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GIPR Generation Income Properties

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  • 1.670
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Close May 2 16:00 ET
  • 1.680
  • +0.010+0.60%
Post 16:05 ET
9.09MMarket Cap-1.02P/E (TTM)

Generation Income Properties Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
8,181.59%1.02M
3,957.43%238.85K
1.87%556.91K
-37.85%200.63K
103.05%25.98K
-97.89%12.35K
-102.01%-6.19K
35.67%546.69K
287.75%322.81K
-304.26%-850.96K
Net income from continuing operations
-9.71%-4.87M
144.44%571.25K
-73.38%-2.1M
-94.24%-1.46M
-57.86%-1.88M
-61.67%-4.44M
-47.27%-1.29M
-136.91%-1.21M
17.92%-752.4K
-167.19%-1.19M
Operating gains losses
-200.97%-372.57K
-269.53%-681.14K
21,935.69%734.12K
-7,255.52%-1.1M
4,810.76%678.44K
245.74%369.01K
3,085.67%401.78K
79.93%-3.36K
-110.32%-15.01K
-68.39%-14.4K
Depreciation and amortization
42.20%5.03M
-11.25%1.35M
13.38%1.14M
158.96%1.25M
143.65%1.29M
76.06%3.54M
184.99%1.52M
87.18%1M
-9.47%481.94K
30.53%531.25K
Other non cash items
18.75%399.95K
-1,617.79%-915.15K
39.91%93.85K
623.25%1.15M
36.49%68.27K
-45.46%336.8K
-67.81%60.3K
-71.13%67.08K
1.54%159.42K
22.22%50.01K
Change In working capital
371.20%460.22K
77.37%-180.67K
4.63%601.69K
-27.34%270.16K
27.40%-230.96K
-196.05%-169.7K
-309.78%-798.44K
977.12%575.04K
807.58%371.82K
-6.65%-318.12K
-Change in receivables
233.04%193.05K
79.89%116.43K
156.64%102.29K
-34.35%17.02K
22.61%-42.68K
-1,860.32%-145.1K
289.73%64.72K
-649.79%-180.59K
4,100.81%25.92K
-716.75%-55.16K
-Change in prepaid assets
68.80%-36.46K
-27.19%130.1K
376.46%193.07K
-135.45%-26.18K
18.66%-333.44K
-67.50%-116.87K
147.47%178.68K
363.47%40.52K
-43.41%73.86K
-59.43%-409.93K
-Change in payables and accrued expense
-70.53%299.24K
87.86%-14.63K
-59.83%271.33K
66.77%398.96K
-261.17%-356.42K
206.32%1.02M
-168.04%-120.52K
146.78%675.42K
251.63%239.23K
476.23%221.15K
-Change in other current assets
----
----
----
----
-364.53%-63.34K
----
----
----
----
128.61%23.95K
-Change in other current liabilities
-15.14%49.86K
-63.83%12.42K
-9.90%13.31K
353.41%12.14K
-16.90%12K
13.09%58.75K
-35.29%34.33K
160.00%14.77K
-134.46%-4.79K
50.08%14.44K
-Change in other working capital
95.37%-45.47K
38.66%-610.92K
218.09%207.63K
-417.02%-195.11K
591.18%552.93K
-657.80%-981.76K
-986.75%-996.01K
130.62%65.28K
305.14%61.55K
-8,853.58%-112.57K
Cash from discontinued investing activities
Operating cash flow
8,181.59%1.02M
3,957.41%238.85K
1.87%556.91K
-37.85%200.63K
103.05%25.98K
-97.89%12.35K
-102.01%-6.19K
35.67%546.69K
287.75%322.81K
-304.26%-850.96K
Investing cash flow
Cash flow from continuing investing activities
82.67%-5.77M
18,757,000.00%187.57K
82.01%-5.96M
0
0
-150.84%-33.31M
99.95%-1
-28,096.04%-33.13M
69.88%-138.85K
99.61%-50K
Net PPE purchase and sale
81.93%-5.77M
6,175.31%187.57K
81.34%-5.96M
----
----
-148.68%-31.96M
236.24%2.99K
-47,235.77%-31.95M
----
----
Net other investing changes
----
----
----
----
----
-5,533.56%-1.36M
---2.99K
----
----
-166.67%-50K
Cash from discontinued investing activities
