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FCA.U Firm Capital Apartment REIT

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  • 3.650
  • 0.0000.00%
15min DelayMarket Closed Dec 9 16:00 ET
44.73MMarket Cap-7.36P/E (TTM)

Firm Capital Apartment REIT Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
30.93%858.23K
-245.19%-1.35M
68.91%-263.19K
-127.33%-846.26K
-134.62%-263.37K
-54.27%655.48K
-146.84%-391.98K
-1,388.74%-846.39K
-1.61%3.1M
552.46%760.82K
Net income from continuing operations
154.45%807.9K
-51.50%-2.81M
73.50%-1.3M
38.31%-8.71M
76.95%-469.54K
-3.46%-1.48M
82.00%-1.85M
-1,319.37%-4.9M
-467.66%-14.12M
-158.56%-2.04M
Operating gains losses
-196.90%-857.74K
48.98%1.85M
-105.78%-236.33K
-56.14%5.68M
-115.43%-536.78K
-57.88%885.21K
-82.78%1.24M
2,521.35%4.09M
202.76%12.95M
181.57%3.48M
Asset impairment expenditure
143.91%114K
-60.00%80K
299.00%520.67K
-99.63%20.84K
-107.17%-50K
-119.33%-259.65K
-94.47%200K
--130.49K
-10.49%5.65M
145.26%697.35K
Unrealized gains and losses of investment securities
-128.02%-91.64K
781.65%366.24K
3.62%796.05K
152.39%1.62M
147.80%615.9K
120.89%327.07K
78.32%-53.73K
332.59%768.26K
-206.98%-3.1M
-3,258.39%-1.29M
Deferred tax
----
----
----
--0
----
----
----
----
-200.00%-545.62K
----
Other non cashItems
-55.64%46.4K
-58.17%37.6K
11.72%40.35K
194.53%260.09K
98.65%-5.29K
15.27%104.6K
208.84%89.88K
156.16%36.12K
-165.03%-275.14K
-217.85%-392.03K
Change In working capital
-22.44%839.31K
-5,428.07%-878.13K
91.23%-85.07K
-88.96%279.08K
-78.52%182.34K
20.56%1.08M
-102.48%-15.89K
-784.11%-969.48K
46.13%2.53M
267.19%849.03K
-Change in receivables
-86.52%37.89K
-28.62%112.12K
76.68%-26.14K
46.04%383.62K
-76.63%57.48K
444.95%281.14K
419.36%157.08K
-176.05%-112.08K
-81.36%262.68K
29.35%245.99K
-Change in prepaid assets
-42.93%268.92K
29.74%-541.81K
141.81%344.81K
83.80%-53.17K
172.33%104.2K
379.93%471.22K
-4,361.63%-771.19K
147.48%142.6K
-1,836.24%-328.13K
-35.85%-144.07K
-Change in payables and accrued expense
61.49%532.5K
-174.96%-448.45K
59.63%-403.74K
-101.98%-51.37K
-97.24%20.66K
-62.57%329.74K
-10.77%598.22K
-439.34%-1,000K
668.81%2.59M
226.21%747.1K
Cash from discontinued investing activities
Operating cash flow
30.93%858.23K
-245.19%-1.35M
68.91%-263.19K
-127.33%-846.26K
-134.62%-263.37K
-54.27%655.48K
-146.84%-391.98K
-1,388.76%-846.39K
-1.61%3.1M
552.45%760.82K
Investing cash flow
Cash flow from continuing investing activities
-102.07%-563.53K
116.46%25.24M
118.56%103.45K
348.16%38.19M
88.79%-186.11K
2,963.91%27.27M
217.91%11.66M
80.69%-557.47K
-1,083.99%-15.39M
-155.72%-1.66M
Capital expenditure reported
42.05%-227.03K
32.84%-342.4K
48.75%-218.82K
33.08%-1.56M
68.91%-236.11K
24.05%-391.75K
27.70%-509.79K
-19.37%-426.98K
-310.01%-2.34M
-278.70%-759.44K
Net business purchase and sale
---114K
---80K
--656.44K
96.45%-275K
--0
--0
--0
--0
-116.88%-7.75M
---95.83K
Net investment property transactions
----
----
-219.30%-416.67K
----
----
----
----
---130.49K
----
----
Net investment purchase and sale
-185.69%-222.5K
-1,354.55%-4M
--82.5K
103.38%179.16K
100.96%50K
388.50%259.65K
---275K
----
-192.80%-5.3M
-222.91%-5.21M
Net other investing changes
----
