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New York Mtge Trust (NYMT)

New York Mtge Trust (NYMT)
5.20 -0.18 (-3.35%) 09:31 ET [NASDAQ]
5.26 x 900 5.80 x 100
Realtime by (Cboe BZX)
5.26 x 900 5.80 x 100
Realtime 5.62 +0.24 (+4.46%) 09:10 ET
Cash Flow for Wed, Apr 9th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income -93,953 -77,799 -340,649 188,476 -288,243
Depreciation Amortization 60,041 52,120 152,961 51,386 14,744
Other Working Capital -15,036 -16,747 -14,785 -3,697 9,256
Other Operating Activity 63,019 72,379 294,256 -97,253 374,998
Operating Cash Flow $14,071 $29,953 $91,783 $138,912 $110,755
Cash Flows From Investing Activities
PPE Investments 132,556 171,658 -101,809 -10,044 5,545
Purchase Of Investment -4,116,041 -2,627,232 -1,763,453 -1,581,192 -1,156,274
Sale Of Investment 1,619,096 1,217,000 1,500,207 1,741,454 2,804,368
Other Investing Activity 119,954 18,643 -143,720 -283,167 464,244
Investing Cash Flow $-2,244,435 $-1,219,931 $-508,775 $-132,949 $2,117,883
Cash Flows From Financing Activities
Debt Issued 1,410,153 N/A 969,986 529,508 -2,052,455
Debt Repayment 951,306 1,330,293 -259,531 -334,462 -358,672
Common Stock Issued N/A N/A N/A N/A 511,924
Common Stock Repurchased -3,493 -8,615 -44,399 N/A N/A
Dividend Paid -116,701 -170,695 -193,157 -194,848 -146,557
Other Financing Activity -12,519 -11,301 -12,830 27,210 0
Financing Cash Flow $2,228,746 $1,139,682 $460,069 $27,408 $-2,045,760
Beginning Cash Position 330,642 380,938 337,861 304,490 121,612
End Cash Position 329,024 330,642 380,938 337,861 304,490
Net Cash Flow $-1,618 $-50,296 $43,077 $33,371 $182,878
Free Cash Flow
Operating Cash Flow 14,071 29,953 91,783 138,912 110,755
Capital Expenditure -24,647 -50,412 -209,372 -46,059 -206
Free Cash Flow -10,576 -20,459 -117,589 92,853 110,549
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