AG Mortgage Investment Tr... (MITT-PB)
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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 53.78M -53.10M 104.19M -421.58M 97.34M 1.57M 118.56M 63.68M 13.82M 109.40M -31.58M 134.94M 18.97M
Depreciation & Amortization - 5.46M 6.08M - 4.11M 2.34M 10.39M 3.65M 12.19M 16.77M 41.18M 46.75M -
Stock-Based Compensation 380.00K 327.00K 320.00K 582.00K 748.00K 631.00K 540.74K 418.49K 284.38K 438.50K 433.16K 561.91K 38.02K
Other Working Capital 2.18M 1.10M -5.60M -4.77M -1.80M 11.11M 85.02K -549.39K 2.63M -2.18M -236.14K 4.11M -942.31K
Other Non-Cash Items -28.21M 68.73M -72.61M 429.93M -31.05M 60.53M -40.97M 10.39M 17.15M -3.64M 123.86M -29.54M -2.65M
Deferred Income Tax - - -6.08M - -4.11M - -10.39M -11.29M 42.12M -24.25M -6.20M -37.83M -
Change in Working Capital 2.18M 1.10M -5.60M -4.77M -1.80M 12.97M 1.35M 63.64K 1.49M -4.88M 3.11M -65.22K -942.31K
Operating Cash Flow 28.13M 22.52M 26.30M 4.16M 65.24M 78.03M 79.48M 66.92M 87.06M 93.84M 130.81M 114.81M 15.41M
Capital Expenditures - - - - - -25.16M -3.40M - - -730.15K - - -
Acquisitions - - - - - 25.16M 3.40M - - 730.15K - - -
Purchase of Investments -294.42M -108.56M -924.66M -621.65M -2.33B -2.45B -2.25B -963.43M -1.61B -1.04B -3.46B -4.94B -1.44B
Sales Maturities Of Investments 286.36M 669.63M 985.06M 2.85B 1.71B 2.96B 1.07B 1.44B 1.91B 1.55B 4.37B 1.48B 82.35M
Other Investing Acitivies -425.44M -2.05B -1.96B -32.37M -126.61M -350.09M 12.56M 66.31M 7.92M -176.66M 1.80M -1.57M -4.67M
Investing Cash Flow -433.50M -1.49B -1.90B 2.19B -746.96M 161.04M -1.17B 540.65M 314.10M 326.58M 908.82M -3.46B -1.36B
Debt Repayment 483.31M 1.51B 1.85B -2.18B 727.73M -250.17M 1.10B -529.01M -326.71M -317.58M -1.08B 3.00B 1.19B
Common Stock Repurchased -6.35M -18.22M -3.56M - - - - -9.93M -472.89K - - - -1K
Dividend Paid -35.78M -37.77M -29.62M -35.28M -77.58M -68.72M -69.20M -66.78M -81.61M -81.57M -93.70M -50.29M -4.00M
Other Financial Acitivies -9.04M 8.71M - -54.75M 6.49M 102.08M 9.73M 4.37M -10.39M -43.09M 36.78M 154.19M -2.71M
Financial Cash Flow 432.14M 1.47B 1.91B -2.26B 722.70M -207.53M 1.05B -601.35M -419.27M -442.24M -1.10B 3.46B 1.38B
Net Cash Flow 26.77M -1.43M 37.91M -63.05M 41.01M 31.54M -37.27M 6.22M -18.11M -21.83M -63.40M 113.74M 1.38B
Free Cash Flow 28.13M 22.52M 26.30M 4.16M 65.24M 52.87M 76.08M 66.92M 87.06M 93.11M 130.81M 114.81M 15.41M