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Net cash provided by
operating activities -...
$269,300K
Net cash provided by
operating activities
$269,300K
Net change in cash,
cash equivalents and...
-$139,100K
Canceled cashflow
$269,300K
Net cash used for
financing activities
-$267,300K
Net cash used for
investing activities
-$140,200K
Effect of exchange rate
changes on cash, cash...
-$900K
Other investing
activities
-$3,600K
Proceeds from
disposition of assets and...
$1,400K
Repayments of notes and
other receivables
$800K
Net cash used for
financing activities -...
-$267,300K
Net cash provided by
/ (used for)...
-$140,200K
Canceled cashflow
$5,800K
Distributions
$134,000K
Repurchases of common stock
$60,100K
Redemptions of preferred op
units
$52,200K
Payments on other debt
$12,100K
Common stock withheld
to satisfy income...
$6,900K
Investment in properties
$107,000K
Acquisitions, net of cash
acquired
$39,000K
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Cash Flow
SUN COMMUNITIES INC (SUI)
SUN COMMUNITIES INC (SUI)
source: myfinsight.com