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ECCXEagle Point Credit Company Inc. 6.6875% NT 28
$25.17$2.4B
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HomeStocksECCXQuarterly Cash Flow

Eagle Point Credit Company Inc. 6.6875% NT 28 (ECCX) Quarterly Cash Flow Statement

120+ quarters historyFree accessUpdated daily

Eagle Point Credit Company Inc. 6.6875% NT 28 (ECCX) quarterly cash flow statement — complete operating, investing & financing history

ECCX Cash Flow Statement

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23
Cash from Operations30.31M-16.29M29.71M27.38M24.51M28.15M28.77M22.11M24.03M22.21M21.93M17.04M
Operating CF Growth %23.64%-157.88%3.25%23.82%2.02%26.76%31.23%29.73%67.33%41.13%26.43%77.64%
Net Income-109.95M21.76M57.52M-97.53M45.32M3.86M-3.58M34.71M27.09M63.2M6.53M20.06M
Depreciation & Amortization000000000000
Deferred Taxes000000000000
Other Non-Cash Items138.77M-34.25M-29.75M129.59M-18.85M27.27M28.81M-12.07M-2.58M-40.48M12.64M-745.37K
Working Capital Changes1.49M-3.8M1.93M-4.68M-1.95M-2.98M3.54M-529.9K-485.33K-509.21K2.75M-2.27M
Cash from Investing-6.86M0485.07K-86.15M-164.51M-161.07M-102.34M-104.62M-15.13M-97.19M-11.71M-42.75M
Purchase of Investments-194.57M0-115.31M-210.63M-247.31M-309.47M-200.33M-172.19M-55.99M-132.58M-53M-74.18M
Sale/Maturity of Investments187.72M0115.79M124.48M87.2M148.39M97.99M67.56M40.85M35.39M41.3M31.44M
Net Investment Activity-6.86M0485.07K-86.15M-160.11M-161.07M-102.34M-104.62M-15.13M-97.19M-11.71M-42.75M
Acquisitions000000000000
Other Investing0000-4.4M0000000
Cash from Financing-33.66M-12.06M29.51M42.81M158.25M70.81M94.8M100.51M12.03M59.57M18.51M-18.77M
Dividends Paid-49.1M-51.71M-45.62M-42.83M-32.36M-49.2M-43.53M-38.77M-35.63M-32.55M-28.48M-51.47M
Share Repurchases000000000000
Stock Issued29.11M040.68M65.58M-68.3M122.52M138.33M139.28M47.66M92.11M47.03M32.65M
Net Stock Activity29.11M040.68M65.58M-68.3M122.52M138.33M139.28M47.66M92.11M47.03M32.65M
Debt Issuance (Net)001000K1000K000000048.44K
Other Financing-13.67M39.65M-3.27M-2.69M258.91M-2.51M0000-48.44K0
Net Change in Cash-10.2M-22.28M50.23M-12.56M18.41M-62.11M22.07M17.42M20.78M-15.39M28.69M-44.46M
Exchange Rate Effect06.07M-9.47M3.4M149.84K-149831.5K-576.6K-146.69K23.14K-35.34K8.6K
Cash at Beginning57.61M79.89M29.66M42.22M23.82M85.93M63.86M46.45M25.67M41.06M12.37M56.83M
Cash at End47.41M57.61M79.89M29.66M42.22M23.82M85.93M63.86M46.45M25.67M41.06M12.37M
Interest Paid06.91M0000000000
Income Taxes Paid000000000000
Free Cash Flow30.31M-16.29M29.71M27.38M24.51M28.15M28.77M22.11M24.03M22.21M21.93M17.04M
FCF Growth %23.64%-157.88%3.25%23.82%2.02%26.76%31.23%29.73%67.33%41.13%26.43%77.64%