Kimco Realty Corporation (KIM-PN)
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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 FY09 FY08 FY07 FY06 FY05 FY04 FY03 FY02 FY01 FY00 FY99 FY98 FY97 FY96 FY95 FY94 FY93 FY92 FY91
Net Income 665.95M 114.53M 849.70M 1.00B 413.56M 498.46M 439.67M 386.14M 900.14M 435.88M 241.35M 280.27M 182.09M 161.65M 6.06M 249.90M 392.56M 428.26M 363.63M 297.14M 298.20M 223.41M 236.54M 205.03M 176.78M 127.17M 85.84M 73.83M 51.90M 41.10M 35.20M 19.00M -900.00K
Depreciation & Amortization 507.26M 491.41M 395.32M 288.95M 277.88M 310.38M 360.81M 355.32M 344.53M 273.09M 257.86M 262.74M 251.14M 247.64M 227.78M 206.52M 191.27M 144.77M 108.04M 102.87M 89.07M 76.67M 74.21M 71.13M 67.42M 51.35M 30.05M 27.07M 26.20M 23.40M 19.90M 16.80M 10.70M
Stock-Based Compensation 33.05M 26.64M 23.15M 23.68M 20.20M 18.22M 21.56M 19.07M 18.46M 17.88M 18.90M 17.91M - - - - - - - - - - - - - - - - - - - - -
Other Working Capital -19.89M -33.31M 4.27M -26.31M -59.02M -51.22M -52.96M -65.45M -99.98M -53.02M -71.59M -33.08M -15.85B -45.26M -95.56M -53.81M -70.88M -82.33M -7.13M -38.23M -18.23M -11.35M 41.29M 32.82M 8.44M 36.98M -20.16M -13.86M 300.00K -1.80M 3.40M -3.60M -3.40M
Other Non-Cash Items -139.06M 224.19M -548.85M -704.87M -34.84M -134.77M -165.19M -167.17M -660.72M -23.46M 135.20M -22.54M 50.45M 100.09M 265.30M 164.99M 160.06M -76.81M -50.64M 1.18M -54.13M -36.31M -67.89M -30.46M -12.23M -20.76M 9.19M 4.21M -4.50M 2.00M -7.00M -2.00M 3.90M
Deferred Income Tax - - - - - 807.00K 807.00K 55.07M -6.03M -11.88M - - - - - - - - - - - - - - - - - - - - - - -
Change in Working Capital 4.39M 4.34M -100.44M -20.74M -93.18M -55.17M -43.48M -56.33M -102.68M -62.17M -64.38M -41.42M -35.07M -29.45M -95.56M -53.81M -77.91M -40.64M -10.23M -36.01M -24.51M 15.16M 44.59M 4.85M 5.19M 954.08K 28.74K -3.21M 600.00K -3.60M 6.80M -7.20M -6.80M
Operating Cash Flow 1.07B 861.11M 618.88M 589.91M 583.63M 637.94M 614.18M 592.10M 493.70M 629.34M 570.03M 479.05M 448.61M 479.94M 403.58M 567.60M 665.99M 455.57M 410.80M 365.18M 308.63M 278.93M 287.44M 250.55M 237.15M 158.71M 125.11M 101.89M 74.20M 62.90M 54.90M 26.60M 6.90M
Capital Expenditures - - -216.81M -227.22M -128.19M 230.22M -309.56M -12.61M -10.53M 47.32M -69.73M -77.33M -381.19M -224.46M -517.78M -655.19M -1.72B -1.17B -884.24M -556.00M -1.11B -353.98M -170.77M -158.51M -289.29M -607.29M -265.85M -140.92M -105.10M -133.70M -123.50M -21.60M -11.30M
Acquisitions - -49.73M -228.68M -11.38M -5.91M -15.01M 20.55M 177.10M 91.12M 128.75M 143.61M -32.03M 180.14M - 57.11M 176.26M 429.03M 342.85M 348.35M 541.86M 513.80M -11.42M 108.69M - - - - - - - - - -
