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AFINP American Finance Trust Inc

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Close 03/01 09:30 ET
0Market Cap0.00P/E (TTM)

American Finance Trust Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)2021/09/30
(Q2)2021/06/30
(Q1)2021/03/31
(FY)2020/12/31
(Q4)2020/12/31
(Q3)2020/09/30
(Q2)2020/06/30
(Q1)2020/03/31
(FY)2019/12/31
(Q4)2019/12/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
70.87%35.17M
22.93%30.94M
42.95%34.42M
-12.17%92.72M
-16.39%22.89M
-22.64%20.58M
-19.33%25.16M
18.07%24.08M
11.08%105.57M
28.69%27.38M
Net income from continuing operations
83.77%-565K
91.86%-1.48M
32.27%-3.75M
-866.42%-31.91M
-251.92%-4.68M
-2,390.79%-3.48M
-313.16%-18.2M
-73.22%-5.54M
111.11%4.16M
90.19%-1.33M
Operating gains losses
273.51%2.85M
99.58%-11K
78.97%-286K
70.62%-5.64M
132.14%9K
15.05%-1.64M
81.57%-2.65M
52.66%-1.36M
30.50%-19.2M
-101.37%-28K
Depreciation and amortization
-6.21%32.17M
-8.21%32.83M
-6.26%30.89M
11.49%129.13M
-13.22%26.1M
26.98%34.31M
24.17%35.76M
10.14%32.96M
-6.15%115.82M
14.62%30.08M
Other non cash items
27.26%1.41M
170.84%1.13M
87.92%2.64M
55.92%8.27M
579.02%7.35M
-22.08%1.11M
-138.33%-1.6M
12.74%1.41M
-71.53%5.3M
45.18%-1.54M
Change In working capital
27.34%-9.4M
-138.32%-6.9M
108.77%578K
-111.15%-33.08M
-252.98%-10.65M
-295.57%-12.94M
-249.04%-2.9M
22.88%-6.59M
-89.96%-15.67M
34.65%-3.02M
-Change in receivables
81.58%-1.44M
66.89%-1.83M
23.42%-1.8M
-108.21%-19.82M
-40.96%-4.13M
-179.56%-7.82M
-229.79%-5.52M
-10.86%-2.35M
0.78%-9.52M
-36.79%-2.93M
-Change in prepaid assets
-81.23%-12.56M
15.85%-1.39M
2.91%-2.37M
-184.88%-9.14M
692.41%1.88M
-86.49%-6.93M
-174.04%-1.65M
-379.27%-2.44M
21.49%-3.21M
165.29%237K
-Change in payables and accrued expense
161.47%4.65M
-172.08%-2.54M
3,500.00%3.37M
-1,242.37%-3.52M
-1,043.38%-8.72M
68.53%1.78M
24.31%3.53M
97.08%-99K
-114.65%-262K
90.17%-763K
-Change in other working capital
-248.48%-49K
-253.62%-1.15M
180.67%1.38M
77.64%-598K
-25.00%330K
-98.49%33K
153.59%746K
56.35%-1.71M
-173.37%-2.68M
-92.22%440K
Cash from discontinued investing activities
Operating cash flow
70.87%35.17M
22.93%30.94M
42.95%34.42M
-12.17%92.72M
-16.39%22.89M
-22.64%20.58M
-19.33%25.16M
18.07%24.08M
11.08%105.57M
28.69%27.38M
Investing cash flow
Cash flow from continuing investing activities
-53.93%-89.77M
10.11%-32.55M
42.69%-37.53M
44.93%-222.96M
-6.88%-62.95M
67.82%-58.32M
33.99%-36.21M
40.40%-65.48M
-115.09%-404.83M
-136.59%-58.9M
Capital expenditure reported
-108.02%-5.94M
-341.87%-3.26M
72.56%-908K
32.63%-9.2M
48.47%-2.3M
15.51%-2.85M
85.99%-738K
-504.94%-3.31M
-30.94%-13.65M
-68.67%-4.46M
Net other investing changes
----
----
----
-101.80%-53K
----
----
----
----
219.42%2.95M
----
Cash from discontinued investing activities
Investing cash flow
-53.93%-89.77M
10.11%-32.55M
42.69%-37.53M
44.93%-222.96M
-6.88%-62.95M
67.82%-58.32M
33.99%-36.21M
40.40%-65.48M
-115.09%-404.83M
-136.59%-58.9M
Financing cash flow
Cash flow from continuing financing activities
189.67%17.51M
311.20%55.04M
-108.68%-11.77M
