US Stock MarketDetailed Quotes

ARR ARMOUR Residential REIT Inc

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  • 19.180
  • +0.210+1.11%
Close Feb 14 16:00 ET
  • 19.101
  • -0.079-0.41%
Post 20:01 ET
1.47BMarket Cap-37.61P/E (TTM)

ARMOUR Residential REIT Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
96.86%261.46M
49.88%90.44M
73.41%47.12M
403.58%27.08M
78.56%96.81M
7.04%132.82M
-43.82%60.34M
-69.95%27.17M
-189.70%-8.92M
164.77%54.22M
Net income from continuing operations
78.81%-14.39M
-146.61%-46.44M
136.77%65.88M
-212.54%-48.35M
146.29%14.52M
70.46%-67.92M
152.83%99.64M
-24.15%-179.17M
173.33%42.96M
52.80%-31.36M
Operating gains losses
201.31%311.04M
192.74%374.94M
-161.46%-284.45M
-35.69%93.72M
225.52%126.83M
-90.70%103.23M
-837.02%-404.3M
-12.74%462.84M
-49.84%145.73M
-130.36%-101.04M
Change in working capital
-141.95%-38.09M
-165.45%-238.19M
203.57%266.25M
89.97%-20.13M
-124.92%-46.02M
111.69%90.79M
220.93%363.94M
15.43%-257.07M
12.15%-200.76M
151.63%184.67M
-Change in receivables
68.21%-5.87M
-163.20%-4.84M
-13.64%-11.26M
78.95%9.31M
104.27%914K
-4.17%-18.47M
375.47%7.66M
-10.79%-9.91M
219.92%5.2M
-253.30%-21.42M
-Change in prepaid assets
-118.91%-159K
-65.34%-458K
11,580.95%2.41M
-139.02%-2.35M
104.91%240K
183.52%841K
-127.92%-277K
-261.54%-21K
650.50%6.03M
-433.15%-4.89M
-Change in payables and accrued expense
-74.92%2.35M
100.09%2K
-18.67%-6.55M
-183.20%-27.95M
37.15%36.85M
-62.93%9.36M
-214.06%-2.12M
-133.12%-5.52M
-442.47%-9.87M
599.66%26.87M
-Change in other working capital
-134.73%-34.4M
-164.93%-232.89M
216.57%281.65M
100.43%867K
-145.64%-84.02M
112.65%99.06M
229.23%358.68M
22.49%-241.62M
10.56%-202.12M
151.93%184.12M
Cash from discontinued operating activities
Operating cash flow
96.86%261.46M
49.88%90.44M
73.41%47.12M
403.58%27.08M
78.56%96.81M
7.04%132.82M
-43.82%60.34M
-69.95%27.17M
-189.70%-8.92M
164.77%54.22M
Investing cash flow
Cash flow from continuing investing activities
44.53%-1.69B
-145.53%-737.31M
-55.27%-3.26B
55.90%2.14B
104.55%178.78M
21.99%-3.04B
143.65%1.62B
-23.57%-2.1B
437.63%1.37B
-60.09%-3.93B
Net investment purchase and sale
192.41%180.76M
-100.00%-1K
--0
---581.51M
13,906.81%762.27M
-135.49%-195.61M
-36.89%301.66M
-184.50%-491.75M
--0
99.53%-5.52M
Net proceeds payment for loan
45.12%-1.7B
-146.44%-903.08M
-31.40%-3.01B
168.60%2.87B
82.92%-650.72M
31.86%-3.09B
109.64%1.94B
6.98%-2.29B
179.11%1.07B
-131.41%-3.81B
Net other investing changes
74.61%-26.27M
151.64%141.08M
-234.03%-227.42M
-106.50%-7.17M
161.07%67.23M
-113.05%-103.46M
-642.06%-273.2M
-6.55%169.67M
-59.08%110.15M
-129.08%-110.09M
Cash from discontinued investing activities
Investing cash flow
44.53%-1.69B
-145.53%-737.31M
-55.27%-3.26B
55.90%2.14B
104.55%178.78M
21.99%-3.04B
143.65%1.62B
-23.57%-2.1B
437.63%1.37B
-60.09%-3.93B
Financing cash flow
Cash flow from continuing financing activities
