US Stock MarketDetailed Quotes

NEN New England Realty Associates

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  • 78.050
  • +0.050+0.06%
Close Aug 28 16:00 ET
271.18MMarket Cap22.92P/E (TTM)

New England Realty Associates 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
10.96%5.36M
267.67%6.12M
12.27%24.18M
-7.34%7.88M
75.60%9.8M
68.37%4.83M
-63.65%1.67M
36.47%21.54M
189.86%8.51M
51.68%5.58M
Net income from continuing operations
83.05%4.07M
97.43%3.46M
127.06%8.45M
7.31%2.3M
118.57%2.18M
815.69%2.22M
412.35%1.75M
237.89%3.72M
173.87%2.14M
1,420.19%995.22K
Operating gains losses
-168.48%-321.27K
-93.80%-441.29K
-75.32%-876.23K
-28.46%-380.14K
-59.04%-148.72K
-32.54%-119.66K
-1,034.61%-227.7K
-188.10%-499.78K
-28.99%-295.92K
-140.11%-93.52K
Depreciation and amortization
7.98%4.28M
9.91%4.23M
2.44%16.77M
9.07%4.54M
7.58%4.43M
-2.83%3.96M
-4.34%3.85M
-1.79%16.37M
-14.46%4.16M
3.99%4.11M
Other non cash items
-1.75%-973.35K
-19.82%-1.01M
-1,615.29%-52.34K
-7.64%-451.18K
2,160.72%2.2M
-576.76%-956.62K
-779.22%-846.16K
-99.06%3.45K
-361.23%-419.16K
41.73%97.39K
Change In working capital
-512.16%-1.69M
96.08%-112.28K
-156.08%-1.09M
-69.02%903.94K
145.30%1.15M
82.27%-276.44K
-2,616.21%-2.86M
4,136.62%1.94M
161.67%2.92M
299.42%467.23K
-Change in receivables
-603.28%-162.45K
160.04%87.77K
-206.60%-297.95K
137.80%91.15K
-215.44%-275.2K
218.49%32.28K
-147.23%-146.18K
178.77%279.49K
-267.73%-241.16K
-42.80%238.4K
-Change in prepaid assets
-15.14%-1.62M
147.92%266.09K
109.64%83.67K
378.59%302.66K
394.70%1.74M
-20.39%-1.4M
-372.95%-555.26K
-41.69%-868.08K
-89.15%63.24K
150.98%351.62K
-Change in payables and accrued expense
-167.97%-321.12K
86.08%-303.12K
-152.65%-1.55M
-93.99%178.67K
-110.00%-25.79K
183.44%472.41K
-873.31%-2.18M
574.89%2.95M
12,575.78%2.97M
2,458.07%258.02K
-Change in other working capital
-34.57%407.03K
-1,051.84%-163.02K
261.92%678.28K
171.88%331.46K
23.22%-292.37K
211.23%622.07K
104.76%17.13K
-172.65%-418.9K
-66.57%121.91K
-867.44%-380.81K
Cash from discontinued investing activities
Operating cash flow
10.96%5.36M
267.67%6.12M
12.27%24.18M
-7.34%7.88M
75.60%9.8M
68.37%4.83M
-63.65%1.67M
36.47%21.54M
189.86%8.51M
51.68%5.58M
Investing cash flow
Cash flow from continuing investing activities
-162.57%-17.95M
164.39%12.43M
58.16%-38.94M
85.31%-2.42M
39.28%-45.9M
8,587.70%28.69M
-2,915.86%-19.31M
-3,890.37%-93.07M
-2,383.65%-16.5M
-10,972.61%-75.59M
Net business purchase and sale
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--0
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--0
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Net investment purchase and sale
-146.93%-14.25M
288.40%16.42M
105.41%4.78M
97.88%-303.47K
77.61%-16.57M
--30.36M
---8.71M
---88.33M
---14.34M
---74M
Cash from discontinued investing activities
Investing cash flow
-162.57%-17.95M
164.39%12.43M
58.16%-38.94M
85.31%-2.42M
39.28%-45.9M
8,587.70%28.69M
-2,915.86%-19.31M
-3,890.37%-93.07M
-2,383.65%-16.5M
-10,972.61%-75.59M
Financing cash flow
Cash flow from continuing financing activities
