Invitation Homes Inc.

NYSE:INVH

34.77 (USD) • At close May 9, 2025
Overview | Financials

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

2023-10-262023-07-272023-05-022023-02-222022-10-272022-07-282022-04-282022-02-222021-10-282021-07-292021-04-292021-02-192020-10-292020-08-042020-05-072020-02-192019-10-302019-07-312019-05-072019-02-282018-11-052018-08-102018-05-152018-03-292017-11-092017-08-102017-05-122017-03-302016-09-302016-06-302016-03-312015-12-31
Operating Activities:
Net Income 132.221138.282120.584100.86279.429111.50593.00374.87169.49560.68857.72271.1332.86543.17850.27652.55433.98339.40521.16925.7141.041-14.188-17.58-46.454-22.515.529-42.391-26.649-21.949-19.666-9.975-38.542
Depreciation & Amortization 170.696165.759164.673163.318160.428158.572155.796151.66150.694145.28144.501142.09138.147137.266135.027133.764133.315133.031133.609130.22139.371146.45144.5107.0267.46667.51567.57769.4266.4866.07965.70263.791
Deferred Income Tax -49.384-42.11700000-4.496-14.106-7.15-7.544-37.749-13.114-8.109-11.638-28.956-17.012-22.277-11.968-22.347-7.271.336-2.653-3.129-3.142-10.017-9.5324.922-2.233-0.501-9.1922.3
Stock Based Compensation 8.9296.0666.4986.3977.937.9896.6466.0986.0529.2065.8144.7976.0862.1064.1014.3114.6253.6155.6075.9176.0688.0169.49816.73912.0048.21644.244-2.8134.7114.1064.2065.657
Change In Working Capital 151.557.54443.006-165.588117.57354.634-17.006-110.4990.75313.16531.333-122.66155.40833.215-12.016-97.04247.30413.18529.254-108.13744.79528.2-11.625-87.42440.90217.533-3.221-53.88929.4869.4868.646-53.627
Accounts Receivables 00000000000000000000000000000000
Inventory 00000000000000000000000000000000
Accounts Payables 0045.087-5.98900-15.29132.8920034.297-27.0400-4.5345.2070025.002-26.6430010.92-10.2940016.2076.9360000
Other Working Capital 151.550-45.087-159.59900-1.715-143.38200-2.964-95.62155.40833.215-7.482-102.24947.30413.1854.252-81.49444.79528.2-22.545-77.1340.90217.533-19.428-60.82529.4869.4868.646-53.627
Other Non Cash Items 6.7915.416-16.9714.652-13.471-15.677-3.4057.7039.3258.3248.76213.43310.34510.55811.9716.65113.29115.215.51216.79318.74110.4417.945.775.3217.58914.18411.42615.08919.2917.94421.806
Operating Cash Flow 420.803280.95317.791119.641351.889317.023235.034125.346312.213229.513240.58871.04229.737218.214177.72171.282215.506182.159193.18348.16202.746180.255130.08-7.478100.04196.36570.8612.41791.58478.79477.3311.385
Investing Activities:
Investments In Property Plant And Equipment -59.594-52.792-50.012-56.108-60.691-50.421-40.85-45.508-45.264-37.205-34.855-44.582-43.677-43.805-40.22-45.821-48.262-40.669-29.492-37.367-45.6-31.486-31.262-25.723-14.192-11.557-11.07-10.666-15.309-13.145-10.673-9.987
Acquisitions Net -0.19252.792-0.25-1.14-45-86.888-34.7-40-16-4-5-221.5660000000211.0910-8.878-14.20142.74900000000
Purchases Of Investments -0.328-1.151-31.1313.939003.0329.42-424.629-136.8313.14-29.7230000000-48.0180-117.887-45.832-43.254000-16.2920000
Sales Maturities Of Investments 0.2920.1770.15828.1420.23441.9685.96449.40751.69518.090.72863.9731.3461.2485.5399.9264.34727.2468.44174.36790.45559.0990.11448.37600000000
Other Investing Activites -617.789-21.1711.394-33.157-69.948-196.117-222.672-404.567-11.237-0.373-86.5691.117-62.5433.795-46.061164.692-21.847-2.41376.0783.9543.48511.776-10.81742.563-71.736-25.478122.60470.706-77.027-113.154-69.477-154.539
Investing Cash Flow -677.611-22.144-69.841-58.324-175.405-291.458-289.226-431.248-445.435-160.319-122.556-230.781-104.871-8.762-80.742128.797-65.762-15.83655.027204.02748.34-87.376-101.99864.711-85.928-37.035111.53443.748-92.336-126.299-80.15-164.526
Financing Activities:
Debt Repayment -155.111-5.71-4.609-562.537-4.487-970.39-4.835-802.547-740.963-610.333-13.022-2,776.83-26.114-294.391-157.387-469.006-169.032-643.571-200.812-1,238.3-327.708-2,440.32-893.269-964.386-3.61-1,052.54-3,352.06-117.611-25.218-96.661-141.633-13.901
Common Stock Issued 000-98.367014.40883.959240.345693.44500182.9250447.87755.92137.5260000000-1,692.06001,692.06-138.002010128.002201.765
Common Stock Repurchased 0000000998.462739.574002,5000032027000000001.15300-1.153138.0020004.202
Dividends Paid -159.289-159.265-160.287-134.656-134.569-134.983-134.825-101.702-98.283-96.597-97.23-84.5-84.195-81.682-81.774-69.917-70.465-68.334-67.965-57.518-57.563-57.559-57.432-25.091-25.090-1,500-0.136000-51.134
Other Financing Activities 931.566-2.594-8.685672.274-1.128861.847-25.816-30.948-7.545595.059-8.727-58.989-1.262-1.438-4.189-8.8596.711513.61911.9941,019.98107.9032,424.17896.8052,668.59-9.906959.6952,973.09-4.4390.556164.2411.11220.24
Financing Cash Flow 617.166-167.569-173.581-123.286-140.184-229.118-81.517303.61586.228-111.871-118.979-237.399-111.57170.366132.571-240.247-142.786-198.286-256.783-275.836-277.368-73.705-53.896-11.796-38.606-92.846-188.064-122.186-24.66277.579-2.519161.172
Other Information:
Effect Of Forex Changes On Cash 00000000000000000000000000000000
Net Change In Cash 360.35891.23774.369-61.96936.3-203.553-135.709-2.292453.006-42.677-0.947-397.1413.295279.818229.55-40.1686.958-31.963-8.573-23.649-26.28219.174-25.81445.437-24.493-33.516-5.669-76.021-25.41430.074-5.338-1.969
Cash At End Of Period 979.891619.533528.296453.927515.896479.596683.149818.858821.15368.144410.821411.768808.908795.613515.795286.245326.413319.455351.418359.991383.64409.922390.748179.878134.441158.934192.45198.119274.14299.554269.48274.818