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AX.UN Artis Real Estate Investment Trust

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  • 8.010
  • +0.190+2.43%
15min DelayMarket Closed Sep 13 16:00 ET
837.08MMarket Cap-3608P/E (TTM)

Artis Real Estate Investment Trust Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-53.57%8.36M
-22.20%20.74M
-43.19%79.96M
-56.48%7.25M
-30.20%28.06M
-59.75%18M
-31.94%26.66M
-29.45%140.74M
-40.76%16.66M
-34.42%40.2M
Net income from continuing operations
100.90%765K
68.71%-7.12M
-6,172.53%-332.07M
32.32%-86.84M
-45.60%-137.52M
-334.41%-84.95M
-109.60%-22.76M
-101.36%-5.29M
-312.40%-128.3M
-336.98%-94.45M
Operating gains losses
-79.96%19.16M
-42.36%22.55M
375.99%391.14M
-33.96%117.57M
14.58%138.86M
1,359.89%95.61M
117.49%39.12M
136.09%82.18M
1,041.71%178.03M
4,082.42%121.19M
Depreciation and amortization
1.05%290K
-3.82%302K
-2.23%1.23M
-0.32%311K
0.00%314K
-8.60%287K
0.00%314K
-7.93%1.25M
-9.04%312K
-9.77%314K
Unrealized gains and losses of investment securities
-79.98%2.65M
-70.19%4.48M
-23.10%31.86M
-3.23%-18.23M
9.17%21.86M
-73.10%13.21M
249.38%15.02M
878.80%41.43M
-201.09%-17.66M
3,247.66%20.02M
Remuneration paid in stock
877.42%303K
256.10%320K
125.66%185K
1,403.85%339K
104.44%20K
104.27%31K
-142.62%-205K
-135.17%-721K
-102.88%-26K
-211.11%-450K
Deferred tax
61.62%-1.51M
63.57%-1.44M
-144.85%-6.21M
147.33%2.99M
88.09%-1.3M
-276.67%-3.94M
-112.35%-3.96M
--13.84M
---6.32M
---10.87M
Other non cashItems
-49.11%256K
20.97%-1.67M
-143.19%-5.24M
-224.69%-1.84M
-202.41%-1.78M
-77.94%503K
-131.95%-2.12M
-49.27%12.12M
-76.35%1.47M
-69.82%1.74M
Change In working capital
-393.70%-13.55M
166.24%3.33M
76.76%-944K
35.04%-7.06M
181.29%7.61M
-135.23%-2.75M
133.82%1.25M
-125.30%-4.06M
27.58%-10.86M
-84.42%2.7M
-Change in receivables
-135.98%-4.28M
52.82%1.76M
122.21%400K
-318.16%-1.45M
243.30%2.52M
-381.83%-1.82M
435.57%1.15M
-149.34%-1.8M
77.02%-347K
-145.11%-1.76M
-Change in prepaid assets
162.00%3.43M
-110.78%-5.05M
-165.90%-1.03M
274.00%4.01M
48.86%2.87M
-157.74%-5.53M
-437.18%-2.39M
266.59%1.57M
212.36%1.07M
-73.23%1.93M
-Change in payables and accrued expense
-228.96%-8.45M
164.10%4.66M
-70.79%1.19M
-161.46%-9M
-58.91%1.88M
-25.10%6.55M
130.40%1.76M
182.27%4.08M
78.00%-3.44M
-48.93%4.58M
-Change in other working capital
-117.40%-4.25M
168.36%1.96M
81.02%-1.5M
92.45%-615K
116.52%338K
-457.88%-1.95M
-57.95%730K
-521.09%-7.91M
-565.64%-8.14M
-234.16%-2.05M
Cash from discontinued investing activities
Operating cash flow
-53.57%8.36M
-22.20%20.74M
-43.19%79.96M
-56.48%7.25M
-30.20%28.06M
-59.75%18M
-31.94%26.66M
-29.45%140.74M
-40.76%16.66M
-34.42%40.2M
Investing cash flow
Cash flow from continuing investing activities
-38.34%161.88M
-135.31%-13.65M
203.25%298.39M
-93.37%10.32M
79.85%-13.15M
260.91%262.56M
117.87%38.66M
-147.36%-288.99M
347.38%155.74M
-109.85%-65.27M
Net PPE purchase and sale