Investing cash flow
82.67%-5.77M
18,757,000.00%187.57K
82.01%-5.96M
--0
--0
-150.84%-33.31M
99.95%-1
-28,096.04%-33.13M
69.88%-138.85K
99.61%-50K
Financing cash flow
Cash flow from continuing financing activities
-93.13%2.25M
-12.03%-1.36M
-87.37%4.4M
185.42%696.79K
-1,750.55%-1.49M
461.28%32.7M
-247.24%-1.21M
2,684.47%34.81M
-40.38%-815.71K
-101.16%-80.39K
Net issuance payments of debt
-94.50%1.33M
10.87%-367.06K
-91.45%2.11M
-901.75%-94.61K
-110.90%-319.78K
219.98%24.1M
-143.51%-411.82K
11,122.97%24.65M
-98.33%11.8K
-102.48%-151.63K
Cash dividends paid
15.46%-1.35M
--0
--0
-107.32%-634.38K
-140.39%-715.11K
-17.64%-1.6M
-102.50%-591.49K
-3.76%-401.32K
10.86%-305.99K
11.15%-297.48K
Net other financing activities
-77.74%2.27M
-370.36%-993.53K
-78.31%2.29M
373.39%1.43M
-222.78%-452.72K
3,020.87%10.2M
-223.88%-211.23K
1,533.73%10.56M
44.73%-521.52K
-68.23%368.72K
Cash from discontinued financing activities
Financing cash flow
-93.13%2.25M
-12.03%-1.36M
-87.37%4.4M
185.42%696.79K
-1,750.55%-1.49M
461.28%32.7M
-247.24%-1.21M
2,684.47%34.81M
-40.38%-815.71K
-101.16%-80.39K
Net cash flow
Beginning cash position
-16.02%3.15M
-63.83%1.58M
20.93%2.59M
-39.01%1.69M
-16.02%3.15M
-64.67%3.75M
66.76%4.37M
-41.91%2.14M
-40.30%2.77M
-64.67%3.75M
Current changes in cash
-316.69%-2.5M
23.47%-934.17K
-145.06%-1.01M
242.05%897.41K
-48.94%-1.46M
91.25%-601.05K
-207.95%-1.22M
310.34%2.23M
34.11%-631.75K
83.59%-981.35K
End cash Position
-79.46%647.44K
-79.46%647.44K
-63.83%1.58M
20.93%2.59M
-39.01%1.69M
-16.02%3.15M
-16.02%3.15M
66.76%4.37M
-41.91%2.14M
-40.30%2.77M
Free cash flow
85.13%-4.75M
13,413.14%426.42K
82.69%-5.4M
49.77%200.63K
103.05%25.98K
-160.42%-31.94M
-101.05%-3.2K
-9,407.33%-31.22M
71.36%133.96K
93.45%-850.96K
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 with Explanatory Notes
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 8,181.59%1.02M3,957.43%238.85K1.87%556.91K-37.85%200.63K103.05%25.98K-97.89%12.35K-102.01%-6.19K35.67%546.69K287.75%322.81K-304.26%-850.96K
Net income from continuing operations -9.71%-4.87M144.44%571.25K-73.38%-2.1M-94.24%-1.46M-57.86%-1.88M-61.67%-4.44M-47.27%-1.29M-136.91%-1.21M17.92%-752.4K-167.19%-1.19M
Operating gains losses -200.97%-372.57K-269.53%-681.14K21,935.69%734.12K-7,255.52%-1.1M4,810.76%678.44K245.74%369.01K3,085.67%401.78K79.93%-3.36K-110.32%-15.01K-68.39%-14.4K
Depreciation and amortization 42.20%5.03M-11.25%1.35M13.38%1.14M158.96%1.25M143.65%1.29M76.06%3.54M184.99%1.52M87.18%1M-9.47%481.94K30.53%531.25K
Other non cash items 18.75%399.95K-1,617.79%-915.15K39.91%93.85K623.25%1.15M36.49%68.27K-45.46%336.8K-67.81%60.3K-71.13%67.08K1.54%159.42K22.22%50.01K
Change In working capital 371.20%460.22K77.37%-180.67K4.63%601.69K-27.34%270.16K27.40%-230.96K-196.05%-169.7K-309.78%-798.44K977.12%575.04K807.58%371.82K-6.65%-318.12K
-Change in receivables 233.04%193.05K79.89%116.43K156.64%102.29K-34.35%17.02K22.61%-42.68K-1,860.32%-145.1K289.73%64.72K-649.79%-180.59K4,100.81%25.92K-716.75%-55.16K
-Change in prepaid assets 68.80%-36.46K-27.19%130.1K376.46%193.07K-135.45%-26.18K18.66%-333.44K-67.50%-116.87K147.47%178.68K363.47%40.52K-43.41%73.86K-59.43%-409.93K
