Sachem Capital Corp.
Cash Flow

Last updated:

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 Sachem Capital Corp. generated cash of $21,855,510, which is more than the previous year. Cash used in financing activities reached the amount of $39,517,825 last year. Net change in cash is therefore -$11,114,841.

Cash Flow

Sachem Capital Corp. (AMEX:SACH-PA): Cash Flow
2014 1.46M -5.15M 8.63M
2015 2.37M -13.17M 6.76M
2016 3.69M -6.94M 2.97M
2017 4.84M -28.92M 23.47M
2018 6.21M -16.83M 9.82M
2019 8.11M -37.81M 48.38M
2020 9.62M -82.82M 73.76M
2021 28.07M -166.27M 160.72M
2022 13.14M -159.53M 128.16M
2023 21.85M -72.48M 39.51M

SACH-PA Cash Flow Statement (2014 โ€“ 2023)

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014
Cash at beginning of period
23.71M41.93M19.40M18.84M158.85K954.22K1.56M1.83M5.87M922.53K
Operating activities
Net income
15.89M20.90M13.31M8.99M6.19M7.77M4.86M3.05M2.30M1.46M
Adjustments to reconcile net income to cash generated by operating activities:
Depreciation and amortization
266.33K106.41K83.52K61.86K63.56K32.52K28.35K47.67K00
Stock-based compensation expense
822.23K495.01K191.31K16.42K43.14K37.58K0000
Deferred income tax benefit 822.23K495.01K191.31K16.42K43.14K37.58K0000
Changes in operating assets and liabilities:
Accounts receivable, net
0-2.61M-1.87M-504.57K-154.19K-994.9K-166.56K-213.43K-207.09K-110.45K
Inventories
0015.55M1.97M635.15K-995.22K-659.86K712.34K148.15K65.43K
Accounts payable
220.75K925.41K290.47K122.02K-239.73K136.02K16.24K-13.47K24.54K13.28K
Cash generated by operating activities
21.85M13.14M28.07M9.62M8.11M6.21M4.84M3.69M2.37M1.46M
Investing activities
Purchases Of Investments
-42.65M-76.59M-210.42M-97.55M-16.00M0-2M-886.00K00
Investments In Property Plant And Equipment
515.39M-1.58M-822.32K-148.85K-241.85K-710.81K-132.72K-397.44K00
Acquisitions Net
00-136.69M-62.26M-1.08M-1M-1M-1M00
Cash generated by investing activities
-72.48M-159.53M-166.27M-82.82M-37.81M-16.83M-28.92M-6.94M-13.17M-5.15M
Financing activities
Common Stock Issued
20.45M39.29M56.06M030.54M030.25M000
Payments for dividends
-25.72M-22.49M-14.12M-7.96M-9.68M-6.78M-5.79M0-1.39M0
Repurchases of common stock
-226.32K0122.17M0000-580.89K-45K0
Repayments of term debt
58.52M92.50M-1.04M-2.03M30.31M-60.19M1.71M-5.36M1M-5M
Cash used in financing activities
39.51M128.16M160.72M73.76M48.38M9.82M23.47M2.97M6.76M8.63M
Net Change In Cash
-11.11M-18.22M22.53M566.09K18.68M-795.36K-607.64K-272.21K-4.04M4.95M
Cash at end of period
12.59M23.71M41.93M19.40M18.84M158.85K954.22K1.56M1.83M5.87M
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