%837M25.30%837M3.82%733M-58.88%685M-60.64%662M-62.49%668M-62.49%668M-65.41%706M-18.85%1.67B
-Gross PPE ----10.45%1.93B10.45%1.93B-------------54.23%1.75B-54.23%1.75B--------
-Accumulated depreciation -----1.29%-1.1B-1.29%-1.1B------------47.04%-1.08B47.04%-1.08B--------
Goodwill and other intangible assets -6.12%4.07B-6.07%4.13B-6.07%4.13B-7.34%4.2B-34.57%4.26B-33.12%4.33B-32.91%4.4B-32.91%4.4B-30.04%4.54B-0.14%6.51B
-Goodwill ----------------------------------0-0.36%1.92B
-Other intangible assets -6.12%4.07B-6.07%4.13B-6.07%4.13B-7.34%4.2B-7.11%4.26B-5.82%4.33B-4.77%4.4B-4.77%4.4B-1.78%4.54B-0.04%4.58B
Investments and advances 9.43%1.01B84.21%1.68B84.21%1.68B32.31%1.13B-12.05%1.38B-18.53%923M-55.47%912M-55.47%912M-75.75%851M-54.31%1.57B
Non current deferred assets 120.37%238M125.23%250M125.23%250M-66.39%122M-80.63%110M-79.55%108M-79.67%111M-79.67%111M-32.78%363M24.02%568M
Other non current assets 12.66%436M8.40%387M8.40%387M48.97%435M-28.64%421M-41.10%387M-36.48%357M-36.48%357M-45.52%292M-0.51%590M
Total non current assets 5.02%6.74B13.02%7.28B13.02%7.28B-1.91%6.62B-37.13%6.85B-38.80%6.41B-43.91%6.44B-43.91%6.44B-48.53%6.75B-16.50%10.9B
Total assets -16.38%12.49B-44.72%12.76B-44.72%12.76B-48.02%12.53B-40.79%13.9B-38.08%14.94B-7.54%23.09B-7.54%23.09B-8.55%24.11B-12.03%23.48B
Liabilities
Current liabilities
Payables -37.00%1.08B-25.36%1.03B-25.36%1.03B-16.09%1.43B-63.13%1.5B-62.32%1.71B-63.00%1.38B-63.00%1.38B-61.52%1.71B-12.28%4.07B
-accounts payable -37.00%1.08B-22.40%880M-22.40%880M-16.09%1.43B-63.13%1.5B-62.32%1.71B-65.20%1.13B-65.20%1.13B-61.52%1.71B-12.28%4.07B
-Other payable -----39.26%147M-39.26%147M-------------47.39%242M-47.39%242M--------
Current accrued expenses -----41.70%137M-41.70%137M-------------75.60%235M-75.60%235M--------
Current provisions -26.88%117M-30.82%101M-30.82%101M5.30%139M-84.51%149M-81.31%160M-86.23%146M-86.23%146M-86.45%132M-11.25%962M
Current debt and capital lease obligation -----------------39.04%634M--2B23,425.00%1.88B23,425.00%1.88B--837M--1.04B
-Current debt -----------------39.04%634M--2B23,425.00%1.88B23,425.00%1.88B--837M--1.04B
Current deferred liabilities 40.12%3.12B21.10%2.85B21.10%2.85B-7.56%2.41B-55.80%2.31B-58.47%2.23B-58.95%2.36B-58.95%2.36B-46.69%2.61B8.18%5.22B
Other current liabilities -12.83%564M-94.00%650M-94.00%650M-94.37%635M-80.37%634M-83.76%647M183.12%10.83B183.12%10.83B255.58%11.29B2.77%3.23B
Current liabilities -27.71%4.88B-71.66%4.77B-71.66%4.77B-72.13%4.62B-64.02%5.23B-54.22%6.75B9.87%16.83B9.87%16.83B22.94%16.57B6.06%14.53B
