Global Self Storage, Inc.

NASDAQ:SELF

5.1 (USD) • At close January 23, 2025
Overview | Financials

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

2023-11-132023-08-112023-05-092023-03-282022-11-102022-08-102022-05-162022-03-312021-11-152021-08-162021-05-132021-03-312020-11-162020-08-142020-05-152020-03-302019-11-142019-08-142019-05-152019-04-012018-11-142018-08-142018-05-152018-04-022017-11-132017-08-142017-05-152017-03-312016-11-142016-08-152016-05-162015-09-302015-03-31
Operating Activities:
Net Income 0.2710.5780.9930.440.930.4040.2831.380.6290.8610.4110.3160.337-0.022-0.3560.0170.2490.1370.1880.0750.0890.3950.059-0.021-0.1290.018-0.0140.565-0.217-0.01200.4911.32
Depreciation & Amortization 0.4090.4090.4070.4050.4050.4040.4050.410.410.4070.4060.4620.5090.5030.5160.3830.3520.3530.3520.3510.350.3490.3490.3580.4390.4530.4490.3570.2370.160.200
Deferred Income Tax 0.4360.09700000-0.776-0.082-0.494-0.215-0.128-0.2460.0280.190.161-0.128-0.073-0.154-0.020.18-0.2170.0420000000000
Stock Based Compensation 0.0450.0440.0380.0430.0390.0390.0530.0540.0540.0540.0320.0260.0350.0350.029-0.0320.0290.0520.0540.0270.0270.0260.0010000000000
Change In Working Capital -0.0870.144-0.13-0.153-0.0050.1250.1430.026-0.4280.341-0.0080.054-0.502-0.1850.196-0.471-0.058-0.0280.1240.362-0.380.0610.1060.127-0.01500.162-0.090.02918.0853.205-0.0311.38
Accounts Receivables -0.029-0.0140.007-0.006-0.019-0.0240.001-0.0140.042-0.070.028-0.0370.0170.0230.055-0.0620.004-0.015-0.0240.029-0.008-0.0070.022-0.0030.02-0.0270.0640.066-0.042-0.009000
Inventory 000000-0.099-0.13800-0.0540.46900-0.2250.29800-0.168-0.15500-0.126-0.082000-0.06100000
Accounts Payables 00-0.0810.049000.0990.138000.054-0.469000.225-0.298000.1680.155000.1260.231000-0.12700.127000
Other Working Capital -0.0580.1580.075-0.1960.0130.150.1420.041-0.4690.411-0.0360.091-0.519-0.2080.141-0.409-0.062-0.0130.1480.333-0.3710.0680.084-0.019-0.0350.0270.0980.0330.0717.9673.205-0.0311.38
Other Non Cash Items 0.0250.035-0.3030.2510.0340.3280.2230.0150.0560.050.050.050.050.050.050.050.050.050.050.0170.0110.0110.0110.0110.0110.0110.011-0.5920.011-17.723-3.3850.022-2.22
Operating Cash Flow 1.0991.3071.0040.9861.4031.3011.1071.1090.6391.2190.6760.780.1840.4080.6250.1080.4950.4910.6130.8120.2770.6250.5680.4750.3050.4810.6080.240.0580.510.020.4820.48
Investing Activities:
Investments In Property Plant And Equipment -0.043-0.045-0.11-0.031-0.067000000000000000.10-0.047-0.0520.313-0.117-0.075-0.122-6.138-14.272-0.024-0.2400
Acquisitions Net 000000000000000000000000000000000
Purchases Of Investments 000000000000000000000000000000000
Sales Maturities Of Investments 0000000000000000000000000002.29500000
Other Investing Activites 000000.015-0.029-0.01-0.072-0.129-0.042-0.01-0.453-0.344-0.8-7.305-0.212-0.237-0.03-0.153-0.01200-0.65300000-1.0063.5300
Investing Cash Flow -0.043-0.045-0.11-0.031-0.0670.015-0.029-0.01-0.072-0.129-0.042-0.01-0.453-0.344-0.8-7.305-0.212-0.237-0.03-0.053-0.012-0.047-0.052-0.34-0.117-0.075-0.122-3.844-14.272-1.033.2900
Financing Activities:
Debt Repayment -0.131-0.138-0.137-0.136-0.134-0.133-0.131-0.13-0.129-0.127-0.126-0.125-0.123-0.122-0.121-0.12-0.118-0.117-0.116-0.1150000000000000
Common Stock Issued 0000.0260.7980.9860.1980.03100000006.28100000000000000000
Common Stock Repurchased 000-0.263000.1315.9330000000-6.28100000000000000000
Dividends Paid -0.806-0.806-0.804-0.804-0.803-0.708-0.699-0.695-0.695-0.611-0.607-0.607-0.607-0.607-0.605-0.605-0.501-0.501-0.499-0.499-0.498-0.5-0.495-0.495-0.495-0.495-0.495-0.482-0.482-0.480-0.482-0.48
Other Financing Activities 0000.26300.307-0.131-5.933-5.3766.185000.230010.8150.3800-0.478-0.07600000000.08619.26000
Financing Cash Flow -0.937-0.945-0.941-0.913-0.140.453-0.632-0.795-6.25.446-0.733-0.732-0.501-0.729-0.72610.09-0.24-0.619-0.615-1.092-0.574-0.5-0.495-0.495-0.495-0.495-0.495-0.482-0.39618.783.339-0.482-0.48
Other Information:
Effect Of Forex Changes On Cash 1.1680.5830000000000000000000000000000.01000
Net Change In Cash 0.120.317-0.0470.0411.1961.7690.4450.305-5.6336.536-0.0990.038-0.77-0.665-0.9012.8940.044-0.365-0.031-0.333-0.3090.0780.02-0.359-0.307-0.089-0.01-4.086-14.6118.276.64900
Cash At End Of Period 6.9056.7866.4686.5156.4745.2773.5093.0642.7598.3921.8561.9551.9182.6883.3524.2541.361.3161.6811.7122.0452.3542.2772.1472.5072.8132.9022.9126.99721.613.310.033.99