US Stock MarketDetailed Quotes

PSTL Postal Realty Trust

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  • 14.640
  • +0.190+1.31%
Close Oct 16 16:00 ET
337.21MMarket Cap162.67P/E (TTM)

Postal Realty 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
43.43%9.89M
-17.03%6.4M
15.60%28.43M
18.02%7.11M
21.78%6.71M
7.07%6.89M
16.54%7.72M
43.85%24.59M
65.05%6.02M
9.08%5.51M
Net income from continuing operations
-18.16%1.03M
-40.88%256K
-3.39%4.58M
-14.93%1.45M
24.87%1.44M
8.24%1.26M
-39.94%433K
85.60%4.74M
83.26%1.71M
70.12%1.15M
Depreciation and amortization
14.25%4.78M
8.41%4.62M
11.16%17.28M
7.91%4.52M
6.64%4.32M
12.48%4.18M
18.70%4.26M
25.43%15.54M
21.87%4.19M
21.66%4.05M
Other non cash items
-133.78%-25K
-74.29%18K
50.00%-406K
22.21%-620K
900.00%70K
-80.73%74K
117.24%70K
-26,966.67%-812K
-133.72%-797K
-95.93%7K
Change In working capital
1,994.49%2.66M
-162.03%-616K
185.46%1.14M
658.02%452K
39.44%-433K
-30.98%127K
-1.78%993K
122.53%399K
93.98%-81K
-1,843.90%-715K
-Change in receivables
155.46%523K
-86.48%247K
135.75%128K
2,676.32%1.06M
-47.24%-1.81M
-3.85%-943K
4.88%1.83M
53.20%-358K
143.68%38K
-218.65%-1.23M
-Change in prepaid assets
46.11%694K
22.13%850K
-427.37%-501K
-28.10%-816K
-102.84%-856K
32.68%475K
14.85%696K
95.48%-95K
57.16%-637K
-9.90%-422K
-Change in payables and accrued expense
142.52%1.44M
-11.96%-1.71M
77.46%1.51M
-58.88%213K
138.42%2.23M
-18.94%595K
-14.44%-1.53M
-22.40%852K
126.20%518K
15.54%937K
Cash from discontinued investing activities
Operating cash flow
43.43%9.89M
-17.03%6.4M
15.60%28.43M
18.02%7.11M
21.78%6.71M
7.07%6.89M
16.54%7.72M
43.85%24.59M
65.05%6.02M
9.08%5.51M
Investing cash flow
Cash flow from continuing investing activities
-85.25%-29.76M
23.09%-13.86M
39.57%-72.61M
21.78%-15.76M
-28.46%-22.76M
70.57%-16.07M
34.93%-18.02M
-12.58%-120.15M
55.32%-20.15M
-30.48%-17.72M
Capital expenditure reported
----
-52.42%-599K
22.21%-2.87M
----
----
----
53.82%-393K
-94.05%-3.69M
----
----
Net other investing changes
206.25%17K
-24.36%-291K
294.76%483K
-15.10%326K
1,456.67%407K
-102.08%-16K
82.94%-234K
98.39%-248K
102.47%384K
79.17%-30K
Cash from discontinued investing activities
Investing cash flow
-85.25%-29.76M
23.09%-13.86M
39.57%-72.61M
21.78%-15.76M
-28.46%-22.76M
70.57%-16.07M
34.93%-18.02M
-12.58%-120.15M
55.32%-20.15M
-30.48%-17.72M
Financing cash flow
Cash flow from continuing financing activities
112.16%19.8M
-34.09%7.28M
-50.31%45.01M
-23.33%8.64M
43.21%16M
-80.08%9.33M
-48.15%11.04M
-3.01%90.57M
-74.13%11.27M
52.96%11.17M
Net issuance payments of debt
116.70%26M
-59.18%6.9M
-56.92%43.89M
-0.01%9M
-53.86%6M
