BAERW Bridger Aerospace Group Holdings, Inc. - Warrant

$0.43
价格 · 五月 19, 2026
截至...的财报数据 五月 8, 2026

BAERW 股票快照 价格、市值、P/E、EPS、ROE、负债/权益、52周范围

价格
$0.42
市值
P/E (TTM)
每股收益 (TTM)
$-0.42
营收 (TTM)
$123M
股息收益率
ROE
-1.2%
负债/权益
-0.6
52周区间
$0 – $1

BAERW 股价图表 包含技术指标的日 OHLCV — 平移、缩放和自定义您的视图

10年表现 收入、净利润、利润率和每股收益趋势

营收与净利润 $123M
4-point trend, +164.8%
2022-12-31 2025-12-31
EPS $-0.42
4-point trend, +94.9%
2022-12-31 2025-12-31
自由现金流 $-64M
3-point trend, -35.0%
2023-12-31 2025-12-31
利润率 3.4%
3-point trend, +10.6%
2023-12-31 2025-12-31

估值 P/E、P/S、P/B、EV/EBITDA 比率 — 该股票是昂贵还是便宜?

指标
5年趋势
BAERW
同行中位数

盈利能力 毛利率、营业利润率和净利率;股本回报率 (ROE)、资产回报率 (ROA)、投入资本回报率 (ROIC)

指标
5年趋势
BAERW
同行中位数
Gross Margin (毛利率)
3-point trend, +10.6%
42.1%
Net Profit Margin (净利润率)
3-point trend, +102.9%
3.4%
ROA
2-point trend, +124.1%
1.3%
ROE
2-point trend, -124.1%
-1.2%

财务健康 债务、流动性、偿付能力 — 资产负债表强度

指标
5年趋势
BAERW
同行中位数
Debt / Equity (负债/股东权益比率)
2-point trend, +0.6%
-0.6
Current Ratio (流动比率)
2-point trend, -10.8%
2.4
Quick Ratio (速动比率)
2-point trend, +13.0%
1.9

成长 营收、每股收益 (EPS) 和净利润增长:同比、3年复合年增长率 (CAGR)、5年复合年增长率 (CAGR)

指标
5年趋势
BAERW
同行中位数
Revenue YoY (营收同比增长)
4-point trend, +164.8%
24.6%
Revenue CAGR 3Y (营收3年复合年增长率)
4-point trend, +164.8%
38.4%

