Great Ajax Corp.

NYSE:AJX

3.02 (USD) • At close December 2, 2024
Overview | Financials

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

20242023202220212020201920182017201620152014
Operating Activities:
Net Income 1.156-46.957-15.01141.77533.60837.08931.33730.15428.87425.7923.735
Depreciation & Amortization 5.416000.0070.0290.4990.1550.080.020.0030.004
Deferred Income Tax 000-16.585-15.675-13.557.977.68.180.9350
Stock Based Compensation 16.9781.4841.931.3120.8793.6043.9893.2471.4681.410.611
Change In Working Capital 0-16.21316.347-10.5231.429-3.9560.495-6.397-3.228-12.938-1.645
Accounts Receivables 00.11513.464-5.1441.311-2.2312.071-5.087-7.037-4.1040
Inventory 00000000000
Accounts Payables 001.6522.6480.963000000
Other Working Capital 0-16.3281.231-8.027-0.845-1.725-1.576-1.312.452-3.775-1.645
Other Non Cash Items -23.2615.222-2.206-31.31-34.159-39.113-43.749-43.379-39.178-30.936-3.996
Operating Cash Flow 0.29-46.4641.135-15.324-13.889-15.4270.197-8.695-3.864-15.734-1.291
Investing Activities:
Investments In Property Plant And Equipment 0000000000-0.475
Acquisitions Net 00000000000
Purchases Of Investments -255.318-75.254-134.889-341.788-144.682-190.327-178.113-5.115-7.434-3.2340
Sales Maturities Of Investments 0170.997216.139245.41692.46182.02114.56933.33312.7532.7290
Other Investing Activites 552.59377.077141.81346.17376.386208.473-26.853-367.495-293.196-321.047-229.549
Investing Cash Flow 297.275172.82223.09-50.19924.165100.167-190.397-372.61-300.63-321.047-230.024
Financing Activities:
Debt Repayment 0-128.618-2.193106.457-79.43442.78-71.919358.336179.173185.90199.928
Common Stock Issued 028.1815.0660.4920.13134.5810.1994.03831.71251.408167.863
Common Stock Repurchased 00-4.653-0.016-0.436000000
Dividends Paid 0-20.586-29.947-28.774-17.499-26.322-22.943-20.602-16.526-11.577-0.742
Other Financing Activities 0-0.344-229.079-32.445129.934-127.015258.43556.647116.20983.72522.191
Financing Cash Flow 0-121.367-260.80657.07632.696-75.976164.608398.419310.568314.516289.24
Other Information:
Effect Of Forex Changes On Cash 00000000000
Net Change In Cash 04.989-36.581-19.80942.9729.193-25.59217.1146.074-22.26557.926
Cash At End Of Period 052.83447.84587.526107.33564.36355.1754.02236.90830.83457.926