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Last updated: April 2026

BBD-B FINANCIAL STATEMENTS

Bombardier Inc Series B — balance sheet, income statement and cash flow trends

BBD-BBombardier Inc Series B

🇨🇦 Canada · TO · Industrials · Aerospace & Defense

Value itDuel
PriceFinancialsPeers

Income Statement

Quarterly progression — trailing-twelve-month values
RevenueNet Income
05 B10 B202120222023202420252026

Profit Funnel

Q1 2026 · TTM
Revenue9.6 B $Gross Profit1.9 B $ · 20%Operating Income1.1 B $ · 12%Pre-tax Income732 M $ · 8%Net Income936.1 M $ · 10%

Percentages are relative to revenue.

Key Figures

YoY change
Revenue9.6 B $+7.8%
Gross Profit1.9 B $+4.4%
Operating Income1.1 B $+15.9%
EBITDA1.6 B $+60.9%
Net Income936.1 M $+207.9%

Peer Comparison· Aerospace & Defense

CompanyRev. GrowthGross MarginEBITDA MarginNet Margin
BBD-B7.8%19.5%16.9%9.7%
TXT9.5%14.4%11.0%6.1%
BWXT21.4%22.6%16.8%10.2%
MOG-A13.7%26.9%13.2%6.8%
DRS10.5%24.1%12.3%7.8%
HII12.1%12.4%9.4%4.7%
Industry median12.2%24.2%13.1%6.6%
CompanyRev. GrowthGross MarginEBITDA MarginNet Margin
BBD-B7.8%19.5%16.9%9.7%
CAE4.4%28.3%20.6%6.4%
Industry median12.2%24.2%13.1%6.6%

Balance Sheet

Quarterly period-end values
Total AssetsTotal LiabilitiesEquity
020 B202120222023202420252026

Capital Structure

Q1 2026
Total Assets13.8 B
  • Current Liabilities6.3 B $43%
  • Long-term Liabilities8.3 B $57%

Key Figures

YoY change
Total Assets13.8 B $+8.7%
Total Liabilities14.7 B $+0.5%
Total Equity-916.6 M $—
Cash & ST Investments1.7 B $+61.4%
Total Debt4.8 B $-15.1%
Net Debt3.2 B $-32.0%

Peer Comparison· Aerospace & Defense

CompanyCurrent RatioDebt/EquityNetDebt/EBITDAEquity/Assets
BBD-B1.16-528.1%1.96-6.7%
TXT1.4848.4%1.4144.1%
BWXT2.40157.6%2.6429.6%
MOG-A1.6831.0%0.6342.9%
DRS1.869.8%-0.1365.8%
HII1.1956.9%2.2641.1%
Industry median1.7548.4%0.8844.2%
CompanyCurrent RatioDebt/EquityNetDebt/EBITDAEquity/Assets
BBD-B1.16-528.1%1.96-6.7%
CAE0.9661.0%2.6447.6%
Industry median1.7548.4%0.8844.2%

Cash Flow Statement

Quarterly progression — trailing-twelve-month values
Operating Cash FlowCapital ExpendituresFree Cash Flow
-2 B02 B202120222023202420252026

Cash Flow Bridge

Q1 2026 · TTM
01 B2 B2 B $Operating-219 M $Investing-941.7 M $Financing828.2 M $Net Change

Key Figures

YoY change
Operating Cash Flow2 B $+364.1%
Capital Expenditures169.1 M $+4.9%
Free Cash Flow1.8 B $+580.7%
Dividends Paid-23 M $-209.5%

Peer Comparison· Aerospace & Defense

CompanyCF MarginFCF MarginCapEx RatioCF/Net Income
BBD-B20.7%19.0%1.8%212.5%
TXT7.6%4.7%3.0%124.0%
BWXT15.5%9.7%5.7%151.4%
MOG-A8.0%4.9%3.2%117.8%
DRS11.9%8.1%3.7%151.0%
HII9.3%8.2%3.6%198.5%
Industry median11.1%5.8%3.8%110.3%
CompanyCF MarginFCF MarginCapEx RatioCF/Net Income
BBD-B20.7%19.0%1.8%212.5%
CAE15.5%9.4%6.1%242.8%
Industry median11.1%5.8%3.8%110.3%

Amounts are in the company’s reporting currency. Peer comparison tables use ratio-based metrics so currency differences do not distort the picture.

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Data on this page refreshes once per day. Price data as of Jul 6, 26. This content is for informational purposes only and is not investment advice.