Broad Street Realty, Inc.

OTC:BRST

0.55 (USD) • At close November 15, 2023
Overview | Financials

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

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819951994199319921991
Operating Activities:
Net Income -21.464-16.273-10.744-9.524-5.07-0.603-0.716-0.873-1.104-11.0881.143-8.92-1.146-0.978-0.048-0.563-0.611-0.049-0.071-0.078-0.097-0.03-0.104-0.076-0.179-0.253-0.7-0.4-0.5-7.3-5.4
Depreciation & Amortization 18.77818.55913.34310.4420.1820.0030.0010000.0021.0780.9040.7280.2640000000000000000
Deferred Income Tax -3.968-5.857-3.533-3.033-0.7040000000.570.977-0.291-1.360000000000000000
Stock Based Compensation 1.4771.9370.64200000.1650.5566.6330.0050.0060.0280.0910.0880.029000000000000000
Change In Working Capital -3.082-1.19-2.6440.416-2.9640.076-0.003-0.078-0.0550.0680.1020.430.263-0.0420.152-0.0570.0590.0050.0010.004-0.0060.5440.046-0.012000.20.2-0.2-5.25.2
Accounts Receivables -0.196-0.110.822-0.662-0.715-0.35400000.0220.0650.24-0.1540.00500.004-0.0140.0030.008-0.0050.2720.0120.003000.10.200.2-0.1
Inventory 000.0220.713-0.14900000-0.1012.210.0170.2310.0970000000000000000
Accounts Payables -2.515-0.786-3.5450.456-1.960.026-0.030.042-0.0460.0570.1010.225-0.0520.0280.15100.0250.017-0.002-0.0050.002-0.0010.011-0.009000-0.1-0.1-2.82.7
Other Working Capital -0.371-0.2940.057-0.091-0.140.050.027-0.12-0.0090.0110.079-2.070.058-0.147-0.10100.0290.0020.0010.002-0.0030.2720.023-0.006000.10.1-0.1-2.62.6
Other Non Cash Items 4.481-1.277-2.65-1.8282.731-1.663-0.1180.1650.5564.088-2.055.231-0.8290.0190.3400.401-0.002-0.001-0.0020.003-0.272-0.023-0.126-0.010.083-0.2008.9-1.5
Operating Cash Flow -3.778-4.101-5.586-2.418-5.326-0.523-0.836-0.786-0.604-0.3-0.798-1.6050.198-0.473-0.564-0.591-0.151-0.046-0.07-0.076-0.10.242-0.081-0.214-0.189-0.17-0.7-0.2-0.7-3.6-1.7
Investing Activities:
Investments In Property Plant And Equipment -7.97-5.957-3.29-4.323-0.9780-0.0230000-1.024-0.602-0.89-0.4490000000000000000
Acquisitions Net 7.970.197-0.1960.12-0.946-0.246000000000-0.34000000000000000
Purchases Of Investments -7.97-135.688-20.039-6.367-69.3400000000000000000000-1.005-0.9-2.1000
Sales Maturities Of Investments 44.754-0.1970.1966.2471.8920000000000000000000001.90.2000
Other Investing Activites 2.0226.1543.0944.323-0.946-0.246-0.050000-1.0240.523-0.89-4.922000000001.0730.1061.13-0.3-0.10.54.73.2
Investing Cash Flow 38.806-135.491-20.235-6.247-70.318-0.246-0.0730000-1.024-0.078-0.89-5.371-0.3400000001.0730.1060.1250.7-20.54.73.2
Financing Activities:
Debt Repayment -35.404-49.995-14.221-7.231-4.668-0.045-0.363-0.459000-4.284-1.448-0.671-0.3640000000000000000
Common Stock Issued 00.020-0.001001.8100.5290.650.3080.51.1780.99300.27510000000.5830000000
Common Stock Repurchased -4.297-0.1-0.0330000.14800006.047-1.178-0.993-0.0630000000000000000
Dividends Paid 0-0.0200-0.306-0.665-0.148-0.104-0.104-0.401-0.101-0.167-0.202-0.100000000000000000
Other Financing Activities -2.858195.69441.083-0.17892.0750.6380.1690.5620.1040.4260.6130.2251.7832.0944.849000000000000.50000
Financing Cash Flow -38.262145.59926.8627.05387.101-0.0451.6160.4590.5290.6750.8192.3210.1331.3234.4230.27510000000.583000.50000
Other Information:
Effect Of Forex Changes On Cash 0000000000000000000000000000000
Net Change In Cash -3.2346.0071.041-1.61211.457-0.5690.708-0.327-0.0750.3750.021-0.3080.252-0.039-1.512-0.6560.849-0.046-0.07-0.076-0.10.242-0.0811.442-0.083-0.0440.5-2.2-0.21.11.5
Cash At End Of Period 13.79717.03111.0249.98311.5950.140.70800.3270.4020.0270.0060.3140.0620.1011.6132.2691.421.4661.5371.6131.7131.4711.5530.1110.1940.80.22.42.61.5