138.35%29.66M
----
--39.85M
--0
--27.4M
--12.44M
----
----
----
Cash from discontinued investing activities
Investing cash flow
-102.07%-563.53K
116.46%25.24M
118.56%103.45K
348.16%38.19M
88.79%-186.11K
2,963.91%27.27M
217.91%11.66M
80.69%-557.47K
-1,083.99%-15.39M
-7,577.67%-1.66M
Financing cash flow
Cash flow from continuing financing activities
-20.52%-16.78M
-55.10%-18.14M
-396.19%-411.78K
-332.69%-26.12M
-172.57%-417.63K
-1,766.34%-13.93M
-222.04%-11.7M
-135.73%-82.99K
450.13%11.23M
193.04%575.53K
Net issuance payments of debt
-20.52%-16.78M
-55.10%-18.14M
-396.19%-411.78K
-315.07%-26.12M
-169.89%-417.63K
-1,766.34%-13.93M
-216.58%-11.7M
-112.19%-82.99K
2,137.10%12.15M
465.68%597.54K
Net common stock issuance
----
----
----
--0
----
----
----
----
-15.14%-919.33K
----
Net other financing activities
----
----
----
----
----
----
----
--1
--1
----
Cash from discontinued financing activities
Financing cash flow
-20.52%-16.78M
-55.10%-18.14M
-396.20%-411.78K
-332.69%-26.12M
-172.56%-417.63K
-1,766.34%-13.93M
-222.04%-11.7M
-135.73%-82.99K
450.13%11.23M
193.04%575.53K
Net cash flow
Beginning cash position
874.88%20.4M
481.34%14.65M
279.90%15.22M
-20.98%4.01M
271.58%16.09M
-30.57%2.09M
1.56%2.52M
-20.98%4.01M
42.20%5.07M
-26.35%4.33M
Current changes in cash
-217.79%-16.49M
1,441.19%5.74M
61.56%-571.52K
1,154.18%11.22M
-168.31%-867.12K
962.87%14M
-180.53%-428.27K
42.59%-1.49M
-170.70%-1.06M
60.02%-323.18K
End cash Position
-75.72%3.91M
874.88%20.4M
481.34%14.65M
279.90%15.22M
279.90%15.22M
271.58%16.09M
-30.57%2.09M
1.56%2.52M
-20.98%4.01M
-20.98%4.01M
Free cash from
139.33%631.21K
-88.01%-1.7M
62.15%-482.01K
-417.74%-2.41M
-36,268.43%-499.49K
-71.26%263.74K
-784.72%-901.77K
-336.07%-1.27M
-70.56%758.77K
100.37%1.38K
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
--
--
--
--
--
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 30.93%858.23K-245.19%-1.35M68.91%-263.19K-127.33%-846.26K-134.62%-263.37K-54.27%655.48K-146.84%-391.98K-1,388.74%-846.39K-1.61%3.1M552.46%760.82K
Net income from continuing operations 154.45%807.9K-51.50%-2.81M73.50%-1.3M38.31%-8.71M76.95%-469.54K-3.46%-1.48M82.00%-1.85M-1,319.37%-4.9M-467.66%-14.12M-158.56%-2.04M
Operating gains losses -196.90%-857.74K48.98%1.85M-105.78%-236.33K-56.14%5.68M-115.43%-536.78K-57.88%885.21K-82.78%1.24M2,521.35%4.09M202.76%12.95M181.57%3.48M
Asset impairment expenditure 143.91%114K-60.00%80K299.00%520.67K-99.63%20.84K-107.17%-50K-119.33%-259.65K-94.47%200K--130.49K-10.49%5.65M145.26%697.35K
Unrealized gains and losses of investment securities -128.02%-91.64K781.65%366.24K3.62%796.05K152.39%1.62M147.80%615.9K120.89%327.07K78.32%-53.73K332.59%768.26K-206.98%-3.1M-3,258.39%-1.29M
Deferred tax --------------0-----------------200.00%-545.62K----
Other non cashItems -55.64%46.4K-58.17%37.6K11.72%40.35K194.53%260.09K98.65%-5.29K15.27%104.6K208.84%89.88K156.16%36.12K-165.03%-275.14K-217.85%-392.03K
Change In working capital -22.44%839.31K-5,428.07%-878.13K91.23%-85.07K-88.96%279.08K-78.52%182.34K20.56%1.08M-102.48%-15.89K-784.11%-969.48K46.13%2.53M267.19%849.03K
