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Cedar Realty Trust Inc (CDR)

Cedar Realty Trust Inc (CDR)
N/A x N/A N/A x N/A
Post-market by (Cboe BZX)
29.00 +0.02 (+0.07%) 08/22/22 [NYSE]
N/A x N/A N/A x N/A
Post-market 29.00 unch (unch) -
Cash Flow for Mon, Aug 22nd, 2022

Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2021 12-2020 12-2019 12-2018 12-2017
Cash Flows From Operating Activities
Net Income -45,003 -520 1,566 4,358 19,653
Depreciation Amortization 39,740 48,370 44,320 36,836 38,792
Accounts receivable -1,266 -2,811 -812 -3,902 -3,467
Other Working Capital -3,755 -14,961 -2,471 -8,842 -8,404
Other Operating Activity 55,246 12,502 11,072 29,450 10,519
Operating Cash Flow $44,962 $42,580 $53,675 $57,900 $57,093
Cash Flows From Investing Activities
PPE Investments 76,188 -18,369 -22,342 -11,438 -45,497
Other Investing Activity -4,654 0 0 -3,500 0
Investing Cash Flow $71,534 $-18,369 $-22,342 $-14,938 $-45,497
Cash Flows From Financing Activities
Debt Issued 193,000 173,000 27,000 243,500 168,500
Debt Repayment -289,110 -180,067 -22,027 -203,830 -195,794
Common Stock Issued 0 13 22 9 43,166
Common Stock Repurchased -8 0 -6,887 -2,336 -24
Dividend Paid -14,689 -17,941 -28,671 -29,667 -31,407
Other Financing Activity -4,057 -326 0 -55,880 5,420
Financing Cash Flow $-114,864 $-25,321 $-30,563 $-48,204 $-10,139
Beginning Cash Position 1,637 2,747 1,977 7,219 5,762
End Cash Position 3,269 1,637 2,747 1,977 7,219
Net Cash Flow $1,632 $-1,110 $770 $-5,242 $1,457
Free Cash Flow
Operating Cash Flow 44,962 42,580 53,675 57,900 57,093
Capital Expenditure -28,309 -39,551 -40,993 -30,556 -58,003
Free Cash Flow 16,653 3,029 12,682 27,344 -910
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