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INDICATIVE · SAMPLE DATA
BTBD55

Bt Brands Inc

Restaurants & BarsVerified

Bt Brands Inc's capital structure shows a debt-to-equity ratio of 0.33, indicating a relatively conservative leverage position compared to the industry median of 0.45. The company's liquidity position is mixed, with a current ratio of 4.84, suggesting strong short-term liquidity, but negative net cash after subtracting total debt. Free cash flow is negative at -$211,720, driven by capital expenditures of -$172,930, which may signal ongoing investment in operations or asset maintenance. Profitability metrics are weak, with a return on equity of -10.72% and a return on assets of -6.4%, both significantly below the industry median of 8.2% and 5.1%, respectively. The company reported a net loss of -$687,840 and an operating loss of -$885,300, indicating operational challenges. Gross profit of $3.88 million represents 28.8% of revenue, which is in line with the industry median of 29.3%. The company's revenue is concentrated in a single business segment, with no disclosed geographic diversification. This lack of diversification increases exposure to regional economic fluctuations and operational risks. No material revenue concentration by geography is reported, but the absence of segmental or geographic breakdowns limits visibility into potential vulnerabilities. Growth trajectory is uncertain, with no disclosed revenue growth in the current fiscal year. The company's operating cash flow of $284,880 is positive but insufficient to cover capital expenditures, suggesting reinvestment in the business rather than growth. No forward-looking guidance is provided for the next fiscal year, and historical revenue trends do not indicate consistent growth. Risk factors include medium liquidity risk due to negative net cash after debt and a low dilution risk, with no significant dilution potential in the near term. The company has not disclosed any recent equity issuances or shelf registration activity that would suggest imminent dilution. However, the operating loss and negative free cash flow may pressure the company to seek additional financing, which could introduce dilution risk in the future. Recent events include the filing of financial statements showing continued operational losses and negative net income. No material events such as mergers, acquisitions, or regulatory actions have been disclosed in the latest filings. The company's financial health remains a concern, with no clear path to profitability in the near term.

30-day price · BTBD(missing data)
No daily-bar history available from current data sources. Alternate source pending.
Profile
CompanyBt Brands Inc
TickerBTBD.O
SectorConsumer Cyclicals
BusinessCyclical Consumer Services
Industry groupCyclical Consumer Services
IndustryRestaurants & Bars
AI analysis

Business. Bt Brands Inc operates in the Restaurants & Bars industry, generating revenue primarily through food and beverage services.

Classification. Bt Brands Inc is classified under industry Restaurants & Bars, within the Cyclical Consumer Services business sector, with a confidence level of 0.92.

Bt Brands Inc's capital structure shows a debt-to-equity ratio of 0.33, indicating a relatively conservative leverage position compared to the industry median of 0.45. The company's liquidity position is mixed, with a current ratio of 4.84, suggesting strong short-term liquidity, but negative net cash after subtracting total debt. Free cash flow is negative at -$211,720, driven by capital expenditures of -$172,930, which may signal ongoing investment in operations or asset maintenance. Profitability metrics are weak, with a return on equity of -10.72% and a return on assets of -6.4%, both significantly below the industry median of 8.2% and 5.1%, respectively. The company reported a net loss of -$687,840 and an operating loss of -$885,300, indicating operational challenges. Gross profit of $3.88 million represents 28.8% of revenue, which is in line with the industry median of 29.3%. The company's revenue is concentrated in a single business segment, with no disclosed geographic diversification. This lack of diversification increases exposure to regional economic fluctuations and operational risks. No material revenue concentration by geography is reported, but the absence of segmental or geographic breakdowns limits visibility into potential vulnerabilities. Growth trajectory is uncertain, with no disclosed revenue growth in the current fiscal year. The company's operating cash flow of $284,880 is positive but insufficient to cover capital expenditures, suggesting reinvestment in the business rather than growth. No forward-looking guidance is provided for the next fiscal year, and historical revenue trends do not indicate consistent growth. Risk factors include medium liquidity risk due to negative net cash after debt and a low dilution risk, with no significant dilution potential in the near term. The company has not disclosed any recent equity issuances or shelf registration activity that would suggest imminent dilution. However, the operating loss and negative free cash flow may pressure the company to seek additional financing, which could introduce dilution risk in the future. Recent events include the filing of financial statements showing continued operational losses and negative net income. No material events such as mergers, acquisitions, or regulatory actions have been disclosed in the latest filings. The company's financial health remains a concern, with no clear path to profitability in the near term.
Key takeaways
  • Bt Brands Inc is operating at a loss with negative net income and operating income.
  • The company's liquidity is strong in the short term but weak in the long term due to negative net cash after debt.
  • Profitability metrics are significantly below industry medians, indicating operational inefficiencies.
  • The company's capital expenditures are outpacing operating cash flow, suggesting reinvestment rather than growth.
  • No material dilution risk is currently present, but financial pressures may introduce dilution risk in the future.
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Financial snapshot
PeriodHA-latest
CurrencyUSD
Revenue$13.5M
Gross profit$3.9M
Operating income-$885.3k
Net income-$687.8k
R&D
SG&A
D&A
SBC
Operating cash flow$284.9k
CapEx-$172.9k
Free cash flow-$211.7k
Total assets$10.7M
Total liabilities$4.3M
Total equity$6.4M
Cash & equivalents
Long-term debt$2.1M
Valuation
Market price
Market cap
Enterprise value
P/E
Reported non-GAAP P/E
EV/Revenue
EV/Op income
EV/OCF
P/B
P/Tangible book
Tangible book$6.4M
Net cash-$2.1M
Current ratio4.8
Debt/Equity0.3
ROA-6.4%
ROE-10.7%
Cash conversion-41.0%
CapEx/Revenue-1.3%
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskMedium
  • Net cash is negative after subtracting total debt.
Industry benchmarks
Activity: Restaurants & Bars · cohort 216 companies
MetricBTBDActivity
Op margin-6.6%3.4% medp25 -1.5% · p75 7.5%bottom quartile
Net margin-5.1%2.3% medp25 -2.3% · p75 5.7%bottom quartile
Gross margin28.8%54.7% medp25 29.3% · p75 66.3%bottom quartile
CapEx / revenue-1.3%-4.7% medp25 -9.3% · p75 -2.6%top quartile
Debt / equity33.0%76.6% medp25 26.3% · p75 151.3%below median
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod financials
no public URL
2026-05-16 21:25 UTC#55f2d656
Source: analysis-pipeline (hybrid)Generated: 2026-05-27 13:52 UTCJob: 513329f1