BBD Company Financials

BBD 
$7.62
*  
0.32
4.03%
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*Delayed - data as of Aug. 3, 2015 12:54 ET  -  Find a broker to begin trading BBD now
Exchange: NYSE
Industry: Finance
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View:    BBD Real Time
 
 
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Annual Income Statement (values in 000's) Get Quarterly Data

Period Ending: Trend 12/31/2014 12/31/2013 12/31/2012 1/1/2012
Net Income
$5,799,593 $5,292,418 $5,544,173 $5,945,285
Cash Flows-Operating Activities
Depreciation
$1,103,260 $1,161,738 $1,215,229 $1,135,326
Net Income Adjustments
$13,678,756 $15,154,855 $17,669,448 $16,712,901
Changes in Operating Activities
Accounts Receivable
$20,606,978 $21,897,020 $32,676,398 $34,398,251
Changes in Inventories
$0 $0 $0 $0
Other Operating Activities
$31,452,077 $52,661,039 $10,749,271 ($13,751,631)
Liabilities
($43,484,455) ($54,628,667) ($44,711,736) ($66,292,633)
Net Cash Flow-Operating
$30,628,752 $42,315,358 $25,140,220 ($19,964,389)
Cash Flows-Investing Activities
Capital Expenditures
($586,707) ($564,828) ($817,503) ($910,711)
Investments
($4,450,738) ($11,075,780) ($22,810,418) $7,343,033
Other Investing Activities
$3,742,074 $1,812,621 $1,771,684 $2,607,028
Net Cash Flows-Investing
($1,295,371) ($9,827,987) ($21,856,238) $9,039,350
Cash Flows-Financing Activities
Sale and Purchase of Stock
($83,219) ($35,037) ($7,663) ($70,005)
Net Borrowings
($1,018,058) ($444,519) $4,153,444 $1,588,621
Other Financing Activities
$5,963,572 ($373,376) ($390,213) $11,634,463
Net Cash Flows-Financing
$3,385,562 ($2,702,156) $1,880,410 $11,240,018
Effect of Exchange Rate
$0 $0 $0 $0
Net Cash Flow
$32,718,943 $29,785,215 $5,164,392 $314,979

See also: Company Financials data entry page