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CareTrust REIT (DE:7XC)
FRANKFURT:7XC
Germany Market

CareTrust REIT (7XC) Cash flow

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CareTrust REIT Cash Flow

DE:7XC's free cash flow for Q2 2026 was $130.48M. For the 2026 fiscal year, DE:7XC's free cash flow was decreased by $142.84M and operating cash flow was $134.75M. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
$ 394.03M$ 244.25M$ 154.77M$ 144.41M$ 156.87M
Investing Cash Flow
$ -1.46B$ -1.49B$ -267.81M$ -127.40M$ -192.63M
Financing Cash Flow
$ 1.05B$ 1.17B$ 394.32M$ -23.73M$ 36.74M
End Cash Position
$ 198.04M$ 213.82M$ 294.45M$ 13.18M$ 19.89M
Free Cash Flow
$ 379.04M$ 236.20M$ 143.79M$ 137.12M$ 150.86M
Currency in USD

CareTrust REIT Cash Flow