Gladstone Investment Corp... (GAINZ)
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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 FY24 FY23 FY22 FY21 FY20 FY19 FY18 FY17 FY16 FY15 FY14 FY13 FY12 FY11 FY10 FY09 FY08 FY07 FY06
Net Income 85.31M 35.55M 102.32M 42.45M -7.23M 81.59M 60.69M 44.76M 24.85M 50.21M -1.33M 17.28M 21.97M 16.44M -11.07M -11.45M -941.16K 7.27M 6.05M
Depreciation & Amortization - 12.22M -74.90M -13.94M -51.08M 500.00K 500.00K 75.00K - 450.00K 358.00K 815.00K -9.00K 8.00K -14.30M 19.87M 11.80M 233.78K -
Stock-Based Compensation - - - - - - - - - - - - - - - - - - -
Other Working Capital 9.73M 13.00K 10.12M -5.48M -17.41M 33.14M 5.96M 1.20M -1.34M 3.29M -4.72M 1.56M 1.24M -3.45M 2.68M 2.69M 7.41M - -
Other Non-Cash Items -164.92M -54.54M -1.17M -52.24M 110.82M -21.59M -96.23M -13.08M -19.43M -151.16M -27.57M -60.00M -71.87M 54.08M 123.04M 1.48M -75.67M -117.57M -153.55M
Deferred Income Tax - - - - - - - - - - - - - - - - - - -
Change in Working Capital 9.68M 2.27M 10.35M -6.00M -17.19M 33.12M 6.22M 723.00K -1.34M 2.94M -5.07M 2.17M 1.24M -3.45M 1.60M 3.06M 7.41M -12.67M -618.78K
Operating Cash Flow -69.94M -4.50M 36.60M -29.73M 35.31M 93.61M -28.83M 32.48M 4.08M -97.55M -33.61M -39.73M -48.67M 67.08M 99.27M 12.96M -57.40M -122.73M -148.11M
Capital Expenditures - - - - - - - - - - - - - - - - - - -
Acquisitions - - - - - - - - - - - - - - - - - - -
Purchase of Investments -183.92M -133.76M -92.74M -95.27M -145.45M -91.94M -98.54M -62.45M - -132.20M -132.20M -87.61M - -43.63M -4.79M -49.96M -175.26M - -
Sales Maturities Of Investments 28.00M 35.53M 50.02M 31.05M -89.18M 109.44M 7.65M 36.94M -20.38M 31.59M 31.59M 3.18M - 11.52M 110.63M 18.94M 34.61M - -
Other Investing Acitivies - - - - 145.45M - - - - - - - - - - - - - -
Investing Cash Flow - -98.22M -42.72M -64.22M -89.18M 17.50M -90.89M -25.51M -20.38M -100.62M -100.62M -84.43M - -32.11M 105.84M -31.02M -140.65M - -
Debt Repayment 106.55M 35.20M 112.15M 101.14M -4.01M -58.41M 37.30M 28.61M -23.80M 57.65M -28.87M 18.01M 36.01M -62.80M -7.46M -34.57M 44.83M 100.00M -50.00K
Common Stock Repurchased - - -94.37M -57.50M - -81.65M - -40.00M - - - - - - -155.00K - -32.00K - -
Dividend Paid -76.06M -47.05M -38.85M -30.86M -33.92M -30.52M -28.93M -22.70M -22.70M -20.58M -18.80M -14.55M -13.58M -10.60M -10.60M -20.76M -15.40M -14.16M -6.46M
Other Financial Acitivies -5.09M -385.00K -97.80M -43.98M -56.00K -6.93M -1.26M -40.00M 78.79M 36.44M -75.00K -2.34M 37.21M -825.00K -573.00K -325.00K -429.18K -861.33K -
Financial Cash Flow 69.91M -6.74M -24.50M 28.07M -34.85M -93.98M 29.60M -34.09M -4.52M 97.92M -47.74M 34.09M 59.64M -74.21M -18.79M -15.09M 28.97M 84.85M 223.78M
Net Cash Flow -28.00K -11.25M 12.10M -1.66M 455.00K -362.00K 771.00K -1.61M -440.00K 368.00K -81.35M -5.64M 10.97M -7.14M 80.48M -2.12M -28.43M -37.88M 75.67M
Free Cash Flow -69.94M -4.50M 36.60M -29.73M 35.31M 93.61M -28.83M 32.48M 4.08M -97.55M -33.61M -39.73M -48.67M 67.08M 99.27M 12.96M -57.40M -122.73M -148.11M