-Change in receivables -86.52%37.89K-28.62%112.12K76.68%-26.14K46.04%383.62K-76.63%57.48K444.95%281.14K419.36%157.08K-176.05%-112.08K-81.36%262.68K29.35%245.99K
-Change in prepaid assets -42.93%268.92K29.74%-541.81K141.81%344.81K83.80%-53.17K172.33%104.2K379.93%471.22K-4,361.63%-771.19K147.48%142.6K-1,836.24%-328.13K-35.85%-144.07K
-Change in payables and accrued expense 61.49%532.5K-174.96%-448.45K59.63%-403.74K-101.98%-51.37K-97.24%20.66K-62.57%329.74K-10.77%598.22K-439.34%-1,000K668.81%2.59M226.21%747.1K
Cash from discontinued investing activities
Operating cash flow 30.93%858.23K-245.19%-1.35M68.91%-263.19K-127.33%-846.26K-134.62%-263.37K-54.27%655.48K-146.84%-391.98K-1,388.76%-846.39K-1.61%3.1M552.45%760.82K
Investing cash flow
Cash flow from continuing investing activities -102.07%-563.53K116.46%25.24M118.56%103.45K348.16%38.19M88.79%-186.11K2,963.91%27.27M217.91%11.66M80.69%-557.47K-1,083.99%-15.39M-155.72%-1.66M
Capital expenditure reported 42.05%-227.03K32.84%-342.4K48.75%-218.82K33.08%-1.56M68.91%-236.11K24.05%-391.75K27.70%-509.79K-19.37%-426.98K-310.01%-2.34M-278.70%-759.44K
Net business purchase and sale ---114K---80K--656.44K96.45%-275K--0--0--0--0-116.88%-7.75M---95.83K
Net investment property transactions ---------219.30%-416.67K-------------------130.49K--------
Net investment purchase and sale -185.69%-222.5K-1,354.55%-4M--82.5K103.38%179.16K100.96%50K388.50%259.65K---275K-----192.80%-5.3M-222.91%-5.21M
Net other investing changes ----138.35%29.66M------39.85M--0--27.4M--12.44M------------
Cash from discontinued investing activities
Investing cash flow -102.07%-563.53K116.46%25.24M118.56%103.45K348.16%38.19M88.79%-186.11K2,963.91%27.27M217.91%11.66M80.69%-557.47K-1,083.99%-15.39M-7,577.67%-1.66M
Financing cash flow
Cash flow from continuing financing activities -20.52%-16.78M-55.10%-18.14M-396.19%-411.78K-332.69%-26.12M-172.57%-417.63K-1,766.34%-13.93M-222.04%-11.7M-135.73%-82.99K450.13%11.23M193.04%575.53K
Net issuance payments of debt -20.52%-16.78M-55.10%-18.14M-396.19%-411.78K-315.07%-26.12M-169.89%-417.63K-1,766.34%-13.93M-216.58%-11.7M-112.19%-82.99K2,137.10%12.15M465.68%597.54K
Net common stock issuance --------------0-----------------15.14%-919.33K----
Net other financing activities ------------------------------1--1----
Cash from discontinued financing activities
Financing cash flow -20.52%-16.78M-55.10%-18.14M-396.20%-411.78K-332.69%-26.12M-172.56%-417.63K-1,766.34%-13.93M-222.04%-11.7M-135.73%-82.99K450.13%11.23M193.04%575.53K
Net cash flow
Beginning cash position 874.88%20.4M481.34%14.65M279.90%15.22M-20.98%4.01M271.58%16.09M-30.57%2.09M1.56%2.52M-20.98%4.01M42.20%5.07M-26.35%4.33M
Current changes in cash -217.79%-16.49M1,441.19%5.74M61.56%-571.52K1,154.18%11.22M-168.31%-867.12K962.87%14M-180.53%-428.27K42.59%-1.49M-170.70%-1.06M60.02%-323.18K
End cash Position -75.72%3.91M874.88%20.4M481.34%14.65M279.90%15.22M279.90%15.22M271.58%16.09M-30.57%2.09M1.56%2.52M-20.98%4.01M-20.98%4.01M
Free cash from 139.33%631.21K-88.01%-1.7M62.15%-482.01K-417.74%-2.41M-36,268.43%-499.49K-71.26%263.74K-784.72%-901.77K-336.07%-1.27M-70.56%758.77K100.37%1.38K
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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