Gladstone Commercial Corporation

NASDAQ:GOOD

17.16 (USD) • At close November 12, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operating Activities:
Net Income 4.9229.2729.73314.9859.54112.3245.9373.9583.596-5.9021.5273.7615.7144.9284.6034.9136.144.3733.6021.624-0.241
Depreciation & Amortization 57.88361.69360.35455.47652.03947.6242.79537.51735.28828.86422.82716.83114.14913.26413.17213.98910.5288.3494.3020.9730.006
Deferred Income Tax 00000000000000000-0.394000
Stock Based Compensation 000000000000000000.394000
Change In Working Capital -3.211-1.3662.4251.160.402-1.998-4.981-2.348-6.144-2.434-4.8333.644-0.754-0.551-1.717-0.938-1.663-0.504-0.3450.353-0.106
Accounts Receivables -3.161-1.33-2.9-1.899-1.477-2.548-3.077-3.423-4.464-3.23-3.7-2.1440000-1.676-1.333-0.991-0.325-0.191
Inventory 3.1611.332.91.8991.47700000000000-316.302-283.615-0.667-0.022-104.852
Accounts Payables -0.0111.62.834-1.681.9210.749-0.5240.932-0.4520.204-2.1712.746-0.5040.3480.7351.0020.8021.0940.6460.6770.234
Other Working Capital -3.2-2.966-0.4092.84-1.519-2.747-4.457-3.28-5.692-2.638-2.6620.898-0.25-0.899-2.452-1.939315.513283.3490.6670.022104.703
Other Non Cash Items 0.773-0.422-2.386-6.127-1.788-2.3473.0912.034-1.2537.6690.364-0.8310.5530.4730.955-0.3891.09-0.194000.149
Operating Cash Flow 60.36769.17770.12665.49460.19455.59946.84241.16131.48728.19719.88523.40519.66218.11317.01317.57516.09612.0247.5582.95-0.192
Investing Activities:
Investments In Property Plant And Equipment -6.674-6.822-5.348-6.36-7.57-32.256-97.545-64.014-76.004-116.350-87.796-44.531-2.426-1.581-49.36-105.6-48.339-117.532-58.876-5.8
Acquisitions Net -1.72381.32294.722-0.3-5.952-1.59-3.15-2-1.7-3.05-2.375-0.550-0.007-0.25-1.650-0.9-2.686-0.050
Purchases Of Investments -33.687-120.429-102.275-131.182-134.385-44.729-126.938-69.57-81.483000-3.376-1.751-1.802-1.62302.103000
Sales Maturities Of Investments 42.08445.92912.90137.1448.98214.68737.43417.25613.01200001.6181.6650.8742.111.21.98600
Other Investing Activites 1.138-82.513-94.7770.446.888-0.5941.4637.343.222-11.041-134.681-3.6381.910.6021.1330.987-4.138-1.727-10.962-11.1080
Investing Cash Flow 1.138-82.513-94.777-100.258-132.037-34.44-99.232-58.674-74.482-130.441-137.056-91.984-46.0078.036-0.835-50.773-107.627-47.664-129.194-70.033-5.8
Financing Activities:
Debt Repayment 000000000000000000000
Common Stock Issued 10.22549.676140.09862.621131.09618.2784.07118.36249.09973.93188.1214.19139.7074.127000.43165.0890.0750.375105.068
Common Stock Repurchased -1.55-0.36-87.7390-56.6-0.034-0.024-38.6780150.535155.395179.75579.06836.29100155.122139.456146.82200
Dividends Paid -60.62-71.092-67.592-63.757-58.887-54.379-50.408-42.494-36.871-30.363-23.94-20.613-19.61-16.98-16.939-16.941-16.428-13.47-8.284-2.8310
Other Financing Activities 131.766318.7251.18661.23770.77517.78182.019203.72847.634-4.112-6.998-4.752-3.468-1.81162.129126.732-40.247-5.606-2.021-0.3830
Financing Cash Flow -61.36216.1521.75339.35274.249-21.15754.41517.01939.548102.297120.17170.79622.612-22.185-17.58536.34556.88269.90594.621-2.838105.068
Other Information:
Effect Of Forex Changes On Cash 000000000000000000000
Net Change In Cash 0.1432.814-2.8984.5882.4060.0022.025-0.494-3.4470.05332.217-3.7333.965-1.4073.147-34.64934.266-27.014-69.92299.076
Cash At End Of Period 16.13515.99213.17816.07611.4889.0826.6834.6585.1528.5998.5465.5463.3297.0623.0974.5041.35636.0061.7429.15499.076