Sabra Health Care REIT, Inc.

NASDAQ:SBRA

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

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

2023-11-062023-08-072023-05-032023-02-212022-11-072022-08-032022-05-042022-02-222021-11-032021-08-042021-05-052021-02-222020-11-052020-08-052020-05-062020-02-242019-10-302019-08-072019-05-082019-02-252018-11-052018-08-082018-05-092018-02-212017-11-012017-08-022017-05-082017-02-222016-11-022016-08-012016-05-032016-02-222015-11-092015-08-042015-05-062015-02-192014-11-042014-08-042014-05-052014-02-282013-11-042013-08-052013-05-062013-03-142012-10-302012-08-022012-05-082012-03-012011-11-032011-08-032011-05-052011-03-03
Operating Activities:
Net Income -15.10121.188-9.487-84.948-50.06416.80540.602-24.35310.223-132.57333.44737.11736.4629.62335.21739.74123.28683.683-77.692-19.38335.228200.78962.481103.96915.06920.53618.79123.1725.31237.466-15.74325.08418.03416.82619.43922.23617.19814.796-7.32112.99911.821-0.6629.5573.9595.2265.9234.4057.1642.3442.0871.2480.007
Depreciation & Amortization 43.24244.14252.82749.92747.42745.17245.25645.07945.04644.49144.37544.15844.20944.20244.16842.9341.49147.87549.25351.58654.02946.14447.32150.04326.5717.2219.13717.19917.10216.40517.76618.12616.30614.49714.1514.4659.7629.7559.358.5558.2588.2228.2467.9077.4967.5577.3037.3646.856.2916.0863.1
Deferred Income Tax 48.1119.660000043.094.745173.4866.5157.0041.95715.378.59111.85518.56917.053110.28148.96813.505-136.7391.771-36.435.12-3.4971.775.176-0.9110.27537.4924.2836.3271.2241.169-3.2910.1582.9751.404-0.1350.2160.306-0.19914.732-4.196-5.046-3.843-6.677-5.17000.2
Stock Based Compensation 2.2351.0042.2292.0862.1170.7942.4560.9272.4282.2712.2882.2560.9162.3752.360.993.2592.7952.7751.3732.4362.7041.1350.034.011.7312.5881.3592.4851.8341.8180.7340.7171.7542.9183.5141.5452.2792.5132.611.2761.4592.4742.531.9071.6392.2031.3510.7711.3361.1420.335
Change In Working Capital 6.649-5.675-8.621-16.22328.499-5.544-26.42515.04321.797-0.273-13.8653.3773.946.767-16.8244.512-0.113-0.719-27.1890.704-25.0787.285-1.409-25.954-47.687-9.921-6.751.535-0.57917.841-12.4840.744-8.695-3.035-8.793-16.7217.1791.819-1.268-7.8037.667-6.5554.937-6.9949.314-7.6612.96-4.7986.7-4.6123.4912.6
Accounts Receivables -4.383-3.495-2.782-0.8120.443-0.617-5.457-4.83915.4230.512-2.873-2.875-2.1465.518-6.895-2.387-1.9634.635-9.924-2.722-1.901-0.472-1.658-10.9820000000000000000000000000000
Inventory 00000020.968000000000000000000000000000000000000000000000
Accounts Payables 00-5.839-13.2500-20.96819.8826.374-0.785-10.9926.2526.0861.249-9.9296.8991.85-5.354-17.2653.426-23.1777.7570.249-13.687-53.8974.932-4.6055.2451.8939.754-5.439.387-3.4246.002-4.988-9.97219.2951.2262.086-4.9838.536-4.6366.5131.321004.0535.695004.1063.276
Other Working Capital 11.032-2.188.621-2.16128.056-4.927-20.9680000000000000000-1.2856.21-14.853-2.145-3.71-2.4728.087-7.054-8.643-5.271-9.037-3.805-6.748-2.1160.593-3.354-2.82-0.869-1.919-1.576-8.3159.314-7.661-1.093-10.49300-0.615-0.676
Other Non Cash Items -1.920.0131.341116.74580.48419.3421.22518.14521.954-3.667-4.229-4.5159.368-4.5511.307-4.534-1.389-12.768-3.469-7.729-8.649-10.277-9.652-7.943-7.182-3.636-4.098-5.516-4.087-4.053-4.123-6.985-4.881-4.66-4.182-6.106-3.524-3.91-3.471-3.338-3.013-1.387-3.412-13.7844.0685.2113.4365.7925.0860.3680.4910.358
Operating Cash Flow 83.21670.32968.28967.587108.46376.56963.11497.931106.19383.73568.53189.39796.8593.78674.81995.49485.103137.91953.95975.51971.471109.906101.64783.715-4.122.43331.43842.92339.32269.76824.72641.98627.80826.60624.70114.09842.31827.7141.20712.88826.2251.38321.6038.3523.8157.62316.46410.19616.5815.4712.4586.6
Investing Activities:
Investments In Property Plant And Equipment 000000039.251-0.27700-23.601000000070.42900-176.79750.446-372.75900000000000000000098.05-42.5-25.7-29.85-16.8-113.7000
Acquisitions Net 4.828-1.433-4.797-14.891-0.01200-4.299-0.589-3.1820.30116.66-19.7240.0053.0590.2-0.200-6.4916.4910-354.4610.00175.6942.741-0.051-0.503-0.673-5.188-0.984-3.523-4.15-4.82-0.311-4.186-4.842-6.453-0.005-0.414-1.48-0.498-4.646000000000