Purchase of Investments - -25.96M -67.09M -500.00K -2.74M -920.00K -9.82M -2.47M -190.53M -11.45M -54.95M -924.00K -172.43M -167.11M -134.29M -655.73M -785.58M -837.63M -446.04M -411.07M -241.33M -324.07M -155.18M -82.55M -37.90M -34.79M -25.17M -4.94M -2.50M - - - -
Sales Maturities Of Investments 292.55M 337.42M 64.44M 228.20M 2.02M 957.00K 3.15M 2.44M 76.17M 3.78M 35.58M 11.71M 359.68M 182.90M 203.33M 266.19M 384.42M 267.20M 177.28M 102.97M 156.47M 66.46M 36.43M 16.05M 11.59M - - - - - - - 1.30M
Other Investing Acitivies -429.54M -324.94M -28.12M -22.37M 14.40M 38.40M 1.41M 921.00K 55.15M -41.70M 17.72M 47.58M -6.96M 246.57M 48.40M 87.12M 182.65M 1.15B 88.63M 18.87M 33.97M 226.35M 23.64M 33.38M 110.38M 11.85M 10.20M 1.82M -19.70M -8.50M 3.70M - 12.90M
Investing Cash Flow -136.98M -63.22M -476.26M -33.27M -120.42M 253.65M -294.28M 165.38M 21.36M 126.70M 72.23M -51.00M -20.76M 37.90M -343.24M -781.35M -1.51B -246.22M -716.01M -303.38M -642.37M -396.65M -157.19M -191.63M -205.22M -630.23M -280.82M -144.03M -127.30M -142.20M -119.80M -21.60M 2.90M
Debt Repayment 439.23M -347.80M 260.09M 45.85M 447.28M -389.73M 186.55M -555.30M 65.77M -300.30M -227.11M -102.69M -48.73M -299.54M -762.37M 348.60M 572.66M -19.74M 618.21M 141.94M 430.03M 297.35M -3.48M 3.29M 116.50M 106.50M 93.70M -24.60M -10.20M 82.10M -36.80M -31.30M -117.80M
Common Stock Repurchased - - - - - -75.13M - - - - - -30.95M -6.00M - -31.78M -66.80M - - -21.02M - -225.00M - - -2.50M -5.10M -65.00M - - - - - - -
Dividend Paid -657.46M -544.74M -382.13M -379.87M -531.57M -529.76M -506.17M -474.05M -455.83M -427.87M -400.35M -382.72M -353.76M -306.96M -331.02M -469.02M -384.50M -332.55M -293.35M -265.25M -246.30M -235.60M -209.78M -189.90M -169.71M -113.91M -82.56M -69.75M -53.90M -45.90M -36.90M -22.70M -
Other Financial Acitivies -86.19M -105.71M -62.09M -54.35M -602.57M -25.61M -345.20M -82.58M -141.50M -13.20M -38.13M -679.45M -38.16M -86.08M 60.66M -1.34M -89.32M -40.07M -30.56M - -225.00M -11.30M - 39.03M 1.92M 208.97M 68.53K 95.42K - - - 100.00K -
Financial Cash Flow -300.70M -982.73M -102.70M -387.40M -482.84M -986.51M -223.87M -804.53M -512.85M -717.49M -635.38M -399.06M -440.13M -514.74M -74.47M 262.43M 584.06M 59.44M 343.27M -71.87M 346.06M 59.84M -55.50M -67.90M -47.78M 484.47M 149.27M 63.40M 58.20M 37.00M 109.40M -1.30M -2.00M
Net Cash Flow 633.93M -184.83M 41.48M 169.24M -19.63M -94.93M 96.03M -47.05M 2.21M 38.55M 6.89M 28.99M -12.27M 3.10M -14.12M 48.68M -257.57M 268.79M 38.05M -10.07M 12.33M -57.88M 74.75M -8.98M -15.84M 12.94M -6.45M 21.26M 5.20M 37.00M 109.40M -1.30M 1.50M
Free Cash Flow 1.07B 861.11M 402.06M 362.69M 455.43M 868.16M 304.62M 579.48M 483.17M 676.67M 500.31M 401.72M 67.42M 255.48M -114.20M -87.59M -1.05B -710.51M -473.44M -190.82M -796.65M -75.05M 116.68M 92.03M -52.13M -448.59M -140.74M -39.02M -30.90M -70.80M -68.60M 5.00M -4.40M