Healthcare Trust Inc. (HTIBP)
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At close: undefined
14.71
-0.27%
After-hours Dec 13, 2024, 03:59 PM EST

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
Net Income -72.30M -79.62M -85.44M -75.51M -88.31M -52.98M -42.55M -20.87M -41.74M -37.68M -221.00K -60.00K
Depreciation & Amortization 82.96M 81.44M 79.73M 80.97M 81.03M 83.47M 77.64M 98.89M -29.48M 29.53M 1.09M -
Stock-Based Compensation 919.00K 1.19M 1.33M 1.34M 1.32M 1.24M 470.00K 160.00K 60.00K 73.00K 16.00K -
Other Working Capital -6.54M -7.25M -1.20M -4.08M -11.99M -23.82M -9.87M -8.84M -11.56M -10.62M -1.91M -
Other Non-Cash Items 15.33M 32.72M 43.69M 38.99M 9.01M 8.37M 189.14M 222.65M 107.17M 14.44M 373.00K 60.00K
Deferred Income Tax 1.17M 2.75M -483.00K 4.64M 53.71M 35.68M 1.46M -327.00K 953.00K - -111.20M -
Change in Working Capital -6.46M -10.18M 57.00K -8.63M -9.36M -21.63M -7.43M -16.50M -18.89M -12.82M -2.02M -
Operating Cash Flow 21.62M 28.30M 38.88M 41.81M 47.40M 54.15M 63.97M 78.72M 68.68M -6.46M -764.00K -
Capital Expenditures -22.40M -27.99M -19.07M -21.89M -16.72M -12.91M -8.28M -7.48M -6.88M -807.00K - -
Acquisitions - 25.54M 159.30M 94.98M 92.00M - 1.34M -26.03M 500.00K -505.00K - -
Purchase of Investments -9.96M -25.54M -159.30M -94.98M -92.00M -128.06M -188.93M -38.75M -570.23M -541.00K - -
Sales Maturities Of Investments 4.80M 11.87M 126.80M 29.16M 53.68M 25.97M 757.00K 27.03M 19.28M 505.00K - -
Other Investing Acitivies -35.26M -25.66M -155.65M -89.75M -83.21M -128.13M 1.18M 100.00K 1.00M -1.53B -46.48M -
Investing Cash Flow -62.82M -41.78M -47.92M -82.49M -46.25M -115.06M -193.94M -19.09M -556.33M -1.53B -46.48M -
Debt Repayment 78.42M 20.34M -132.32M 67.86M 76.03M 123.19M 310.54M 35.85M 423.61M -535.00K - -
Common Stock Repurchased - -42.00K -56.27M -10.54M -21.11M -14.20M -33.60M -12.18M -10.41M -541.00K - -
Dividend Paid -13.80M -13.80M -5.14M -33.75M -51.43M -55.33M -76.72M -75.43M -66.21M -35.16M -1.30M -
Other Financial Acitivies -8.65M -1.94M 141.54M -5.15M 15.59M -3.98M -857.00K -3.80M -14.11M 1.64B 160.38M 12.00K
Financial Cash Flow 55.97M 4.64M 4.08M 19.43M 19.09M 49.68M 199.37M -55.57M 332.38M 1.61B 159.08M 12.00K
Net Cash Flow 14.78M -8.84M -4.96M -21.25M 20.24M -11.23M 69.40M 4.07M -153.50M 70.78M - 12.00K
Free Cash Flow -773.00K 302.00K 19.81M 19.91M 30.68M 41.24M 55.69M 71.25M 61.80M -7.27M -764.00K -