Independence Realty Trust...

NYSE: IRT · Real-Time Price · USD
17.43
0.11 (0.64%)
At close: Aug 15, 2025, 2:48 PM

Independence Realty Trust Cash Flow Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year Q1 2025 Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021
Period Ending Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Net Income
30.6M 40.03M 419K -8.21M -7.58M -16.67M 58.37M 71.04M 52.65M 120.66M 115.6M 110.51M 121.32M 45.53M 29.42M 18.95M 16.34M
Depreciation & Amortization
225.86M 220.85M 219.01M 219.3M 219.15M 218.97M 215.23M 209.4M 228.21M 252.85M 226.9M 194.56M 138.53M 76.91M 66.09M 63.94M 62.41M
Stock-Based Compensation
7.64M 7.08M 7M 6.45M 6.31M 7.66M 8.44M 9.18M 9.13M 7.89M 7.55M 7.76M 7.4M 7.23M 6.72M 6.35M 6.26M
Other Working Capital
-6.04M -8.46M -12.58M -10.2M -10.81M 8.45M 6.28M 13.88M 11.9M -3.86M 1.55M 10.03M 4.26M 863K -1.94M -3.1M -1.9M
Other Non-Cash Items
6.61M 16.93M 69.71M 67.59M 66.71M 65.98M -23.69M -22.87M -28.75M -125.51M -105.3M -104.14M -97.23M 1.5M 2.18M 2.12M 2.52M
Deferred Income Tax
n/a n/a -14.31M -1.53M n/a n/a 14.31M 1.53M n/a n/a -65.56M -76.74M -76.44M -76.14M -19.66M -6.33M -6.33M
Change in Working Capital
5.36M -15.55M -16.76M -11.95M -15.69M -13.77M -11.36M -3.13M -5.38M -6.36M -9.41M -11.36M -21.38M -2.77M 3.36M -1.17M 2.71M
Operating Cash Flow
276.06M 259.75M 255.5M 262.06M 259.32M 262.17M 261.29M 265.14M 255.87M 249.54M 169.77M 120.59M 72.2M 52.26M 88.12M 83.87M 83.91M
Capital Expenditures
-145.07M -162.28M -114.03M -149.22M -156.31M -146.63M -140.2M -122.04M -101.15M -83.98M -66.79M -54.87M -47.85M -42.97M -42.24M -37.57M -35.74M
Cash Acquisitions
1.27M n/a -637K -5.11M -11.69M -23.86M -36M -52.41M -55.63M -60.8M -245.58M -231.03M -229.73M -211.12M -13.56M -10.21M n/a
Purchase of Investments
15.37M n/a -20.51M -69.78M -81.49M -92.23M -102.83M -296.45M -323.79M -324.33M -304.94M -95.28M -190.79M -164.51M -152.79M -149.44M -365K
Sales Maturities Of Investments
27.94M 320.61M 515.84M 579.91M 578.18M 321.07M 220.35M 369.3M 346.49M 466.57M 510.36M 336.53M 333.13M 177.49M 39.18M n/a n/a
Other Investing Acitivies
-165.07M -194.3M -84.18M -50.36M -70.84M -60.07M -45.54M -183.29M -148.27M -4.24M 117.67M 351.77M 185.6M 27.77M -145.95M -185.96M -36.91M
Investing Cash Flow
-265.57M -20.61M 311.85M 320.8M 273.21M -1.71M -104.22M -284.89M -282.35M -135.77M -244.85M 15.72M -81.78M -216.12M -191.54M -223.53M -72.65M
Debt Repayment
63.15M -205.54M -416.07M -425.08M -378.3M -109.94M -28.45M 108.09M 96.63M -64.41M -78.33M -280.6M -183.62M -20.68M 14.2M 47.29M -103.36M
Common Stock Repurchased
-2.24M -2.6M 2.59M 1.65M 2.58M 421K -4.83M -3.86M -6.54M -5.97M -5.9M -5.87M -3.25M -2.93M -2.91M -2.94M -2.86M
Dividend Paid
-107.87M -144.02M -143.97M -143.95M -139.4M -134.87M -130.31M -125.43M -120.54M -105.83M -87.06M -68.59M -54.3M -49.83M -48.59M -47.33M -52.1M
Other Financial Acitivies
-69.64M -5.57M -5.47M -5.43M -5.18M -4.2M -3.97M -7.58M -7.64M -7.87M -33.2M -28.31M -28.58M -27.63M -1.56M -1.54M -460K
Financial Cash Flow
-4.06M -246.43M -568.09M -577.97M -525.46M -253.74M -167.66M 19.87M 10.56M -135.43M 119.8M -107.93M 47.24M 215.92M 101.17M 135.51M -60.34M
Net Cash Flow
6.43M -7.28M -745K 4.89M 7.07M 6.71M -10.59M 117K -15.93M -21.65M 44.72M 28.39M 37.66M 52.06M -2.25M -4.15M -49.07M
Free Cash Flow
130.99M 97.48M 141.47M 112.83M 103M 115.54M 121.08M 143.1M 154.71M 165.56M 102.98M 65.72M 24.34M 9.28M 45.88M 46.3M 48.17M