收入
成本
利润
| Item | Category | Value | YoY |
|---|---|---|---|
| Total revenues | revenue | 1.72B | 1347.41% |
| Nonoperating income (expense) | revenue | 65.29M | 96.17% |
| Operating income/(loss) | profit | 1.57B | 1919.44% |
| Total operating expenses | cost | 150.10M | 265.19% |
| Salaries and benefits | cost | 13.16M | 6.20% |
| General, administrative and other | cost | 8.59M | -15.89% |
| Annual incentive compensation | cost | 5.42M | 27.75% |
| Income/(loss) before income taxes | profit | 1.64B | 3577.24% |
| Aggregate | cost | 177.27M | |
| Net income/(loss) | profit | 1.63B | 4324.67% |
| Income tax expense (benefit) | cost | 2.42M | -68.06% |
| Long-term incentive compensation including accruals | cost | 129.69M | 1786.46% |
| Expenditure ineligible for inclusion in asset cost | cost | 42.35M | 825.32% |
| Share-based and deferred compensation | cost | 5.22M | 86.67% |
| Net income/(loss) attributable to burford capital limited shareholders | profit | 1.63B | 5176.82% |
| Net income/(loss) attributable to non-controlling interests | cost | 1.08M | -81.98% |
| Segment | Value | YoY |
|---|---|---|
| Asset Management And Other Services | 5.08M | -62.77% |
| Segment | Value | YoY |
|---|---|---|
| Asset Management | 284000 | -81.53% |
| Item | Category | Value | YoY |
|---|---|---|---|
| Capital provision assets | assets | 3.12B | |
| Cash and cash equivalents | assets | 702.58M | |
| Due from settlement of capital provision assets | assets | 180.04M | |
| Goodwill | assets | 134.00M | |
| Other assets | assets | 77.82M | |
| Marketable securities | assets | 52.10M | |
| Deferred tax asset | assets | 2.55M | |
| Total assets | assets | 4.27B | |
| Total liabilities | liabilities | 2.76B | |
| Total shareholders' equity | liabilities | 1.51B | |
| Debt payable | liabilities | 2.40B | |
| Financial liabilities relating to third-party interests in capital provision assets | liabilities | 87.70M | |
| Long-term incentive compensation payable | liabilities | 85.29M | |
| Other liabilities | liabilities | 81.49M | |
| Debt interest payable | liabilities | 55.01M | |
| Deferred tax liability | liabilities | 44.71M | |
| Non-controlling interests | liabilities | 685.71M | |
| Total burford capital limited equity | equity | 827.93M | |
| Treasury stock, common, value | equity | 28.53M | |
| Aggregate | equity | 856.46M | |
| Ordinary shares, no par value; unlimited shares authorized; 221,314,262 ordinary shares issued and 219,069,315 ordinary shares outstanding as of march 31, 2026 and 220,667,387 ordinary shares issued and 218,897,440 ordinary shares outstanding as of december 31, 2025 | equity | 621.25M | |
| Retained earnings | equity | 168.79M | |
| Additional paid-in capital | equity | 54.52M | |
| Accumulated other comprehensive income/(loss) | equity | 11.90M |
| Item | Value |
|---|---|
| Revenues | 2.50B |
| Proceeds from capital provision assets | 86.35M |
| Payments for (proceeds from) marketable securities | 38.91M |
| Other noncash income (expense) | 38.57M |
| Proceeds from/(payments of) other income | 868000 |
| Other income/(loss) | 200000 |
| Marketable security, gain (loss) | -124000 |
| Deferred tax (benefit)/expense | -2.27M |
| Increase (decrease) in other operating assets | -2.61M |
| Share-based and deferred compensation | -5.22M |
| Payments for funding of derivative assets | -139.95M |
| Increase/(decrease) in other liabilities | -246.17M |
| Net increase/(decrease) on financial liability to third-party investment | -770.79M |
| Net income/(loss) | -1.63B |
| Item | Value |
|---|---|
| Payments to acquire property, plant, and equipment | -41000 |
| Payments to acquire equity method investments | -2.86M |
| Item | Value |
|---|---|
| Debt issuance, including original issue premium | 500.00M |
| Third-party net capital contribution/(distribution) | 7.08M |
| Payments for repurchase of common stock | -3.65M |
| Payments of debt issuance costs | -9.28M |
| Payment for debt extinguishment or debt prepayment cost | -218.14M |
| Item | Value |
|---|---|
| Cash and cash equivalents, beginning of period | 566.44M |
| Cash and cash equivalents, end of period | 702.58M |
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