Bluebird Mining Ventures Ltd Shs USD (BMV)

Industry Gold

This stock can be held in an Investment ISA, SIPP and Investment Account
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0.55p

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0.65p

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Bluebird Merchant Ventures Ltd is an exploration and commodity trading company. The Company has interest in the Batangas Gold Project in the Republic of Philippines and also a copper concentrate trading business.
Prices updated at 02 May 2025, 16:39 BST
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Prices in GBX

Income statement

Year20152016201720182020202120222023
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-41,123-863,821-1m-2m-659,300-650,681-908,220-796,859
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-94,192-920,927-2m-2m-899,6738m-1m-253,524
-41,123-863,821-2m-2m-659,3008m-1m-227,624
Sales, General and administrative41,123778,421802,649786,631633,278656,295908,220796,859
Interest expenses--2,04358,983--250,64625,900
Provision for income taxes---4,134----
Operating expenses41,123863,8211m2m659,300650,681908,220796,859
Income before taxes-50,209-920,927-2m-2m-899,6738m-1m-253,524
Net income available to common shareholders-94,192-920,927-2m-2m-899,6738m-1m-253,524
-0.0200640.09590.0089-0.0075-0.00230.0172-0.0023-0.0004
Net interest income-4,3104,310-2,043-58,983---250,646-25,900
Advertising and promotion--------
Net investment income, net--22,015-19,952-11,702----
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)-0.0200640.09590.0086-0.0075-0.00230.0168-0.0023-0.0004
Free cash flow per share--0.0033-0.0013-0.0037-0.0021-0.0002-0.0008-0.0006
Book value/share-0.00820.01420.00140.00210.02290.02380.0216
Debt equity ratio--------

Balance sheet

Year20152016201720182020202120222023
Current assets31,893468,2475m131,767109,492225,274264,303325,612
Current liabilities851,849269,430977,9522m619,2051m2m794,803
Total capital196,0782m4m391,0761m19m18m19m
Total debt716,52892,932204,652560,220176,700779,0811m353,300
Total equity196,0782m4m391,0761m19m18m19m
Total non current liabilities--------
Loans-92,932------
Total assets1m2m5m2m2m20m20m20m
Total liabilities--------
Cash and cash equivalents7,748258,91994,98741,08272,836166,66835,910269,849
Common stock185m196m205m215m398m622m652m713m

Cash flow

Year20152016201720182020202120222023
Cash at beginning of period-7,748258,91994,9866,03972,836166,66835,910
Cash dividends paid--------
-102,577-790,088-364,357-1m-235,573-401,453-559,997-616,005
Investments (gains) losses-315,266-1m-136,11125,471-257,749-55,171--
7,748258,91994,98741,08272,836166,66835,910269,849
Net income--------
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The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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