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BUR Cash Flow - Free Cash Flow Trends - Intellectia AI™
Summary
Key Indicators
Income Statement
Balance Sheet
Cash Flow
YoY
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q3
FY2023Q2
FY2023Q1
Net Cash Flow from Operating Activities
-79.90M
+26.68%
-20.05M
-107.17%
-84.23M
-13.5%
155.17M
+192.98%
-63.08M
--
279.80M
+1692.22%
-97.38M
-52.21%
52.96M
-429.19%
15.61M
--
-203.77M
--
-16.09M
--
Funds from Operations
-100.75M
-52.27%
-81.98M
-30.75%
-113.21M
+41.34%
-85.82M
+45.58%
-211.09M
--
-118.38M
-39.64%
-80.09M
+12.59%
-58.95M
-67.94%
-196.12M
--
-71.14M
--
-183.89M
--
Profit/(Loss) - Cash Flow
-49.60M
-169.17%
-20.27M
-112.84%
105.15M
+39.7%
36.91M
-310.94%
71.72M
--
157.86M
-46.87%
75.27M
-471.24%
-17.50M
-105.81%
297.13M
--
-20.28M
--
301.38M
--
Deferred Inc Taxes & Income Tax Credits
-1.32M
-92.18%
4.16M
-10776.92%
4.18M
+16.28%
6.27M
-219.88%
-16.84M
--
-39.00K
-101.52%
3.60M
-167.79%
-5.23M
-15.52%
2.57M
--
-5.31M
--
-6.19M
--
Change in Working Capital
20.84M
-85.92%
61.93M
-84.45%
28.98M
-267.65%
240.99M
+115.34%
148.01M
--
398.18M
+88.06%
-17.28M
-86.97%
111.92M
-33.3%
211.73M
--
-132.64M
--
167.80M
--
Net Cash Flow from Investing Activities
-357.00K
-41.48%
-8.31M
+16203.92%
-103.00K
+128.89%
-24.00K
-44.19%
-610.00K
--
-51.00K
-828.57%
-45.00K
-98%
-43.00K
-94%
7.00K
--
-2.25M
--
-717.00K
--
Capital Expenditures - Net
99.00K
-83.77%
58.00K
+13.73%
103.00K
+128.89%
24.00K
-44.19%
610.00K
--
51.00K
-828.57%
45.00K
-98%
43.00K
-94%
-7.00K
--
2.25M
--
717.00K
--
Investments - Associated Co & JVs - Sold/(Purchased)
-258.00K
--
-8.26M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
Net Cash Flow from Financing Activities
-31.21M
-123.75%
334.15M
-442.46%
-31.36M
-678.35%
-139.17M
-166.46%
131.41M
--
-97.57M
-20.99%
5.42M
-98.92%
209.41M
-925.79%
-123.49M
--
504.00M
--
-25.36M
--
Dividends Paid
13.72M
-49.79%
0.00
--
13.67M
-0.2%
--
--
27.33M
--
0.00
--
13.69M
-0.12%
--
--
0.00
--
13.71M
--
--
--
Stock - Total - Issuance/(Retirement) - Net
0.00
-100%
0.00
--
0.00
-100%
-15.31M
+249.7%
-5.09M
--
0.00
-100%
-712.00K
--
-4.38M
--
-3.76M
--
--
--
--
--
Debt - LT & ST - Issuance/(Retirement)
-17.48M
-107.09%
377.21M
-3386.13%
0.00
-100%
-6.68M
-102.34%
246.63M
--
-11.48M
--
-23.30M
-105.91%
284.97M
--
0.00
--
394.46M
--
--
--
Net Change in Cash
-111.22M
-268.41%
305.40M
+66.58%
-114.39M
+24.34%
16.71M
-93.63%
66.04M
--
183.34M
-267.03%
-92.00M
-130.73%
262.12M
-729.14%
-109.77M
--
299.34M
--
-41.66M
--
Free Cash Flow
-80.00M
+25.62%
-20.11M
-107.19%
-84.33M
-13.44%
155.15M
+193.17%
-63.69M
--
279.75M
--
-97.42M
-52.71%
52.92M
-414.89%
--
--
-206.02M
--
-16.81M
--