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Safe Bulkers Inc (SB)

Safe Bulkers Inc (SB)
3.21 x 1 3.45 x 21
Post-market by (Cboe BZX)
3.30 -0.01 (-0.30%) 04/17/25 [NYSE]
3.21 x 1 3.45 x 21
Post-market 3.30 unch (unch) 16:02 ET
Cash Flow for Thu, Apr 17th, 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 97,376 77,351 172,554 174,348 -12,905
Depreciation Amortization 61,091 56,610 51,526 55,262 55,995
Accounts receivable -5,375 -2,303 1,585 -3,150 10,985
Accounts payable and accrued liabilities -1,083 327 512 -3,937 2,446
Other Working Capital -9,980 -4,070 -9,074 6,701 18,475
Other Operating Activity -11,571 -5,708 943 -12,016 -11,620
Operating Cash Flow $130,458 $122,207 $218,046 $217,208 $63,376
Cash Flows From Investing Activities
Change In Deposits -4,953 26,604 -63,058 10,700 15,660
PPE Investments -66,779 -178,330 -166,346 -2,146 -50,444
Investing Cash Flow $-71,732 $-151,726 $-229,404 $8,554 $-34,784
Cash Flows From Financing Activities
Debt Issued 248,300 255,200 259,575 178,800 92,400
Debt Repayment -212,140 -165,226 -191,302 -434,746 -81,995
Common Stock Repurchased -28,917 -26,222 -9,051 N/A -6,012
Dividend Paid -29,502 -30,678 -33,626 -11,198 -11,497
Other Financing Activity -3,599 -3,933 -65,697 41,238 -2,189
Financing Cash Flow $-25,858 $29,141 $-40,101 $-225,906 $-9,293
Exchange Rate Effect -371 353 -709 -794 254
Beginning Cash Position 59,061 59,086 111,254 112,192 92,639
End Cash Position 91,558 59,061 59,086 111,254 112,192
Net Cash Flow $32,497 $-25 $-52,168 $-938 $19,553
Free Cash Flow
Operating Cash Flow 130,458 122,207 218,046 217,208 63,376
Capital Expenditure -144,775 -209,103 -183,276 -109,230 -50,444
Free Cash Flow -14,317 -86,896 34,770 107,978 12,932
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