-50.32%143.8M
54.60%53.88M
-113.79%-19.52M
-485.33%-26.06M
27.52%135.5M
283.12%289.47M
5.86%34.85M
Net issuance payments of debt
-105.92%-1.15M
-69.71%5.77M
-100.36%-541K
-28.90%157.67M
-241.36%-30M
-66.96%19.44M
-45.14%19.06M
39.47%149.16M
6.52%221.74M
-66.09%21.22M
Net common stock issuance
--49.92M
----
----
-100.67%-211K
-100.67%-211K
--0
----
----
252.58%31.33M
10,848.64%31.6M
Net preferred stock issuance
-268.35%-291K
4,364.10%11.64M
-18.62%16.18M
-36.13%107.91M
313.93%88.38M
-100.07%-79K
-102.42%-273K
-31.34%19.88M
--168.96M
--21.35M
Cash dividends paid
-15.36%-30.93M
-9.05%-29.24M
19.07%-26.95M
25.56%-90.65M
88.60%-3.73M
11.56%-26.81M
8.86%-26.81M
-13.35%-33.3M
-15.93%-121.78M
-11.24%-32.67M
Net other financing activities
99.62%-46K
47.00%-9.56M
-83.06%-454K
-186.85%-30.92M
91.52%-564K
-311.49%-12.07M
---18.04M
---248K
-53.29%-10.78M
---6.65M
Cash from discontinued financing activities
Financing cash flow
189.67%17.51M
311.20%55.04M
-108.68%-11.77M
-50.32%143.8M
54.60%53.88M
-113.79%-19.52M
-485.33%-26.06M
27.52%135.5M
283.12%289.47M
5.86%34.85M
Net cash flow
Beginning cash position
-3.11%151.95M
-49.20%98.53M
13.58%113.4M
-8.93%99.84M
3.18%99.57M
43.20%156.83M
53.41%193.94M
-8.93%99.84M
-13.85%109.63M
20.14%96.5M
Current changes in cash
35.20%-37.1M
243.98%53.43M
-115.80%-14.87M
238.46%13.56M
314.32%13.83M
-339.99%-57.26M
-119.56%-37.11M
460.57%94.1M
44.44%-9.79M
-88.61%3.34M
End cash Position
15.35%114.85M
-3.11%151.95M
-49.20%98.53M
13.58%113.4M
13.58%113.4M
3.18%99.57M
43.20%156.83M
53.41%193.94M
-8.93%99.84M
-8.93%99.84M
Free cash flow
64.88%29.23M
13.30%27.67M
61.35%33.51M
-9.14%83.52M
-10.15%20.6M
-23.67%17.73M
-5.77%24.43M
4.65%20.77M
8.64%91.92M
23.02%22.92M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)2021/09/30(Q2)2021/06/30(Q1)2021/03/31(FY)2020/12/31(Q4)2020/12/31(Q3)2020/09/30(Q2)2020/06/30(Q1)2020/03/31(FY)2019/12/31(Q4)2019/12/31
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 70.87%35.17M22.93%30.94M42.95%34.42M-12.17%92.72M-16.39%22.89M-22.64%20.58M-19.33%25.16M18.07%24.08M11.08%105.57M28.69%27.38M
Net income from continuing operations 83.77%-565K91.86%-1.48M32.27%-3.75M-866.42%-31.91M-251.92%-4.68M-2,390.79%-3.48M-313.16%-18.2M-73.22%-5.54M111.11%4.16M90.19%-1.33M
Operating gains losses 273.51%2.85M99.58%-11K78.97%-286K70.62%-5.64M132.14%9K15.05%-1.64M81.57%-2.65M52.66%-1.36M30.50%-19.2M-101.37%-28K
Depreciation and amortization -6.21%32.17M-8.21%32.83M-6.26%30.89M11.49%129.13M-13.22%26.1M26.98%34.31M24.17%35.76M10.14%32.96M-6.15%115.82M14.62%30.08M
Other non cash items 27.26%1.41M170.84%1.13M87.92%2.64M55.92%8.27M579.02%7.35M-22.08%1.11M-138.33%-1.6M12.74%1.41M-71.53%5.3M45.18%-1.54M
Change In working capital 27.34%-9.4M-138.32%-6.9M108.77%578K-111.15%-33.08M-252.98%-10.65M-295.57%-12.94M-249.04%-2.9M22.88%-6.59M-89.96%-15.67M34.65%-3.02M
-Change in receivables 81.58%-1.44M66.89%-1.83M23.42%-1.8M-108.21%-19.82M-40.96%-4.13M-179.56%-7.82M-229.79%-5.52M-10.86%-2.35M0.78%-9.52M-36.79%-2.93M
