US Stock MarketDetailed Quotes

CTRE CareTrust REIT Inc

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  • 29.210
  • +0.330+1.14%
Close Aug 23 16:00 ET
  • 29.210
  • 0.0000.00%
Post 20:02 ET
4.50BMarket Cap49.51P/E (TTM)

CareTrust REIT Inc 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
66.24%52.98M
39.01%48.82M
7.17%154.77M
26.46%42.67M
6.47%45.11M
-5.51%31.87M
1.56%35.12M
-7.94%144.42M
-12.37%33.74M
-11.37%42.37M
Net income from continuing operations
2,252.48%10.42M
49.53%28.75M
815.72%53.72M
82.85%26.29M
1,124.96%8.69M
-102.34%-484K
144.44%19.23M
-110.43%-7.51M
-21.25%14.38M
-94.05%709K
Operating gains losses
1,408.94%1.86M
14.69%601K
-60.75%4.27M
-140.13%-1.63M
-24.91%5.25M
--123K
381.72%524K
-0.30%10.87M
3,633.91%4.06M
-35.41%6.99M
Depreciation and amortization
4.50%13.3M
5.18%12.89M
0.98%50.87M
7.55%12.84M
6.34%13.05M
1.26%12.73M
-9.87%12.25M
-9.06%50.38M
-15.11%11.94M
-12.25%12.27M
Other non cash items
-218.18%-767K
-74.41%196K
-11.67%2.06M
-60.92%340K
156.85%303K
29.28%649K
-48.63%766K
24.93%2.33M
141.67%870K
-203.90%-533K
Change In working capital
130.18%1.05M
423.14%1.52M
843.17%2.39M
59.85%-1.74M
-12.54%8.07M
-11.33%-3.47M
77.61%-471K
-105.46%-322K
-1,538.87%-4.33M
5.32%9.23M
-Change in receivables
-1,597.87%-704K
54.55%-15K
-101.49%-9K
54.55%-20K
-104.29%-3K
-80.50%47K
-109.79%-33K
207.47%604K
-103.63%-44K
104.16%70K
-Change in prepaid assets
-69.05%-661K
-627.87%-322K
-117.07%-21K
-97.87%47K
173.18%262K
70.38%-391K
115.10%61K
-69.17%123K
426.25%2.21M
-231.48%-358K
-Change in payables and accrued expense
177.18%2.41M
472.55%1.86M
330.98%2.42M
72.80%-1.77M
-17.90%7.81M
-53.41%-3.13M
75.50%-499K
-117.32%-1.05M
-387.75%-6.49M
-9.82%9.52M
Cash from discontinued investing activities
Operating cash flow
66.24%52.98M
39.01%48.82M
7.17%154.77M
26.46%42.67M
6.47%45.11M
-5.51%31.87M
1.56%35.12M
-7.94%144.42M
-12.37%33.74M
-11.37%42.37M
Investing cash flow
Cash flow from continuing investing activities
-96.44%-345.4M
-14,966.14%-123.24M
-110.22%-267.82M
-347.30%-35.51M
-245.40%-55.66M
-73.10%-175.83M
96.60%-818K
33.86%-127.4M
234.57%14.36M
56.35%-16.12M
Net PPE purchase and sale
78.79%-925K
80.29%-398K
-50.52%-10.98M
-1.10%-1.84M
-49.38%-2.76M
-155.03%-4.36M
-5.27%-2.02M
-21.27%-7.29M
-53.07%-1.82M
-35.51%-1.85M
Net investment purchase and sale
----
----
---1.78M
----
----
----
----
--0
----
----
Net other investing changes
-2,304.19%-249.8M
76.09%-4.11M
---3.8M
--275K
--23.49M
---10.39M
-1,333.39%-17.17M
----
----
----
Cash from discontinued investing activities
Investing cash flow
-96.44%-345.4M
-14,966.14%-123.24M
-110.22%-267.82M
-347.30%-35.51M
-245.40%-55.66M
-73.10%-175.83M
96.60%-818K
33.86%-127.4M
234.57%14.36M
56.35%-16.12M
Financing cash flow
Cash flow from continuing financing activities
187.42%336.38M
1,290.86%231.15M
1,761.55%394.32M
