Armada Hoffler Properties... (AHH-PA)
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Cashflow (Annual)

Get detailed ratio statement breakdowns, uncovering price to free cash flow ratio, price per earnings, and much more.
Year FY23 FY22 FY21 FY20 FY19 FY18 FY17 FY16 FY15 FY14 FY13 FY12 FY11 FY10
Net Income 8.29M 99.95M 25.45M 36.96M 32.26M 23.49M 29.93M 42.76M 31.18M 12.76M 14.45M 8.91M 2.65M 4.08M
Depreciation & Amortization 64.81M 55.66M 52.57M 44.26M 38.22M 30.39M 25.97M 23.45M 18.68M 14.98M 12.81M 11.60M 11.71M 10.98M
Stock-Based Compensation 3.68M 3.27M 2.23M 2.38M 1.61M 1.28M 1.32M 1.08M 931.00K 917.00K 1.25M - - -
Other Working Capital -24.35M 69.87M -23.17M 3.56M 9.09M -9.79M -2.45M 9.38M -4.81M 2.78M -781.00K 1.36M 7.15M -8.54M
Other Non-Cash Items 40.89M -39.11M 14.41M 6.65M 14.50M 7.85M 11.73M 12.05M 4.58M 1.80M 2.72M 455.00K 1.68M -426.00K
Deferred Income Tax - - 4.12M 5.64M -5.10M 2.86M -8.49M -28.95M -17.48M -1.88M -8.27M - - -
Change in Working Capital -24.35M -2.92M -7.61M -4.70M -13.76M -9.79M -2.45M 9.38M -4.81M 2.78M -781.00K 1.36M 7.15M -8.54M
Operating Cash Flow 93.31M 116.86M 91.18M 91.18M 67.73M 56.09M 58.02M 59.77M 33.09M 31.36M 22.18M 22.33M 23.18M 6.09M
Capital Expenditures - -17.09M -15.50M -10.08M -19.72M -11.72M -12.25M -6.70M -8.84M - - - - -
Acquisitions -70.05M -62.87M -11.61M -1.08M -535.00K -10.42M -1.18M -8.82M - - 430.00K 405.00K 580.00K 227.00K
Purchase of Investments -70.05M -62.87M -11.61M -1.08M -535.00K -10.42M -1.18M -118.18M -121.16M - - - - -
Sales Maturities Of Investments - 288.12M 127.62M 112.80M 55.47M 35.84M 12.56M 96.67M 79.57M - - - - -
Other Investing Acitivies -97.17M -178.53M -146.54M -126.79M -329.74M -219.72M -100.07M -217.64M -56.38M -105.31M -48.38M -5.11M -6.58M -14.94M
Investing Cash Flow -237.27M -33.24M -57.63M -26.23M -295.06M -240.56M -102.43M -226.46M -56.38M -105.31M -47.95M -4.70M -6.00M -14.71M
Debt Repayment 221.70M -45.16M -25.95M -122.70M 156.44M 175.72M 1.92M 130.32M 7.52M 54.34M -91.42M -4.48M 5.35M 22.71M
Common Stock Repurchased -12.84M - - - - - - - - - - - - -
Dividend Paid -80.40M -72.58M -58.71M -47.60M -61.50M -50.90M -43.62M -33.84M -27.02M -22.10M -7.73M -14.79M - -
Other Financial Acitivies -6.21M -19.61M -10.55M 214.23M 55.09M -4.46M -7.85M -3.31M -2.56M -864.00K -68.83M -2.40M 8.89M 6.58M
Financial Cash Flow 122.25M -72.19M -43.54M -58.10M 246.86M 185.61M 41.84M 161.64M 24.40M 80.94M 35.25M -21.67M -12.17M 5.57M
Net Cash Flow -21.70M 11.42M -9.99M 6.85M 19.53M 1.14M -2.28M -5.05M 1.11M 7.00M 9.48M -4.05M 5.01M -3.06M
Free Cash Flow 93.31M 99.77M 75.69M 81.10M 48.01M 44.36M 45.77M 53.07M 24.25M 31.36M 22.18M 22.33M 23.18M 6.09M