-Change in prepaid assets -81.23%-12.56M15.85%-1.39M2.91%-2.37M-184.88%-9.14M692.41%1.88M-86.49%-6.93M-174.04%-1.65M-379.27%-2.44M21.49%-3.21M165.29%237K
-Change in payables and accrued expense 161.47%4.65M-172.08%-2.54M3,500.00%3.37M-1,242.37%-3.52M-1,043.38%-8.72M68.53%1.78M24.31%3.53M97.08%-99K-114.65%-262K90.17%-763K
-Change in other working capital -248.48%-49K-253.62%-1.15M180.67%1.38M77.64%-598K-25.00%330K-98.49%33K153.59%746K56.35%-1.71M-173.37%-2.68M-92.22%440K
Cash from discontinued investing activities
Operating cash flow 70.87%35.17M22.93%30.94M42.95%34.42M-12.17%92.72M-16.39%22.89M-22.64%20.58M-19.33%25.16M18.07%24.08M11.08%105.57M28.69%27.38M
Investing cash flow
Cash flow from continuing investing activities -53.93%-89.77M10.11%-32.55M42.69%-37.53M44.93%-222.96M-6.88%-62.95M67.82%-58.32M33.99%-36.21M40.40%-65.48M-115.09%-404.83M-136.59%-58.9M
Capital expenditure reported -108.02%-5.94M-341.87%-3.26M72.56%-908K32.63%-9.2M48.47%-2.3M15.51%-2.85M85.99%-738K-504.94%-3.31M-30.94%-13.65M-68.67%-4.46M
Net other investing changes -------------101.80%-53K----------------219.42%2.95M----
Cash from discontinued investing activities
Investing cash flow -53.93%-89.77M10.11%-32.55M42.69%-37.53M44.93%-222.96M-6.88%-62.95M67.82%-58.32M33.99%-36.21M40.40%-65.48M-115.09%-404.83M-136.59%-58.9M
Financing cash flow
Cash flow from continuing financing activities 189.67%17.51M311.20%55.04M-108.68%-11.77M-50.32%143.8M54.60%53.88M-113.79%-19.52M-485.33%-26.06M27.52%135.5M283.12%289.47M5.86%34.85M
Net issuance payments of debt -105.92%-1.15M-69.71%5.77M-100.36%-541K-28.90%157.67M-241.36%-30M-66.96%19.44M-45.14%19.06M39.47%149.16M6.52%221.74M-66.09%21.22M
Net common stock issuance --49.92M---------100.67%-211K-100.67%-211K--0--------252.58%31.33M10,848.64%31.6M
Net preferred stock issuance -268.35%-291K4,364.10%11.64M-18.62%16.18M-36.13%107.91M313.93%88.38M-100.07%-79K-102.42%-273K-31.34%19.88M--168.96M--21.35M
Cash dividends paid -15.36%-30.93M-9.05%-29.24M19.07%-26.95M25.56%-90.65M88.60%-3.73M11.56%-26.81M8.86%-26.81M-13.35%-33.3M-15.93%-121.78M-11.24%-32.67M
Net other financing activities 99.62%-46K47.00%-9.56M-83.06%-454K-186.85%-30.92M91.52%-564K-311.49%-12.07M---18.04M---248K-53.29%-10.78M---6.65M
Cash from discontinued financing activities
Financing cash flow 189.67%17.51M311.20%55.04M-108.68%-11.77M-50.32%143.8M54.60%53.88M-113.79%-19.52M-485.33%-26.06M27.52%135.5M283.12%289.47M5.86%34.85M
Net cash flow
Beginning cash position -3.11%151.95M-49.20%98.53M13.58%113.4M-8.93%99.84M3.18%99.57M43.20%156.83M53.41%193.94M-8.93%99.84M-13.85%109.63M20.14%96.5M
Current changes in cash 35.20%-37.1M243.98%53.43M-115.80%-14.87M238.46%13.56M314.32%13.83M-339.99%-57.26M-119.56%-37.11M460.57%94.1M44.44%-9.79M-88.61%3.34M
End cash Position 15.35%114.85M-3.11%151.95M-49.20%98.53M13.58%113.4M13.58%113.4M3.18%99.57M43.20%156.83M53.41%193.94M-8.93%99.84M-8.93%99.84M
Free cash flow 64.88%29.23M13.30%27.67M61.35%33.51M-9.14%83.52M-10.15%20.6M-23.67%17.73M-5.77%24.43M4.65%20.77M8.64%91.92M23.02%22.92M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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