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Strawberry Fields REIT Inc (IL:STRW)
TASE:STRW
Israel Market

Strawberry Fields REIT Inc (STRW) Cash flow

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Strawberry Fields REIT Inc Cash Flow

IL:STRW's free cash flow for Q2 2026 was $24.24M. For the 2026 fiscal year, IL:STRW's free cash flow was decreased by $54.71M and operating cash flow was $24.24M. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
$ 90.04M$ 59.33M$ 54.94M$ 50.93M$ 44.79M
Investing Cash Flow
$ -111.87M$ -136.78M$ -106.35M$ -10.10M$ -58.29M
Financing Cash Flow
$ -5.06M$ 133.34M$ 43.46M$ -47.25M$ 23.57M
End Cash Position
$ 66.76M$ 93.66M$ 37.76M$ 45.70M$ 52.13M
Free Cash Flow
$ 90.04M$ 35.33M$ 54.94M$ 50.93M$ 44.79M
Currency in USD

Strawberry Fields REIT Inc Cash Flow