CareTrust REIT, Inc.

NYSE:CTRE

26.47 (USD) • At close January 22, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2023-11-092023-08-032023-05-102023-02-092022-11-082022-08-042022-05-052022-02-162021-11-082021-08-052021-05-062021-02-102020-11-052020-08-062020-05-072020-02-202019-11-072019-08-062019-05-072019-02-132018-11-052018-08-012018-05-082018-02-272017-11-082017-08-022017-05-022017-02-072016-11-022016-08-082016-05-112016-02-112015-11-052015-08-102015-05-122015-02-112014-10-302014-08-132014-03-312013-12-312013-09-30
Operating Activities:
Net Income 8.685-0.48419.22714.380.70920.669-43.26418.26111.91821.31720.48621.05521.55218.93519.32520.662-10.05419.69816.05315.53914.5113.26714.6072.25211.3112.0310.2818.3887.8327.6315.5025.0030.7272.2662.0380.631.967-10.34-0.4-1.188-0.273
Depreciation & Amortization 13.04812.73112.25211.94112.2712.57313.59414.06613.98313.85913.48613.2913.10113.25313.17513.07713.43513.44811.90611.54311.35511.30311.58211.0089.7499.3399.088.5368.2537.8987.2937.045.8155.6795.5995.3695.3626.076.1996.0585.968
Deferred Income Tax 13.48321.51500000-0.11510.82700.192-0.019001.402-1.5617.5510.4630000-2.05110.414014.27300.265000.32601.20800000000
Stock Based Compensation 1.5190.9240.9361.4631.381.3941.5215.6351.8021.811.5850.9710.9720.9630.8840.9820.9811.1470.9941.0320.9880.9240.9040.6240.6560.60.5360.3390.3390.4370.4310.4270.4350.2940.3660.15400000
Change In Working Capital 8.072-3.469-0.471-4.3319.229-3.116-2.1040.3018.763-0.895-2.2751.5774.348-2.1931.271-1.539-0.503-3.0941.053-0.923.646-5.469-2.77-2.4990.01-1.869-0.065-2.9494.565-3.1471.14-1.5544.959-4.0312.728-2.1191.9363.535-1.687-0.5292.928
Accounts Receivables 00-0.0330.02600.5780.337-0.56200-0.10.2820.54300.335-6.28300-1.22-3.800-0.155-9.42800-1.964-0.158-1.503-1.8580.1150.619-0.925-0.0250.280.615-1.035-1.8570.006-0.0020.012
Inventory 000000-0.337-170.93100173.40355.52513.071077.85134.20400-12.53177.29100208.57190.2560043.974103.528108.88372.2512.11146.085-125.78811.209-1.818-17.457-82.957-76.9073.024.2133.732
Accounts Payables 00-0.499-6.4920-2.037-2.037-1.33110.553-0.712-2.4531.1754.872-2.7380.482-1.1523.612-2.1542.389-2.5086.005-2.361-2.5790.0723.415-0.0951.886-2.8725.774-0.9861.013-2.1775.429-3.4112.398-2.7923.2616.196-1.513-0.763.164
Other Working Capital 000.0612.1350-1.657-0.067173.125-1.79-0.183-173.125-55.405-14.1380.545-77.397-28.308-4.115-0.9412.415-71.903-2.359-3.108-208.606-183.399-3.405-1.774-43.961-103.447-108.589-72.554-2.099-46.081126.243-11.8041.86817.51582.66776.103-3.2-3.98-3.98
Other Non Cash Items 0.3030.6493.17610.2918.7822.20364.8320.360.5130.5170.4750.4760.470.4660.461-0.48512.010.0020.068-0.227-0.2250.032-0.2130.0680.3060.3620.3340.3390.4110.30.3020.3030.3050.3230.3240.5210.5333.9710.2050.3870.224
Operating Cash Flow 45.1131.86635.1233.74342.3733.72334.57938.50847.80636.60833.94937.3540.44331.42436.51831.13733.4231.66430.07426.96730.27420.05722.05921.86722.03224.73520.16614.91821.413.11914.99411.21913.4494.53111.0554.5559.7983.2364.3174.7288.847