-77.36%12M
-37.18%16.91M
453.27%101.9M
128.55%9M
8.57%13M
Net common stock issuance
-71.10%1.24M
2,743.58%7.31M
131.99%25.67M
-25.91%5.88M
387.26%15.22M
1,092.24%4.3M
171.19%257K
4,671.49%11.06M
113.26%7.94M
642.04%3.12M
Cash dividends paid
-16.69%-6.93M
-15.03%-6.86M
-12.96%-24.36M
-13.55%-6.35M
-11.70%-6.11M
-11.91%-5.94M
-14.74%-5.96M
-43.38%-21.57M
-41.28%-5.6M
-40.39%-5.47M
Proceeds from stock option exercised by employees
--0
-18.99%64K
-1.08%183K
--1K
0.98%103K
--0
-4.82%79K
-99.87%185K
--0
39.73%102K
Net other financing activities
50.19%-514K
42.19%-137K
63.07%-373K
258.33%114K
88.43%782K
14.99%-1.03M
-70.50%-237K
28.32%-1.01M
-180.00%-72K
132.75%415K
Cash from discontinued financing activities
Financing cash flow
112.16%19.8M
-34.09%7.28M
-50.31%45.01M
-23.33%8.64M
43.21%16M
-80.08%9.33M
-48.15%11.04M
-3.01%90.57M
-74.13%11.27M
52.96%11.17M
Net cash flow
Beginning cash position
-3.41%2.69M
40.40%2.87M
-70.94%2.04M
-41.18%2.89M
-50.53%2.94M
-61.63%2.78M
-70.94%2.04M
114.80%7.03M
-0.37%4.91M
-3.32%5.95M
Current changes in cash
-149.37%-78K
-123.99%-178K
116.55%825K
99.30%-20K
94.71%-55K
112.08%158K
224.02%742K
-232.73%-4.98M
-236.48%-2.87M
15.18%-1.04M
End cash Position
-11.25%2.61M
-3.41%2.69M
40.40%2.87M
40.40%2.87M
-41.18%2.89M
-50.53%2.94M
-61.63%2.78M
-70.94%2.04M
-70.94%2.04M
-0.37%4.91M
Free cash flow
43.91%10.48M
-20.76%5.8M
22.27%25.56M
81.58%4.24M
-8.08%6.71M
32.53%7.29M
26.92%7.32M
37.57%20.9M
33.52%2.33M
44.52%7.3M
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 43.43%9.89M-17.03%6.4M15.60%28.43M18.02%7.11M21.78%6.71M7.07%6.89M16.54%7.72M43.85%24.59M65.05%6.02M9.08%5.51M
Net income from continuing operations -18.16%1.03M-40.88%256K-3.39%4.58M-14.93%1.45M24.87%1.44M8.24%1.26M-39.94%433K85.60%4.74M83.26%1.71M70.12%1.15M
Depreciation and amortization 14.25%4.78M8.41%4.62M11.16%17.28M7.91%4.52M6.64%4.32M12.48%4.18M18.70%4.26M25.43%15.54M21.87%4.19M21.66%4.05M
Other non cash items -133.78%-25K-74.29%18K50.00%-406K22.21%-620K900.00%70K-80.73%74K117.24%70K-26,966.67%-812K-133.72%-797K-95.93%7K
Change In working capital 1,994.49%2.66M-162.03%-616K185.46%1.14M658.02%452K39.44%-433K-30.98%127K-1.78%993K122.53%399K93.98%-81K-1,843.90%-715K
-Change in receivables 155.46%523K-86.48%247K135.75%128K2,676.32%1.06M-47.24%-1.81M-3.85%-943K4.88%1.83M53.20%-358K143.68%38K-218.65%-1.23M
-Change in prepaid assets 46.11%694K22.13%850K-427.37%-501K-28.10%-816K-102.84%-856K32.68%475K14.85%696K95.48%-95K57.16%-637K-9.90%-422K
-Change in payables and accrued expense 142.52%1.44M-11.96%-1.71M77.46%1.51M-58.88%213K138.42%2.23M-18.94%595K-14.44%-1.53M-22.40%852K126.20%518K15.54%937K
