BSR Real Estate Investment Trust (HOM-UN.TO)

CAD 17.93

(-0.22%)

Annual Cash Flows

(In USD)
Breakdown 2023 2022 2021 2020 2019 2018
Operating Cash Flow 83.08 Million 89.5 Million 58.4 Million 51.29 Million 56.86 Million 30.83 Million
Net Income -210.87 Million 227.23 Million 283.21 Million 27.57 Million -53.2 Million 143.95 Million
Depreciation & Amortization 133 Thousand 133 Thousand 130 Thousand 131 Thousand 131 Thousand -
Deferred income taxes 262.95 Million - -265.42 Million -12.36 Million 82.01 Million -
Stock-based compensation 2.6 Million 2.41 Million 4.78 Million 1.76 Million 1.67 Million 598 Thousand
Change in working capital -518 Thousand 12.65 Million 2.26 Million -1.22 Million 3.73 Million 168 Thousand
Other non-cash items 28.77 Million -152.91 Million 33.43 Million 35.42 Million 22.51 Million -113.88 Million
Investing Cash Flow -33.46 Million -26.51 Million -434.12 Million -37.91 Million -55.05 Million -89.78 Million
Investments in PPE - - - - - -
Acquisitions - - - - - 4.11 Million
Investment purchases - - - - - -
Sales/Maturities of investments - - - - - -
Other Investing Activities -33.46 Million -26.51 Million -434.12 Million -37.91 Million -55.05 Million -89.78 Million
Financing Cash Flow -50.07 Million -62.62 Million 377.29 Million -45.11 Million 27.6 Million 66.52 Million
Debt repayment -50.91 Million -281.96 Million -534.62 Million -347.32 Million -260.47 Million -152.62 Million
Dividends payments -29.39 Million -28.82 Million -25.44 Million -22.51 Million -20.52 Million -10.62 Million
Common Stock Repurchased -38.42 Million -14.76 Million -260 Thousand -3.92 Million -213 Thousand 105.85 Million
Common Stock Issuance 57.07 Million 109.65 Million 65.34 Million 333.19 Million 52.95 Million 122.98 Million
Other Financing Activities 11.57 Million 153.27 Million 872.27 Million -4.53 Million 255.85 Million 939 Thousand
Accounts receivables -729 Thousand -1.03 Million -136 Thousand -528 Thousand 263 Thousand -37 Thousand
Accounts payables 124 Thousand 13.84 Million 3.54 Million -744 Thousand 3.67 Million -498 Thousand
Inventory - 1.03 Million 136 Thousand 528 Thousand -263 Thousand -
Other working capital -642 Thousand -1.18 Million -1.28 Million -485 Thousand 59 Thousand 703 Thousand
Cash at beginning of period 7.19 Million 6.83 Million 5.26 Million 36.99 Million 7.57 Million -58.95 Million
Cash at end of period 6.73 Million 7.19 Million 6.83 Million 5.26 Million 36.99 Million 7.57 Million
Capital Expenditure - - - - - -
Effect of forex changes on cash - - - - - 58.95 Million
Net cash flow / Change in cash -462 Thousand 358 Thousand 1.57 Million -31.73 Million 29.41 Million 66.52 Million
Free Cash Flow 83.08 Million 89.5 Million 58.4 Million 51.29 Million 56.86 Million 30.83 Million

Cash Flow Charts