-56.95%1.31B
137.95%594.95M
60.84%3.23B
-59.06%-2.23B
-106.85%-274.93M
-13.76%3.05B
-63.03%-1.57B
19.06%2.01B
-562.74%-1.4B
60.14%4.01B
Change in federal funds and securities sold for repurchase
-57.31%1.21B
133.46%502.73M
67.82%3.14B
-54.10%-2.2B
-106.05%-235.29M
-11.95%2.83B
-38.75%-1.5B
20.09%1.87B
-664.29%-1.43B
56.16%3.89B
Net commonstock issuance
-39.95%264.32M
3,948.08%138.15M
-34.66%127.5M
-99.98%15K
-100.76%-1.34M
-5.92%440.18M
-102.14%-3.59M
16.67%195.13M
-16.74%71.74M
281.03%176.9M
Cash dividends paid
28.59%-162.93M
25.94%-45.92M
32.38%-40.46M
25.48%-38.25M
30.37%-38.3M
-47.78%-228.18M
-31.91%-62.01M
-49.06%-59.83M
-46.03%-51.33M
-71.32%-55M
Cash from discontinued financing activities
Financing cash flow
-56.95%1.31B
137.95%594.95M
60.84%3.23B
-59.06%-2.23B
-106.85%-274.93M
-13.76%3.05B
-63.03%-1.57B
19.06%2.01B
-562.74%-1.4B
60.14%4.01B
Net cash flow
Beginning cash position
119.20%258.86M
34.68%198.1M
-12.63%188.91M
0.07%259.52M
119.20%258.86M
-66.85%118.09M
-52.21%147.09M
-7.49%216.22M
-20.49%259.33M
-66.85%118.09M
Current changes in cash
-180.04%-112.68M
-146.45%-51.92M
113.30%9.2M
-63.82%-70.61M
-99.53%659K
159.11%140.77M
158.92%111.76M
-193.36%-69.13M
53.36%-43.1M
569.74%141.24M
End cash position
-43.53%146.18M
-43.53%146.18M
34.68%198.1M
-12.63%188.91M
0.07%259.52M
119.20%258.86M
119.20%258.86M
-52.21%147.09M
-7.49%216.22M
-20.49%259.33M
Free cash flow
96.86%261.46M
49.88%90.44M
73.41%47.12M
403.58%27.08M
78.56%96.81M
7.04%132.82M
-43.82%60.34M
-69.95%27.17M
-189.70%-8.92M
164.77%54.22M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
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(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 96.86%261.46M49.88%90.44M73.41%47.12M403.58%27.08M78.56%96.81M7.04%132.82M-43.82%60.34M-69.95%27.17M-189.70%-8.92M164.77%54.22M
Net income from continuing operations 78.81%-14.39M-146.61%-46.44M136.77%65.88M-212.54%-48.35M146.29%14.52M70.46%-67.92M152.83%99.64M-24.15%-179.17M173.33%42.96M52.80%-31.36M
Operating gains losses 201.31%311.04M192.74%374.94M-161.46%-284.45M-35.69%93.72M225.52%126.83M-90.70%103.23M-837.02%-404.3M-12.74%462.84M-49.84%145.73M-130.36%-101.04M
Change in working capital -141.95%-38.09M-165.45%-238.19M203.57%266.25M89.97%-20.13M-124.92%-46.02M111.69%90.79M220.93%363.94M15.43%-257.07M12.15%-200.76M151.63%184.67M
-Change in receivables 68.21%-5.87M-163.20%-4.84M-13.64%-11.26M78.95%9.31M104.27%914K-4.17%-18.47M375.47%7.66M-10.79%-9.91M219.92%5.2M-253.30%-21.42M
-Change in prepaid assets -118.91%-159K-65.34%-458K11,580.95%2.41M-139.02%-2.35M104.91%240K183.52%841K-127.92%-277K-261.54%-21K650.50%6.03M-433.15%-4.89M
-Change in payables and accrued expense -74.92%2.35M100.09%2K-18.67%-6.55M-183.20%-27.95M37.15%36.85M-62.93%9.36M-214.06%-2.12M-133.12%-5.52M-442.47%-9.87M599.66%26.87M
