Safe Bulkers Inc.

25.40
0.00 (0.00%)
At close: Dec 24, 2024, 4:13 PM

Safe Bulkers Cash Flow Statement

Year FY23 FY22 FY21 FY20 FY19 FY18 FY17 FY16 FY15 FY14 FY13 FY12 FY11 FY10 FY09 FY08 FY07 FY06
Net Income 77.35M 172.55M 174.35M -12.9M 16.04M 27.68M -84.68M -55.97M -47.94M 14.63M 83.26M 96.12M 89.73M 109.65M 165.41M 119.21M 211.68M 97.22M
Depreciation & Amortization 54.13M 49.52M 52.36M 54.27M 50.31M 48.07M 51.42M 49.48M 47.13M 43.08M 37.39M 32.25M 24.29M 19.94M 14M 10.74M 9.75M 9.73M
Stock-Based Compensation 144K 120K 120K 120K 120K 120K 120K 120K 120K 120K 120K 120K 120K 120K 60K 30K n/a n/a
Other Working Capital -1.79M 1.99M 9.98M 9.08M -5.71M 5.42M -516K 410K -3.19M -10.27M -10.03M -20.79M -1.43M 9.22M 16.57M 101.78M 7.73M 974K
Other Non-Cash Items -5.35M 4.88M 2.9M 1.97M 2.12M 1.79M 2.83M 3.06M 3.11M 1.84M 1.25M 1.23M 263K -4.83M 19.37M 20.1M 49.78M -121.45M
Deferred Income Tax n/a n/a -19.23M 1.45M 111K 179K 81.93M 19.52M 22.22M -2.14M -6.33M -2.8M n/a -15.2M -3.73M 6.57M n/a n/a
Change in Working Capital -4.07M -9.07M 6.7M 18.48M -10.42M 7.61M -2.43M -2.73M 879K -13.81M -15.1M -21.85M -7.22M 8.47M 16.23M 102.94M 7.29M 1.69M
Operating Cash Flow 122.21M 218M 217.2M 63.38M 58.28M 85.45M 49.2M 13.5M 25.52M 43.73M 100.59M 105.06M 107.19M 118.15M 211.34M 259.6M 278.51M -12.81M
Capital Expenditures -209.1M -183.28M -109.23M -50.44M -39.24M -45.93M -59.94M -58.37M -123.54M -146.3M -118.89M -136.84M -160.97M -192.42M -131.47M -89.57M n/a n/a
Acquisitions n/a 16.93M 107.08M -15.66M -2.46M n/a 21.94M 91.65M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Purchase of Investments -52.87M -79.82M -2.31M -93.79M -84.97M -60.8M -37.63M -51.45M -1.5M n/a n/a n/a n/a n/a -50M n/a n/a n/a
Sales Maturities Of Investments 79.47M 16.76M 13.01M 109.45M 87.42M 43.06M 37.48M 39.45M n/a 50M n/a n/a 35.08M n/a n/a n/a n/a n/a
Other Investing Acitivies 30.77M 4K 46K 15.66M 2.46M -17.74M -38.2K 21.3K -57.14M 29.29M 18.55M -21.3M n/a 60.71M -10.39M -58.65M 88.42M -33.84M
Investing Cash Flow -151.73M -229.4M 8.6M -34.78M -36.78M -63.67M -38.2M 21.3M -182.18M -67.01M -100.34M -158.15M -125.89M -131.71M -191.86M -148.22M 88.42M -33.84M
Debt Repayment 89.97M 46.3M -265.73M 10.4M 26.24M 7.79M -7.54M -84.03M 203.24M -38.73M -107.37M 131.38M -10.45M 23.51M 3.96M 135.6M 142.57M 1.93M
Common Stock Repurchased -26.22M -46.37M -17.71M -6.1M -4.15M -10.11M n/a -120K -590K -561K n/a n/a n/a n/a n/a -21.57M -209.35M n/a
Dividend Paid -30.68M -33.63M -11.2M -11.5M -11.49M -11.39M -12.32M -14.05M -17.54M -25.91M -17.74M -37.46M -41.78M -37.82M -32.71M -209.24M -383.85M n/a
Other Financial Acitivies -3.93M -43.73M 33.32M -2.28M -2.05M -11.36M -26.87M 12.61M -5.61M 130.66M 38.56M -1.74M -5.92M -519K n/a 11.49M 83.71M 44.72M
Financial Cash Flow 29.14M -40.1M -225.9M -9.29M 8.54M -15.58M -46.7M -83.9M 180.09M 65.92M -38.3M 127.68M -18.51M 60.14M -28.74M -83.67M -366.92M 46.64M
Net Cash Flow -25K -52.17M -938K 19.55M 30.05M 6.08M -36.3M -49.13M 23.43M 42.64M -38.05M 74.6M -37.21M 46.9M -9.27M 27.7M n/a n/a
Free Cash Flow -86.9M 34.72M 107.97M 12.93M 19.04M 39.52M -10.74M -44.87M -98.02M -102.57M -18.3M -31.78M -53.78M -74.27M 79.86M 170.03M 278.51M -12.81M