Pebblebrook Hotel Trust (PEB-PE)
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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
Net Income -74.28M -84.98M -186.37M -392.59M 115.72M 13.38M 100.26M 73.96M 95.00M 73.54M 43.19M 26.51M 15.20M -6.64M -147.00K
Depreciation & Amortization 240.65M 239.58M 224.25M 224.56M 234.88M 108.47M 102.29M 102.44M 95.87M 68.32M 55.57M 43.01M 30.95M 5.78M -
Stock-Based Compensation 12.54M 11.35M 11.43M 22.78M 8.24M 6.23M 5.65M 8.47M 8.33M 11.70M 5.22M 4.21M 2.65M 2.04M 79.00K
Other Working Capital -3.66M -6.17M 77.10M -75.93M 4.42M 4.03M 1.69M 3.61M 6.26M 900.00K 2.06M -1.33M -408.00K 201.71M 87.00K
Other Non-Cash Items 65.63M 102.13M 21.73M 23.75M 26.11M 24.26M 7.30M 6.93M 4.39M 2.06M 3.76M 1.64M 225.00K 484.00K -
Deferred Income Tax - - -49.87M -42.84M -2.82M 5.13M -11.29M 37.81M 10.03M 1.48M -3.62M -5.97M -562.00K 80.00K -
Change in Working Capital -8.35M 10.66M 49.59M -37.42M 13.07M -21.77M -9.16M 11.65M 7.10M 4.19M 3.33M 7.77M -385.00K 1.71M 87.00K
Operating Cash Flow 236.20M 278.75M 70.77M -201.78M 395.20M 135.70M 195.05M 241.26M 220.72M 161.28M 107.45M 77.17M 48.08M 3.45M 19.00K
Capital Expenditures - -116.74M -83.83M -125.01M -752.00K -164.00K -40.00K -74.00K -278.00K -1.15M -33.00K -47.00K -507.75M -522.53M -
Acquisitions - 111.82M 84.18M -248.76M -125.00K -1.37B 8.00M 2.53M -305.00M -575.00M 26.29M -105.28M -467.00M -519.00M -
Purchase of Investments - -249.63M -256.28M -1.35M -637.00K -356.18M -1.25M - -305.15M - - - - - -
Sales Maturities Of Investments - 254.55M 255.93M 375.13M 470.35M 6.66M 205.48M 418.60M 10.03M - - - - - -
Other Investing Acitivies 142.02M -109.39M -81.57M 250.12M -168.87M -55.89M 123.21M 296.24M -94.62M -55.18M -272.25M -302.55M 292.99M 582.22M -70.00M
Investing Cash Flow 142.02M -109.39M -81.57M 250.12M 299.97M -1.78B 131.17M 298.69M -399.89M -631.33M -245.99M -407.87M -681.76M -459.31M -70.00M
Debt Repayment -73.80M -67.37M -163.64M 175.00M -523.21M 1.87B -109.32M -300.00M 268.51M 240.88M -8.10M 187.30M 65.97M 52.50M -
Common Stock Repurchased -108.54M -86.72M -720.00K -1.25M -4.01M -2.51M -95.98M -227.55M -4.09M -632.00K -523.00K -321.00K -140.00K - -
Dividend Paid -53.58M -52.66M -44.72M -86.52M -217.39M -121.82M -123.42M -127.09M -109.99M -80.44M -58.53M -44.83M -28.84M - -
Other Financial Acitivies -16.72M -18.59M 175.83M -56.15M -1.50M -30.56M -5.50M -99.11M -1.79M 307.98M 95.56M -12.81M 205.68M -26.57M -16.10M
Financial Cash Flow -236.85M -209.34M -33.25M 31.08M -746.11M 1.72B -334.22M -532.89M 152.64M 467.79M 107.77M 350.91M 478.64M 358.28M 389.10M
Net Cash Flow 141.37M -39.98M -44.05M 79.42M -50.94M 75.28M -8.00M 7.07M -26.54M -2.25M -30.76M 20.22M -155.04M -97.58M 319.12M
Free Cash Flow 236.20M 162.00M -13.06M -326.79M 394.45M 135.53M 195.01M 241.19M 220.44M 160.14M 107.42M 77.13M -459.68M -519.08M 19.00K