813.34%283.8M
124.95%12.89M
63.62%117.04M
-408.65%-19.41M
-164.60%-23.73M
-55.05%-39.79M
83.01%-51.66M
Net issuance payments of debt
-48.28%75M
--0
-377.78%-125M
--0
-1,020.00%-280M
45.00%145M
-60.00%10M
-65.38%45M
---55M
90.74%-25M
Net common stock issuance
236,388.28%302.45M
53,949.70%269.79M
1,243.14%634.45M
567.74%315.41M
--319.66M
---128K
---501K
105.86%47.24M
--47.24M
--0
Cash dividends paid
-47.98%-41.19M
-33.28%-36.53M
-8.81%-115.49M
-21.54%-32.4M
-4.43%-27.84M
-3.97%-27.84M
-5.24%-27.41M
-5.31%-106.14M
-4.00%-26.66M
-4.00%-26.66M
Net other financing activities
--125K
-40.67%-2.11M
103.70%364K
114.75%791K
--1.07M
--0
45.89%-1.5M
36.28%-9.83M
-21,344.00%-5.36M
--0
Cash from discontinued financing activities
Financing cash flow
187.42%336.38M
1,290.86%231.15M
1,761.55%394.32M
813.34%283.8M
124.95%12.89M
63.62%117.04M
-408.65%-19.41M
-164.60%-23.73M
-55.05%-39.79M
83.01%-51.66M
Net cash flow
Beginning cash position
1,507.31%451.17M
2,134.39%294.45M
-33.76%13.18M
-28.31%3.49M
-96.22%1.15M
5.58%28.07M
-33.76%13.18M
5.16%19.9M
-72.56%4.86M
-90.27%30.27M
Current changes in cash
263.27%43.96M
952.41%156.73M
4,287.43%281.27M
3,398.41%290.96M
109.21%2.34M
-831.46%-26.93M
122.57%14.89M
-788.22%-6.72M
281.69%8.32M
91.34%-25.41M
End cash Position
43,143.14%495.13M
1,507.31%451.17M
2,134.39%294.45M
2,134.39%294.45M
-28.31%3.49M
-96.22%1.15M
5.58%28.07M
-33.76%13.18M
-33.76%13.18M
-72.56%4.86M
Free cash flow
89.24%52.05M
46.29%48.42M
4.86%143.79M
27.90%40.83M
4.51%42.35M
-14.08%27.51M
1.35%33.1M
-9.10%137.12M
-14.46%31.93M
-12.75%40.52M
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
--
--
--
--
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 66.24%52.98M39.01%48.82M7.17%154.77M26.46%42.67M6.47%45.11M-5.51%31.87M1.56%35.12M-7.94%144.42M-12.37%33.74M-11.37%42.37M
Net income from continuing operations 2,252.48%10.42M49.53%28.75M815.72%53.72M82.85%26.29M1,124.96%8.69M-102.34%-484K144.44%19.23M-110.43%-7.51M-21.25%14.38M-94.05%709K
Operating gains losses 1,408.94%1.86M14.69%601K-60.75%4.27M-140.13%-1.63M-24.91%5.25M--123K381.72%524K-0.30%10.87M3,633.91%4.06M-35.41%6.99M
Depreciation and amortization 4.50%13.3M5.18%12.89M0.98%50.87M7.55%12.84M6.34%13.05M1.26%12.73M-9.87%12.25M-9.06%50.38M-15.11%11.94M-12.25%12.27M
Other non cash items -218.18%-767K-74.41%196K-11.67%2.06M-60.92%340K156.85%303K29.28%649K-48.63%766K24.93%2.33M141.67%870K-203.90%-533K
Change In working capital 130.18%1.05M423.14%1.52M843.17%2.39M59.85%-1.74M-12.54%8.07M-11.33%-3.47M77.61%-471K-105.46%-322K-1,538.87%-4.33M5.32%9.23M
-Change in receivables -1,597.87%-704K54.55%-15K-101.49%-9K54.55%-20K-104.29%-3K-80.50%47K-109.79%-33K207.47%604K-103.63%-44K104.16%70K
-Change in prepaid assets -69.05%-661K-627.87%-322K-117.07%-21K-97.87%47K173.18%262K70.38%-391K115.10%61K-69.17%123K426.25%2.21M-231.48%-358K