Purchases Of Investments -0.339-4.292-6.384-2.208-0.823-0.916-4.074-4.908-0.75900-0.010000000-0.028-4.34-0.017-0.928-0.036-2.637-0.025-0.051-0.503-0.673-5.188-0.984-3.52300011.3-4.842-6.453-0.0056.624-1.48-0.498-4.6461.039-0.309-0.474-0.2560.08600-0.0860
Sales Maturities Of Investments 001.4331.2032.840.6040.7290.6090.170.2120.3010.020.3350.0053.0591.4071.2090.3762.087-0.37500.1410.2340.5160.473000000000000000000000000000
Other Investing Activites 55.438-2.468122.923-15.264-58.994-90.545-33.897-289.4831.297-38.882-35.9580.998-12.161-29.154-75.942-37.308-20.346311.1594.26-5.776-21.505219.35615.57312.1232.448-8.096-0.859-30.184-81.121264.4323.932-79.499-77.871-309.603-5.926-40.287-619.612-22.958-128.129-266.3470.169-18.274-6.019-196.539-0.935-11.073-10.1035.2620-74.019-5.32967.1
Investing Cash Flow 59.927-8.193113.175-31.16-56.989-90.857-37.242-258.83-0.158-41.852-35.356-5.933-31.55-29.144-69.824-35.701-19.337311.5356.34757.759-19.354219.48-516.37963.05-296.781-5.38-0.961-31.19-82.467254.0561.964-86.545-82.021-314.423-6.237-33.173-629.296-35.864-128.139-260.137-2.791-19.27-15.311-97.45-43.744-37.247-40.209-11.452-113.7-74.019-5.41567.1
Financing Activities:
Debt Repayment -0.496-117.949-118.932-0.486-24.233-0.48-56.067-310.476-345.739-17.737-93.709-0.676-0.727-0.792-0.877-545.87-75.863-845.854-4.849-132.136-23.074-28.933-31.061-135.949-138.045-7.972-10.021-24.988-11.696-199.038-58.022-0.948-0.844-41.357-42.697-219.809-5.686-222.408-292.075-8.913-0.888-121.954-93.489-25.525-56.737-21.673-0.791-0.778-0.75-0.739-0.760
Common Stock Issued 00-1.847-4.8100-3.748136.525-0.5185.04487.65480.092001.93549.32800-2.323-0.499-35.49935-0.499366.800-3.224-1.28900-1.274139.40300-7.587510.14700-0.648138.249-0.088199.362138.9830.05300-0.37-0.189162.884000
Common Stock Repurchased 00-1.847-0.416-0.591-0.055-3.7480791.52093.709-76.9610010139.71000143.750.499-143.75-0.4993.22400-3.2241.2890-0.015-1.2747.58700-7.5870.64800-0.6482.95-0.099-0.317-2.5340.3700-0.3700000
Dividends Paid -69.368-69.36-69.351-69.296-69.296-69.29-69.275-68.608-66.261-64.829-63.221-62.552-61.679-61.678-92.39-88.213-85.487-81.475-80.26-80.242-80.242-81.947-82.789-95.276-26.122-30.698-29.993-29.981-29.995-29.987-29.301-29.278-29.276-25.671-25.672-23.835-20.529-20.528-16.597-15.474-15.268-14.693-12.716-12.227-12.239-12.25-12.213-11.762-11.827000
Other Financing Activities -66.529118.836-4.09461.4892.5125.77620.319-32.069-7.437-0.007-93.709-0.0112.004-28.077-0.715-5.40277.861502.559-0.042-143.626-0.03557.8250.456202.215482.05821.9293.11549.972-0.002-0.04664.749-96.163109.81356.9017.457-211.762623.587261.885436.87838.104-3.22-5.306-0.072113.053116.27263.982-2.086-0.182-0.225-7.468-0.3060.5
Financing Cash Flow -136.393-68.473-196.071-13.519-91.6255.951-112.519-274.628371.5732.471-69.276-60.108-60.402-90.5478.948-50.447-83.489-424.77-87.474-212.753-138.351-161.805-114.392341.014317.891-16.741-43.347-4.997-41.693-229.086-25.12220.60179.69289.873-76.08655.389597.37218.949126.91154.916-19.56357.09230.17275.72447.29630.059-15.83-12.911150.082-8.207-1.0660.5
Other Information:
Effect Of Forex Changes On Cash -0.2720.033-0.641-0.124-0.2270.5790.04-0.005-0.1250.0940.0650.3180.1460.284-0.660.135-0.0890.1510.149-0.3830.096-0.097-0.155-0.020.6280.1090.021-0.7470.644-0.0030.131-0.081-0.046-0.185000000000000000000
Net Change In Cash 6.478-6.304-15.24822.784-40.37342.242-86.607-435.532477.48344.448-36.03623.6745.044-25.62113.2839.481-17.81224.835-27.019-79.858-86.138167.484-529.279487.75917.6380.421-12.8495.989-84.19494.7351.699-24.03925.4311.871-57.62236.31410.39410.799-0.022-92.3333.87139.20536.464-13.37627.3670.435-39.575-14.16752.963-76.7565.97774.2
Cash At End Of Period 38.85832.3838.68453.93231.14871.52129.279115.886551.41873.93529.48765.52341.84936.80562.42649.14339.66257.47432.63959.658139.516225.65458.17518.63230.87313.23512.81425.66319.674103.8689.1337.43431.4736.0424.17161.79325.47915.0854.2864.30896.64192.7753.56517.10130.4773.112.67542.2556.4173.45480.21139.2