Annaly Capital Management... (NLY-PF)
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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
Net Income -1.64B 1.73B 2.40B -889.77M -2.16B 54.15M 1.57B 1.43B 465.75M -842.28M 3.73B 1.74B 344.46M 1.27B 1.96B 346.18M 414.38M 93.82M -9.25M 248.59M 180.10M 219.51M 92.28M 16.59M 18.14M 15.50M 4.90M
Depreciation & Amortization 24.81M 20.51M 24.64M 41.36M 31.56M 72.36M 26.55M 34.76M 19.97M 4.59M 2.61M 4.08M 2.30M 1.60M 2.32M 4.13M 66.55M 65.21M 154.88M 179.73M 216.57M 106.20M 36.87M 2.65M 6.13M 8.20M 2.60M
Stock-Based Compensation - - - - - - 1.41M 7.05M 1.16M 1.07M 2.55M 5.58M 5.27M 4.76M 4.51M - - - - - - - - - - - -
Other Working Capital -3.37B -53.21M 32.77M 217.91M -8.04M -87.18M -16.00K -12.00K -13.94M 8.60M 503.00K -7.42M -72.70M -740.00K 9.15B - - - - - - - - - - - -
Other Non-Cash Items 4.68B 3.85B 689.82M 1.28B 1.12B 2.31B 5.17B 5.31B -4.64B 5.06B -15.15B 4.56B 1.92B 322.16M -349.52M 881.94M -34.06M 72.76M 133.88M -6.03M -39.18M -19.62M -2.81M -2.03M -454.78K -3.30M -800.00K
Deferred Income Tax - -19.40M - - - - 140.88M 108.97M 980.30M 1.89B -1.61B 1.30B 195.67M 9.27B 154.81M - - - - - - - - - - - -
Change in Working Capital -694.48M -223.07M -33.90M 92.01M -188.59M 188.90M 27.49M -33.36M 7.33M 16.88M 134.43M 40.87M -49.50M -1.56M 9.04B -122.67M 78.51M -10.16M 2.02M -5.38M -2.58M -3.98M -26.56M -2.96M 1.57M -1.60M -200.00K
Operating Cash Flow 2.37B 5.37B 3.08B 527.97M -1.20B 2.62B 6.93B 6.86B -3.17B 6.13B -12.89B 7.64B 2.42B 10.86B 10.82B 1.11B 525.38M 221.63M 281.53M 416.92M 354.92M 302.11M 99.77M 14.25M 25.38M 18.80M 6.50M
Capital Expenditures -396.81M -1.01B -538.14M -32.68B - -381.00K -11.49M -174.17M - - - 67.47B -3.56M - - - - - - - - - - - - - -
Acquisitions - - 1.12B 6.26M - -258.33M 5.45M 41.70M - - -708.68M -800.00K -3.99M - - - - - - - - - - - - - -
Purchase of Investments -41.04B -45.47B -22.34B -32.68B -64.09B -45.44B -102.35M -243.57M -583.61M -38.82B -984.74M -86.16B -69.12B -25.46B -25.15B -26.38B -33.14B -23.20B -7.42B -14.40B -13.14B -11.08B -8.19B -952.74M -559.70M -1.42B -1.31B
Sales Maturities Of Investments 37.41B 34.60B 30.42B 72.21B 25.71B 33.41B 226.59M 96.55M 206.63M 22.65B 122.46M 14.43M 44.03B 11.39B 17.83B 24.11B 11.68B 8.16B 10.42B 7.94B 11.94B 6.81B 2.93B 658.33M 485.21M 1.05B 254.50M
Other Investing Acitivies -4.79B -2.64B -3.76B 33.49B 17.75B 11.38B -14.78B -1.78B 12.05B 8.36B 39.12B -13.39M -16.34M 223.22M -13.65M - - - - 2.53M - - - - - - 100.00K
Investing Cash Flow -8.42B -14.53B 4.90B 40.35B -20.64B -908.42M -14.67B -2.06B 11.67B -7.80B 37.55B -18.69B -25.12B -13.85B -7.34B -2.27B -21.46B -15.04B 3.00B -6.46B -1.20B -4.27B -5.26B -294.41M -74.49M -365.70M -1.06B
Debt Repayment 3.81B 4.11B -7.06B 1.12B 1.39B -464.91M 11.40B 1.58B -7.16B 387.67M -22.94B 110.02M - 582.00M - - 18.53B 13.94B -3.13B 5.69B 849.33M 3.80B 4.74B 290.06M 57.79M 361.70M 918.80M
Common Stock Repurchased - - - -669.42M -223.57M -412.50M -185.31M -102.71M -114.26M - -141.15M -255.90M - - - - - - - - - - - - - - -
Dividend Paid -1.52B -1.52B -1.36B -1.48B -1.69B -1.54B -1.35B -1.22B -1.21B -1.21B -1.64B -2.15B -2.04B -1.60B -1.27B -975.07M -263.67M -95.53M -190.00M -230.13M -191.59M -202.00M -56.11M -17.46M -17.08M -14.40M -1.90M
Other Financial Acitivies 2.91B 4.16B -6.47M -40.93B 20.65B 908.86M -188.47M -1.90M 5.11M 3.68B 5.06M 12.97B 20.10B 1.73B -1.62B 792.26M 195.76M 127.46M - 177.08M - - 475.66M 7.39M 8.17M -100.00K -
Financial Cash Flow 5.88B 9.39B -7.88B -41.49B 21.96B -684.44M 12.20B -5.02B -8.47B 2.86B -24.72B 10.68B 23.41B 1.76B -2.88B 1.97B 20.95B 14.90B -3.28B 6.05B 848.68M 3.97B 5.16B 280.20M 49.11M 346.40M 1.05B
Net Cash Flow -164.57M 234.62M 98.39M -607.03M 114.98M 1.03B -833.16M -229.51M 28.01M 1.19B -63.35M -378.41M 711.57M -1.22B 595.22M 805.39M 12.18M 86.97M -1.04M 5.61M -479.00K 297.00K 316.19K 41.14K 2.90K -500.00K 500.00K
Free Cash Flow 1.97B 4.36B 2.54B -32.15B -1.20B 2.62B 6.92B 6.68B -3.17B 6.13B -12.89B 75.11B 2.42B 10.86B 10.82B 1.11B 525.38M 221.63M 281.53M 416.92M 354.92M 302.11M 99.77M 14.25M 25.38M 18.80M 6.50M