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Boyd Group Services Inc.
SIC 7500 · Services-Automotive Repair, Services & Parking
Notes
Support
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Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
beta
Latest Financials
Filings:
Category
Date
Search Filings
Institutional Holders
beta
Earnings Transcripts
beta
Global Search
SEC Edgar
Boyd Group Services Inc.
SIC 7500 · Services-Automotive Repair, Services & Parking
Notes
Support
about
terms
Created by potrace 1.16, written by Peter Selinger 2001-2019
beatandraise.com
beta
Latest Financials
Filings:
Category
Date
Search Filings
Institutional Holders
beta
Earnings Transcripts
beta
Global Search
SEC Edgar
Boyd Group Services Inc.
SIC 7500 · Services-Automotive Repair, Services & Parking
Notes
Support
about
terms
$
BGSI
Boyd Group Services Inc.
CIK:
0002091467
|
SEC Filings
Income Statement
Cash Flow
Balance Sheet
v3.26.1
Consolidated Statements of Earnings - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Profit or loss [abstract]
Sales
$ 3,142,794
$ 3,070,342
Cost of sales
1,684,200
1,673,834
Gross profit
1,458,594
1,396,508
Operating expenses
1,082,288
1,061,689
Acquisition and transformational cost initiatives
30,488
9,879
Depreciation of property, plant and equipment
87,851
75,498
Depreciation of right of use assets
128,101
123,512
Amortization of intangible assets
28,020
26,309
Fair value adjustments
3,449
(952)
Finance costs, net
69,673
68,913
Total operating expenses
1,429,870
1,364,848
Earnings before income taxes
28,724
31,660
Income tax expense (recovery)
Current
5,828
7,667
Deferred
4,476
(551)
Tax expense (income)
10,304
7,116
Net earnings
$ 18,420
$ 24,544
Basic earnings per share
$ 0.82
$ 1.14
Diluted earnings per share
$ 0.82
$ 1.14
Basic weighted average number of shares outstanding
22,461,320
21,472,436
Diluted weighted average number of shares outstanding
22,498,636
21,477,021
v3.26.1
Consolidated Statements of Cash Flows - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Cash flows from operating activities
Net earnings
$ 18,420
$ 24,544
Adjustments for
Fair value adjustments
3,449
(952)
Deferred income taxes
4,476
(551)
Finance costs
69,673
68,913
Amortization of intangible assets
28,020
26,309
Depreciation of property, plant and equipment
87,851
75,498
Depreciation of right of use assets
128,101
123,512
Equity settled share-based payment
4,319
928
Other
2,928
1,033
Adjustments to reconcile profit (loss)
347,237
319,234
Changes in non-cash working capital items
5,752
(5,909)
Cash flows from (used in) operating activities
352,989
313,325
Cash flows from (used in) financing activities
Proceeds from issuance of common shares
897,014
0
Payment of share issue costs
(38,201)
0
Proceeds from issuance of senior unsecured notes
572,335
0
Increase in obligations under long-term debt
391,623
365,994
Repayment of long-term debt, principal
(544,867)
(283,790)
Repayment of obligations under property leases, principal
(111,142)
(103,888)
Repayment of obligations under vehicle and equipment leases, principal
(5,594)
(5,283)
Interest on long-term debt
(32,707)
(29,149)
Interest on property leases
(44,095)
(39,464)
Interest on vehicle and equipment leases
(730)
(1,021)
Interest received on proceeds of senior unsecured notes and equity offering
5,585
0
Dividends paid
(9,366)
(9,445)
Payment of financing costs
(12,667)
(829)
Cash flows from (used in) financing activities
1,067,188
(106,875)
Cash flows used in investing activities
Proceeds on sale of equipment and software
805
718
Equipment purchases and facility improvements
(54,306)
(77,333)
Acquisition and development of businesses (net of cash acquired)
(218,537)
(192,486)
Software purchases and licensing
(8,094)
(3,124)
Increase in other long-term assets
(139)
(368)
Proceeds on sale / leaseback agreements
53,252
64,854
Cash flows from (used in) investing activities
(227,019)
(207,739)
Effect of foreign exchange rate changes on cash
15,459
(1,225)
Net increase (decrease) in cash position
1,208,617
(2,514)
Cash, beginning of year
19,997
22,511
Cash, end of year
1,228,614
19,997
Income taxes paid
3,669
12,295
Interest paid
$ 70,716
$ 68,395
v3.26.1
Consolidated Statements of Financial Position - USD ($)
$ in Thousands
Dec. 31, 2025
Dec. 31, 2024
Current assets [abstract]
Cash
$ 1,228,614
$ 19,997
Accounts receivable
137,474
120,616
Income taxes recoverable
10,196
12,307
Inventory
68,284
73,134
Prepaid expenses
53,789
44,663
Current assets
1,498,357
270,717
Non-current assets [abstract]
Property, plant and equipment
581,146
529,673
Right of use assets
689,247
668,101
Derivative financial instruments
7,153
0
Deferred income tax asset
12,625
2,840
Intangible assets
356,347
336,943
Goodwill
702,460
643,864
Other long-term assets
12,616
12,051
Assets
3,859,951
2,464,189
Current liabilities [abstract]
Accounts payable and accrued liabilities
339,276
306,942
Dividends payable
3,168
2,283
Current portion of long-term debt
8,752
8,994
Current portion of lease liabilities
125,483
116,849
Current liabilities
476,679
435,068
Non-current liabilities [abstract]
Long-term debt
352,031
498,289
Senior unsecured notes
577,143
0
Derivative financial instruments
4,667
0
Lease liabilities
653,324
627,446
Deferred income tax liability
73,197
68,559
Unearned rebates
3,349
3,964
Liabilities
2,140,390
1,633,326
Equity [abstract]
Accumulated other comprehensive earnings
51,871
44,792
Retained earnings
188,780
180,557
Shareholders' capital
1,468,962
600,047
Contributed surplus
9,948
5,467
Equity
1,719,561
830,863
Equity and liabilities
$ 3,859,951
$ 2,464,189