13.83%-324K
---90K
-1,690.48%-376K
--0
--0
---376K
--0
-320.00%-21K
--0
--0
Net business purchase and sale
93.28%-8K
-10,227.99%-48.34M
99.50%-600K
100.03%3K
99.86%-16K
-3,866.67%-119K
99.53%-468K
-931.99%-120.64M
-3,796.93%-10.17M
-1,897.93%-11.59M
Net investment property transactions
-1.98%184.46M
-47.31%440K
-24.18%187.64M
-90.32%18M
-199.38%-19.37M
964.23%188.18M
-98.34%835K
-64.57%247.47M
721.13%185.9M
-100.89%-6.47M
Net investment purchase and sale
-116.33%-13.13M
-33.79%25.98M
133.66%132.9M
100.00%-1K
135.27%13.23M
149.80%80.43M
124.50%39.24M
-451.57%-394.79M
-71.90%-35.59M
15.74%-37.52M
Dividends received (cash flow from investment activities)
-42.22%2.62M
-42.42%3.05M
28.52%17.42M
-21.15%3.87M
5.53%3.7M
89.72%4.54M
93.68%5.3M
-67.86%13.55M
113.52%4.91M
100.80%3.51M
Net other investing changes
-16.18%-11.73M
184.91%5.3M
-11.68%-38.6M
-208.12%-11.56M
18.92%-10.7M
53.51%-10.1M
39.56%-6.24M
26.55%-34.56M
174.44%10.69M
33.99%-13.2M
Cash from discontinued investing activities
Investing cash flow
-38.34%161.88M
-135.31%-13.65M
203.25%298.39M
-93.37%10.32M
79.85%-13.15M
260.91%262.56M
117.87%38.66M
-147.36%-288.99M
347.38%155.74M
-109.85%-65.27M
Financing cash flow
Cash flow from continuing financing activities
37.64%-176.05M
89.79%-5.85M
-712.07%-378.19M
91.78%-22.98M
-119.65%-15.66M
-275.43%-282.29M
-654.45%-57.26M
92.52%-46.57M
-1,066.27%-279.61M
116.74%79.72M
Net issuance payments of debt
41.51%-131.86M
263.05%24.74M
-169.69%-220.33M
101.53%1.95M
-81.89%18.36M
-198.53%-225.46M
-113.36%-15.18M
179.83%316.16M
-862.77%-127.61M
125.70%101.34M
Net common stock issuance
54.67%-14.22M
38.10%-6.92M
46.00%-54.31M
--0
---11.75M
29.40%-31.38M
78.78%-11.18M
20.04%-100.57M
72.56%-3.46M
--0
Net preferred stock issuance
18.84%-4.54M
-210.78%-4.04M
87.97%-10.38M
99.01%-819K
-129.83%-2.67M
-287.86%-5.59M
1.29%-1.3M
-2,544.65%-86.3M
-10,420.69%-82.38M
-27.89%-1.16M
Cash dividends paid
-27.96%-25.42M
33.68%-19.63M
47.02%-93.18M
63.57%-24.11M
4.19%-19.6M
9.78%-19.87M
55.96%-29.61M
-79.66%-175.86M
-142.27%-66.16M
13.15%-20.46M
Cash from discontinued financing activities
Financing cash flow
37.64%-176.05M
89.79%-5.85M
-712.07%-378.19M
91.78%-22.98M
-119.65%-15.66M
-275.43%-282.29M
-654.45%-57.26M
92.52%-46.57M
-1,066.27%-279.61M
116.74%79.72M
Net cash flow
Beginning cash position
-17.70%30.63M
-0.78%28.94M
-86.83%29.17M
-74.61%34.73M
-56.11%35M
2.44%37.21M
-86.83%29.17M
538.20%221.47M
-51.20%136.8M
152.79%79.75M
Current changes in cash
-235.10%-5.8M
-84.62%1.24M
100.08%162K
94.95%-5.41M
-101.39%-757K
-104.08%-1.73M
104.36%8.06M
-204.30%-194.82M
-82.29%-107.22M
-77.96%54.64M
Effect of exchange rate changes
139.92%192K
2,717.65%445K
-115.54%-390K
8.03%-378K
-79.78%486K
-150.68%-481K
96.06%-17K
18,028.57%2.51M
-813.33%-411K
196.67%2.4M
End cash Position
-28.53%25.01M
-17.70%30.63M
-0.78%28.94M
-0.78%28.94M
-74.61%34.73M
-56.11%35M