-Change in payables and accrued expense 177.18%2.41M472.55%1.86M330.98%2.42M72.80%-1.77M-17.90%7.81M-53.41%-3.13M75.50%-499K-117.32%-1.05M-387.75%-6.49M-9.82%9.52M
Cash from discontinued investing activities
Operating cash flow 66.24%52.98M39.01%48.82M7.17%154.77M26.46%42.67M6.47%45.11M-5.51%31.87M1.56%35.12M-7.94%144.42M-12.37%33.74M-11.37%42.37M
Investing cash flow
Cash flow from continuing investing activities -96.44%-345.4M-14,966.14%-123.24M-110.22%-267.82M-347.30%-35.51M-245.40%-55.66M-73.10%-175.83M96.60%-818K33.86%-127.4M234.57%14.36M56.35%-16.12M
Net PPE purchase and sale 78.79%-925K80.29%-398K-50.52%-10.98M-1.10%-1.84M-49.38%-2.76M-155.03%-4.36M-5.27%-2.02M-21.27%-7.29M-53.07%-1.82M-35.51%-1.85M
Net investment purchase and sale -----------1.78M------------------0--------
Net other investing changes -2,304.19%-249.8M76.09%-4.11M---3.8M--275K--23.49M---10.39M-1,333.39%-17.17M------------
Cash from discontinued investing activities
Investing cash flow -96.44%-345.4M-14,966.14%-123.24M-110.22%-267.82M-347.30%-35.51M-245.40%-55.66M-73.10%-175.83M96.60%-818K33.86%-127.4M234.57%14.36M56.35%-16.12M
Financing cash flow
Cash flow from continuing financing activities 187.42%336.38M1,290.86%231.15M1,761.55%394.32M813.34%283.8M124.95%12.89M63.62%117.04M-408.65%-19.41M-164.60%-23.73M-55.05%-39.79M83.01%-51.66M
Net issuance payments of debt -48.28%75M--0-377.78%-125M--0-1,020.00%-280M45.00%145M-60.00%10M-65.38%45M---55M90.74%-25M
Net common stock issuance 236,388.28%302.45M53,949.70%269.79M1,243.14%634.45M567.74%315.41M--319.66M---128K---501K105.86%47.24M--47.24M--0
Cash dividends paid -47.98%-41.19M-33.28%-36.53M-8.81%-115.49M-21.54%-32.4M-4.43%-27.84M-3.97%-27.84M-5.24%-27.41M-5.31%-106.14M-4.00%-26.66M-4.00%-26.66M
Net other financing activities --125K-40.67%-2.11M103.70%364K114.75%791K--1.07M--045.89%-1.5M36.28%-9.83M-21,344.00%-5.36M--0
Cash from discontinued financing activities
Financing cash flow 187.42%336.38M1,290.86%231.15M1,761.55%394.32M813.34%283.8M124.95%12.89M63.62%117.04M-408.65%-19.41M-164.60%-23.73M-55.05%-39.79M83.01%-51.66M
Net cash flow
Beginning cash position 1,507.31%451.17M2,134.39%294.45M-33.76%13.18M-28.31%3.49M-96.22%1.15M5.58%28.07M-33.76%13.18M5.16%19.9M-72.56%4.86M-90.27%30.27M
Current changes in cash 263.27%43.96M952.41%156.73M4,287.43%281.27M3,398.41%290.96M109.21%2.34M-831.46%-26.93M122.57%14.89M-788.22%-6.72M281.69%8.32M91.34%-25.41M
End cash Position 43,143.14%495.13M1,507.31%451.17M2,134.39%294.45M2,134.39%294.45M-28.31%3.49M-96.22%1.15M5.58%28.07M-33.76%13.18M-33.76%13.18M-72.56%4.86M
Free cash flow 89.24%52.05M46.29%48.42M4.86%143.79M27.90%40.83M4.51%42.35M-14.08%27.51M1.35%33.1M-9.10%137.12M-14.46%31.93M-12.75%40.52M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

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