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.

2023-10-262023-07-272023-04-272023-02-232022-10-272022-07-282022-04-282022-02-242021-10-292021-07-302021-04-302021-02-192020-10-282020-07-312020-05-012020-02-212019-11-012019-08-082019-05-072019-02-132018-11-012018-08-012018-04-302018-02-162017-10-272017-07-312017-05-032017-02-222016-11-092016-08-092016-04-262016-02-222015-11-092015-07-302015-05-042015-02-272014-11-072014-08-012014-05-122014-03-252013-11-252013-06-302013-03-312012-12-31
Operating Activities:
Net Income 189.307160.137188.67199.587226.219155.787121.692119.627149.059138.216127.184169.341127.126112.3596.894114.29190.54793.03393.0145.931104.81591.99896.77293.25997.01496.33493.99193.69289.673.26432.74929.7735.31745.94547.08744.15849.90247.01244.3129.2362.6814.6993.2142.105
Depreciation & Amortization 69.54569.0268.84462.99763.17763.25465.11965.84563.50461.15661.54461.90161.10160.4159.58359.7160.32277.27161.66857.43929.99430.25130.68130.89631.35931.01230.56830.59829.47628.5627.08327.19827.55727.61727.41127.44626.52626.34926.52218.0973.6113.6273.5883.451
Deferred Income Tax 1.59128.052000007.731-2.486-0.1070.1880.5350.934-1.0560.038-0.227-0.062-0.218-0.248-0.223-0.182-0.2810.1641.385-0.666-0.538-0.742-0.538-0.173-0.745-0.0791.366-0.642-1.151-0.386-0.16-1.226-1.021-0.898-3.095-2.178-0.5010.128-0.884
Stock Based Compensation 5.1395.0137.8074.1834.3364.3087.63.6453.7863.6125.7883.3528.3534.0644.2353.8453.8454.1834.3253.2743.2750.6163.9873.6853.6953.7734.4834.5084.6414.5914.5724.1534.1534.1114.3943.6353.5363.1361.95100000
Change In Working Capital -0.0951.49-7.455-18.53520.535-6.29814.539-11.32212.784-7.2498.862-12.87526.498-18.2979.291-22.54732.452-43.15938.126-46.23356.657-26.07134.278-39.50545.167-42.76836.782-38.84154.23-16.19220.01-29.96522.789-17.29720.232-24.84314.174-30.9945.67540.3582.6632.368-10.6611.159
Accounts Receivables 00000000000000000000000000000000000000000000
Inventory 00000000000000000000000000000000000000000000
Accounts Payables -0.334-0.2170.094-0.562-3.2894.947-1.0960-2.2411.132-0.128-1.088-0.2820.785-0.6670.84-0.005-0.531-1.8090.661.39-0.029-0.2250.280.003-0.523-0.1810.4490.302-0.290.045-0.9620.6810.68-1.345-0.17-9.6638.140.0432.669-0.166-0.0420.177-0.161
Other Working Capital 0.2391.707-7.549-17.97323.824-11.24515.635-11.32215.025-8.3818.99-11.78726.78-19.0829.958-23.38732.457-42.62839.935-46.89355.267-26.04234.503-39.78545.164-42.24536.963-39.2953.928-15.90219.965-29.00322.108-17.97721.577-24.67323.837-39.1345.63237.6892.8292.41-10.8381.32
Other Non Cash Items -12.227-11.779-16.683-27.572-73.2638.22924.2322.268-13.2341.7351.642-104.708-143.194-126.54328.74411.54432.50111.54824.54276.02718.03723.35319.87419.88720.29519.73819.60719.50617.32917.00619.52320.33845.5822.0852.0212.0161.8742.0122.1652.828-0.001-0.002-0.028-0.048
Operating Cash Flow 253.26251.933241.183220.66241.004225.28233.182187.794213.413197.363205.208117.54680.81830.928198.785166.616219.605142.658221.423136.215212.596119.866185.756109.607196.864107.551184.689108.925195.103106.484103.85852.863104.75661.31100.75952.25294.78646.49479.72767.4246.77610.191-3.7595.783
Investing Activities:
