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NYSE:BRDG

Bridge Investment Group

  • Stock

USD

Last Close

9.35

24/09 20:00

Market Cap

418.79M

Beta: -

Volume Today

285.80K

Avg: 122.61K

PE Ratio

−4.60

PFCF: 15.60

Dividend Yield

6.94%

Payout:−44.77%

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Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
160.63M
-
166.46M
3.63%
408.63M
145.49%
272.37M
33.35%
-11.90M
104.37%
depreciation and amortization
2.76M
-
3.21M
16.32%
2.83M
11.95%
2.94M
3.75%
16.36M
457.22%
deferred income tax
-235K
-
-62.68M
26,571.49%
3.28M
105.24%
12.87M
292.05%
4.57M
64.47%
stock based compensation
17.49M
-
6.16M
64.78%
52.58M
753.80%
57.01M
8.44%
30.26M
46.93%
change in working capital
1.07M
-
16.52M
1,440.58%
-287K
101.74%
2.35M
920.56%
20.79M
782.85%
accounts receivables
-10.86M
-
3.86M
135.56%
-9.85M
355.04%
-17.65M
79.23%
1.20M
106.82%
inventory
10.86M
-
-3.86M
135.56%
9.85M
355.04%
17.65M
79.23%
accounts payables
2.63M
-
3.98M
51.25%
4.49M
12.65%
10.98M
144.72%
10.16M
7.49%
other working capital
-1.56M
-
12.53M
902.24%
-4.78M
138.11%
-8.63M
80.69%
9.43M
209.27%
other non cash items
-28.25M
-
430K
101.52%
-257.81M
60,054.88%
-119.19M
53.77%
116.12M
197.42%
net cash provided by operating activities
153.47M
-
130.10M
15.23%
209.22M
60.82%
228.35M
9.14%
176.20M
22.84%
investments in property plant and equipment
-1.71M
-
-262K
84.71%
-1.12M
327.86%
-3.23M
187.96%
-2.41M
25.40%
acquisitions net
-30M
-
-15.09M
49.70%
-319.36M
2,016.54%
purchases of investments
-4.54M
-
-14.51M
219.63%
-14.10M
2.82%
-83.34M
491.26%
-70.87M
14.96%
sales maturities of investments
7.62M
-
2.84M
62.70%
1.24M
56.39%
1.30M
4.92%
44.55M
3,326.62%
other investing activites
-1.06M
-
-35.89M
3,288.76%
-70.28M
95.84%
78.48M
211.66%
21.38M
72.76%
net cash used for investing activites
306K
-
-47.81M
15,725.16%
-114.26M
138.97%
-21.88M
80.85%
-326.72M
1,393.04%
debt repayment
-88.87M
-
-113.72M
27.96%
-137.11M
20.56%
-51.01M
62.80%
-180.29M
253.46%
common stock issued
82.98M
-
242.66M
192.44%
295.38M
21.73%
common stock repurchased
-2.79M
-
-6.86M
146.28%
-110K
98.40%
dividends paid
-109.42M
-
-134.19M
22.64%
-182.31M
35.86%
-30.22M
83.42%
-21.93M
27.44%
other financing activites
-11.30M
-
-22.92M
102.89%
-94.30M
311.36%
-15.85M
83.20%
226.74M
1,530.88%
net cash used provided by financing activities
-129.39M
-
-35.04M
72.92%
-118.45M
238.04%
-97.08M
18.04%
24.52M
125.25%
effect of forex changes on cash
142.09M
-
net change in cash
24.38M
-
47.24M
93.77%
-23.48M
149.70%
109.39M
565.86%
-126.00M
215.19%
cash at beginning of period
35.73M
-
60.11M
68.24%
107.35M
78.60%
83.87M
21.87%
193.26M
130.43%
cash at end of period
60.11M
-
107.35M
78.60%
83.87M
21.87%
193.26M
130.43%
67.26M
65.20%
operating cash flow
153.47M
-
130.10M
15.23%
209.22M
60.82%
228.35M
9.14%
176.20M
22.84%
capital expenditure
-1.71M
-
-262K
84.71%
-1.12M
327.86%
-3.23M
187.96%
-2.41M
25.40%
free cash flow
151.75M
-
129.83M
14.44%
208.10M
60.28%
225.13M
8.18%
173.79M
22.80%

All numbers in USD (except ratios and percentages)