Investing Activities:
Investments In Property Plant And Equipment -2.759-4.361-2.019-1.817-1.847-1.71-1.918-1.187-1.363-2.144-1.31943.853-16.175-3.816-23.862-21.753-13.999-231.468-54.824-38.368-33.766-1.377-34.137-74.225-125.971-35.198-54.774-93.605-41.273-76.364-68.044-1.029-197.854-16.38-17.636-26.263-0.324-6.334-12.675-5.14-9.37
Acquisitions Net 00000000000000000000000000000000000000000
Purchases Of Investments 000000000000000000000000000-0.1250000000000000
Sales Maturities Of Investments 00000000000-2.327002.327000000007.500000000000000000
Other Investing Activites -52.902-171.4651.20116.176-14.268-99.862-22.154-9.483-35.557-9.599-131.981-105.1712.91253.441-2.76531.697-14.7530.446-11.353-4.7160.877-2.605-0.977-18.8913.335-3.635-0.70.3-5.53115.73-15.73-1.751.5-1-0.5-800000
Investing Cash Flow -55.661-175.826-0.81814.359-16.115-101.572-24.072-10.67-36.92-11.743-133.3-63.644-3.26349.625-24.39.944-28.752-231.022-66.177-43.084-32.889-3.982-35.114-85.616-122.636-38.833-55.474-93.43-46.804-60.634-83.774-2.779-196.354-17.38-18.136-34.263-0.324-6.334-12.675-5.14-9.37
Financing Activities:
Debt Repayment 000-70-450-0.888-319.607-320-280.001-0.056-80.92800-0.662-13-20-150-195-131.773-60-50-25-100-312.639-113-11300-187.022-0.674-36.158-0.666-0.685-0.662-0.637-219.332-1.849-1.824-1.802
Common Stock Issued 00-0.50147.236000318.27606.75516.191130.938-0.4040-0.09-0.039-0.078148.78147.2649.33682.99948.23-0.01-0.091-0.07162.319108.16692.0072.506-0.137106.026-0.50300098.99800000
Common Stock Repurchased 00000001.3310-0.001-1.33-0.010-0.314-0.092.5240-1.029-1.4951.2880-0.673-0.01800000001520000-98.99800000
Dividends Paid -27.843-27.837-27.409-26.66-26.661-26.773-26.044-25.634-25.635-25.553-23.96-23.878-23.877-23.874-21.532-21.464-21.47-19.975-17.71-17.172-16.199-15.584-14.044-14.043-14.047-13.422-11.075-9.873-9.848-9.844-7.704-7.704-5.09-5.05-3.946-33.00100000
Other Financing Activities 40.734144.8728.59.6392098.30323.116-0.02541.507554.424120.056-0.010.404-7513.7665.476409.856380.61135.4850-0.68359.405-0.01694.464311.6234510534.9862.477-1.324-0.19206.34734.875-0.014-0.154-0.337301.84810.2392.32.377
Financing Cash Flow 12.891117.035-19.41-39.785-51.66171.53-3.816-25.659-304.128255.624110.90126.112-23.877-99.188-8.608-26.503-1.548-12.367213.66537.1646.8-18.7120.34155.8580.34647.88129.09174.13427.63852.49661.976-9.071165.09929.159-4.645-33.817-0.97482.5168.390.4760.575
Other Information:
Effect Of Forex Changes On Cash 074.399000000000000000000000000000000000000000
Net Change In Cash 2.34-26.92514.8928.317-25.4063.6816.6912.179-293.242280.48911.55-0.18213.303-18.1393.6114.5783.12-211.725177.56221.0474.185-2.6357.286-7.899-20.25833.783-6.217-4.3782.2344.981-6.804-0.631-17.80616.31-11.726-63.5258.579.4180.0320.0640.052
Cash At End Of Period 3.4851.14528.0713.1784.86130.26726.58619.89517.716310.95830.46918.91919.1015.79823.93720.3275.7492.629214.35436.79215.74511.5614.1956.90914.80835.0661.2837.511.8789.6444.66311.46712.09829.90413.59425.3288.84580.3450.9270.8950.831