Non current liabilities
Long term provisions -31.08%173M-20.76%229M-20.76%229M1.59%256M-12.29%257M28.06%251M-7.07%289M-7.07%289M-61.11%252M-56.72%293M
Long term debt and capital lease obligation -9.26%6.65B-13.99%7.05B-13.99%7.05B-23.47%7.04B-16.83%7.37B-21.26%7.33B-12.14%8.19B-12.14%8.19B-1.29%9.2B-5.21%8.86B
-Long term debt -9.26%6.65B-13.99%7.05B-13.99%7.05B-23.47%7.04B-16.83%7.37B-21.26%7.33B-12.14%8.19B-12.14%8.19B-1.29%9.2B-5.21%8.86B
Non current deferred liabilities 43.00%1.39B-5.17%1.16B-5.17%1.16B-8.84%1.17B-15.52%1.21B-33.01%972M-13.97%1.22B-13.97%1.22B-34.78%1.28B-20.73%1.43B
Employee benefits -36.85%706M-31.51%1.1B-31.51%1.1B-38.60%1.03B-58.76%1.14B-46.43%1.12B-34.31%1.61B-34.31%1.61B-47.67%1.68B-8.08%2.76B
Other non current liabilities 1.84%1.61B-3.72%1.55B-3.72%1.55B3.70%1.63B-24.36%1.62B-7.33%1.58B-22.08%1.61B-22.08%1.61B-35.05%1.57B-15.04%2.14B
Total non current liabilities -6.42%10.53B-14.20%11.09B-14.20%11.09B-20.46%11.13B-25.15%11.59B-23.71%11.25B-17.01%12.92B-17.01%12.92B-20.37%13.99B-10.76%15.48B
Total liabilities -14.40%15.41B-46.71%15.85B-46.71%15.85B-48.48%15.74B-43.97%16.81B-38.96%18B-3.68%29.75B-3.68%29.75B-1.57%30.56B-3.34%30B
Shareholders'equity
Share capital -1.79%2.97B-1.09%2.99B-1.09%2.99B-0.33%3.01B1.00%3.03B0.97%3.03B1.41%3.02B1.41%3.02B1.51%3.02B0.81%3B
-common stock -2.02%2.62B-1.23%2.64B-1.23%2.64B-0.37%2.66B1.13%2.68B1.09%2.68B1.59%2.68B1.59%2.68B1.71%2.67B0.91%2.65B
-Preferred stock 0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M0.00%347M
Retained earnings -7.92%-4.28B55.72%-3.98B55.72%-3.98B50.85%-4.22B55.86%-3.83B52.67%-3.96B-10.92%-9B-10.92%-9B-35.37%-8.58B-40.11%-8.68B
Paid-in capital 14.59%479M15.01%475M15.01%475M19.20%478M9.36%444M-0.71%418M107.54%413M107.54%413M91.87%401M98.05%406M
Gains losses not affecting retained earnings 19.67%-2.1B32.72%-2.58B32.72%-2.58B34.77%-2.49B28.24%-2.59B1.25%-2.61B-24.63%-3.84B-24.63%-3.84B-8.27%-3.82B-9.32%-3.61B
Other equity interest -84.93%11M-84.93%11M-84.93%11M-84.93%11M-41.10%43M0.00%73M-78.72%73M-78.72%73M-78.72%73M-78.72%73M
Total stockholders'equity 4.74%-2.92B66.87%-3.09B66.87%-3.09B63.95%-3.21B66.99%-2.91B59.36%-3.06B-21.63%-9.33B-21.63%-9.33B-40.47%-8.91B-47.46%-8.82B
Noncontrolling interests --------------0--0--051.94%2.67B51.94%2.67B48.07%2.46B40.79%2.29B
Total equity 4.74%-2.92B53.60%-3.09B53.60%-3.09B50.20%-3.21B55.39%-2.91B42.95%-3.06B-12.62%-6.66B-12.62%-6.66B-37.78%-6.45B-49.95%-6.53B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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