-10.93%-2.75M
-10.01%-7.99M
-166.25%-16.57M
-75.86%-3.37M
-9.96%-3.46M
-106.55%-2.48M
6.42%-7.26M
-60.91%25.01M
-102.77%-1.92M
-80.05%-3.15M
Net issuance payments of debt
1.66%-697.97K
-13.58%-694.95K
-106.78%-2.69M
-12.51%-687.78K
-29.53%-676.33K
-101.72%-709.72K
-1.94%-611.86K
-42.84%39.61M
-100.86%-611.3K
9.85%-522.13K
Net common stock issuance
-87.83%-647.73K
73.17%-253.39K
26.31%-3.93M
-695.99%-1.27M
7.48%-1.37M
85.33%-344.85K
29.40%-944.52K
-1,083.09%-5.33M
64.62%-159.31K
---1.48M
Cash dividends paid
1.42%-1.4M
-23.40%-7.04M
-7.41%-9.95M
-23.13%-1.41M
-23.55%-1.42M
-23.27%-1.42M
2.01%-5.7M
-98.32%-9.27M
1.86%-1.14M
1.91%-1.15M
Net other financing activities
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---3K
----
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----
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Cash from discontinued financing activities
Financing cash flow
-10.93%-2.75M
-10.01%-7.99M
-166.25%-16.57M
-75.86%-3.37M
-9.96%-3.46M
-106.55%-2.48M
6.42%-7.26M
-60.91%25.01M
-102.77%-1.92M
-80.05%-3.15M
Net cash flow
Beginning cash position
16.82%28.8M
-63.22%18.23M
-48.42%49.56M
-72.86%16.14M
-58.00%55.7M
-73.28%24.65M
-48.42%49.56M
415.28%96.08M
141.60%59.47M
467.59%132.63M
Current changes in cash
-149.41%-15.34M
142.44%10.57M
32.66%-31.33M
121.07%2.09M
45.93%-39.56M
-23.09%31.05M
-552.33%-24.91M
-160.08%-46.52M
-113.87%-9.91M
-5,957.83%-73.16M
End cash Position
-75.83%13.46M
16.82%28.8M
-63.22%18.23M
-63.22%18.23M
-72.86%16.14M
-58.00%55.7M
-73.28%24.65M
-48.42%49.56M
-48.42%49.56M
141.60%59.47M
Free cash flow
10.96%5.36M
267.67%6.12M
12.27%24.18M
-7.34%7.88M
75.60%9.8M
68.37%4.83M
-63.65%1.67M
36.47%21.54M
189.86%8.51M
51.68%5.58M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
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Unqualified Opinion
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Unqualified Opinion
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(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 10.96%5.36M267.67%6.12M12.27%24.18M-7.34%7.88M75.60%9.8M68.37%4.83M-63.65%1.67M36.47%21.54M189.86%8.51M51.68%5.58M
Net income from continuing operations 83.05%4.07M97.43%3.46M127.06%8.45M7.31%2.3M118.57%2.18M815.69%2.22M412.35%1.75M237.89%3.72M173.87%2.14M1,420.19%995.22K
Operating gains losses -168.48%-321.27K-93.80%-441.29K-75.32%-876.23K-28.46%-380.14K-59.04%-148.72K-32.54%-119.66K-1,034.61%-227.7K-188.10%-499.78K-28.99%-295.92K-140.11%-93.52K
Depreciation and amortization 7.98%4.28M9.91%4.23M2.44%16.77M9.07%4.54M7.58%4.43M-2.83%3.96M-4.34%3.85M-1.79%16.37M-14.46%4.16M3.99%4.11M
Other non cash items -1.75%-973.35K-19.82%-1.01M-1,615.29%-52.34K-7.64%-451.18K2,160.72%2.2M-576.76%-956.62K-779.22%-846.16K-99.06%3.45K-361.23%-419.16K41.73%97.39K
Change In working capital -512.16%-1.69M96.08%-112.28K-156.08%-1.09M-69.02%903.94K145.30%1.15M82.27%-276.44K-2,616.21%-2.86M4,136.62%1.94M161.67%2.92M299.42%467.23K
-Change in receivables -603.28%-162.45K160.04%87.77K-206.60%-297.95K137.80%91.15K-215.44%-275.2K218.49%32.28K-147.23%-146.18K178.77%279.49K-267.73%-241.16K-42.80%238.4K
