Firm Capital Property Trust

FCD-UN.TO · TSX
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net IncomeCA$33,887CA$15,368-CA$1,184CA$58,388
Dep. & Amort.CA$0CA$771CA$0CA$0
Deferred TaxCA$0CA$0CA$0CA$0
Stock-Based Comp.CA$233-CA$733-CA$1,660CA$1,729
Change in WCCA$1,543-CA$932CA$680CA$3,047
Other Non-Cash-CA$1,245CA$14,442CA$32,134-CA$36,563
Operating Cash FlowCA$34,419CA$28,915CA$29,970CA$26,601
Investing Activities
PP&E Inv.-CA$4,716-CA$6,252-CA$85,280-CA$73,653
Net AcquisitionsCA$0CA$0CA$80,708CA$47,828
Inv. PurchasesCA$0CA$0-CA$85,280-CA$73,653
Inv. Sales/Matur.CA$0CA$0CA$4,573CA$25,825
Other Inv. Act.CA$6,675CA$5,690CA$85,280CA$73,653
Investing Cash FlowCA$1,959-CA$562-CA$80,708-CA$47,828
Financing Activities
Debt Repay.-CA$2,496-CA$3,614CA$59,941CA$15,844
Stock IssuedCA$0CA$3CA$23,270CA$30,443
Stock Repurch.CA$0-CA$969-CA$2,625CA$0
Dividends Paid-CA$19,200-CA$19,230-CA$18,700-CA$16,145
Other Fin. Act.-CA$13,834-CA$1,194-CA$12,059-CA$8,705
Financing Cash Flow-CA$35,531-CA$25,005CA$49,827CA$21,437
Forex EffectCA$0CA$0CA$0CA$0
Net Chg. in CashCA$847CA$3,348-CA$910CA$210
Supplemental Information
Beg. CashCA$8,334CA$4,986CA$5,896CA$5,686
End CashCA$9,180CA$8,334CA$4,986CA$5,896
Free Cash FlowCA$29,702CA$22,664-CA$55,310-CA$47,052