CareTrust REIT Cash Flow from Financial Activities 2012-2025 | CTRE

CareTrust REIT annual/quarterly cash flow from financial activities history and growth rate from 2012 to 2025. Cash flow from financial activities can be defined as the net amount of cash transactions used in funding activities
  • CareTrust REIT cash flow from financial activities for the quarter ending March 31, 2025 was $0.383B, a 65.79% increase year-over-year.
  • CareTrust REIT cash flow from financial activities for the twelve months ending March 31, 2025 was $2.881B, a 245.64% increase year-over-year.
  • CareTrust REIT annual cash flow from financial activities for 2024 was $1.189B, a 201.48% increase from 2023.
  • CareTrust REIT annual cash flow from financial activities for 2023 was $0.394B, a 1761.55% decline from 2022.
  • CareTrust REIT annual cash flow from financial activities for 2022 was $-0.024B, a 164.6% decline from 2021.
CareTrust REIT Annual Cash Flow Financial
(Millions of US $)
2024 $1,189
2023 $394
2022 $-24
2021 $37
2020 $-106
2019 $173
2018 $46
2017 $213
2016 $216
2015 $181
2014 $56
2013 $28
2012 $25
2011 $130
Sector Industry Market Cap Revenue
Finance REIT - Other Equity Trusts $5.879B $0.296B
CareTrust REIT, Inc. is a real estate investment trust. It is primarily engaged in the ownership, acquisition and leasing of healthcare-related properties. The Company leases healthcare facilities to healthcare operators in triple-net lease arrangements. CareTrust REIT, Inc. is based in United States.
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