每股指标 每股收益 (EPS)、每股净资产、每股现金流、每股股息

指标
5年趋势
BAERW
同行中位数
EPS (Diluted) (EPS (稀释))
4-point trend, +94.9%
$-0.42

资本效率 资产周转率、库存周转率、应收账款周转率

指标
5年趋势
BAERW
同行中位数

完整基本面 所有年度指标 — 损益表、资产负债表、现金流量表

损益表 15
BAERW 的年度损益表数据
指标 趋势 2025202420232022
Revenue 4-point trend, +164.8% $123M $99M $67M $46M
Cost of Revenue 4-point trend, +110.0% $71M $57M $41M $34M
Gross Profit 4-point trend, +313.4% $52M $41M $25M $13M
SG&A Expense 4-point trend, +3.3% $36M $36M $83M $35M
Operating Income 3-point trend, +123.5% · $5M $-57M $-23M
Interest Expense 2-point trend, +16.0% · · $23M $20M
Other Non-op 4-point trend, +2162.6% $12M $2M $3M $521.0K
Pretax Income 4-point trend, +109.3% $4M $-16M $-78M $-42M
Income Tax 4-point trend, -215000.00 $-215.0K $-762.0K $-302.0K $0
Net Income 4-point trend, +109.8% $4M $-16M $-77M $-42M
EPS (Basic) 4-point trend, +94.9% $-0.42 $-0.81 $0.19 $-8.20
EPS (Diluted) 4-point trend, +94.9% $-0.42 $-0.81 $-1.00 $-8.20
Shares (Basic) 4-point trend, +34.7% 54,283,410 50,524,996 45,269,201 40,287,478
Shares (Diluted) 4-point trend, +34.7% 54,283,410 50,524,996 77,527,381 40,287,478
EBITDA 3-point trend, +133.3% $15M $23M $-46M ·
资产负债表 24
BAERW 的年度资产负债表数据
指标 趋势 2025202420232022
Cash & Equivalents 4-point trend, +4.0% $31M $39M $23M $30M
Receivables · · · $28.9K
Prepaid Expense 4-point trend, +117.7% $4M $4M $3M $2M
Other Current Assets 4-point trend, +871.7% $291.0K $179.0K $89.0K $29.9K
Current Assets 4-point trend, -62.4% $40M $64M $45M $107M
PP&E (Net) · · · $192M
Goodwill 4-point trend, +749.8% $21M $21M $13M $2M
Intangibles 4-point trend, +2795.7% $6M $6M $2M $208.0K
Other Non-current Assets 4-point trend, +918.4% $44M $16M $17M $4M
Total Assets 4-point trend, +8.0% $330M $291M $273M $306M
Accounts Payable 4-point trend, +7.8% $3M $5M $4M $3M
Accrued Liabilities 4-point trend, -47.5% $10M $14M $17M $19M
Current Liabilities 4-point trend, -32.0% $17M $23M $25M $24M
Capital Leases 4-point trend, +3762.6% $29M $6M $6M $755.0K
Total Liabilities 4-point trend, +15.2% $266M $237M $247M $231M
Long-term Debt 4-point trend, +7.0% $222M $208M $211M $208M
Total Debt 2-point trend, +4.2% $213M $205M · ·
Common Stock 4-point trend, +50.0% $6.0K $6.0K $5.0K $4.0K
Paid-in Capital 4-point trend, +82315000.00 $82M $101M $85M $0
Retained Earnings 4-point trend, -2.4% $-425M $-429M $-414M $-415M
AOCI 4-point trend, -88.9% $187.0K $1M $987.0K $2M
Stockholders' Equity 4-point trend, +17.2% $-343M $-327M $-328M $-414M
Liabilities + Equity 4-point trend, +8.0% $330M $291M $273M $306M
Shares Outstanding 4-point trend, +43.0% 55,894,663 54,209,388 47,200,504 39,081,744
现金流 15
BAERW 的年度现金流数据
指标 趋势 2025202420232022
D&A 4-point trend, +70.2% $15M $17M $11M $9M
Stock-based Comp 4-point trend, +78766.7% $7M $16M $48M $9.0K
Deferred Tax 4-point trend, -373000.00 $-373.0K $-1M $-342.0K $0
Amort. of Intangibles Flat — no change across 2 periods · · $100.0K $100.0K
Other Non-cash 3-point trend, -20.2% $-10M $-8M $-8M ·
Operating Cash Flow 4-point trend, +268.7% $17M $9M $-27M $-10M
CapEx 4-point trend, +216.4% $81M $4M $21M $26M
Investing Cash Flow 4-point trend, +61.7% $-34M $2M $27M $-90M
Stock Issued 3-point trend, +0.00 $0 $168.0K $0 ·
Net Stock Activity 2-point trend, -100.0% $0 $168.0K · ·
Financing Cash Flow 4-point trend, -103.5% $-4M $5M $-6M $125M
Net Change in Cash 4-point trend, -186.1% $-22M $16M $-6M $25M
Taxes Paid 2-point trend, +430000.00 $430.0K $0 · ·
Free Cash Flow 3-point trend, -35.0% $-64M $5M $-48M ·
Levered FCF · · $-71M ·
盈利能力 8
BAERW 的年度盈利能力数据
指标 趋势 2025202420232022
Gross Margin 3-point trend, +10.6% 42.1% 41.7% 38.0% ·
Operating Margin 2-point trend, +106.3% · 5.4% -86.2% ·
Net Margin 3-point trend, +102.9% 3.4% -15.8% -116.0% ·
Pretax Margin 3-point trend, +102.7% 3.2% -16.6% -116.4% ·
EBITDA Margin 3-point trend, +118.1% 12.6% 23.1% -69.6% ·
ROA 2-point trend, +124.1% 1.3% -5.5% · ·
ROE 2-point trend, -124.1% -1.2% 4.9% · ·
ROIC · -4.2% · ·
流动性与偿付能力 5
BAERW 的年度流动性与偿付能力数据
指标 趋势 2025202420232022
Current Ratio 2-point trend, -10.8% 2.4 2.7 · ·
Quick Ratio 2-point trend, +13.0% 1.9 1.7 · ·
Debt / Equity 2-point trend, +0.6% -0.6 -0.6 · ·
LT Debt / Equity 2-point trend, -0.0% -0.6 -0.6 · ·
Interest Coverage · · -2.5 ·
效率 1
BAERW 的年度效率数据
指标 趋势 2025202420232022
Asset Turnover 2-point trend, +13.2% 0.4 0.3 · ·
每股 5
BAERW 的年度每股数据
指标 趋势 2025202420232022
Book Value / Share 2-point trend, -1.7% $-6.13 $-6.03 · ·
Revenue / Share 3-point trend, +163.0% $2.26 $1.95 $0.86 ·
Cash Flow / Share 3-point trend, +189.1% $0.31 $0.19 $-0.35 ·
Cash / Share 2-point trend, -22.6% $0.56 $0.73 · ·
EPS (TTM) 4-point trend, +94.9% $-0.42 $-0.81 $-1.00 $-8.20
增长率 2
BAERW 的年度增长率数据
指标 趋势 2025202420232022
Revenue YoY 3-point trend, -43.9% 24.6% 47.8% 43.8% ·
Revenue CAGR 3Y 38.4% · · ·
估值 (TTM) 2
BAERW 的年度估值 (TTM)数据
指标 趋势 2025202420232022
Revenue TTM 4-point trend, +164.8% $123M $99M $67M $46M
Net Income TTM 4-point trend, +109.8% $4M $-16M $-77M $-42M

财务报表 损益表、资产负债表、现金流量表 — 年度,近5年

损益表
2025-12-312024-12-312023-12-312022-12-312022-09-30
收入 $123M$99M$67M$46M
毛利率 % 42.1%41.7%38.0%
营业利润率 % 5.4%-86.2%
净收入 $4M$-16M$-77M$-42M
稀释后每股收益 (EPS) $-0.42$-0.81$-1.00$-8.20
资产负债表
2025-12-312024-12-312023-12-312022-12-312022-09-30
负债/股东权益比率 -0.6-0.6
流动比率 2.42.7
速动比率 1.91.7
现金流
2025-12-312024-12-312023-12-312022-12-312022-09-30
自由现金流 $-64M$5M$-48M

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