Investments In Property Plant And Equipment -12.666-17.116-9.752-7.529-6.541-7.533-2.421-12.931-0.793-1.428-1.044-1.975-0.488-0.495-0.646-0.761-0.709-1.017-0.53-1.33-0.976-1.176-0.822-0.991-0.47-1.305-0.49-1.425-0.55-0.839-0.627-3.295-3.331-5.885-6.591-16.134-69.663-32.099-24.873-13.261-0.869-1.324-0.974-1.651
Acquisitions Net 000000028.186000000000000000000000000000000000000
Purchases Of Investments -100.20200129.04700-129.0470000000000000000000000000000000000000
Sales Maturities Of Investments 00000000000000000000000000000000000000000000
Other Investing Activites -76.547-6.685-412.324-129.047-51.342-150.1260.051-588.25232.784-487.3560-5.8980.0080.0070-0.010.020.0080.182-1,530.31-4.63111.25718.20918.63319.131-56.39322.58317.676-307.195-2,927.431.773.230.5950.6280.5071.0211.1538.362-185.0860.0120.060.0020.0790.287
Investing Cash Flow -189.415-23.801-422.076-7.529-57.883-157.659-131.417-572.99731.991-488.784-1.044-7.873-0.48-0.488-0.646-0.771-0.689-1.009-0.348-1,531.65-5.60710.08117.38717.64218.661-57.69822.09316.251-307.745-2,928.261.143-0.065-2.736-5.257-6.084-15.113-68.51-23.737-209.959-13.249-0.809-1.322-0.895-1.364
Financing Activities:
Debt Repayment -15.037-60.037-500.037-0.036-394.036-454.054-422.927-363.29-0.034-0.034-0.033-0.034-225.012-1,174.63-661.206-60.031-1,200.86-94.031-123.03-84.03-156.486-878.572-45.029-10.029-75.028-155.028-95.027-50.028-20.025-265.026-42.025-0.025-25.025-10.024-33.024-0.02400-3200000
Common Stock Issued 210.78714.35564.3290.0370-0.0370409.262182.84800320.696-0.05-0.0830.310000000000.03400-0.12145.733000000000000000
Common Stock Repurchased 10150-0.037000795.00800-0.0950207.648694.1351,174.600000000000060.8860000000000000000
Dividends Paid -192.307-189.313-254.778-183.987-181.751-174.724-230.396-165.739-159.603-157.063-151.496-27.645-26.212-25.869-150.796-150.506-146.208-146.212-146.202-145.833-135.065-134.82-134.717-134.16-134.139-131.77-129.301-124.713-124.517-113.452-65.67-63.262-62.948-62.871-62.651-105.426-59.454-59.184-270.0400000
Other Financing Activities -5.589-5.509639.118150.949445.406411.46-17.017-7.148-0.08170.323-9.756-0.002-4.868-9.486-28.32545.9591,128.9792.99952.708488.3021,102.86982.497-7.0312.367.732243.0944.351-0.003213.0713,162.4422.389.624-2.3662.53410.39472.9522.83329.828195.329212.496-5.817-7.6577.28-4.768
Financing Cash Flow 7.854-225.504-51.368-33.074-130.381-217.355-670.34668.09323.13-86.774-161.38293.015-48.494-515.935334.583-164.578-218.099-147.244-216.524258.439811.313-30.895-186.777-141.829-201.401-43.704-219.977-113.979114.2622,783.96-85.315-53.663-90.339-70.361-85.281-32.5-36.621-29.356-106.711212.496-5.817-7.6577.28-4.768
Other Information:
Effect Of Forex Changes On Cash 000000018.4817.0965.049-8.495-22.13100000000000000000000000000000000
Net Change In Cash 71.6992.628-232.261180.05752.74-149.734-568.575301.371275.63-373.14634.289380.55731.844-485.495532.7221.2670.817-5.5954.551-1,136.991,018.399.05216.366-14.5814.1246.149-13.19511.1971.62-37.82219.686-0.86511.681-14.3089.3944.639-10.345-6.599-236.943266.6710.151.2122.626-0.349
Cash At End Of Period 81.1499.456.822239.08359.0266.286156.02724.595423.224147.594520.74486.451105.89474.05559.54526.82325.55624.73930.33425.7831,162.77144.47245.4229.05443.63429.5123.36136.55625.35923.73961.56141.87542.7431.05945.36735.97331.33441.67948.278285.22118.5518.417.18814.562