Primaris Real Estate Investment Trust

PMZ-UN.TO · TSX
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12/31/2024
12/31/2023
12/31/2022
12/31/2021
Operating Activities
Net IncomeCA$79,473CA$102,271-CA$12,080CA$340,989
Dep. & Amort.CA$2,046CA$2,595CA$1,861CA$260
Deferred TaxCA$0CA$0CA$133,456CA$0
Stock-Based Comp.CA$8,109CA$3,875CA$2,739CA$0
Change in WCCA$5,575CA$8,728CA$9,382-CA$176,684
Other Non-CashCA$73,118CA$48,898CA$28,949-CA$240,733
Operating Cash FlowCA$168,321CA$166,367CA$164,307-CA$76,168
Investing Activities
PP&E Inv.-CA$52,903CA$0-CA$921-CA$24,870
Net AcquisitionsCA$0CA$0CA$71,768CA$0
Inv. Purchases-CA$118,445CA$0-CA$76,328-CA$46,090
Inv. Sales/Matur.CA$0CA$0CA$5,481CA$0
Other Inv. Act.-CA$197,905-CA$467,520-CA$112,608CA$24,870
Investing Cash Flow-CA$369,253-CA$467,520-CA$112,608-CA$46,090
Financing Activities
Debt Repay.CA$243,097CA$476,145CA$84,291CA$112,886
Stock IssuedCA$36,343CA$0CA$0CA$0
Stock Repurch.-CA$21,875-CA$60,635-CA$54,127CA$0
Dividends Paid-CA$81,295-CA$79,258-CA$73,442-CA$274
Other Fin. Act.-CA$4,887-CA$1,730-CA$3,103-CA$160
Financing Cash FlowCA$171,383CA$334,522-CA$46,381CA$112,886
Forex EffectCA$0CA$0CA$0CA$0
Net Chg. in Cash-CA$29,549CA$33,369CA$5,318-CA$9,372
Supplemental Information
Beg. CashCA$44,323CA$10,954CA$5,636CA$15,008
End CashCA$14,774CA$44,323CA$10,954CA$5,636
Free Cash FlowCA$151,570CA$163,351CA$163,386-CA$101,038