2.44%37.21M
-86.83%29.17M
-86.83%29.17M
-51.20%136.8M
Free cash from
-54.42%8.04M
-22.54%20.65M
-43.44%79.59M
-56.48%7.25M
-30.20%28.06M
-60.59%17.63M
-31.90%26.66M
-29.46%140.72M
-40.75%16.66M
-34.42%40.2M
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
--
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -53.57%8.36M-22.20%20.74M-43.19%79.96M-56.48%7.25M-30.20%28.06M-59.75%18M-31.94%26.66M-29.45%140.74M-40.76%16.66M-34.42%40.2M
Net income from continuing operations 100.90%765K68.71%-7.12M-6,172.53%-332.07M32.32%-86.84M-45.60%-137.52M-334.41%-84.95M-109.60%-22.76M-101.36%-5.29M-312.40%-128.3M-336.98%-94.45M
Operating gains losses -79.96%19.16M-42.36%22.55M375.99%391.14M-33.96%117.57M14.58%138.86M1,359.89%95.61M117.49%39.12M136.09%82.18M1,041.71%178.03M4,082.42%121.19M
Depreciation and amortization 1.05%290K-3.82%302K-2.23%1.23M-0.32%311K0.00%314K-8.60%287K0.00%314K-7.93%1.25M-9.04%312K-9.77%314K
Unrealized gains and losses of investment securities -79.98%2.65M-70.19%4.48M-23.10%31.86M-3.23%-18.23M9.17%21.86M-73.10%13.21M249.38%15.02M878.80%41.43M-201.09%-17.66M3,247.66%20.02M
Remuneration paid in stock 877.42%303K256.10%320K125.66%185K1,403.85%339K104.44%20K104.27%31K-142.62%-205K-135.17%-721K-102.88%-26K-211.11%-450K
Deferred tax 61.62%-1.51M63.57%-1.44M-144.85%-6.21M147.33%2.99M88.09%-1.3M-276.67%-3.94M-112.35%-3.96M--13.84M---6.32M---10.87M
Other non cashItems -49.11%256K20.97%-1.67M-143.19%-5.24M-224.69%-1.84M-202.41%-1.78M-77.94%503K-131.95%-2.12M-49.27%12.12M-76.35%1.47M-69.82%1.74M
Change In working capital -393.70%-13.55M166.24%3.33M76.76%-944K35.04%-7.06M181.29%7.61M-135.23%-2.75M133.82%1.25M-125.30%-4.06M27.58%-10.86M-84.42%2.7M
-Change in receivables -135.98%-4.28M52.82%1.76M122.21%400K-318.16%-1.45M243.30%2.52M-381.83%-1.82M435.57%1.15M-149.34%-1.8M77.02%-347K-145.11%-1.76M
-Change in prepaid assets 162.00%3.43M-110.78%-5.05M-165.90%-1.03M274.00%4.01M48.86%2.87M-157.74%-5.53M-437.18%-2.39M266.59%1.57M212.36%1.07M-73.23%1.93M
-Change in payables and accrued expense -228.96%-8.45M164.10%4.66M-70.79%1.19M-161.46%-9M-58.91%1.88M-25.10%6.55M130.40%1.76M182.27%4.08M78.00%-3.44M-48.93%4.58M
-Change in other working capital -117.40%-4.25M168.36%1.96M81.02%-1.5M92.45%-615K116.52%338K-457.88%-1.95M-57.95%730K-521.09%-7.91M-565.64%-8.14M-234.16%-2.05M
Cash from discontinued investing activities
Operating cash flow -53.57%8.36M-22.20%20.74M-43.19%79.96M-56.48%7.25M-30.20%28.06M-59.75%18M-31.94%26.66M-29.45%140.74M-40.76%16.66M-34.42%40.2M
Investing cash flow
Cash flow from continuing investing activities -38.34%161.88M-135.31%-13.65M203.25%298.39M-93.37%10.32M79.85%-13.15M260.91%262.56M117.87%38.66M-147.36%-288.99M347.38%155.74M-109.85%-65.27M
Net PPE purchase and sale 13.83%-324K---90K-1,690.48%-376K--0--0---376K--0-320.00%-21K--0--0