-Change in payables and accrued expense -70.53%299.24K87.86%-14.63K-59.83%271.33K66.77%398.96K-261.17%-356.42K206.32%1.02M-168.04%-120.52K146.78%675.42K251.63%239.23K476.23%221.15K
-Change in other current assets -----------------364.53%-63.34K----------------128.61%23.95K
-Change in other current liabilities -15.14%49.86K-63.83%12.42K-9.90%13.31K353.41%12.14K-16.90%12K13.09%58.75K-35.29%34.33K160.00%14.77K-134.46%-4.79K50.08%14.44K
-Change in other working capital 95.37%-45.47K38.66%-610.92K218.09%207.63K-417.02%-195.11K591.18%552.93K-657.80%-981.76K-986.75%-996.01K130.62%65.28K305.14%61.55K-8,853.58%-112.57K
Cash from discontinued investing activities
Operating cash flow 8,181.59%1.02M3,957.41%238.85K1.87%556.91K-37.85%200.63K103.05%25.98K-97.89%12.35K-102.01%-6.19K35.67%546.69K287.75%322.81K-304.26%-850.96K
Investing cash flow
Cash flow from continuing investing activities 82.67%-5.77M18,757,000.00%187.57K82.01%-5.96M00-150.84%-33.31M99.95%-1-28,096.04%-33.13M69.88%-138.85K99.61%-50K
Net PPE purchase and sale 81.93%-5.77M6,175.31%187.57K81.34%-5.96M---------148.68%-31.96M236.24%2.99K-47,235.77%-31.95M--------
Net other investing changes ---------------------5,533.56%-1.36M---2.99K---------166.67%-50K
Cash from discontinued investing activities
Investing cash flow 82.67%-5.77M18,757,000.00%187.57K82.01%-5.96M--0--0-150.84%-33.31M99.95%-1-28,096.04%-33.13M69.88%-138.85K99.61%-50K
Financing cash flow
Cash flow from continuing financing activities -93.13%2.25M-12.03%-1.36M-87.37%4.4M185.42%696.79K-1,750.55%-1.49M461.28%32.7M-247.24%-1.21M2,684.47%34.81M-40.38%-815.71K-101.16%-80.39K
Net issuance payments of debt -94.50%1.33M10.87%-367.06K-91.45%2.11M-901.75%-94.61K-110.90%-319.78K219.98%24.1M-143.51%-411.82K11,122.97%24.65M-98.33%11.8K-102.48%-151.63K
Cash dividends paid 15.46%-1.35M--0--0-107.32%-634.38K-140.39%-715.11K-17.64%-1.6M-102.50%-591.49K-3.76%-401.32K10.86%-305.99K11.15%-297.48K
Net other financing activities -77.74%2.27M-370.36%-993.53K-78.31%2.29M373.39%1.43M-222.78%-452.72K3,020.87%10.2M-223.88%-211.23K1,533.73%10.56M44.73%-521.52K-68.23%368.72K
Cash from discontinued financing activities
Financing cash flow -93.13%2.25M-12.03%-1.36M-87.37%4.4M185.42%696.79K-1,750.55%-1.49M461.28%32.7M-247.24%-1.21M2,684.47%34.81M-40.38%-815.71K-101.16%-80.39K
Net cash flow
Beginning cash position -16.02%3.15M-63.83%1.58M20.93%2.59M-39.01%1.69M-16.02%3.15M-64.67%3.75M66.76%4.37M-41.91%2.14M-40.30%2.77M-64.67%3.75M
Current changes in cash -316.69%-2.5M23.47%-934.17K-145.06%-1.01M242.05%897.41K-48.94%-1.46M91.25%-601.05K-207.95%-1.22M310.34%2.23M34.11%-631.75K83.59%-981.35K
End cash Position -79.46%647.44K-79.46%647.44K-63.83%1.58M20.93%2.59M-39.01%1.69M-16.02%3.15M-16.02%3.15M66.76%4.37M-41.91%2.14M-40.30%2.77M
Free cash flow 85.13%-4.75M13,413.14%426.42K82.69%-5.4M49.77%200.63K103.05%25.98K-160.42%-31.94M-101.05%-3.2K-9,407.33%-31.22M71.36%133.96K93.45%-850.96K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--------

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