-Change in prepaid assets -15.14%-1.62M147.92%266.09K109.64%83.67K378.59%302.66K394.70%1.74M-20.39%-1.4M-372.95%-555.26K-41.69%-868.08K-89.15%63.24K150.98%351.62K
-Change in payables and accrued expense -167.97%-321.12K86.08%-303.12K-152.65%-1.55M-93.99%178.67K-110.00%-25.79K183.44%472.41K-873.31%-2.18M574.89%2.95M12,575.78%2.97M2,458.07%258.02K
-Change in other working capital -34.57%407.03K-1,051.84%-163.02K261.92%678.28K171.88%331.46K23.22%-292.37K211.23%622.07K104.76%17.13K-172.65%-418.9K-66.57%121.91K-867.44%-380.81K
Cash from discontinued investing activities
Operating cash flow 10.96%5.36M267.67%6.12M12.27%24.18M-7.34%7.88M75.60%9.8M68.37%4.83M-63.65%1.67M36.47%21.54M189.86%8.51M51.68%5.58M
Investing cash flow
Cash flow from continuing investing activities -162.57%-17.95M164.39%12.43M58.16%-38.94M85.31%-2.42M39.28%-45.9M8,587.70%28.69M-2,915.86%-19.31M-3,890.37%-93.07M-2,383.65%-16.5M-10,972.61%-75.59M
Net business purchase and sale ----------0------------------0--------
Net investment purchase and sale -146.93%-14.25M288.40%16.42M105.41%4.78M97.88%-303.47K77.61%-16.57M--30.36M---8.71M---88.33M---14.34M---74M
Cash from discontinued investing activities
Investing cash flow -162.57%-17.95M164.39%12.43M58.16%-38.94M85.31%-2.42M39.28%-45.9M8,587.70%28.69M-2,915.86%-19.31M-3,890.37%-93.07M-2,383.65%-16.5M-10,972.61%-75.59M
Financing cash flow
Cash flow from continuing financing activities -10.93%-2.75M-10.01%-7.99M-166.25%-16.57M-75.86%-3.37M-9.96%-3.46M-106.55%-2.48M6.42%-7.26M-60.91%25.01M-102.77%-1.92M-80.05%-3.15M
Net issuance payments of debt 1.66%-697.97K-13.58%-694.95K-106.78%-2.69M-12.51%-687.78K-29.53%-676.33K-101.72%-709.72K-1.94%-611.86K-42.84%39.61M-100.86%-611.3K9.85%-522.13K
Net common stock issuance -87.83%-647.73K73.17%-253.39K26.31%-3.93M-695.99%-1.27M7.48%-1.37M85.33%-344.85K29.40%-944.52K-1,083.09%-5.33M64.62%-159.31K---1.48M
Cash dividends paid 1.42%-1.4M-23.40%-7.04M-7.41%-9.95M-23.13%-1.41M-23.55%-1.42M-23.27%-1.42M2.01%-5.7M-98.32%-9.27M1.86%-1.14M1.91%-1.15M
Net other financing activities -----------3K----------------------------
Cash from discontinued financing activities
Financing cash flow -10.93%-2.75M-10.01%-7.99M-166.25%-16.57M-75.86%-3.37M-9.96%-3.46M-106.55%-2.48M6.42%-7.26M-60.91%25.01M-102.77%-1.92M-80.05%-3.15M
Net cash flow
Beginning cash position 16.82%28.8M-63.22%18.23M-48.42%49.56M-72.86%16.14M-58.00%55.7M-73.28%24.65M-48.42%49.56M415.28%96.08M141.60%59.47M467.59%132.63M
Current changes in cash -149.41%-15.34M142.44%10.57M32.66%-31.33M121.07%2.09M45.93%-39.56M-23.09%31.05M-552.33%-24.91M-160.08%-46.52M-113.87%-9.91M-5,957.83%-73.16M
End cash Position -75.83%13.46M16.82%28.8M-63.22%18.23M-63.22%18.23M-72.86%16.14M-58.00%55.7M-73.28%24.65M-48.42%49.56M-48.42%49.56M141.60%59.47M
Free cash flow 10.96%5.36M267.67%6.12M12.27%24.18M-7.34%7.88M75.60%9.8M68.37%4.83M-63.65%1.67M36.47%21.54M189.86%8.51M51.68%5.58M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

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