Gaming and Leisure Properties, Inc.

NASDAQ:GLPI

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

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

202220212020201920182017201620152014201320122011
Operating Activities:
Net Income 703.285534.086505.711390.881339.516380.598289.305128.122185.38419.8322.91926.684
Depreciation & Amortization 254.547252.049242.995258.971148.365123.835115.717109.783106.84328.92314.0914.568
Deferred Income Tax 05.3260.451-0.755-0.522-0.561-1.535-0.813-3.305-5.646-0.088-6.514
Stock Based Compensation 20.42716.83120.00416.19811.15215.63618.31216.81112.2581.56600
Change In Working Capital 10.2413.0754.6174.87218.631-0.32419.207-4.241-35.98834.728-10.03522.177
Accounts Receivables 000000000000
Inventory 000000000000
Accounts Payables 00-1.252-1.5051.796-0.4210.506-0.946-1.652.638-0.26-0.288
Other Working Capital 005.8696.37716.8350.09718.701-3.295-34.33832.09-9.77522.465
Other Non Cash Items -68.374-7.589-345.70180.135137.29179.52773.36470.0268.0671.231-0.142-0.075
Operating Cash Flow 920.126803.778428.077750.302654.433598.711514.37319.688273.25980.63226.74456.84
Investing Activities:
Investments In Property Plant And Equipment -24.024-16.196-3.604-3.017-4.304-3.256-3.441-19.102-142.769-16.428-5.19-8.288
Acquisitions Net 058.9930000000000
Purchases Of Investments -129.047-592.2430000000000
Sales Maturities Of Investments 016.1960000000000
Other Investing Activites -201.417-497.584-5.8830.2-1,505.483.954-3,215.184.96-174.550.1530.380.117
Investing Cash Flow -354.488-1,030.83-9.487-2.817-1,509.780.698-3,218.62-14.142-317.319-16.275-4.81-8.171
Financing Activities:
Debt Repayment -1,271.05-363.391-2,060.88-1,477.95-1,164.12-335.112-377.104-68.098-32.02400-0.9
Common Stock Issued 611.256662.338320.87300139.414870.8100000
Common Stock Repurchased 0795.0082,076.380002,665.4800000
Dividends Paid -770.858-633.901-230.522-589.128-550.435-529.37-428.352-251.732-494.104000
Other Financing Activities 379.505-16.985-42.6811,320.632,566.63118.157-31.91120.186320.94206.302-24.518-49.536
Financing Cash Flow -1,051.15443.06963.169-746.445852.08-606.9112,698.93-299.644-205.188206.302-24.518-50.436
Other Information:
Effect Of Forex Changes On Cash 022.131-22.131000000000
Net Change In Cash -485.512238.144459.6281.04-3.271-7.502-5.3195.902-249.248270.659-2.584-1.767
Cash At End Of Period 239.083724.595486.45126.82325.78329.05436.55641.87535.973285.22114.56217.146