Sotherly Hotels Inc. (SOHON)
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At close: undefined
17.03
0.00%
After-hours Dec 13, 2024, 03:56 PM EST

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
Net Income 3.94M 33.96M -28.54M -53.68M 1.18M -608.16K 29.49K 900.15K 6.40M -738.51K -4.44M -5.33M -6.48M -2.38M -1.97M -597.89K 2.46M 3.18M 2.48M -1.54M 139.84K
Depreciation & Amortization 18.79M 18.65M 19.91M 19.90M 21.64M 20.88M 17.00M 15.02M 13.59M 11.97M 8.47M 8.66M 8.70M 8.51M 8.42M 6.35M 5.05M 5.05M 4.31M 1.89M 2.05M
Stock-Based Compensation 559.22K 998.42K 689.55K 754.11K 385.56K 379.15K 347.39K 211.68K 285.98K 245.56K 176.44K 110.40K 74.93K 254.63K 134.51K 265.70K - 187.00M - - -
Other Working Capital 2.21M -13.90M 1.94M 17.55M -280.90K 319.94K 1.41M -2.12M -1.20M -2.05M 1.29M 1.79M 129.98K -682.32K 4.38M -1.05M 1.44M 54.72K 390.79K -941.12K 182.10K
Other Non-Cash Items -471.71K -31.61M 1.00M 548.01K 764.84K 995.72K 751.73K 1.12M 1.28M 1.43M 1.70M 1.31B 908.34M -3.95M -189.09M -1.47B 3.94M 2.17M 1.75M -924.89K 343.41K
Deferred Income Tax - - 9.96M 942.41K -1.78M 1.16M 377.51K 1.54M -5.74M 2.87M 2.36M -1.30B -905.46M 3.85M 187.89M 1.48B 257.22M -186.76M - -200.00K -
Change in Working Capital -1.42M -15.34M -702.00K 20.28M 277.09K 3.36M -2.75M -1.66M -4.44M -921.39K 1.32M 1.24M 2.36M -1.54M -2.19M -116.88K 1.34M 205.03K -2.10M 896.17K 182.10K
Operating Cash Flow 21.40M 6.66M 2.32M -11.26M 22.46M 26.16M 15.76M 17.14M 11.38M 14.85M 9.59M 9.01M 7.55M 4.73M 3.18M 7.21M 12.79M 10.84M 6.44M 117.96K 2.71M
Capital Expenditures - -7.96M -3.18M -4.02M -12.66M -22.10M -17.72M -14.91M -20.14M -9.80M -35.63M -2.91M -5.98M -2.89M -12.79M -46.54M -33.26M -14.73M -12.76M -55.55M -1.28M
Acquisitions - - - - -6.35M -79.73M -3.99M - -25.53M -61.11M -30.73M - 437.50K 238.39K 318.52K -4.62M -6.61M - - - -
Purchase of Investments - - - - -6.35M -79.73M -8.68M -5.28M -30.50M - - - - - - - - - - - -
Sales Maturities Of Investments - 52.40M - - 19.01M - 11.16M 7.04M 8.78M - - - - - - - - - - - -
Other Investing Acitivies -6.73M 2.22M 789.09K 236.53K -12.36M 938.44K 3.41M 1.97M 4.53M -189.47K 36.83M -248.01K -587.94K -821.67K 1.47M -771.98K 4.86M 2.03M -3.00M -3.46M -1.12M
Investing Cash Flow -6.73M 46.66M -2.39M -3.78M -18.71M -100.90M -18.30M -12.94M -41.13M -71.10M -29.53M -3.16M -6.13M -3.47M -11.01M -51.93M -35.00M -12.71M -15.76M -59.01M -2.40M
Debt Repayment -5.28M -51.55M -9.64M 28.11M -31.63M 93.56M -10.79M -11.92M 6.85M 49.73M 48.26M 10.73M -22.91M -1.06M 7.43M 49.69M 31.99M 11.11M 433.75K 1.41M -766.46K
Common Stock Repurchased - - - - -33.07M - -8.58M -2.06M - - -14.45M -11.55M -7.15K -35.29K - - - - -490.00K - -
Dividend Paid -9.97M - - -4.19M -14.96M -12.15M -9.73M -6.19M -4.10M -2.69M -1.82M -1.17M -258.82K - -214.04K -4.70M -4.67M -4.56M -3.42M - -
Other Financial Acitivies -525.44K - -19.51K -1.56M 32.96M -2.81M 29.65M 37.77M -1.38M 16.34M -24.34M -12.65M 23.17M -700.48K -1.03M - -2.56M -3.74M -2.02M -2.40M 366.45K
Financial Cash Flow -15.78M -51.55M -9.66M 22.36M -13.64M 79.17M 549.71K 16.07M 24.61M 63.50M 22.13M -3.09M -2.80K -1.76M 9.60M 42.45M 24.76M 2.81M 1.51M 67.29M -400.01K
Net Cash Flow -1.11M 1.76M -9.72M 7.32M -9.88M 4.44M -1.99M 20.27M -5.14M 7.26M 2.20M 2.77M 1.42M -497.60K 1.77M -2.27M 2.54M 943.68K -7.81M -87.02K -87.02K
Free Cash Flow 21.40M -1.31M -854.34K -15.28M 9.80M 4.06M -1.96M 2.23M -8.76M 5.05M -26.04M 6.10M 1.57M 1.84M -9.61M -39.32M -20.47M -3.89M -6.32M -55.43M 1.43M