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Real Estate - REIT - Mortgage - NYSE - US
$ 25.044
0.176 %
$ 1.19 B
Market Cap
34.17
P/E
CASH FLOW STATEMENT
213 M OPERATING CASH FLOW
-34.52%
552 M INVESTING CASH FLOW
8.22%
-808 M FINANCING CASH FLOW
15.55%
FREE CASH FLOW ANALYSIS
Free Cash Flow Analysis Chimera Investment Corporation
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Net Income 126 M
Depreciation & Amortization 0
Capital Expenditures 0
Stock-Based Compensation 9.55 M
Change in Working Capital -30.1 M
Others 84.9 M
Free Cash Flow 213 M

Cash Flow

Millions
Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015 Dec-2014 Dec-2013 Dec-2012 Dec-2011 Dec-2010 Dec-2009 Dec-2008 Dec-2007
OPERATING CASH FLOW
Net Income 126.1 (513.1) 670.1 88.9 413.6 411.6 524.7 551.9 250.3 589.2 362.7 327.8 137.3 532.9 324.0 (119.8) (2.9)
Depreciation & Amortization 0 61.5 70.6 102.6 58.9 28.6 (25.4) (3.1) 3.8 (70.0) (74.9) (58.7) (48.2) 0 (49.2) 0 98 K
Deferred Income Tax 0 0 (70.6) (102.6) (58.9) 81.0 (57.7) (61.2) 91.3 (160.4) (2.2) 47.5 308.0 0 0 0 0
Stock Based Compensation 9.6 8.2 6.5 5.0 10.6 8.8 3.6 2.2 2.0 1.0 0.7 0.4 0.7 0 0 0 0
Other Operating Activities 107.7 780.0 (119.9) 185.8 (290.8) (320.9) 31.4 56.0 82.7 (186.5) 17.7 15.5 49.0 (223.8) (89.7) 153.8 7.0
Change in Working Capital (30.1) (10.8) (37.6) (21.8) (68.3) 88.4 10.7 7.1 (33.8) 9.4 0.9 2.3 0.8 (3.4) (16.3) (3.3) (5.5)
Cash From Operations 213.3 325.7 519.2 257.9 65.0 297.6 487.3 552.9 396.3 182.8 304.8 334.9 447.7 305.6 168.7 30.7 (1.5)
INVESTING CASH FLOW
Capital Expenditures 0 0 0 0 0 0 0 0 0 147.8 0 0 0 0 0 0 0
Other Items 551.8 509.8 2 548.2 8 330.4 1 236.9 (6 026.1) (4 331.0) (1 270.6) 2 037.9 (5 926.3) 305.1 988.8 (114.1) (1 584.9) (2 810.2) (1 056.0) (795.6)
Cash From Investing Activities 551.8 509.8 2 548.2 8 330.4 1 236.9 (6 026.1) (4 331.0) (1 270.6) 2 037.9 (5 778.6) 305.1 988.8 (114.1) (1 584.9) (2 810.2) (1 056.0) (795.6)
FINANCING CASH FLOW
Common Stock Repurchased (33.1) (48.9) (1.8) (22.1) (193.4) (14.8) (314.4) (140.1) (250.0) 0 0 0 0 0 0 0 0
Total Debt Repaid (598.1) (546.3) (2 355.6) (7 976.9) (985.9) 5 893.3 2 177.3 1 095.5 (1 853.6) 6 258.0 (783.7) (498.5) 449.4 448.5 1 310.9 769.9 0
Dividends Paid (250.5) (361.5) (372.4) (396.4) (447.0) (417.6) (411.7) (454.3) (381.2) (575.3) (369.7) (410.7) (585.0) (516.8) (135.6) (22.8) 0
Other Financing Activities 1 K 0 (220.9) (33.8) 193.4 251.5 1 964.0 140.1 0 0 0 0.4 1.1 0.5 50 K 0 270.6
Cash From Financing Activities (807.9) (956.7) (2 950.8) (8 429.1) (1 239.5) 5 712.4 3 729.6 781.3 (2 484.8) 5 682.8 (1 153.4) (908.9) (134.5) 1 262.2 2 638.3 1 046.8 803.2
CHANGE IN CASH
Net Change In Cash (42.9) (121.1) 116.7 159.2 62.4 (16.1) (114.1) 63.7 (50.6) 87.0 (543.5) 414.9 199.1 (17.1) (3.2) 21.5 6.0
FREE CASH FLOW
Free Cash Flow 213.3 325.7 519.2 257.9 65.0 297.6 487.3 552.9 396.3 330.6 304.8 334.9 447.7 305.6 168.7 30.7 (1.5)