City Office REIT Inc. (CIO-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
Net Income -2.04M 16.99M 485.28M 5.13M 2.44M 38.17M 5.76M -843.00K -6.59M -5.01M -4.13M -1.59M -669.59K
Depreciation & Amortization 62.99M 62.57M 57.32M 60.37M 59.16M 52.17M 41.26M 30.48M 21.97M 15.27M 8.30M 4.23M 3.13M
Stock-Based Compensation 4.09M 3.88M 2.64M 2.33M 1.74M 1.42M 1.67M 2.44M 1.91M 1.09M - - -
Other Working Capital -2.90M -2.83M 4.18M -4.30M -5.44M -834.00K 324.00K 2.74M 440.00K 723.00K -4.54M -1.28M -1.14M
Other Non-Cash Items -5.21M 29.27M 1.11M -2.08M -3.94M -48.15M -10.46M -10.49M -1.22M -2.47M 3.14M -1.14M -189.42K
Deferred Income Tax - - -476.65M -1.35M -3.41M 186.00K -24.00K 1.90M 2.60M 895.00K - - -
Change in Working Capital -2.62M -6.03M 3.52M -4.48M -6.50M -1.60M -1.65M -4.33M -4.51M -1.99M -75.00K 3.88M -1.13M
Operating Cash Flow 57.22M 106.68M 73.22M 59.92M 49.50M 42.19M 36.55M 19.15M 14.16M 7.79M 7.23M 5.38M 1.15M
Capital Expenditures - -9.56M -8.19M -7.79M -3.93M -4.05M -257.49M -257.69M -172.25M -93.72M -3.89M -3.64M -2.38M
Acquisitions - 170.00K 286.00K 52.00K 112.00K -843.00K - -246.43M - - -71.31M - -6.04M
Purchase of Investments - -37.48M -650.19M -26.35M -124.36M -278.10M -264.25M -9.50M -176.34M - -71.31M - -6.04M
Sales Maturities Of Investments - 46.88M 641.00M 6.34M 46.36M 84.84M 16.99M 42.98M - - - - -
Other Investing Acitivies -41.34M -47.05M -286.00K -52.00K -112.00K -197.31M 14.19M 41.45M -3.22M -859.00K 102.75K -13.47M 5.34M
Investing Cash Flow -41.34M -47.05M -17.38M -27.80M -81.92M -197.31M -243.30M -216.24M -175.47M -94.58M -75.11M -17.11M -9.12M
Debt Repayment 17.52M 35.23M -24.95M 68.67M -61.59M 156.93M 119.57M 30.24M 154.73M 44.02M 56.66M 26.32M 1.01M
Common Stock Repurchased -1.64M -50.08M -216.00K -100.36M - - - - - -6.06M - - -
Dividend Paid -31.34M -41.37M -33.51M -41.18M -48.16M -42.16M -36.26M -20.84M -14.40M -6.13M -1.50M -13.77M -219.48K
Other Financial Acitivies -2.93M -1.41M -1.07M -819.00K -2.32M -4.42M -8.14M 107.24M -5.74M -39.45M -5.27M 826.00K 6.64M
Financial Cash Flow -16.75M -57.63M -59.53M -73.69M 86.80M 153.25M 212.11M 203.43M 134.58M 114.53M 71.90M 13.37M 7.43M
Net Cash Flow -870.00K 2.00M -3.69M -41.57M 54.38M -1.87M 5.36M 21.51M -26.72M 27.73M 4.02M 1.64M -543.52K
Free Cash Flow 57.22M 97.11M 65.03M 52.13M 45.57M 38.14M -220.94M -238.54M -158.09M -85.93M 3.34M 1.73M -1.23M