-Change in other working capital -134.73%-34.4M-164.93%-232.89M216.57%281.65M100.43%867K-145.64%-84.02M112.65%99.06M229.23%358.68M22.49%-241.62M10.56%-202.12M151.93%184.12M
Cash from discontinued operating activities
Operating cash flow 96.86%261.46M49.88%90.44M73.41%47.12M403.58%27.08M78.56%96.81M7.04%132.82M-43.82%60.34M-69.95%27.17M-189.70%-8.92M164.77%54.22M
Investing cash flow
Cash flow from continuing investing activities 44.53%-1.69B-145.53%-737.31M-55.27%-3.26B55.90%2.14B104.55%178.78M21.99%-3.04B143.65%1.62B-23.57%-2.1B437.63%1.37B-60.09%-3.93B
Net investment purchase and sale 192.41%180.76M-100.00%-1K--0---581.51M13,906.81%762.27M-135.49%-195.61M-36.89%301.66M-184.50%-491.75M--099.53%-5.52M
Net proceeds payment for loan 45.12%-1.7B-146.44%-903.08M-31.40%-3.01B168.60%2.87B82.92%-650.72M31.86%-3.09B109.64%1.94B6.98%-2.29B179.11%1.07B-131.41%-3.81B
Net other investing changes 74.61%-26.27M151.64%141.08M-234.03%-227.42M-106.50%-7.17M161.07%67.23M-113.05%-103.46M-642.06%-273.2M-6.55%169.67M-59.08%110.15M-129.08%-110.09M
Cash from discontinued investing activities
Investing cash flow 44.53%-1.69B-145.53%-737.31M-55.27%-3.26B55.90%2.14B104.55%178.78M21.99%-3.04B143.65%1.62B-23.57%-2.1B437.63%1.37B-60.09%-3.93B
Financing cash flow
Cash flow from continuing financing activities -56.95%1.31B137.95%594.95M60.84%3.23B-59.06%-2.23B-106.85%-274.93M-13.76%3.05B-63.03%-1.57B19.06%2.01B-562.74%-1.4B60.14%4.01B
Change in federal funds and securities sold for repurchase -57.31%1.21B133.46%502.73M67.82%3.14B-54.10%-2.2B-106.05%-235.29M-11.95%2.83B-38.75%-1.5B20.09%1.87B-664.29%-1.43B56.16%3.89B
Net commonstock issuance -39.95%264.32M3,948.08%138.15M-34.66%127.5M-99.98%15K-100.76%-1.34M-5.92%440.18M-102.14%-3.59M16.67%195.13M-16.74%71.74M281.03%176.9M
Cash dividends paid 28.59%-162.93M25.94%-45.92M32.38%-40.46M25.48%-38.25M30.37%-38.3M-47.78%-228.18M-31.91%-62.01M-49.06%-59.83M-46.03%-51.33M-71.32%-55M
Cash from discontinued financing activities
Financing cash flow -56.95%1.31B137.95%594.95M60.84%3.23B-59.06%-2.23B-106.85%-274.93M-13.76%3.05B-63.03%-1.57B19.06%2.01B-562.74%-1.4B60.14%4.01B
Net cash flow
Beginning cash position 119.20%258.86M34.68%198.1M-12.63%188.91M0.07%259.52M119.20%258.86M-66.85%118.09M-52.21%147.09M-7.49%216.22M-20.49%259.33M-66.85%118.09M
Current changes in cash -180.04%-112.68M-146.45%-51.92M113.30%9.2M-63.82%-70.61M-99.53%659K159.11%140.77M158.92%111.76M-193.36%-69.13M53.36%-43.1M569.74%141.24M
End cash position -43.53%146.18M-43.53%146.18M34.68%198.1M-12.63%188.91M0.07%259.52M119.20%258.86M119.20%258.86M-52.21%147.09M-7.49%216.22M-20.49%259.33M
Free cash flow 96.86%261.46M49.88%90.44M73.41%47.12M403.58%27.08M78.56%96.81M7.04%132.82M-43.82%60.34M-69.95%27.17M-189.70%-8.92M164.77%54.22M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion------------------
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