Postal Realty Trust Cash Flow Statement Analysis

Operating, investing, and financing activities in millions USD

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Cash flow statement showing operating, investing, and financing activities for Postal Realty Trust, Inc. (PSTL) - Annual data in millions USD
BreakdownFY 2024FY 2023FY 2022FY 2021FY 2020FY 2019
Period EndingDec 2024Dec 2023Dec 2022Dec 2021Dec 2020Dec 2019
Operating Activities
Net Income6.603.713.852.06-0.35-1.49
Depreciation & Amortization19.0217.2815.4512.397.893.51
Deferred Income Tax0.000.000.000.000.00-0.07
Stock Based Compensation6.385.834.723.722.360.00
Change in Working Capital2.171.140.40-1.77-0.53-0.21
Change in Accounts Receivable-1.790.000.000.000.000.00
Change in Accounts Payable3.891.510.851.100.000.00
Change in Other Working Capital-0.25-0.41-0.810.000.000.00
Other Operating Activities-0.25-0.41-0.810.002.370.96
Net Cash from Operating Activities33.5028.4324.5917.109.402.86
Investing Activities
Capital Expenditures-2.78-2.87-3.69-1.900.970.15
Acquisitions0.000.000.000.000.00-0.34
Purchases of Investments0.000.000.00-15.710.000.00
Sales/Maturities of Investments0.000.00-116.46-104.83-125.18-72.50
Other Investing Activities-79.150.00-0.240.35-0.51-0.34
Net Cash from Investing Activities-79.15-72.61-120.15-106.73-126.15-72.65
Financing Activities
Debt Repayment-66.11-53.11-128.10-217.85-1.27-32.22
Common Stock Issued19.4926.6911.63138.8048.6264.71
Common Stock Repurchased-0.70-1.03-0.38-0.24-0.210.00
Dividends Paid-22.26-24.36-17.53-15.04-6.003.46
Other Financing Activities-0.37-0.37-1.01-1.4123.2954.06
Net Cash from Financing Activities45.3245.0190.5793.39106.8482.12
Summary
Net Change in Cash-0.320.83-4.983.76-9.9112.32
Cash at Beginning of Period2.872.047.033.2713.180.86
Cash at End of Period2.542.872.047.033.2713.18
Free Cash Flow30.7325.5620.9015.208.432.71
Supplemental Disclosures
Interest Paid12.009.205.102.702.300.00
Income Taxes Paid0.090.050.100.100.100.00