American Finance Trust
Cash Flow

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Cash flow statement presents a set of outflows and inflows of cash within a company through operating, investing and financing activities. Over the last year, operating activities of American Finance Trust generated cash of $145,227,000, which is more than the previous year. Cash used in financing activities reached the amount of $198,950,000 last year. Net change in cash is therefore $123,452,000.

Cash Flow

American Finance Trust, Inc. (NASDAQ:AFIN): Cash Flow
2013 -13.62M -1.22B 1.34B
2014 99.81M -490.81M 364.58M
2015 89.45M -61.71M 35.88M
2016 73.36M 37.83M -110.48M
2017 92.46M -19.15M -85.15M
2018 95.03M -188.21M 75.55M
2019 105.57M -404.82M 289.46M
2020 92.71M -222.95M 143.79M
2021 145.22M -220.72M 198.95M

AFIN Cash Flow Statement (2013 – 2021)

2021 2020 2019 2018 2017 2016 2015 2014 2013
Cash at beginning of period
113.39M99.84M109.63M127.25M139.10M130.5M74.76M101.17M0
Operating activities
Net income
-40.17M-31.86M4.14M-37.40M-46.49M-54.25M-21.11M-1.99M-20.8M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
128.2M129.12M115.81M123.40M148.47M101.55M103.21M94.8M14.95M
Stock-based compensation expense
17.26M13.03M12.71M5.26M128K67K51K21K137K
Deferred income tax benefit 17.26M13.03M12.71M5.26M128K67K51K21K137K
Changes in operating assets and liabilities:
Accounts receivable, net
-7.03M-19.82M-9.52M-9.50M00000
Inventories
0-113.72M-173.25M000000
Accounts payable
6.07M-3.51M-262K0-7.78M3.17M1.17M2.41M5.19M
Cash generated by operating activities
145.22M92.71M105.57M95.03M92.46M73.36M89.45M99.81M-13.62M
Investing activities
Purchases Of Investments
000000-109.60M0-88K
Investments In Property Plant And Equipment
-13.40M-9.19M-13.65M-10.42M-8.91M-34.24M0-538.13M-1.12B
Acquisitions Net
0000-51.14M0000
Cash generated by investing activities
-220.72M-222.95M-404.82M-188.21M-19.15M37.83M-61.71M-490.81M-1.22B
Financing activities
Common Stock Issued
128.40M031.60M0000127K1.53B
Payments for dividends
-119.37M-90.65M-121.78M-104.82M-87.65M-87.50M-74.15M-44.87M-14.85M
Repurchases of common stock
-560K-211K-274K-20.53M-29.05M-16.25M-31.72M-2.02M1.53B
Repayments of term debt
-575.16M-921.33M0-146.42M0-1.01M0-989K-8.18M
Cash used in financing activities
198.95M143.79M289.46M75.55M-85.15M-110.48M35.88M364.58M1.34B
Net Change In Cash
123.45M13.55M-9.79M-17.62M-11.85M715K63.62M-26.41M101.18M
Cash at end of period
236.84M113.39M99.84M109.63M127.25M131.21M138.38M74.76M101.18M
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