Net business purchase and sale 93.28%-8K-10,227.99%-48.34M99.50%-600K100.03%3K99.86%-16K-3,866.67%-119K99.53%-468K-931.99%-120.64M-3,796.93%-10.17M-1,897.93%-11.59M
Net investment property transactions -1.98%184.46M-47.31%440K-24.18%187.64M-90.32%18M-199.38%-19.37M964.23%188.18M-98.34%835K-64.57%247.47M721.13%185.9M-100.89%-6.47M
Net investment purchase and sale -116.33%-13.13M-33.79%25.98M133.66%132.9M100.00%-1K135.27%13.23M149.80%80.43M124.50%39.24M-451.57%-394.79M-71.90%-35.59M15.74%-37.52M
Dividends received (cash flow from investment activities) -42.22%2.62M-42.42%3.05M28.52%17.42M-21.15%3.87M5.53%3.7M89.72%4.54M93.68%5.3M-67.86%13.55M113.52%4.91M100.80%3.51M
Net other investing changes -16.18%-11.73M184.91%5.3M-11.68%-38.6M-208.12%-11.56M18.92%-10.7M53.51%-10.1M39.56%-6.24M26.55%-34.56M174.44%10.69M33.99%-13.2M
Cash from discontinued investing activities
Investing cash flow -38.34%161.88M-135.31%-13.65M203.25%298.39M-93.37%10.32M79.85%-13.15M260.91%262.56M117.87%38.66M-147.36%-288.99M347.38%155.74M-109.85%-65.27M
Financing cash flow
Cash flow from continuing financing activities 37.64%-176.05M89.79%-5.85M-712.07%-378.19M91.78%-22.98M-119.65%-15.66M-275.43%-282.29M-654.45%-57.26M92.52%-46.57M-1,066.27%-279.61M116.74%79.72M
Net issuance payments of debt 41.51%-131.86M263.05%24.74M-169.69%-220.33M101.53%1.95M-81.89%18.36M-198.53%-225.46M-113.36%-15.18M179.83%316.16M-862.77%-127.61M125.70%101.34M
Net common stock issuance 54.67%-14.22M38.10%-6.92M46.00%-54.31M--0---11.75M29.40%-31.38M78.78%-11.18M20.04%-100.57M72.56%-3.46M--0
Net preferred stock issuance 18.84%-4.54M-210.78%-4.04M87.97%-10.38M99.01%-819K-129.83%-2.67M-287.86%-5.59M1.29%-1.3M-2,544.65%-86.3M-10,420.69%-82.38M-27.89%-1.16M
Cash dividends paid -27.96%-25.42M33.68%-19.63M47.02%-93.18M63.57%-24.11M4.19%-19.6M9.78%-19.87M55.96%-29.61M-79.66%-175.86M-142.27%-66.16M13.15%-20.46M
Cash from discontinued financing activities
Financing cash flow 37.64%-176.05M89.79%-5.85M-712.07%-378.19M91.78%-22.98M-119.65%-15.66M-275.43%-282.29M-654.45%-57.26M92.52%-46.57M-1,066.27%-279.61M116.74%79.72M
Net cash flow
Beginning cash position -17.70%30.63M-0.78%28.94M-86.83%29.17M-74.61%34.73M-56.11%35M2.44%37.21M-86.83%29.17M538.20%221.47M-51.20%136.8M152.79%79.75M
Current changes in cash -235.10%-5.8M-84.62%1.24M100.08%162K94.95%-5.41M-101.39%-757K-104.08%-1.73M104.36%8.06M-204.30%-194.82M-82.29%-107.22M-77.96%54.64M
Effect of exchange rate changes 139.92%192K2,717.65%445K-115.54%-390K8.03%-378K-79.78%486K-150.68%-481K96.06%-17K18,028.57%2.51M-813.33%-411K196.67%2.4M
End cash Position -28.53%25.01M-17.70%30.63M-0.78%28.94M-0.78%28.94M-74.61%34.73M-56.11%35M2.44%37.21M-86.83%29.17M-86.83%29.17M-51.20%136.8M
Free cash from -54.42%8.04M-22.54%20.65M-43.44%79.59M-56.48%7.25M-30.20%28.06M-60.59%17.63M-31.90%26.66M-29.46%140.72M-40.75%16.66M-34.42%40.2M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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