Cash from discontinued investing activities
Operating cash flow 43.43%9.89M-17.03%6.4M15.60%28.43M18.02%7.11M21.78%6.71M7.07%6.89M16.54%7.72M43.85%24.59M65.05%6.02M9.08%5.51M
Investing cash flow
Cash flow from continuing investing activities -85.25%-29.76M23.09%-13.86M39.57%-72.61M21.78%-15.76M-28.46%-22.76M70.57%-16.07M34.93%-18.02M-12.58%-120.15M55.32%-20.15M-30.48%-17.72M
Capital expenditure reported -----52.42%-599K22.21%-2.87M------------53.82%-393K-94.05%-3.69M--------
Net other investing changes 206.25%17K-24.36%-291K294.76%483K-15.10%326K1,456.67%407K-102.08%-16K82.94%-234K98.39%-248K102.47%384K79.17%-30K
Cash from discontinued investing activities
Investing cash flow -85.25%-29.76M23.09%-13.86M39.57%-72.61M21.78%-15.76M-28.46%-22.76M70.57%-16.07M34.93%-18.02M-12.58%-120.15M55.32%-20.15M-30.48%-17.72M
Financing cash flow
Cash flow from continuing financing activities 112.16%19.8M-34.09%7.28M-50.31%45.01M-23.33%8.64M43.21%16M-80.08%9.33M-48.15%11.04M-3.01%90.57M-74.13%11.27M52.96%11.17M
Net issuance payments of debt 116.70%26M-59.18%6.9M-56.92%43.89M-0.01%9M-53.86%6M-77.36%12M-37.18%16.91M453.27%101.9M128.55%9M8.57%13M
Net common stock issuance -71.10%1.24M2,743.58%7.31M131.99%25.67M-25.91%5.88M387.26%15.22M1,092.24%4.3M171.19%257K4,671.49%11.06M113.26%7.94M642.04%3.12M
Cash dividends paid -16.69%-6.93M-15.03%-6.86M-12.96%-24.36M-13.55%-6.35M-11.70%-6.11M-11.91%-5.94M-14.74%-5.96M-43.38%-21.57M-41.28%-5.6M-40.39%-5.47M
Proceeds from stock option exercised by employees --0-18.99%64K-1.08%183K--1K0.98%103K--0-4.82%79K-99.87%185K--039.73%102K
Net other financing activities 50.19%-514K42.19%-137K63.07%-373K258.33%114K88.43%782K14.99%-1.03M-70.50%-237K28.32%-1.01M-180.00%-72K132.75%415K
Cash from discontinued financing activities
Financing cash flow 112.16%19.8M-34.09%7.28M-50.31%45.01M-23.33%8.64M43.21%16M-80.08%9.33M-48.15%11.04M-3.01%90.57M-74.13%11.27M52.96%11.17M
Net cash flow
Beginning cash position -3.41%2.69M40.40%2.87M-70.94%2.04M-41.18%2.89M-50.53%2.94M-61.63%2.78M-70.94%2.04M114.80%7.03M-0.37%4.91M-3.32%5.95M
Current changes in cash -149.37%-78K-123.99%-178K116.55%825K99.30%-20K94.71%-55K112.08%158K224.02%742K-232.73%-4.98M-236.48%-2.87M15.18%-1.04M
End cash Position -11.25%2.61M-3.41%2.69M40.40%2.87M40.40%2.87M-41.18%2.89M-50.53%2.94M-61.63%2.78M-70.94%2.04M-70.94%2.04M-0.37%4.91M
Free cash flow 43.91%10.48M-20.76%5.8M22.27%25.56M81.58%4.24M-8.08%6.71M32.53%7.29M26.92%7.32M37.57%20.9M33.52%2.33M44.52%7.3M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

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