AMERICAN FINANCE TRUST INC (AFIN)

REIT

8.23  -0.03 (-0.36%)

After market: 8.23 0 (0%)

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TTM
(2021-9-30)
2020
(2020-12-31)
2019
(2019-12-31)
2018
(2018-12-31)
2017
(2017-12-31)
CASH FLOWS FROM OPERATING ACTIVITIES
Net Income
-10.50M-31.90M4.20M-37.50M-46.60M
Depreciation Amortization
128.19M135.30M123.20M138.90M153.70M
Change In Working Capital
-26.43M-33.10M-15.70M-8.20M-22.30M
Interest Paid
70.69M72.80M72.80M63.80M57.00M
Taxes Paid
1.11M700.00K200.00K1.10M800.00K
Other non cash items
32.06M22.40M-6.10M1.80M7.70M
OPERATING CASH FLOW
123.42M92.70M105.60M95.00M92.50M
 
CASH FLOWS FROM INVESTING ACTIVITIES
Capital Expenditure
-228.51M-229.60M-442.60M-252.20M-158.30M
Other Investing Activity
5.76M6.70M37.80M64.00M139.10M
INVESTING CASH FLOW
-222.85M-223.00M-404.80M-188.20M-19.20M
 
CASH FLOWS FROM FINANCING ACTIVITIES
Debt Issued/Reduced
-22.59M158.50M226.20M212.40M36.50M
Stock Issued/Repurchased
242.17M107.70M200.30M-20.50M-29.10M
Dividend Paid
-90.40M-90.10M-121.10M-104.80M-87.70M
Other Financing Activity
-14.61M-32.30M-16.00M-11.50M-4.90M
FINANCING CASH FLOW
114.68M143.80M289.50M75.60M-85.20M
 
CHANGE IN CASH
15.25M13.50M-9.70M-17.60M-11.90M
 
FREE CASH FLOW
Operating Cash Flow
123.42M92.70M105.60M95.00M92.50M
Capital Expenditure
-228.51M-229.60M-442.60M-252.20M-158.30M
FREE CASH FLOW
-105.09M-136.90M-337.00M-157.20M-65.80M

All data in USD

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