Slate Retail REIT (T.SGR)

Last Closing Price: --

Cash Flow from Operating Activities (Quarterly)

Cash Flow from Operating Activities: A company's cash flows from operations.

Slate Retail REIT (T.SGR) had Cash Flow from Operating Activities of 59.02M for the most recently reported fiscal quarter, ending 2019-12-31.

Figures for fiscal quarter ending 2019-12-31
Income Statement Financials
--
18.90M
--
--
--
--
--
26.27M
22.24M
19.79M
18.90M
18.90M
13.60M
35.45M
35.45M
41.36M
41.36M
0.46
0.46
Balance Sheet Financials
--
--
--
1.75B
--
--
--
1.21B
535.35M
535.35M
535.35M
40.46M
Cash Flow Statement Financials
Cash Flow from Operating Activities
59.02M
133.42M
-190.72M
1.47M
3.20M
1.73M
--
-47.65M
--
Fundamental Metrics & Ratios
--
--
--
0.64
1.96
--
78.26%
78.26%
--
57.99%
41.73%
55.69M
--
--
--
0.03
--
--
--
3.53%
3.53%
1.08%
1.28%
13.23
1.35
1.43